Wisconsin Code § 299.83

Green Tier Program
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(1) DEFINITIONS. In this
section:
(a) “Covered facility or activity” means a facility or activity
that is included, or intended to be included, in the program.
(b) “Environmental management system” means an organized
set of procedures to evaluate environmental performance and to
achieve measurable or noticeable improvements in that environmental performance through planning and changes in operations.
(bm) “Environmental management system audit” means a review, of an environmental management system, that is conducted
in accordance with standards and guidelines issued by the International Organization for Standardization and the results of
which are documented and are communicated to employees of
the entity whose environmental management system is reviewed.
(c) “Environmental performance,” unless otherwise qualified,
means the effects, whether regulated under chs. 29 to 31, 160, or
280 to 299 or unregulated, of a facility or activity on air, water,
land, natural resources, and human health.
(d) “Environmental requirement” means a requirement in chs.
29 to 31, 160, or 280 to 299, a rule promulgated under one of
those chapters, or a permit, license, other approval, or order issued by the department under one of those chapters.
(dg) “Functionally equivalent environmental management
system” means an environmental management system that is appropriate to the nature, scale, and environmental impacts of an
entity’s activities, products, and services and that includes all of
the following elements and any other elements that the department determines are essential elements of International Organization for Standardization standard 14001:
1. Adoption of an environmental policy that includes a commitment to compliance with environmental requirements, pollution prevention, and continual improvement in environmental
performance and that is available to the public.
2. An analysis of the environmental aspects and impacts of
an entity’s activities.
3. Establishment and implementation of plans and procedures to achieve compliance with environmental requirements
and to maintain that compliance.
4. Identification of all environmental requirements applicable to the entity.
5. A process for setting environmental objectives and developing appropriate action plans to meet the objectives.
5m. Establishment, implementation, and maintenance of resources, roles, and responsibilities for establishing, implementing, maintaining, and improving the environmental management
system.
6. Establishment of a structure for operational control and
responsibility for environmental performance.
7. Establishment, implementation, and maintenance of an
employee training program to develop awareness of and competence to manage environmental issues.
8. A plan for taking actions to prevent environmental problems and for taking emergency response and corrective actions
when environmental problems occur.
9. A communication plan for collaboration with employees,
the public, and the department on the design of projects and activities to achieve continuous improvement in environmental
performance.
10. Procedures for control of documents and for keeping
records related to environmental performance.
10g. Establishment, implementation, and maintenance of
procedures to monitor and measure, on a regular basis, key characteristics of an entity’s operations that can have a significant environmental impact.
10r. Establishment, implementation, and maintenance of
procedures for periodically evaluating compliance with applicable environmental requirements.
11. Environmental management system audits.
12. A plan for continually improving environmental performance and provision for senior management review of the plan.
(dr) “Outside environmental auditor” means an auditor who is
functionally or administratively independent of the facility or activity being audited, but who may be employed by the entity that
owns the facility being audited or that owns the unit that conducts
the activity being audited.
(e) “Participation contract” means a contract entered into by
the department and a participant in tier II of the program, and that
may, with the approval of the department, be signed by other interested parties, that specifies the participant’s commitment to
superior environmental performance and the incentives to be provided to the participant.
(f) “Program” means the Green Tier Program under this
section.
(g) “Superior environmental performance” means environmental performance that results in measurable or discernible improvement in the quality of the air, water, land, or natural resources, or in the protection of the environment, beyond that
which is achieved under environmental requirements and that
may be achieved in ways that include all of the following:
1. Limiting the discharges or emissions of pollutants from, or
in some other way minimizing the negative effects on air, water,
land, natural resources, or human health of, a facility that is
owned or operated by an entity or an activity that is performed by
the entity to an extent that is greater than is required by applicable
environmental requirements.
2. Minimizing the negative effects on air, water, land, natural
resources, or human health of the raw materials used by an entity
or of the products or services produced or provided by the entity
to an extent that is greater than is required by applicable environmental requirements.
