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POLICY STATEMENT
INTRODUCTION
This document relates to the Water Environment
(Controlled Activities) (Scotland) Regulations 2005 laid
before the Scottish Parliament in April 2005 ("
CAR" or "the Regulations"). The
statement explains the purpose of the Regulations which
implement the obligations of section 20 of the Water
Environment and Water Services (Scotland) Act 2003 (
WEWS Act). Under Section 20 Scottish
Ministers have powers to introduce controls over a range of
activities which can have an adverse impact upon the water
environment.
The
WEWS Act transposed the requirements of
the Water Framework Directive (2000/60/
EC).
The contents are entirely the responsibility of the
Scottish Executive and have not been endorsed by the
Parliament.
Further guidance on the practical implications of the
Regulations will be available from the Scottish Environment
Protection Agency (
SEPA).
GENERAL PURPOSE AND
PRINCIPLES The Controlled Activities Regulations have
been prepared in accordance with the principles
of the Hampton Report of March 2005, which set
out recommendations for reducing administrative
burdens through the introduction of
proportionate, targeted, and risk-based
regulation which ensures integration between
regimes. The Regulations have three tiers of control
providing
proportionate tools for regulating
different scales of activity. They are risk-focused in that they require a
risk assessment when applications for
authorisation and reviews of authorisations are
determined. They bring together disparate legislative
mechanisms into a single
flexible legislative framework and
allow a single licence to cover a range of
associated activities. They incorporate
economic and social
considerations into decision-making,
thus ensuring that compliance measures do not
incur disproportionate expense. Just as the Water Framework Directive is a
tool to deliver water obligations, the
Regulations not only help deliver
WFD objectives but also
other
EC and domestic obligations.
Scotland now has a
framework for protection of the water
environment that integrates the
control of pollution, abstractions, dams and
engineering activities in the water
environment. In conclusion, the Regulations are designed
to minimise
the regulatory burden on
business whilst ensuring the protection and
improvement of the water environment. |
THE WATER FRAMEWORK DIRECTIVE
Directive 2000/60/
EC of the European Parliament and of the
Council establishing a framework for Community action in
the field of water policy was adopted in October 2000 and
came into force in December of that year. The Water
Framework Directive ("
WFD" or "the Directive") applies to all
water in the natural environment, that is all rivers,
lochs, estuaries, coastal waters and groundwaters.
Article 11 of the Directive requires Member States to
establish a programme of measures for each river basin
district in order to meet the following environmental
objectives;
- prevent deterioration of water body status
- protect, enhance and restore water bodies with the
aim of achieving good status by 2015
- progressively reduce pollution of water bodies from
priority substances and to cease or phase out
emissions, discharges and losses of priority hazardous
substances.
The measures must include controls over point and
diffuse sources of pollution; groundwater recharge;
abstractions; impoundments; and engineering works on water
bodies. The Controlled Activities Regulations will deliver
most of these obligations and will be a key tool for
achieving the environmental objectives.
THE WATER ENVIRONMENT & WATER SERVICES
(SCOTLAND) ACT 2003
The Water Environment and Water Services (Scotland) Act
2003 ("
WEWS" or "the Act") transposed the
Directive into Scots Law. The Act begins the process of
establishing the arrangements and mechanisms for
implementation of the Directive within Scotland. The aim of
WEWS is to protect and improve the
ecological status of the water environment whilst also
protecting the social and economic interests of those who
depend on it.
The aim of
WEWS is to protect the water
environment whilst also supporting the social
and economic interests of those who depend on
it. The purpose of the act includes: (a) preventing further deterioration of, and
protecting and enhancing, the status of aquatic
ecosystems and, with regard to their water
needs, terrestrial ecosystems and wetlands
directly depending on those aquatic
ecosystems (b) promoting sustainable water use based on
the long-term protection of available water
resources, (c) aiming at enhancing protection and
improvement of the aquatic environment through,
amongst other things, specific measures for the
progressive reduction of discharges, emissions
and losses of priority substances and the
cessation or phasing out of discharges,
emissions and losses of the priority hazardous
substances, (d) ensuring the progressive reduction of
pollution of groundwater and preventing further
pollution of it, and (e) contributing to mitigating the effects
of floods and droughts. |
River Basin Management Planning will be the eventual
means of delivering this aim and the first River Basin
Management Plan will be in place in 2009. In order to set
the objectives that will be contained in the River Basin
Management Plans, we believe it is necessary to introduce a
new system of simple and flexible controls based on an
assessment of risk posed to the water environment.
Section 20 of the Act gave Scottish Ministers powers to
introduce such a system in the form of regulations to
control activities for the purposes of protecting the water
environment. As noted above, these Regulations will be a
key tool in the achievement of environmental objectives set
out through the river basin planning process.
