(i) Facility identification number and active permit numbers.
(j) Stack numbers, emissions unit numbers, and control device numbers.
(k) Pollutant emission limitations.
(L) List of the applicable rules, orders, and permit conditions requiring the test.
(m) Test firm name, address, city, state, and zip code.
(n) Test firm contact name and phone number.
62Section 62   NR 439.07 (3) (intro.), (4), (5) (a), (7) (intro.), and (8) (a) 1., (b), and (e) are amended to read:
NR 439.07 (3) Test plan evaluation. In evaluating the test plan, the department shall respond to the source owner or operator within 10 business14 calendar days of receipt of the plan and if amendments are needed. If the department does not respond within 14 calendar days, the test may proceed as described in the test plan. The department may require any of the following:
(4) Notification of test plan revision. The source owner, or operator, or designee of a source shall notify the department of any modifications to the test plan at least 5 business7 calendar days prior to the test. In the event the owner or operator is unable to conduct the compliance emission test on the date specified in the test plan, due to unforeseeable circumstances beyond the owner or operator's control, the owner or operator of a source shall notify the department at least 5 business7 calendar days prior to the scheduled compliance emission test date and specify the date when the test is rescheduled or arrange a rescheduled date with the department.
(5) (a) The installation of sampling ports and safe sampling platforms meeting the requirements of EPA Method 1.
(7) Emission testing equipment calibration requirements. The following components of any emission sampling train or associated sampling equipment shall be calibrated not more than 60 calendar days before the test:
(8) (a) 1. The gas flow rate, in dry standard cubic feet per minute, shall be determined during each repetition of an emission test using Method 1, 1A, 2, 2A, 2B, 2C, 2D, 2E, 2F, 2G, 2H, 3, 3A, 3B, 3C, and 4 in 40 CFR part 60, Appendix A, incorporated by reference in under s. NR 484.04 (13), as applicable.
(b) Particulate matter. When compliance with a particulate matter emission limitation is determined using Method 5, 5A, 5B, 5D, 5E, 5F, 5G, 5H, 5I, or 17 in 40 CFR part 60, Appendix A, incorporated by reference in under s. NR 484.04 (13), the test shall consist of 3 representative repetitions. In addition, all of the following provisions apply:
1. Sootblowing shall be performed during one repetition of each test for particulate matter emissions on any boiler that routinely employs sootblowing, unless the boiler uses a continuous sootblowing system. If a continuous sootblowing system is operating during the test, compliance with the emission limitation shall be determined by the arithmetic mean of the results of all repetitions. If a continuous sootblowing system is not operating during the test, the representative average pounds of particulate matter emissions per million Btu heat input shall be determined by the following equation:
E = Es ((A + B) S/AR) + Ens((R - S)/R - (BS/AR))
where:
E is the weighted average pounds of particulate matter per million Btu heat input
Es is the pounds of particulate matter per million Btu heat input for test runs during sootblowing
Ens is the arithmetic average pounds of particulate matter per million Btu heat input for test runs with no sootblowing
A is the hours of sootblowing during test runs containing sootblowing
B is the hours with no sootblowing during test runs containing sootblowing
R is the average hours of boiler operation per 24 hours
S is the average hours of sootblowing per 24 hours
2. Each repetition for a particulate emissionmatter emissions test shall have a sample volume of at least 30 dry standard cubic feet.
3. Method 17, for particulates particulate matter emissions, in 40 CFR part 60, Appendix A, incorporated by reference in under s. NR 484.04 (13), may not be used where stack or duct temperatures exceed 320°F.
4. Heat input shall be equal to the fuel use rate multiplied by the heat content of the fuel on an as-fired basis. Fuels shall be analyzed for heat content using the procedures in Method 19 in 40 CFR part 60, Appendix A, incorporated by reference in under s. NR 484.04 (13). Alternately, heat input may be determined using a continuous emission monitor that meets the applicable performance specifications in 40 CFR part 60, Appendices B and F, or, for affected sources, the performance specifications in 40 CFR part 75, Appendices A to I, incorporated by reference under s. NR 484.04 (21), (21m), and (27).
5. Any boiler emission rate in pounds per million Btu heat input shall be determined using the heat input based on fuel use rate. The emission rate may be determined using the F-Factor calculation shown in Method 19 in 40 CFR part 60, Appendix A, incorporated by reference in under s. NR 484.04 (13), with written approval from the department. If the F-Factor method is used, an ultimate fuel analysis shall be performed. An integrated gas sample, using Method 3, 3A, or 3B, or 3C in 40 CFR part 60, Appendix A, incorporated by reference in under s. NR 484.04 (13), shall be collected and analyzed for oxygen and carbon dioxide content. Other methods for determining the boiler heat input may be used only if approved, in writing, by the department.