3. Voluntarily engaging in restoring or preserving natural
resources.
4. Helping other entities to comply with environmental requirements or to accomplish the results described in subd. 1. or 2.
5. Organizing uncoordinated entities that produce environmental harm into a program that reduces that harm.
6. Reducing waste or the use or production of hazardous substances in the design, production, delivery, use, or reuse of goods
or services.
7. Conserving energy or nonrenewable natural resources.
8. Reducing the use of renewable natural resources through
increased efficiency.
9. Adopting methods that reduce the depletion of, or longterm damage to, renewable natural resources.
(h) “Violation” means a violation of an environmental
requirement.
(1m) ADMINISTRATION OF PROGRAM. In administering the
program, the department shall attempt to do all of the following:

(a) Promote, reward, and sustain superior environmental performance by participants.
(b) Promote environmental performance that voluntarily exceeds legal requirements related to health, safety, and the environment and that results in continuous improvement in this state’s
environment, economy, and quality of life.
(c) Provide clear incentives for participation that will result in
real benefits to participants.
(d) Promote attention to unregulated environmental problems
and provide opportunities for conservation of resources and environmental restoration by entities that are subject to environmental
requirements and entities that are not subject to environmental
requirements.
(e) Make the program compatible with federal programs that
create incentives for achieving environmental performance that
exceeds legal requirements.
(f) Increase levels of trust, communication, and accountability among regulatory agencies, entities that are subject to environmental requirements, and the public.
(g) Reduce the time and money spent by regulatory agencies
and entities that are subject to environmental requirements on
tasks that do not benefit the environment by focusing on more efficient performance of necessary tasks and eliminating unnecessary tasks.
(h) Report information concerning environmental performance and data concerning ambient environmental quality to the
public in a manner that is accurate, timely, credible, relevant, and
usable to interested persons.
(i) Provide for the measurement of environmental performance in terms of accomplishing goals and require the reporting
of the results.
(j) Implement an evaluation system that provides flexibility
and affords some protection for experimentation by participants
that use innovative techniques to try to achieve superior environmental performance.
(k) Remove disincentives to achieving superior environmental
performance.
(L) Provide for sustained business success as well as a reduction in environmental pollution.
(m) Promote the transfer of technological and practical innovations that improve environmental performance in an efficient,
effective, or safe manner.
(n) Lower the administrative costs associated with environmental requirements and with achieving superior environmental
performance.
(3) ELIGIBILITY FOR TIER I. (a) General. An applicant is eligible for tier I of the program if the applicant satisfies the requirements in pars. (b) to (d), subject to par. (e). If an applicant consists of a group of entities, each requirement in pars. (b) to (d) applies to each entity in the group. An applicant for tier I of the program shall identify the facilities or activities that it intends to include in the program.
(b) Enforcement record. To be eligible to participate in tier I
of the program, an applicant shall demonstrate all of the following, subject to par. (e):
1. That, within 60 months before the date of application, no
judgment of conviction was entered against the applicant, any
managing operator of the applicant, or any person with a 25 percent or more ownership interest in the applicant for a criminal violation involving a covered facility or activity that resulted in substantial harm to public health or the environment or that presented an imminent threat to public health or the environment.
2. That, within 36 months before the date of application, no
civil judgment was entered against the applicant, any managing
operator of the applicant, or any person with a 25 percent or more
ownership interest in the applicant for a violation involving a covered facility or activity that resulted in substantial harm to public
health or the environment.
3. That, within 24 months before the date of application, the
department of justice has not filed a suit to enforce an environmental requirement, and the department of natural resources has
not issued a citation to enforce an environmental requirement, because of a violation involving a covered facility or activity.
(c) Environmental performance. To be eligible to participate
in tier I of the program, an applicant shall submit an application
that describes all of the following:
1. The applicant’s past environmental performance with respect to each covered facility or activity.
2. The applicant’s current environmental performance with
respect to each covered facility or activity.