THE WATER ENVIRONMENT (CONTROLLED ACTIVITIES)
(SCOTLAND) REGULATIONS 2005
The Water Environment (Controlled Activities) (Scotland)
Regulations 2005 bring into effect the requirements of
section 20 of the
WEWS Act for controls over the following
activities:
- activities liable to cause pollution of the water
environment
- abstraction of water from the water
environment
- the construction, alteration or operation of
impounding works in surface waters or wetlands
- carrying out building, engineering, or other
works
- in inland water other than
groundwater, or wetlands, or
- in the vicinity of inland water or
wetlands, and likely to have a significant adverse
effect on the water environment
- artificial recharge or augmentation of
groundwater.
Authorisations for many of these activities are not new.
Pollution control regimes covering surface and groundwater
already exist and these Regulations represent a broadly
similar approach. Operators will therefore benefit from
continuity with the added advantage of a harmonised system
for all controls.
APPLICATION OF THE REGULATIONS
The Regulations apply across the water environment to
provide a holistic approach to pollution control and
protection of the water environment. The Regulations apply
to Scotland as a whole; this includes the Scotland River
Basin District as well as those parts of the cross-border
Solway Tweed and Northumbria River Basin Districts within
Scotland.
Our primary aim in drawing up the scope of the
Controlled Activities Regulations is the establishment of a
holistic framework to provide for controls over all
activities having an impact on Scotland's water
environment. The Regulations form the keystone of this
framework. There are however some elements which will be
addressed separately:
- Although
CAR provides a framework within
which diffuse pollution can be addressed, additional
approaches to control diffuse pollution are being
considered separately by the Executive. It is expected
that proposals for a diffuse pollution strategy will be
produced during 2005.
- Engineering works in coastal waters are broadly
covered by the activities covered by the Food and
Environment Protection Act 1985 (
FEPA). Potential amendments to
FEPA will be one avenue considered
to ensure full integration with the
WFD regime.
- The controls set out in the Regulations over
engineering and building works apply to existing
activities and new activities, but not to historic
structures (other than impoundments), nor to structural
modifications to water bodies undertaken before 1 April
2006. It is anticipated that measures to improve the
habitats affected by such structures may be introduced
through regulations to provide for remedial and
restoration works.
- Discharges of pollutants from a vessel into coastal
water are regulated by the Maritime and Coastguard
Agency as set out in the Merchant Shipping Act 1995 and
therefore not covered by the scope of the
Regulations.
PUBLIC PARTICIPATION IN THE DEVELOPMENT OF THE
REGULATIONS
These Regulations have been developed in partnership
with other Scottish Executive departments,
SEPA, and key stakeholders.
The Scottish Executive has taken careful account of
stakeholders' views on both the structure of the proposed
regulatory regimes and the estimated regulatory costs of
the proposals. This participative process began in 2001
when the Scottish Executive issued its first thoughts on
the structure of the regimes in 'Rivers, Lochs, Coasts: The
Future for Scotland's Waters'. In its second consultation,
'The Future for Scotland's Water, Proposals for
Legislation' issued in February 2002, a possible structure
for the regimes was outlined. Scrutiny of the detailed
proposals for the regulations was provided for by
'Controlled Activities Regulations: A Consultation' issued
in April 2004. More recently the Executive consulted on
'Controlled Activities Regulations: Revised proposals for
General Binding Rules'.
In addition to these formal consultations, the Scottish
Executive has worked closely with key stakeholders and
SEPA, holding a regular series of
meetings and workshops with a wide range of water users and
other interested parties. These meetings and workshops have
provided a sounding board for the iterative development of
the proposals, and have enabled the Scottish Executive to
modify its proposals with stakeholder agreement.
In order to provide an estimate of the financial costs
of implementing the control regimes over the period 2005/06
to 2009/2010,
SEPA prepared a comprehensive resource
plan in early 2004. This resource plan has been iteratively
revised and updated as the proposals for the Regulations
have developed over the course of the last year. The result
of this process has been regulation on a more informed
basis and a reduction of £25 million in the estimated costs
of implementation. The availability of the resource plan
has enabled stakeholders to make their comments on the
proposals with the benefit of information on the financial
costs of operating the regimes.
SEPA are currently developing proposals
for allocating the revised costs through a new charging
scheme. To support this process
SEPA has created a stakeholder group.
SEPA has also employed an external
auditor to review the basis of the charging scheme and to
report the results to the stakeholder group.
SEPA are expected to consult on the
proposals for their charging schemes during this
summer.
ROLE OF
SEPA IN
IMPLEMENTATION SEPA will have the key role
in delivering the objectives of the
Regulations.