6. If cyclonic flow is a possibility at a particulate matter emission test location, a test for the presence of cyclonic flow shall be performed before the particulate matter test using the procedures in Method 1 in 40 CFR part 60, Appendix A, incorporated by reference in under s. NR 484.04 (13). If cyclonic flow is present, the flow must be straightened before testing can begin unless the source owner or operator demonstrates, to the department's satisfaction, the acceptability of the location using the alternate procedure to Method 1. If cyclonic flow is not present, testing can proceed.
7. Except for sources subject to emission testing requirements in ch. NR 440 under 40 CFR part 60, the department may require the owner or operator of a source capable of emitting condensablecondensable particulate matter, to include an analysis of the back half of the stack sampling train catch in the total particulate catch for any emission test using Method 5, 5A, 5B, 5D, 5E, 5F, 5G, 5H, 5I, or 17, in 40 CFR part 60, Appendix A, incorporated by reference in under s. NR 484.04 (13). This procedure and analysis shall be performed using Method 202 in 40 CFR part 51, Appendix M, incorporated by reference in under s. NR 484.04 (9).
_Hlk146896740(e) Organic compound emissions. When compliance with an organic compound emission limitation is determined using Methods 18, 25, 25A, or 25B, or 320 in 40 CFR part 60, Appendix A, incorporated by reference in under s. NR 484.04 (13), or ASTM D6348-12 (2020), incorporated by reference under s. NR 484.10 (55r), the test shall consist of a minimum of 3 representative repetitions.
63Section 63   NR 439.07 (9) is repealed and recreated to read:
(9) Emission test reporting requirements. For compliance emission tests, including initial certification tests and relative accuracy tests performed under s. NR 439.09, the owner, operator, or designee of the source tested shall submit to the department an emission test report within 60 calendar days after completion of a compliance emission test. If requested, the department may grant an extension of up to 30 calendar days for test report submittal. The failure to include any information required under this subsection in an emission test report may result in rejection of the test report submittal. The emission test report shall include all of the following information for the emissions unit tested:
(a) A detailed description of each emissions unit and control device.
(am) A detailed description of the reference test methods, analytical test methods, and quality control and quality assurance procedures used during the test.
(ap) A description of any reference method or analytical test method deviation and a copy of any reference method or analytical test method deviation approval.
(as) The date, start and end times, duration, and number of sampling runs for each reference method and analytical test method.
(b)  The operating conditions and parameters recorded at each emissions unit, including fuel type and sootblowing, and any associated air pollution control device during the test.
(c) A summary of test results expressed in units consistent with emission limitations applicable to the source.
(d) Sample calculations showing all the formulas used to calculate the reference test method and analytical test method results.
(e) The raw field and laboratory data for each repetition of each test.
(f) Calibration data for each reference method and analytical test method used during the test.
(g) The results of any quality assurance audit sample analyses required in each reference method or analytical test method.
(h) The results of any visible emission evaluations performed by the tester or source owner or operator and a copy of the visible emission certificate.
(i) A copy of any steam, opacity, or airflow charts made during the test.
(j) The report of any fuel analysis performed on the fuel burned during the test.
(k) Documentation of any emissions unit or control device upset conditions occurring during the test.
(L) An explanation of any excessive variation in the results when comparing the repetitions of the compliance emission test.
(m) If the compliance emission test being conducted is a retest, the changes made to the emissions unit or control device since the last test.
(n) A description of the number and location of the sampling ports and sampling points including a diagram showing the distance of the sampling ports from the nearest upstream and downstream flow disturbances and the stack dimensions for each measurement location.
(o) A copy of chain of custody forms.
(p) Facility name, physical address, city, state, and zip code.
(q) Facility contact name and phone number.
(r) Facility identification number and active permit number.
(s) Stack number, emissions unit number, and control device number.
(t) Applicable rules and permit conditions requiring the tests be conducted.
(u) Test firm name, address, city, state, and zip code.
(v) Test firm contact and phone number.
(w) Analytical subcontractor name, contact name, and phone number.
(x) A statement certifying all methodologies were performed according to the written procedures and represent true and accurate data.
64Section 64   NR 439.07 (10) is repealed.  
_Hlk147215161Section 65   NR 439.075 (2) (title), (a) (intro.), 1., 2., 3. and 4., (b) (intro.), 1., 2., 3. and 4., (c) (intro.), 1. a. to x., 2., 3. a. to L., 4., 5., 6. a. to e. and (3) (b) are amended to read:
NR 439.075 (2) Affected emission points units and air contaminants requiring testing.
(a) Except as provided in under sub. (4), the owner or operator of a source identified in this paragraph, with an emission point emissions unit that has allowable emissions of particulate matter, sulfur dioxide, or volatile organic compounds of 100 tons or more per year or allowable emissions of total reduced sulfur of 25 tons or more per year, shall perform compliance emission testing according to the testing schedules in under sub. (3) as follows:
1. Compliance emission testing for particulate matter is required for an emission point emissions unit subject to a particulate matter emission limitation under ch. NR 405 or in under s. NR 415.04 (2) (b) 2. or (c) 1.415.05415.06415.07, or 415.08 (3) or (6).