3. The applicant’s plans for activities that enhance the environment, such as improving the applicant’s environmental performance with respect to each covered facility or activity.
(d) Environmental management system. To be eligible to participate in tier I of the program, an applicant shall do all of the
following:
1. Demonstrate that it has implemented, or commit itself to
implementing within one year of the department’s approval of its
application, an environmental management system, for each covered facility or activity, that is in compliance with the standards
for environmental management systems issued by the International Organization for Standardization or determined by the department to be a functionally equivalent environmental management system.
2. Include, in the environmental management system under
subd. 1., objectives in at least 2 of the following areas:
a. Improving the environmental performance of the applicant, with respect to each covered facility or activity, in aspects of
environmental performance that are regulated under chs. 29 to
31, 160, or 280 to 299.
b. Improving the environmental performance of the applicant, with respect to each covered facility or activity, in aspects of
environmental performance that are not regulated under chs. 29
to 31, 160, or 280 to 299.
c. Voluntarily restoring, enhancing, or preserving natural
resources.
3. Explain to the department the rationale for the choices of
objectives under subd. 2. and describe any consultations with residents of the areas in which each covered facility or activity is located or performed and with other interested persons concerning
those objectives.
4. Conduct, or commit itself to conducting, annual environmental management system audits, with every 3rd environmental
management system audit performed by an outside environmental auditor approved by the department, and commit itself to submitting to the department an annual report on the environmental
management system audit that is in compliance with sub. (6m)
(a).
5. Commit itself to submitting to the department an annual
report on progress toward meeting the objectives under subd. 2.
(e) Waiver of enforcement record requirements. The secretary of natural resources may waive requirements in par. (b) 2. or
3. based on the request of an applicant. The department shall
provide public notice of the request and shall provide at least 30
days for public comment on the request. The secretary may not
grant a waiver under this paragraph unless he or she finds that the
waiver is consistent with sub. (1m) and will not erode public confidence in the integrity of the program.

(4) PROCESS FOR TIER I. (a) Upon receipt of an application
for participation in tier I of the program, the department shall
provide public notice about the application in the area in which
each covered facility or activity is located or performed.
(b) After providing public notice under par. (a) about an application, the department may hold a public informational meeting on the application.
(c) The department shall approve or deny an application
within 60 days after providing notice under par. (a) or, if the department holds a public informational meeting under par. (b),
within 60 days after that meeting, unless the department and the
applicant agree to a longer period. The department may limit the
number of participants in tier I of the program, or limit the extent
of participation by a particular applicant, based on the department’s determination that the limitation is in the best interest of
the program.
(d) Notwithstanding s. 227.42 (1), a decision by the department under par. (c) to approve or deny an application is not subject to review under ch. 227.
(4m) INCENTIVES FOR TIER I. (a) The department shall issue
a numbered certificate of recognition to each participant in tier I
of the program.
(b) The department shall identify each participant in tier I of
the program on an Internet site maintained by the department.
(c) The department shall annually provide notice of the participation of each participant in tier I of the program to newspapers in the area in which each covered facility or activity is
located.
(d) A participant in tier I of the program may use a Green Tier
Program logo selected by the department on written materials
produced by the participant.
(e) The department shall assign an employee of the department, who is acceptable to the participant, to serve as the contact
with the department for a participant in tier I of the program for
communications concerning participation in the program, for any
approvals that the participant is required to obtain, and for technical assistance.
(f) After a participant in tier I of the program implements an
environmental management system that complies with sub. (3)
(d) 1., the department shall conduct any inspections of the participant’s covered facilities or activities that are required under chs.
29 to 31, 160, or 280 to 299 at the lowest frequency permitted under those chapters, except that the department may conduct an inspection whenever it has reason to believe that a participant is out
of compliance with a requirement in an approval or with an environmental requirement.