SEPA, like all
NDPBs, is under an
obligation to act
reasonably in carrying out its
statutory functions, and the Regulations are
designed to be
proportionate.
SEPA will set controls
tailored to address the
level of risk posed to the
water environment by the activity. SEPA will have
responsibility to address the key pressures
upon the water environment. This means that
SEPA will be able to select
the most
cost-effective means of
delivering environmental improvements.
SEPA will balance the need
for protection of the water environment with
Scotland's social and economic needs and will
not propose conditions that are
disproportionately expensive. In setting authorisations under the
Regulations,
SEPA will have to deal with
situations where improvements to deliver good
status cannot be achieved because they are
disproportionately expensive. Under these
situations,
SEPA's decisions may lead to
less stringent environmental objectives being set as part
of the river basin management planning. Under
these circumstances,
SEPA will be expected to
involve interested parties in the
decision-making process. |
SCOPE OF THE REGULATIONS
The Regulations are based on a requirement for all
controlled activities to be authorised. Some of the
definitions of controlled activities in the Act are
modified by the Regulations to improve the clarity of the
control requirements.
Controls over pollution
Controls are currently in place to regulate water
pollution from identifiable sources such as discharges from
the end of a pipe; and these controls have already brought
about improvements in the quality of Scotland's water
environment.
The Regulations will control activities liable to cause
pollution. Pollution was formerly controlled by the Control
of Pollution Act 1974 (
CoPA). Under
CoPA, all discharges of pollutants were
licensed by
SEPA who could impose any reasonable
conditions before granting consent to the discharge. There
are approximately 100,000 licences (consents) for discharge
held by
SEPA.
These licences will be transferred to the
CAR regime and any new discharges will
be controlled under
CAR.
CAR will provide a more flexible and
proportionate approach to controlling discharges.
Pollution into groundwater can remain within a water
body for many years after the pollution has taken place.
The Groundwater Regulations 1998 provided a system of
control over direct and indirect discharges of specified
hazardous substances to groundwater.
These new Regulations replace the Groundwater
Regulations and provide for
SEPA to continue to regulate with the
aim of protecting groundwater in line with the requirements
of the Groundwater Directive using the streamlined and
flexible approach provided in the Regulations.
Abstraction
There are presently an estimated forty to fifty thousand
abstractions in Scotland, the majority of which are small
private water supplies but substantial volumes are
abstracted for public drinking water supply,
hydro-electricity generation and a range of industries such
as whisky distillers, aquaculture, agriculture and opencast
mining.
The main environmental impacts to a river, loch or
estuary caused by abstraction come from changes to water
level or depth, flow velocity and water quality. Different
water bodies will be sensitive to changes in some or all of
these factors to varying degrees and at different times of
year. This sensitivity varies with the characteristics of
the water body and the ecology that they support. An
example might be the marginal vegetation around the
shoreline of a loch; or gravel beds used by spawning salmon
which are susceptible to changes in water level.
Abstractions from groundwater can also cause rivers and
wetlands to dry up and can lead to polluted or saline water
being drawn into high quality groundwater.
New abstractions are currently controlled by a range of
different legislative mechanisms: an Electricity Act
licence is required for hydropower, a Water Order for
public water abstractions and a Natural Heritage Act
licence for irrigation in controlled areas. The planning
system is used to set conditions for other industrial or
private abstractions. There remain large numbers of
existing abstractions which are subject to no controls over
their environmental impact.
Small abstractions of less than 10m3 a day are included
in the scope of the Controlled Activities Regulations and
users must comply with general binding rules. Although
SEPA have to monitor the impact of such
abstractions in order to assess cumulative impacts, the
Regulations do not include a requirement for these
abstractions to be registered. That is because the
Executive is also developing Private Water Supply
Regulations with the intention of including a requirement
for local authorities to compile a register of all such
abstractions;
SEPA would have access to that data for
monitoring purposes. This will reduce the regulatory burden
for individuals and it is anticipated that the Private
Water Supply Regulations will also come into force on 1st
April 2006.
CAR will introduce a comprehensive
control regime for abstractions which will allow
SEPA to manage water resources across
Scotland and therefore ensure their long-term sustainable
use. By controlling abstracting, the environmental impacts
can be minimised and the water environment protected.
Impoundments
It is estimated that there are presently between five
and ten thousand impoundments in Scotland. The effects of
these impoundments will be variable, depending on their
size, design and operation, and the sensitivity of the
location. They have impacts both upstream and downstream,
interfering with the normal pattern of flow of water and
the movement of sediment, for example the impacts caused by
the physical modification of a dam. They may also be a
barrier for migrating fish and other species.
