Authority: IC 13-14-8; IC 13-17-3
Affected: IC 13-15; IC 13-17
Sec. 4. (a) A source subject to section 1(a) of this rule shall report estimated actual emissions in the emission statement of the following pollutants:
- (1) Carbon monoxide (CO).
- (2) Volatile organic compounds (VOC).
- (3) Oxides of nitrogen (NOx).
- (4) Particulate matter less than or equal to ten (10) micrometers (PM10).
- (5) Sulfur dioxide (SO2).
- (6) Lead and lead compounds, including any unique chemical substance that contains lead.
- (7) Particulate matter less than or equal to two and five-tenths (2.5) micrometers (PM2.5).
- (8) Ammonia (NH3).
(b) Emissions from processes that are insignificant or trivial activities as defined in 326 IAC 2-7-1 are not required to be reported in an emission statement.
(c) The emission statement submitted by the source must contain, at a minimum, the following information:
(1) Certification by a responsible official that the information in the emission statement is accurate based on reasonable estimates using data available to the preparers and on a reasonable inquiry into records and persons responsible for the operation of the source, and is true, accurate, and complete. The certification shall include the:
- (A) full name;
- (B) title;
- (C) signature;
- (D) date of signature; and
- (E) telephone number;
- of the person signing the certification.
(2) Source identification information, to include the following:
- (A) Full name, physical location, and mailing address of the source.
- (B) Source universal transverse mercator (UTM) or latitude and longitude.
- (C) North American Industry Classification System (NAICS) code.
(3) Operating data, for each emission unit or emissions group, to include the following:
- (A) Percent annual throughput by quarter as defined in section 2 of this rule.
- (B) Days per week in operation.
- (C) Design capacity.
- (D) Hours per day in operation.
- (E) Hours per year in operation.
- (F) Maximum nameplate capacity.
(4) For reporting purposes, multiple stacks that vent to the atmosphere may be grouped together to reflect any grouping of process units. Stack parameters include the following:
- (A) Stack identification.
- (B) Stack height and diameter (in feet).
- (C) Universal transverse mercator (UTM) or latitude and longitude coordinates.
- (D) Exit gas temperature (degrees Fahrenheit).
- (E) Exit gas flow rates in cubic feet per minute.
(5) Emissions information for each process, to include the following:
(A) The estimated actual emissions of all pollutants listed in subsection (a) at the process level in tons per year. Actual emission estimates must:
- (i) include upsets, downtime, and fugitive emissions; and
- (ii) follow an emission estimation method.
- Fugitive emissions may be reported as plantwide or grouped together in a logical manner. If control efficiencies are adjusted because of upsets, downtime, and malfunctions, information must be provided about how the control efficiencies are calculated.
- (B) Emissions of VOC, PM10, and PM2.5 shall be reported as total VOC, PM10, and PM2.5 emissions, respectively.
- (C) Calendar year for the emissions.
- (D) Estimated emissions method code provided by the department.
(E) Emission factor, if part of emissions calculation. Acceptable sources of an emission factor include the following:
- (i) AP-42, "Compilation of Air Pollutant Emission Factors AP-42" as defined at 326 IAC 1-2-20.5.
- (ii) Site-specific values accepted by the department and the U.S. EPA.
- (iii) Other documentable methodology accepted by the department and the U.S. EPA.
- (F) Source classification code (SCC).
- (G) Annual process rate (annual throughput) to the extent it is part of emissions calculation.
(H) If part of emissions calculation, the following:
- (i) Ash content.
- (ii) Sulfur content.
- (iii) Heat content.
(6) Control equipment information, to include the following:
- (A) Capture efficiency.
(B) Current control equipment efficiency percentage unless a controlled emission factor is applied. The actual efficiency should reflect the total control efficiency from all control equipment for each process pollutant. If the actual control efficiency is unavailable, the:
- (i) efficiency designed by the manufacturer may be used; or
- (ii) control efficiency limit imposed by a permit should be used.
- (C) Control equipment identification code.
(d) Nothing in this rule requires stack testing.
(Air Pollution Control Division; 326 IAC 2-6-4; filed Nov 12, 1993, 4:00 p.m.: 17 IR 734; errata, 17 IR 1009; errata filed Dec 12, 2002, 3:35 p.m.: 26 IR 1566; filed Feb 26, 2004, 3:45 p.m.: 27 IR 2213; filed Jul 14, 2006, 1:25 p.m.: 20060809-IR-326050078FRA; errata filed Jan 2, 2013, 2:19 p.m.: 20130123-IR- 326130002ACA; readopted filed Oct 18, 2024, 2:09 p.m.: 20241113-IR-326230809RFA)