(5) ELIGIBILITY FOR TIER II. (a) General. An applicant is eligible for tier II of the program if the applicant satisfies the requirements in pars. (b) to (d), subject to par. (e). If an applicant
consists of a group of entities, each requirement in pars. (b) to (d)
applies to each entity in the group. An applicant for tier II of the
program shall identify the facilities or activities that it intends to
include in the program.
(b) Enforcement record. To be eligible to participate in tier II
of the program, an applicant shall demonstrate all of the following, subject to par. (e):
1. That, within 120 months before the date of application, no
judgment of conviction was entered against the applicant, any
managing operator of the applicant, or any person with a 25 percent or more ownership interest in the applicant for a criminal violation involving a covered facility or activity that resulted in substantial harm to public health or the environment or that presented an imminent threat to public health or the environment.
2. That, within 60 months before the date of application, no
civil judgment was entered against the applicant, any managing
operator of the applicant, or any person with a 25 percent or more
ownership interest in the applicant for a violation involving a covered facility or activity that resulted in substantial harm to public
health or the environment.
3. That, within 24 months before the date of application, the
department of justice has not filed a suit to enforce an environmental requirement, and the department of natural resources has
not issued a citation to enforce an environmental requirement, because of a violation involving a covered facility or activity.
(c) Environmental management system. To be eligible to participate in tier II of the program, an applicant shall do all of the
following:
1. Demonstrate that it has implemented an environmental
management system, for each covered facility or activity, that is in
compliance with the standards for environmental management
systems issued by the International Organization for Standardization or determined by the department to be a functionally equivalent environmental management system.
2. Commit itself to having an outside environmental auditor
approved by the department conduct an annual environmental
management system audit and to submitting to the department an
annual report on the environmental management system audit
that is in compliance with sub. (6m) (a).
3. Commit itself to annually conducting, or having another
person conduct, an audit of compliance with environmental requirements that are applicable to the covered facilities and activities and to reporting the results of the audit to the department in
compliance with sub. (6m) (a).
(d) Superior environmental performance. To be eligible to
participate in tier II of the program, an applicant shall demonstrate a record of superior environmental performance and shall
describe the measures that it proposes to take to maintain and improve its superior environmental performance.
(e) Waiver of enforcement record requirements. The secretary of natural resources may waive requirements in par. (b) 2. or
3. based on the request of an applicant. The department shall
provide public notice of the request and shall provide at least 30
days for public comment on the request. This public comment
period may be concurrent with the notice period under sub. (6)
(c) to (f). The secretary may not grant a waiver under this paragraph unless he or she finds that the waiver is consistent with sub.
(1m) and will not erode public confidence in the integrity of the
program.
(6) PROCESS FOR TIER II. (a) Letter of intent. To apply for
participation in tier II of the program, an entity shall submit a letter of intent to the department. In addition to providing information necessary to show that the applicant satisfies the requirements in sub. (5), the applicant shall do all of the following in the
letter of intent:
1. Describe the involvement of interested persons in developing and implementing the proposal for maintaining and improving the applicant’s superior environmental performance, identify
the interested persons, and describe the interests that those persons have in the applicant’s participation in the program.
2. Outline the provisions that it proposes to include in the
participation contract.
3. Explain how the measures that the applicant proposes to
take to maintain and improve its superior environmental performance are proportional to the incentives that it proposes to receive under the participation contract.
(b) Limitation. The department may limit the number of letters of intent that it processes based on the staff resources
available.
(c) Notice. If the department decides to process a letter of in-

tent, within 90 days of receiving the letter of intent the department shall provide public notice about the letter of intent in the
area in which each covered facility or activity is located or
performed.
(d) Public meeting. After providing public notice under par.
(c) about a letter of intent, the department may hold a public informational meeting on the letter of intent.