Certain impoundments have been covered by legislation in
the past such as the Electricity (Scotland) Act 1989 for
hydro-electric power and the Salmon (Fish Passes and
Screens) (Scotland) Regulations 1994 for fisheries
management but this is the first time that all impoundments
will fall within the scope of one set of regulations.
Building, engineering and other works
The natural heritage of Scotland plays an important role
in the national economy. The many river-based activities
that support local tourist and industrial activities would
not be productive without good quality river habitat. Yet,
data from the pressures and impacts analyses required by
Article 5 of the Water Framework Directive shows that a
third of the rivers in Scotland River Basin District are at
risk from physical changes to their habitats. Examples
include straightening and deepening of rivers for
agricultural improvements, culverting rivers to maximise
the area available for building, introduction of rubble or
concrete to control erosion and the provision of flood
defences.
Engineering activities which affect rivers and lochs are
currently controlled under Local Authority land use
planning. Regimes such as the Conservation (Natural
Habitats &c.) Regulations 1994 also require
SNH to issue licences to protect
designated species and habitats. The Regulations will
provide a single set of controls that are flexible enough
to minimise adverse effects in Scotland's rivers, lochs and
wetlands.
Duty to use water efficiently
In order to ensure that all water users comply with the
underpinning aim of the Directive the Regulations place a
general duty on all water users to use water
efficiently.
AUTHORISATIONS
In order to minimise the regulatory burden introduced by
the new controls, the Regulations establish a single
cohesive framework setting out provisions for 3 tiers of
control. This allows the most appropriate level of
regulation to be applied. The 3 tiers of control are:
general binding rules, registration and licences.
The sections below explain the principles underpinning
each tier, and the diagrams on pages 12-14 indicate broadly
which activities are likely to be subject to which level of
control. However the key principle of the regulatory
controls is that they are sufficiently flexible to enable
SEPA to determine the most appropriate
level of control in any set of circumstances. A key feature
is that there is scope for
SEPA to control an activity by means
other than those indicated in the diagrams. For example,
cumulative impacts may warrant an activity to be regulated
under a higher level of control. Conversely it is expected
that where
SEPA determine that a lower level of
control may be sufficient in particular circumstances, then
those lower controls will be applied.
SEPA will prepare guidance for
operators, detailing how such decisions would be taken.
General Binding Rules
General binding rules are intended for activities which
represent a small risk to the water environment.
SEPA will not be contacted by operators
acting under a
GBR and therefore
SEPA will not know the location of such
activities. Consequently, they are appropriate for low risk
activities which are unlikely to represent a cumulative
impact.
These rules are intended to ensure the regulation of
certain activities without the need for registration or
licensing. This minimises the regulatory burden on
operators and the risk to the water environment is still
mitigated as it is possible for
SEPA to require further controls if
problems become apparent.
The diagrams on pages 12-14 illustrate the activities
that will be covered by general binding rules (apart from
in exceptional circumstances, e.g. cumulative pressures).
The activities are:
- A large number of passive weirs constructed before
1st April 2006 that do not affect fish passage
- Abstractions of less than 10m3/day
- Construction/extension of wells/boreholes and
subsequent abstraction
- Ditch dredging activities
- Construction and maintenance of temporary/minor
bridges
- Laying of pipeline/cable by boring
- Works to control the erosion of a bank of a river,
burn or ditch using revetments
- Operation of vehicles, plant/equipment
- Low risk surface water discharges.
It is anticipated that around one third of all
controlled activities will in the first instance fall
within this tier of control. It should be stressed that the
above list is only our opening position. We anticipate that
general binding rules covering additional activities will
be developed in conjunction with stakeholders as
SEPA gain a better understanding of the
impacts of relatively low risk activities, and begin to
review the relative merits of the different control
mechanisms.
It is important to note that the introduction of
CAR does not affect duties to comply
with any existing obligations such as those outlined in
planning or natural heritage legislation.
In some instances
SEPA may also require activities
controlled by a general binding rule to be registered, for
instance, in order to assess cumulative impacts in water
bodies at risk, or in more sensitive areas such as
SSSIs or Natura 2000 sites.
Registration
Registration will be used to control relatively simple
activities where the environmental impacts are predictable
but where cumulative impacts are likely. Registration will
encompass such activities as septic tank discharges, small
abstractions and minor engineering works.
Registration will allow
SEPA to collect sufficient information
about individual activities to assess the cumulative risk
to the environment that may result when activities are
concentrated in one area. For example, large numbers of
septic tank discharges to land could pose a risk to
groundwater and therefore private drinking water supplies;
and large numbers of such discharges to coastal waters
could pose a risk to designated shellfish or bathing
waters.
