[Code of Federal Regulations]
[Title 40 Volume 25]
[Revised as of July 1, 2003]
From the U.S. Government Printing Office via GPO Access
[CITE: 40CFR300.435]

[Page 77-79]
 
                   TITLE 40--PROTECTION OF ENVIRONMENT
 
         CHAPTER I--ENVIRONMENTAL PROTECTION AGENCY (CONTINUED)
 
PART 300--NATIONAL OIL AND HAZARDOUS SUBSTANCES POLLUTION CONTINGENCY PLAN--
Table of Contents
 
                 Subpart E--Hazardous Substance Response
 
Sec. 300.435  Remedial design/remedial action, operation and maintenance.

    (a) General. The remedial design/remedial action (RD/RA) stage 
includes the development of the actual design of the selected remedy and 
implementation of the remedy through construction. A period of operation 
and maintenance may follow the RA activities.
    (b) RD/RA activities. (1) All RD/RA activities shall be in 
conformance with the remedy selected and set forth in the ROD or other 
decision document for that site. Those portions of RD/RA sampling and 
analysis plans describing the QA/QC requirements for chemical and 
analytical testing and sampling procedures of samples taken for the 
purpose of determining whether cleanup action levels specified in the 
ROD are achieved, generally will be consistent with the requirements of 
Sec. 300.430(b)(8).
    (2) During the course of the RD/RA, the lead agency shall be 
responsible for ensuring that all federal and state requirements that 
are identified in the ROD as applicable or relevant and appropriate 
requirements for the action are met. If waivers from any ARARs are 
involved, the lead agency shall be responsible for ensuring that the 
conditions of the waivers are met.
    (c) Community relations. (1) Prior to the initiation of RD, the lead 
agency shall review the CRP to determine whether it should be revised to 
describe further public involvement activities during RD/RA that are not 
already addressed or provided for in the CRP.
    (2) After the adoption of the ROD, if the remedial action or 
enforcement action taken, or the settlement or consent decree entered 
into, differs significantly from the remedy selected in the ROD with 
respect to scope, performance, or cost, the lead agency shall consult 
with the support agency, as appropriate, and shall either:
    (i) Publish an explanation of significant differences when the 
differences in the remedial or enforcement action, settlement, or 
consent decree significantly change but do not fundamentally alter the 
remedy selected in the ROD with respect to scope, performance, or cost. 
To issue an explanation of significant differences, the lead agency 
shall:
    (A) Make the explanation of significant differences and supporting 
information available to the public in the administrative record 
established under Sec. 300.815 and the information repository; and
    (B) Publish a notice that briefly summarizes the explanation of 
significant differences, including the reasons for such differences, in 
a major local newspaper of general circulation; or
    (ii) Propose an amendment to the ROD if the differences in the 
remedial or enforcement action, settlement, or consent decree 
fundamentally alter the basic features of the selected remedy with 
respect to scope, performance, or cost. To amend the ROD, the lead 
agency, in conjunction with the support agency, as provided in 
Sec. 300.515(e), shall:
    (A) Issue a notice of availability and brief description of the 
proposed amendment to the ROD in a major local newspaper of general 
circulation;
    (B) Make the proposed amendment to the ROD and information 
supporting the decision available for public comment;
    (C) Provide a reasonable opportunity, not less than 30 calendar 
days, for submission of written or oral comments on the amendment to the 
ROD. Upon

[[Page 78]]