(e) Request to participate. Within 30 days after the public notice under par. (c), interested persons may request the department
to grant them authorization to participate in the negotiations under par. (f). A person who makes a request under this paragraph
shall describe the person’s interests in the issues raised by the letter of intent. The department shall determine whether a person
who makes a request under this paragraph may participate in the
negotiations under par. (f) based on whether the person has
demonstrated sufficient interest in the issues raised by the letter
of intent to warrant that participation.
(f) Negotiations. If the department determines that an applicant satisfies the requirements in sub. (5), the department may
begin negotiations concerning a participation contract with the
applicant and with any persons to whom the department granted
permission under par. (e). The department may begin the negotiations no sooner than 30 days after providing public notice under
par. (c) about the applicant’s letter of intent.
(g) Termination of negotiations. The department may terminate negotiations with an applicant concerning a participation
contract. Notwithstanding s. 227.42 (1), a decision to terminate
negotiations is not subject to review under ch. 227. The department shall conclude negotiations within 12 months of beginning
negotiations unless the applicant and the department agree to an
extension.
(h) Notice of proposed contract. If negotiations under par. (f)
result in a proposed participation contract, the department shall
provide public notice about the proposed participation contract in
the area in which each covered facility or activity is located or
performed.
(i) Meeting on proposed contract. After providing public notice under par. (h) about a proposed participation contract, the department may hold a public informational meeting on the proposed participation contract.
(j) Participation decision. Within 30 days after providing notice under par. (h) or, if the department holds a public informational meeting under par. (i), within 30 days after that meeting,
the department shall decide whether to enter into a participation
contract with an applicant, unless the applicant and the department agree to an extension beyond 30 days.
(jm) Participation contract. 1. In a participation contract, the
department shall require that the participant maintain the environmental management system described in sub. (5) (c) 1. and
abide by the commitments in sub. (5) (c) 2. and 3. The department shall include in a participation contract a provision that describes how the participant will maintain the involvement of interested parties during the term of the participation contract. The
department may not reduce the frequency of required inspections
or monitoring as an incentive in a participation contract if the audit under sub. (5) (c) 3. is conducted by a person other than an
outside environmental auditor. The department shall ensure that
the incentives provided under a participation contract are proportional to the environmental benefits that will be provided by the
participant under the participation contract. The department
shall include in a participation contract remedies that apply if a
party fails to comply with the participation contract.
2. The term of a participation contract may not be less than 3
years or more than 10 years, with opportunity for renewal for additional terms of the same length as the original term upon agreement of the parties. The term of a participation contract may not
exceed 5 years if the participation contract incorporates, modifies, or otherwise affects the terms or conditions of a permit issued under s. 283.31, 283.33, or 285.62, unless federal and state
law authorize a longer term for the permit.
(k) Review of decision. Notwithstanding s. 227.42, there is no
right to an administrative hearing on the department’s decision to
enter into a participation contract under par. (j) or (L), but the decision is subject to judicial review.
(L) Alternate process. 1. A person participating in the program under s. 299.80 may choose to apply for participation in tier
II using the process under this paragraph, rather than under pars.
(a) to (j), by submitting a letter notifying the department of its
choice, before the expiration of the cooperative agreement under
s. 299.80, along with a copy of its most recent performance evaluation under s. 299.80 (3) (j).
2. The department shall enter into discussions with a person
submitting a letter under subd. 1. to develop a proposed participation contract that is based on the cooperative agreement under s.
299.80, making the changes necessary to ensure that the participation contract complies with par. (jm). For the purposes of par.
(jm) 1., if the person agrees to include in the participation contract the measures to maintain and improve its environmental performance that were included in the cooperative agreement, the
operational flexibility and variances granted to the person in the
cooperative agreement are presumed to be proportional to the environmental benefits that will be provided by the participant.
3. The department shall provide public notice about a proposed participation contract developed under subd. 2. in the area
in which each covered facility or activity is located or performed.
4. After providing public notice under subd. 3., the department may hold a public informational meeting about a proposed
participation contract.