Small domestic septic tank discharges to rivers will be
covered by registration. In the past such discharges have
been controlled by licences under the Control of Pollution
Act regime and this change therefore represents an ease in
the regulatory burden for operators.
SEPA considers that about 80% of the
current 100,000 Control of Pollution Act licences will
eventually be confirmed as registrations under
CAR.
The registration process will be very simple: operators
will be required to provide
SEPA with a description of the
controlled activity and its location. The description of
the activity which
SEPA registers defines the constraints
within which the activity can operate.
There is scope for
SEPA to identify conditions in respect
of registrations. This provides beneficial flexibility
enabling
SEPA to set limited constraints without
the need to use a licence. For example it is expected that
SEPA will set conditions for
abstractions between 10 and 50 m3/day similar to those set
out in the
GBR for abstractions less than 10m3/day.
It is stressed that any conditions associated with
Registrations will remain simple and will not include the
detailed site-specific standards which found in
licences.
A registration provides authority to undertake the
activity. This contrasts with licences which only provide
authority for a single identified "responsible person" (see
below). Consequently, there is no need to notify
SEPA if the person who operates a
registration changes.
Licences
Licences will control those activities posing the
greatest risk to the water environment. It is anticipated
that there will be around 15,000 licences. These will be
tailored to the particular circumstances of the activity
concerned - its nature, extent and location.
A significant proportion of licences will be simple
authorisations permitting activities with standard
conditions. Other licences will be more complex and
SEPA will have to set a range of
site-specific conditions.
A licence authorises a responsible person to undertake
the controlled activity who will be accountable for
ensuring conditions set in the licences are met. A
responsible person may, in legal terms, be a natural person
(i.e. an individual) or a legal person (i.e. a registered
company, a corporation established by statute or charter,
or a partnership). Scots law does not recognise clubs,
friendly societies, building societies, trade unions and
other unincorporated or voluntary associations as legal
persons, so such bodies cannot be responsible persons and
will require to nominate an individual to be the
responsible person on behalf of the association.
Tiers of authorisation



Management Agreements
Many examples of environmental good practice exist in
Scotland already and can be used alongside regulation to
enhance the protection of the water environment. Management
agreements are a good example and
SEPA will take into account any that
exist between operators when considering and granting
authorisations.
Management agreements are designed to promote the
effective management of a water resource which is exploited
by a number of users; for example number of potato farmers
abstracting from the same river or fish farmers within a
sea loch. Management agreements allow a number of operators
in a distinct geographical area wish to work together to
co-ordinate their activities to better protect the water
environment and their own interests.
Management agreements may set out how several water
users have agreed to time their abstractions to ensure they
are not all abstracting simultaneously (thus enabling one
water user to abstract more at times that the others are
not abstracting and so leading to more efficient allocation
of available capacity); or how operators will contribute to
the construction of winter storage facilities that could
then support summer abstractions.
SEPA will work with water users
interested in setting up a management agreement to inform
them of the available capacity of the water source and to
set licence conditions based on the terms stated in the
management agreement.
Operators may ask
SEPA to take into account management
agreements when considering and granting authorisations.
The Regulation allows licence conditions to take account of
agreements between different responsible persons over the
co-ordination of controlled activities.
APPLICATIONS AND APPLICATION PROCEDURE
Application for authorisation
Sufficient information will be made available to enable
water users to judge which is the most appropriate level of
authorisation. In particular,
SEPA will design application forms and
associated guidance to allow operators to decide whether to
apply for a registration or a licence. In developing these
forms
SEPA will ensure their requests for
information are appropriate to the different levels of
authorisation and tailored according to the risk posed to
the water environment.
Certain applications for licences will be required to
undergo a period of advertisement. This is to enable third
parties to make representations to
SEPA about how they would be affected by
the proposed activity. Advertisement is envisaged where
SEPA considers that the activity may
cause a significant adverse impact on the water environment
such that the interests of other parties may be affected.
The advertising will help
SEPA obtain as much information as
possible in order to make an informed decision about
licensing conditions. It will also serve as a mechanism to
provide information to other interested parties.
Applications for registration or for licences must be
dealt with by
SEPA within time limits that are set in
the Regulations. This is to provide certainty for
applicants. A decision must be reached on registrations
within 30 days. A longer timeframe of 4 months is allowed
for the processing of licence applications, to allow for
the more complex nature of some licences. The 4 month
period does not include the time taken by an applicant to
provide any additional information that
SEPA may require to process the
application or for advertising of the application. Where
SEPA does not complete the processing of
an application within the required time, the period for
determination can be extended with the agreement of the
applicant. If an application is not determined within the
time period, the application is treated as refused. This
then provides the applicant with the opportunity to appeal
to Scottish Ministers.