timely request, the lead agency will extend the public comment period by 
a minimum of 30 additional days;
    (D) Provide the opportunity for a public meeting to be held during 
the public comment period at or near the facility at issue;
    (E) Keep a transcript of comments received at the public meeting 
held during the public comment period;
    (F) Include in the amended ROD a brief explanation of the amendment 
and the response to each of the significant comments, criticisms, and 
new relevant information submitted during the public comment period;
    (G) Publish a notice of the availability of the amended ROD in a 
major local newspaper of general circulation; and
    (H) Make the amended ROD and supporting information available to the 
public in the administrative record and information repository prior to 
the commencement of the remedial action affected by the amendment.
    (3) After the completion of the final engineering design, the lead 
agency shall issue a fact sheet and provide, as appropriate, a public 
briefing prior to the initiation of the remedial action.
    (d) Contractor conflict of interest. (1) For Fund-financed RD/RA and 
O&M activities, the lead agency shall:
    (i) Include appropriate language in the solicitation requiring 
potential prime contractors to submit information on their status, as 
well as the status of their subcontractors, parent companies, and 
affiliates, as potentially responsible parties at the site.
    (ii) Require potential prime contractors to certify that, to the 
best of their knowledge, they and their potential subcontractors, parent 
companies, and affiliates have disclosed all information described in 
Sec. 300.435(d)(1)(i) or that no such information exists, and that any 
such information discovered after submission of their bid or proposal or 
contract award will be disclosed immediately.
    (2) Prior to contract award, the lead agency shall evaluate the 
information provided by the potential prime contractors and:
    (i) Determine whether they have conflicts of interest that could 
significantly impact the performance of the contract or the liability of 
potential prime contractors or subcontractors.
    (ii) If a potential prime contractor or subcontractor has a conflict 
of interest that cannot be avoided or otherwise resolved, and using that 
potential prime contractor or subcontractor to conduct RD/RA or O&M work 
under a Fund-financed action would not be in the best interests of the 
state or federal government, an offeror or bidder contemplating use of 
that prime contractor or subcontractor may be declared nonresponsible or 
ineligible for award in accordance with appropriate acquisition 
regulations, and the contract may be awarded to the next eligible 
offeror or bidder.
    (e) Recontracting. (1) If a Fund-financed contract must be 
terminated because additional work outside the scope of the contract is 
needed, EPA is authorized to take appropriate steps to continue interim 
RAs as necessary to reduce risks to public health and the environment. 
Appropriate steps may include extending an existing contract for a 
federal-lead RA or amending a cooperative agreement for a state-lead RA. 
Until the lead agency can reopen the bidding process and recontract to 
complete the RA, EPA may take such appropriate steps as described above 
to cover interim work to reduce such risks, where:
    (i) Additional work is found to be needed as a result of such 
unforeseen situations as newly discovered sources, types, or quantities 
of hazardous substances at a facility; and
    (ii) Performance of the complete RA requires the lead agency to 
rebid the contract because the existing contract does not encompass this 
newly discovered work.
    (2) The cost of such interim actions shall not exceed $2 million.
    (f) Operation and maintenance. (1) Operation and maintenance (O&M) 
measures are initiated after the remedy has achieved the remedial action 
objectives and remediation goals in the ROD, and is determined to be 
operational and functional, except for ground- or surface-water 
restoration actions covered under Sec. 300.435(f)(4). A state must 
provide its assurance to assume responsibility for O&M, including, where 
appropriate, requirements for maintaining

[[Page 79]]

institutional controls, under Sec. 300.510(c).
    (2) A remedy becomes ``operational and functional'' either one year 
after construction is complete, or when the remedy is determined 
concurrently by EPA and the state to be functioning properly and is 
performing as designed, whichever is earlier. EPA may grant extensions 
to the one-year period, as appropriate.
    (3) For Fund-financed remedial actions involving treatment or other 
measures to restore ground- or surface-water quality to a level that 
assures protection of human health and the environment, the operation of 
such treatment or other measures for a period of up to 10 years after 
the remedy becomes operational and functional will be considered part of 
the remedial action. Activities required to maintain the effectiveness 
of such treatment or measures following the 10-year period, or after 
remedial action is complete, whichever is earlier, shall be considered 
O&M. For the purposes of federal funding provided under CERCLA section 
104(c)(6), a restoration activity will be considered administratively 
``complete'' when:
    (i) Measures restore ground- or surface-water quality to a level 
that assures protection of human health and the environment;
    (ii) Measures restore ground or surface water to such a point that 
reductions in contaminant concentrations are no longer significant; or
    (iii) Ten years have elapsed, whichever is earliest.
    (4) The following shall not be deemed to constitute treatment or 
other measures to restore contaminated ground or surface water under 
Sec. 300.435(f)(3):
    (i) Source control maintenance measures; and
    (ii) Ground- or surface-water measures initiated for the primary 
purpose of providing a drinking-water supply, not for the purpose of 
restoring ground water.