5. The department may enter into a participation contract under this paragraph with a person with whom the department has
developed a proposed participation contract unless significant
concerns are raised in comments arising from public notice under
subd. 3. or from an informational meeting under subd. 4. and the
person is unable or unwilling to respond to the concerns to the department’s satisfaction.
(6m) COMPLIANCE REPORTS AND DEFERRED CIVIL ENFORCEMENT. (a) Compliance reports. If an audit under sub. (3) (d) 4.
or (5) (c) 2. or 3. reveals any violations, the participant shall include all of the following in the report of the results of the audit:
1. A description of all of the violations.
2. A description of the actions taken or proposed to be taken
to correct the violations identified in subd. 1.
3. A commitment to correct the violations identified in subd.
1. within 90 days of submitting the report or according to a compliance schedule approved by the department.
4. If the participant proposes to take more than 90 days after
submitting the report to correct the violations identified in subd.
1., a proposed compliance schedule that contains the shortest reasonable periods for correcting the violations, a statement that justifies the proposed compliance schedule, a description of measures that the participant will take to minimize the effects of the
violations during the period of the compliance schedule, and proposed stipulated penalties to be imposed if the participant fails to
comply with the proposed compliance schedule.
5. A description of the measures that the participant has
taken or will take to prevent future violations.
(am) Optional reports of violations. If a participant discovers
a violation, other than through an audit under sub. (3) (d) 4. or (5)
(c) 2. or 3., the participant may, no more than 30 days after dis-

covering the violation, submit a report to the department that includes all of the following:
1. A description of the violation and the date on which the
participant discovered the violation.
2. A description of the actions taken or proposed to be taken
to correct the violation.
3. A commitment to correct the violation within 90 days of
submitting the report or according to a compliance schedule approved by the department.
4. If the participant proposes to take more than 90 days after
submitting the report to correct the violation, a proposed compliance schedule that contains the shortest reasonable periods for
correcting the violation, a statement that justifies the proposed
compliance schedule, a description of measures that the participant will take to minimize the effects of the violation during the
period of the compliance schedule, and proposed stipulated
penalties to be imposed if the participant fails to comply with the
proposed compliance schedule.
5. A description of the measures that the participant has
taken or will take to prevent future violations.
(b) Compliance schedules. 1. If the department receives a report under par. (a) or (am) that contains a proposed compliance
schedule under par. (a) 4. or (am) 4., the department shall review
the proposed compliance schedule. The department may approve
the compliance schedule as submitted or propose a different compliance schedule. If the participant does not agree to implement
a compliance schedule proposed by the department, the department shall schedule a meeting with the participant to attempt to
reach an agreement on a compliance schedule. If the department
and the participant do not reach an agreement on a compliance
schedule, the department shall terminate the participation of the
participant in the program. If the parties agree to a compliance
schedule, the participant shall incorporate the compliance schedule into its environmental management system.
2. The department may not approve a compliance schedule
that extends longer than 12 months beyond the date of approval of
the compliance schedule, unless the secretary determines that a
longer schedule is necessary. The department shall consider the
following factors in determining whether to approve a compliance schedule:
a. The environmental and public health consequences of the
violations.
b. The time needed to implement a change in raw materials
or method of production if that change is an available alternative
to other methods of correcting the violations.
c. The time needed to purchase any equipment or supplies
that are needed to correct the violations.
(c) Stipulated penalties. If the department receives a report
under par. (a) or (am) that contains proposed stipulated penalties
under par. (a) 4. or (am) 4., the department shall review the proposed stipulated penalties. The department may approve the stipulated penalties as submitted or propose different stipulated
penalties. If the participant does not agree to stipulated penalties
proposed by the department, the department shall schedule a
meeting with the participant to attempt to reach an agreement on
stipulated penalties. If no agreement is reached, there are no stipulated penalties for failure to comply with the compliance
schedule.