Determining an application
When seeking to determine an application and either
grant or refuse authorisation,
SEPA's overarching concern will be to
strike the correct balance between protection of the water
environment and the economic consequences of any measures
which may be required.
SEPA can set such licence conditions as
it considers necessary to protect the water environment.
However, the Regulations 15 identify some of the key
aspects which
SEPA should consider when determining an
application for authorisation:
- ensure compliance with the Water Framework
Directive and the other relevant Directives such as the
Groundwater Directive, Bathing Water Directive and
Shellfish Water Directive;
- ensure compliance with the
WEWS Act and its associated
Regulations;
- have regard to listed domestic legislation which is
relevant to the protection of the water
environment;
- have regard to the impacts on other water
users;
- secure efficient and sustainable water use.
The term "water use" is intended to be considered as the
action of a controlled activity. This definition is
consistent with the concept of water use in the Directive.
Consequently, in delivering efficient and sustainable water
use
SEPA shall ensure that it manages
discharges, abstractions, impoundments, groundwater
recharge and engineering activities in a manner that allows
for sustainable water use. This requires
SEPA to manage the available
environmental capacity over the long-term such that
development can continue without causing a deterioration of
the status of the environment. This is important if
development constraints are to be avoided.
It is intended that
SEPA will be able to set conditions
which require the application of Best Available Technology
and the Best Environmental Option so as to secure the
long-term capacity for development. However, it should be
stressed that
SEPA should apply these requirements in
a proportionate manner so as to avoid disproportionate
demands upon operators.
SEPA also have the power to issue
time-limited authorisations. There is a firm intention that
time-limited authorisations will not become the norm; but
it is anticipated that there may be a limited number of
circumstances where such a provision may be useful. An
example might be where a project or activity is of known
duration, or to ensure that planned river engineering works
are completed before the salmon spawning season.
Risk assessment
An important part of the determination process is the
requirement for
SEPA to undertake an assessment of the
risk to the water environment. The intention is to ensure
that
SEPA applies controls in a manner
proportionate to the risk to the water environment.
The risk assessment process will involve a number of
stages:
- Determining the level of authorisation
- Setting conditions to protect the environment
In considering the risk to the environment
SEPA will decide whether an application
should be covered by a registration or a licence.
SEPA will base such decisions on generic
assessments carried out for types of activities. If a
simple description of the type of activity would normally
provide the information
SEPA needs to assess the risk of
cumulative impacts, then
SEPA will authorise such activities by
registration. The diagrams on pages 12-14 identify the most
likely level of authorisation required. However,
SEPA will have the flexibility to set a
different level of control if circumstances merit it.
If site-specific conditions are required to protect the
environment then
SEPA will determine the authorisation in
the form of a licence.
SEPA will set the conditions in a
licence on the basis of a site-specific assessment of the
environmental risk and the best means of controlling them.
This site-specific assessment will typically involve the
use of models or defined rules for decision- making.
SEPA will publish its procedures for
making these decisions.
Imposed authorisation
SEPA have the power to impose an
authorisation where it appears that a controlled activity
that should be authorised is being carried on without
authorisation. This ensures fairness to all water users and
protects the water environment.
Call-In Process
The Control of Pollution Act gave third parties the
power to request Scottish Ministers to call in applications
for licences to discharge trade and sewage effluent for
their own determination and to hold a public inquiry. These
provisions allow Ministers to step in to take control of
SEPA's regulatory decisions. During the
consultation process some consultees expressed a view that
the call-in mechanism was of some value, but most stressed
that, if retained, it should only be used for significant
cases.
The Regulations therefore contain a provision for
Scottish Ministers to issue a direction to
SEPA in connection with calling in
certain types of case or any particular case. It is
expected that such a direction will be issued before the
full provisions of the Regulations come into force on 1
April 2006.
MODIFICATION OF AUTHORISATIONS
It is clearly important for stakeholders to have
certainty with regard to authorisations that have been
issued; but
SEPA must also be able to review
authorisations at any time in order to ensure that
significant changes to pressures on the water environment
can be addressed.
The first review of licences, expected to begin in
September 2006, will focus on water bodies at risk of not
meeting the Directive's environmental objectives. As part
of that review
SEPA will identify and agree with
businesses measures that are required by 2012 to meet those
objectives. Water users must take the measures necessary to
comply with the agreed conditions by 22 December 2012, in
order to meet the Directive's objectives by 2015.
SEPA will set measures which are
required earlier than 2012 only where there is a
legislative driver such as the Habitats Directive.