2. Compliance emission testing for sulfur dioxide is required for an emission point emissions unit subject to a sulfur dioxide emission limitation under ch. NR 405 or in under s. NR 417.07 (2)(3)(4) or (5)418.025418.03, or 418.04 or to a more restrictive emission limit as described in under s. NR 417.07 (1) (b).
3. Compliance emission testing for total reduced sulfur is required for an emission point emissions unit subject to an emission limitation in under s. NR 417.06.
4. Compliance emission testing for volatile organic compounds is required for an emission point emissions unit subject to an emission limitation in s. NR 421.03, 421.04, 422.05 to 422.08, 422.09 to 422.155423.05, or 424.03 to 424.05 which that uses a control device to achieve compliance with the applicable requirements. This test shall include a determination of the overall control efficiency of the control device on the affected emission point emissions unit.
(b) The owner or operator of a source, subject to the requirements of under ch. NR 427 or, chs. NR 445 to 449, or 40 CFR part 61 Subparts C, D, E, F, or M, shall perform compliance emission testing for lead, mercury, beryllium, or vinyl chloride according to the testing schedules in under sub. (3). as follows:
1. Compliance emission testing for mercury is required for an emission point emissions unit subject to s. NR 446.08 (1) or 446.21 (1)(2), or (3), or 40 CFR s. 61.53 (a), (b), or (c).
2. Compliance emission testing for beryllium is required for an emission point emissions unit identified in under s. NR 448.03 (1) or 40 CFR s. 61.30.
3. Compliance emission testing for vinyl chloride is required for an emission point emissions unit identified in under s. NR 449.04, 449.05, or  449.06 (1)(2)(3), or (4), or 40 CFR ss. 61.62, 61.63, or 61.64 (a), (b), (c), or (d) and for any control system to which reactor emissions are required to be ducted in under s. NR 449.06 (1) (b) or (5) (a) or (b) or 40 CFR ss. 61.64 (a) (2) or (e) (1) or (2) or to which fugitive emissions are required to be ducted in under s. NR 449.07 (2) (a)(b)(c)(e)(f), or (i) or 40 CFR ss. 61.65 (b) (1), (2), (3), (5), (6), or (9).
4. Compliance emission testing for lead is required for an emission point emissions unit with allowable emissions of one ton per year or more that is subject to an emission limitation in under s. NR 427.03.
(c) Except as provided in under sub. (4), the owner or operator of a source identified in this paragraph which that is subject to the requirements of ch. NR 440 under 40 CFR part 60 shall perform compliance emission testing for the following air contaminants according to the testing schedules in under sub. (3).:
1. a. Fossil fuel fired steam generators subject to s. NR 440.19 or 440.20 40 CFR part 60 Subpart D or Da.
b. Incinerators subject to s. NR 440.21 40 CFR part 60 Subpart E.
c. Kilns at Portland cement plants subject to s. NR 440.22 40 CFR part 60 Subpart F.
d. Dryers at asphalt concrete plants subject to s. NR 440.2540 CFR part 60 Subpart I with a rated capacity of 250 tons per hour or more at 5% percent moisture removal.
e. Fluid catalytic cracking unit catalyst regenerators and fuel gas combustion devices at petroleum refineries subject to s. NR 440.2640 CFR part 60 Subpart J.
f. Pot, cupola, and reverberatory furnaces at secondary lead smelters subject to s. NR 440.29 40 CFR part 60 Subpart L.
g. Cupola, electric arc, and reverberatory furnaces at secondary brass and bronze ingot production plants subject to s. NR 440.30 40 CFR part 60 Subpart M.
h. Basic oxygen process furnaces at iron and steel plants subject to s. NR 440.3140 CFR part 60 Subpart N.
i. Incinerators at sewage treatment plants subject to s. NR 440.32 40 CFR part 60 Subpart O.
j. Dryers at primary copper smelters subject to s. NR 440.33 40 CFR part 60 Subpart P.
k. Sintering machines at primary zinc smelters subject to s. NR 440.34 40 CFR part 60 Subpart Q.
L. Blast furnaces, dross reverberatory furnaces, and sintering machines at primary lead smelters subject to s. NR 440.35 40 CFR part 60 Subpart R.
m. Thermal dryers and pneumatic coal cleaning equipment at coal preparation plants subject to s. NR 440.42 40 CFR part 60 Subpart Y.
n. Electric arc furnaces and dust handling equipment at ferroalloy production facilities subject to s. NR 440.43 40 CFR part 60 Subpart Z.
o. Electric arc furnaces at steel plants subject to s. NR 440.44 40 CFR part 60 Subpart AA.
p. Electric arc furnaces and argon-oxygen decarburization vessels at steel plants subject to s. NR 440.445 40 CFR part 60 Subpart AAa.
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