(d) Deferred civil enforcement. 1. a. If a participant in the
program corrects violations that are disclosed in a report that
meets the requirements of par. (a) or (am) within 90 days after the
department receives the report, this state may not bring a civil action to collect forfeitures for the violations.
b. This state may not begin a civil action to collect forfeitures
for violations covered by a compliance schedule that is approved
under par. (b) during the period of the compliance schedule if the
participant is in compliance with the compliance schedule. If the
participant fails to comply with the compliance schedule and
there are stipulated penalties, the department may collect any
stipulated penalties or may terminate participation in the program. If the participant fails to comply with the compliance
schedule and there are no stipulated penalties, the department
may terminate participation in the program. After the department terminates participation in the program, this state may begin a civil action to collect forfeitures for the violations.
c. If the department approves a compliance schedule under
par. (b) and the participant corrects the violations according to
the compliance schedule, this state may not bring a civil action to
collect forfeitures for the violations.
2. Notwithstanding subd. 1., this state may at any time begin
a civil action to collect a forfeiture for a violation if any of the following applies:
a. The violation presents an imminent threat to public health
or the environment or may cause serious harm to public health or
the environment.
b. The department discovers the violation before submission
of a report that meets the requirement of par. (a) or (am).
(7) SUSPENSION OR TERMINATION OF PARTICIPATION. (a)
The department may suspend or terminate the participation of a
participant in the program at the request of the participant.
(b) The department may terminate the participation of a participant in the program if a judgment is entered against the participant, any managing operator of the participant, or any person
with a 25 percent or more ownership interest in the participant for
a criminal or civil violation involving a covered facility or activity
that resulted in substantial harm to public health or the environment or that presented an imminent threat to public health or the
environment.
(c) The department may suspend the participation of a participant in the program if the department determines that the participant, any managing operator of the participant, or any person
with a 25 percent or more ownership interest in the participant
committed a criminal or civil violation involving a covered facility or activity that resulted in substantial harm to public health or
the environment or that presented an imminent threat to public
health or the environment and the department refers the matter to
the department of justice for prosecution.
(d) The department may suspend or terminate the participation of a participant in tier I of the program if the participant does
not implement, or fails to maintain, the environmental management system described in sub. (3) (d) 1., fails to conduct annual
audits described in sub. (3) (d) 4. , or fails to submit annual reports described in sub. (3) (d) 5.
(e) The department may, after an opportunity for a hearing,
terminate a participation contract if the department determines
that the participant is in substantial noncompliance with the participation contract.
(f) A person who is not a party to a participation contract, but
who believes that a participant is in substantial noncompliance
with a participation contract, may ask the department to terminate a participation contract under par. (e).
(7e) CHARTERS. (a) The department may issue an environmental results charter to an association of entities to assist the entities to participate in tier I or tier II of the program or to take actions that may lead to superior environmental performance. An
association to which a charter is issued may consist of private entities, public entities, or a combination of private and public entities. An association to which a charter is issued may be organized
on any basis that helps the entities to participate in tier I or tier II

of the program or to take actions that may lead to superior environmental performance.
(b) In a charter, the entities in the association shall describe
the goals of the association, the responsibilities of the entities,
and the activities that the entities will engage in to accomplish
their goals. The term of a charter may not be less than 3 years or
more than 10 years, with the opportunity for renewal for additional terms of the same length upon the agreement of the entities
and the department.
(c) The department may not issue a charter unless the department determines that the entities in the association have the resources to carry out the charter. Before issuing a proposed charter, the department shall provide public notice of the proposed
charter in the areas in which the activities under the charter will
be engaged in. After providing public notice and before issuing a
proposed charter, the department shall hold a public informational hearing on the proposed charter. A decision by the department to issue a charter is not subject to review under ch. 227.
(d) An association to which a charter has been issued shall report annually to the department on the activities that have been
engaged in under the charter.