However during the process of designing improvement
programmes alternative objectives can be identified. For
example, if the measures needed to achieve good status by
2015 would be disproportionately expensive, the timetable
for achieving good status can be extended or a less
stringent objective than good status can be set.
The process of developing a first programme of measures
and setting environmental objectives has to be completed as
part of the development of the draft river basin management
plans, due to be published at the end of 2008 and setting
out the proposed objectives.
Once river basin management planning is fully
operational, it is expected that
SEPA will review authorisations in a
targeted manner when the need arises.
As a responsible person has to be named for licences
under the regime, it is important that there is a mechanism
for the licences to be transferred to another person in
order to keep records current. This will ensure the correct
person is informed when any variations or reviews to
licences occur, and also enable
SEPA to carry out any necessary
enforcement action against the appropriate person. Any
requests to transfer licences into another name must
specify exactly what is to be transferred, when, to whom
and why.
A responsible person can also surrender their
authorisation when they cease or intend to cease carrying
on a controlled activity.
SEPA has the powers to ensure that such
a surrender would not cause harm to the water environment.
This process is very similar to that of other environmental
legislation.
It is necessary to provide
SEPA with the powers to revoke an
authorisation, although it is envisaged that this power
will be exercised only in exceptional circumstances, as is
currently the case under existing environmental regimes. It
is likely that this power would only be exercised where an
operator was not complying with the terms of their
authorisation resulting in serious environmental harm or
widespread public complaint and continued to do so
following enforcement action by
SEPA.
ENFORCEMENT
SEPA has a duty to monitor compliance
with the provisions of the Regulations and to enforce them.
In order to do this, the Regulations provide
SEPA with a range of enforcement powers
to enable appropriate action to be taken in cases where
operators are not complying with the conditions of their
authorisation. Such enforcement will be carried out through
the use of notices. The approach is therefore not new.
If
SEPA is of the opinion that the carrying
on of a controlled activity
- is contravening or is likely to contravene an
authorisation,
- involves a risk of adverse impact on the water
environment, or
- is causing a direct or indirect discharge of a
listed hazardous substance into groundwater
then
SEPA may issue a notice
- indicating that the activity is suspended or should
cease, and
- outlining any remedial action that must be taken,
and the date by which that action must be carried
out.
In order to determine whether compliance is being
achieved,
SEPA may require access to premises for
monitoring purposes - provisions have been made for
compensation where appropriate. Once again, these
provisions have been based on existing environmental
legislation such as the Pollution Prevention and Control
Regulations and the Control of Pollution Act 1974 and
therefore do not represent a new approach.
In cases where the responsible person cannot be found,
then the Regulations give
SEPA the powers to carry out the works
themselves.
INFORMATION AND REGISTER
The Regulations give Ministers and
SEPA powers to obtain information by
serving a notice requesting information about the carrying
out of activities or functions under these Regulations.
This requires information to be produced in line with the
requirements set out in the notice, including such
information that it would be reasonable for that person to
obtain for the purposes of complying with the notice and
will enable
SEPA to make the most informed decisions
possible.
SEPA are also required to maintain a
public register of all activities authorised under these
Regulations. The register will reflect all information
provided in the application for authorisation, unless to do
so would compromise commercial confidentiality.
Commercially confidential information may be included in
the register only if the individual carrying out the
business gives consent, or if Ministers determine it is in
the public interest for the information to be made
public.
The register outlined above must be available, free of
charge, at all reasonable times to the public and copies
must be provided by
SEPA at a reasonable charge.
OFFENCES
The Regulations outline a range of offences and makes
provisions for addressing them.
The Regulations set out penalties for those committing
an offence including a fine not exceeding £40,000 or,
imprisonment of up to 6 months and daily fines for
persistent offences. There are also provisions for
determining liability in the case of corporate bodies or
partnerships, and provisions for third parties to be
charged and convicted where that person is responsible for
the offence.
Provisions in respect of admissibility of evidence are
modelled upon the Pollution Prevention and Control
(Scotland) Regulations 2000.
Impacts on the water environment that occur as a result
of an accident, natural causes or
force majeure are included in the defence against
offence provisions as long as practical steps are taken to
prevent further deterioration of the water environment and
SEPA are informed of the
circumstances.
The Regulations set out how the courts may deal with a
person convicted of an offence under the Regulations, and
how the courts may order the offence to be remedied. Once
again, the Pollution Prevention and Control (Scotland)
Regulations 2000 have been used as a model.
APPEALS
In the longer term, the implementation of the proposed
river basin planning process may require a new type of
environmental appeals system to be introduced. Meanwhile,
these Regulations contain a simple and efficient appeals
process for handling any appeals against the initial
tranche of
SEPA's regulatory decisions.
