Maine Code § 38-349-O

Conditions of discovery
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The incentives established in section 349-N apply to a violation of an environmental requirement
only if: [PL 2011, c. 304, Pt. A, §1 (NEW).]
1. Systematic discovery. The violation was discovered through:
A. An environmental audit program; or [PL 2011, c. 304, Pt. A, §1 (NEW).]
B. A compliance management system that demonstrates the regulated entity's due diligence in
preventing, detecting and correcting violations. The regulated entity shall notify the department
when it has a compliance management system in place and shall make available to the department
upon request a copy of the system components. The regulated entity shall provide accurate and
complete documentation to the department describing how its compliance management system
meets the criteria specified in section 349-M, subsection 1 and how the regulated entity discovered
the violation through its compliance management system. The department may require the
regulated entity to make publicly available a description of its compliance management system;
[PL 2011, c. 304, Pt. A, §1 (NEW).]
[PL 2011, c. 304, Pt. A, §1 (NEW).]
2. Voluntary discovery. The violation was discovered by the regulated entity. Incentives under
section 349-N do not apply to violations discovered through a legally mandated monitoring or sampling

requirement prescribed by statute, regulation, permit, judicial or administrative order or consent
agreement, including:
A. Emissions violations detected through a continuous emissions monitor or an alternative monitor
established in a permit where any such monitoring is required; [PL 2011, c. 304, Pt. A, §1
(NEW).]
B. Violations of National Pollutant Discharge Elimination System discharge limits established
under the federal Clean Water Act, 33 United States Code, Section 1342 (2010) detected through
required sampling or monitoring; [PL 2011, c. 304, Pt. A, §1 (NEW).]
C. Violations discovered through a compliance audit required to be performed by the terms of a
consent order or settlement agreement, unless the audit is a component of agreement terms to
implement a comprehensive environmental management system; and [PL 2011, c. 304, Pt. A,
§1 (NEW).]
D. Violations discovered by a department inspection; [PL 2011, c. 304, Pt. A, §1 (NEW).]
[PL 2011, c. 304, Pt. A, §1 (NEW).]
3. Prompt disclosure. The regulated entity fully discloses the specific violation in writing to the
department within 21 days after the entity discovered that the violation has, or may have, occurred,
unless the amount of time to report the violation is otherwise prescribed in statute, rule or order. The
time at which the regulated entity discovers that a violation has, or may have, occurred begins when a
person authorized to speak on behalf of the regulated entity has an objectively reasonable basis for
believing that a violation has, or may have, occurred. Persons authorized to speak on behalf of the
regulated entity must be listed in the management audit by position title. The department's response to
a violation disclosed by a regulated entity under this subsection must be made in writing to the regulated
entity within 3 months of the disclosure of the violation by the entity;
[PL 2011, c. 304, Pt. A, §1 (NEW).]
4. Discovery and disclosure independent of government or 3rd-party plaintiff. The regulated
entity discovers and discloses to the department the potential violation prior to:
A. The commencement of an inspection or investigation related to the violation. If the department
determines that the regulated entity did not know that it was under investigation and the department
determines that the entity is otherwise acting in good faith, the department may determine that the
requirements of this paragraph are met; [PL 2011, c. 304, Pt. A, §1 (NEW).]
B. The regulated entity's receipt of notice that it is the subject of a lawsuit; [PL 2011, c. 304, Pt.
A, §1 (NEW).]
C. The filing of a complaint by a 3rd party; [PL 2011, c. 304, Pt. A, §1 (NEW).]
D. The reporting of the violation to the department or other state agency by an employee other
than the person authorized to speak on behalf of the regulated entity under subsection 3; or [PL
2011, c. 304, Pt. A, §1 (NEW).]
E. The imminent disclosure of the violation by a regulatory agency. [PL 2011, c. 304, Pt. A, §1
(NEW).]
For regulated entities that own or operate multiple facilities, the fact that one facility is the subject of
an investigation, inspection, information request or 3rd-party complaint does not preclude the
department from exercising its discretion to apply the regulated entity's compliance management
system to other facilities owned or operated by that regulated entity;
[PL 2011, c. 304, Pt. A, §1 (NEW).]
5. Correction and remediation. The regulated entity corrects the violation within 60 days from
the date of discovery, unless the amount of time to correct is otherwise prescribed in statute, rule or
order, certifies in writing to the department that the violation has been corrected and takes appropriate

measures as determined by the department to remedy any environmental or human harm due to the
violation. The department retains the authority to order an entity to correct a violation within a specific
time period shorter than 60 days whenever correction in a shorter period of time is feasible and
necessary to protect public health and the environment adequately. If more than 60 days will be needed
to correct the violation, the regulated entity shall so notify the department in writing before the 60-day
period has passed. To satisfy conditions of this subsection and subsection 6, the department may require
a regulated entity to enter into a publicly available written agreement, administrative consent order or
judicial consent decree as a condition of obtaining relief under this subchapter, particularly when
compliance or remedial measures are complex or a lengthy schedule for attaining and maintaining
compliance or remediating harm is required;
[PL 2011, c. 304, Pt. A, §1 (NEW).]
6. Prevent recurrence. The regulated entity agrees in writing to take steps to prevent a recurrence
of the violation, which may include improvements to its environmental audit program or compliance
management system;
[PL 2011, c. 304, Pt. A, §1 (NEW).]
7. No repeat violations. The specific violation, or a closely related violation, has not occurred
within the past 3 years at the same facility and has not occurred within the past 5 years as part of a
pattern at multiple facilities owned or operated by the same regulated entity. For the purposes of this
subsection, a violation or closely related violation is any violation previously identified in a judicial or
administrative order, a consent agreement or order, a complaint, letter of warning or notice of violation,
a conviction or plea agreement or any act or omission for which the regulated entity has previously
received penalty mitigation from the United States Environmental Protection Agency or the
department;
[PL 2011, c. 304, Pt. A, §1 (NEW).]
8. Other violations excluded. The violation did not result in serious actual harm, or present an
imminent and substantial endangerment, to human health or the environment, did not violate the
specific terms of any judicial or administrative order or consent agreement or was not a knowing,
intentional or reckless violation; and
[PL 2011, c. 304, Pt. A, §1 (NEW).]
9. Cooperation. The regulated entity cooperates as requested by the department and provides
such information requested by the department to determine the applicability of this subchapter.
[PL 2011, c. 304, Pt. A, §1 (NEW).]

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