(e) The department may, after an opportunity for a hearing,
terminate a charter if the department determines that the entities
in the chartered association are in substantial noncompliance
with the charter. Any person who has evidence that the entities in
a chartered association are not in compliance with a charter may
ask the department to terminate the charter.
(7m) ENVIRONMENTAL AUDITORS. The department may not
approve an outside environmental auditor for the purposes of sub.
(3) (d) 4. or (5) (c) 2. unless the outside environmental auditor is
accredited by an accreditation body that complies with standards
of the International Organization for Standardization for accreditation bodies or meets criteria concerning education, training, experience, and performance that the department determines are
equivalent to the criteria in the standards and guidance of the International Organization for Standardization for entities providing audit and certification of environmental management
systems.
(7s) ACCESS TO RECORDS. (a) Except as provided in par. (c),
the department shall make any record, report, or other information obtained in the administration of this section available to the
public.
(c) The department shall keep confidential any part of a
record, report, or other information obtained in the administration of this section, other than emission data or discharge data,
upon receiving an application for confidential status by any person containing a showing satisfactory to the department that the
part of a record, report, or other information would, if made public, divulge a method or process that is entitled to protection as a
trade secret, as defined in s. 134.90 (1) (c), of that person.
(d) If the department refuses to release information on the
grounds that it is confidential under par. (c) and a person challenges that refusal, the department shall inform the affected participant of that challenge. Unless the participant authorizes the
department to release the information, the participant shall pay
the reasonable costs incurred by this state to defend the refusal to
release the information.
(e) Paragraph (c) does not prevent the disclosure of any information to a representative of the department for the purpose of
administering this section or to an officer, employee, or authorized representative of the federal government for the purpose of
administering federal law. When the department provides information that is confidential under par. (c) to the federal government, the department shall also provide a copy of the application
for confidential status.
(8) POWERS AND DUTIES OF THE DEPARTMENT. (a) To facilitate the process under sub. (6), the department shall develop
model terms that may be used in participation contracts.
(b) After consultations with interested persons, the department shall annually establish a list identifying aspects of superior
environmental performance that the department will use to identify which letters of intent it will process under sub. (6) in the following year and the order in which it will process the letters of
intent.
(c) The department may promulgate rules for the administration of the program. In the rules, the department may specify incentives, that are consistent with federal laws and other state laws,
that the department may provide to participants in tier II of the
program.
(d) The department shall encourage small businesses, agricultural organizations, entities that are not subject to environmental
requirements, local governments, and other entities to form
groups to work cooperatively on projects to achieve superior environmental performance.
(e) The department shall select a logo for the program.
(f) The department and the department of safety and professional services shall jointly provide information about participation contracts and environmental management systems to potential participants in the program and to other interested persons.
The department shall consult with the department of safety and
professional services about the administration of the program.
(g) The department shall collect, process, evaluate, and disseminate data and information about environmentally beneficial
and innovative practices submitted by participants in the program. The department may conduct or direct studies, experiments, or research related to the program in cooperation with participants and other interested persons. The department may enter
into agreements with the Robert M. La Follette institute of public
affairs at the University of Wisconsin-Madison to assist in the
promotion, administration, or evaluation of the program.
(h) Every even-numbered year, no later than December 15,
the department shall submit a progress report on the program to
the governor and, under s. 13.172 (2), to the standing committees
of the legislature with jurisdiction over environmental matters.
(i) The department shall implement a process to obtain advice
from a balanced public group about all of the following:
1. The implementation and operation of the program, including the setting of goals and priorities for the program.
2. Evaluating the costs of applying for the program and of entering into a participation contract or a charter and the administrative costs of participating in the program.
3. Assessing whether incentives provided under a participation contract are proportional to the environmental benefits committed to under a participation contract.
4. Procedures for evaluating the program and the results of
the program.
5. Changes that should be made in the program.
(10) PENALTY. Any person who intentionally makes a false
statement in material submitted under this section shall be fined
not less than $10 nor more than $10,000 or imprisoned for not
more than 6 months or both.

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