Ministers will handle appeals, as is the case with
Pollution Prevention and Control (Scotland) Regulations
2000 appeals. The circumstances under which the option to
appeal is available are set out in the Regulations in order
to provide clarity.
Provisions have been provided for operators to appeal to
Ministers against the key regulatory decisions made by
SEPA. For example, operators may appeal
if they disagree with the:
- level of regulation required (registration,
licence);
- types of conditions imposed; and
- notices imposed on water users.
APPLICATION TO THE CROWN AND
SEPA
The Regulations outline how the provisions of these
Regulations apply to the Crown and to
SEPA. In order to ensure parity of
treatment,
SEPA's own activities which may impact
on the water environment, such as the installation of
monitoring equipment, will be regulated by Ministers.
Broadly speaking the same provisions that apply to other
operators will apply in such cases.
Ministers may issue guidance to
SEPA on the carrying out of their
functions under these Regulations, and
SEPA must have regard to any such
guidance.
CHARGING SCHEME
The Regulations make provisions for
SEPA to introduce a charging scheme to
recover costs incurred for exercising their statutory
functions to protect and improve the water environment.
This includes the recovery of costs of activities such as
monitoring carried out on their behalf by third
parties.
In order to recover its costs,
SEPA is given powers under Schedule 5 of
the Regulations, to impose charges for the application for
an authorisation and the grant, variation, subsistence and
transfer or revocation of an authorisation as well as the
issue of notices.
Section 41 of the Environment Act 1995 provides the
model for principle of charging and the principles for cost
recovery stem from Article 9 of the Water Framework
Directive. These principles mean that those persons whose
activities impact adversely on the water environment should
bear the costs of
SEPA's intervention. The Regulations
also allow
SEPA to ensure that charges provide an
incentive to minimise environmental impacts. This is
consistent with the principles within Article 9 of the
Water Framework Directive.
Two new charging schemes will be introduced.
- A transitional charging scheme consultation will be
issued in spring 2005. Subject to approval, the scheme
will be implemented in October 2005 to recover the
costs of transferring currently licensed point source,
abstraction and impoundment activities plus
applications for significant water resource activities,
not yet licensed, by 31 March 2006.
- In late summer 2005 a subsistence charging scheme
consultation will be issued, with charges to be become
effective from 1 April 2006. This scheme will set
charges to recover ongoing annual
WEWS costs. Ultimately however,
Scottish Ministers will take decisions on proposals for
the charging scheme.
Activities carried out under general binding rules will
not be subject to charge. For registration it is envisaged
that there will be a charge associated with an application
but there will be no on-going annual subsistence charge.
Application charges will also apply to licences but in
addition there will be on-going subsistence charges.
The intention is also that activities carried out to
deliver an environmental service will incur reduced
application charges when they are registered or licensed
and may not be subject to subsistence charges. The concept
of environmental service will be developed in
SEPA guidance but is intended to include
the following type of situations:
- engineering work undertaken solely to restore
damaged river habitats;
- abstractions of mine water solely intended to
prevent the breakout of polluted water;
- impoundments whose only function is to support a
designated nature conservation interest;
- that component of abstractions required by
SEPA to support ecology in
artificial water bodies such as lades.
INTEGRATION WITH EXISTING POLICY AND
LEGISLATION
As emphasised throughout this document the underpinning
principle in implementing Water Framework Directive
requirements is that of ensuring an integrated and holistic
approach to the protection and improvement of our water
environment. This section will allow stakeholders to have a
clearer picture of the wider context within which the
Regulations will operate.
There are a number of existing policy and legislative
requirements which will be affected by the introduction of
WFD obligations, and in particular these
Regulations, and work is being undertaken in a phased and
prioritised manner to ensure these existing requirements,
set out in around 240 pieces of legislation, are reviewed,
and amended where necessary.
Throughout this review process the overarching aims of
this review are to ensure:
- integrated and just legislative provisions;
- duplication of regulation is prevented;
- transparent regulation.
For example, legislative control over abstraction was
previously confined to a few specific sectors and set out
in disparate legislative regimes. These regimes will now be
superseded by the Controlled Activities Regulations. It is
essential to prevent duplication of regulation and
therefore the Executive is putting in place the mechanisms
to amend the existing legislation to remove those sections
which provide authorisation for abstraction. Where the
existing legislation also provides other rights, mechanisms
to retain those rights will be put in place.
In order to ensure that these objectives are fulfilled
the Executive intends to lay a number of consequential
amendment orders before Parliament over the coming year.
This will ensure that any necessary amendments are in force
before 1st April 2006.
Control of Pollution Act 1974
Part II of the Control of Pollution Act 1974 (including
all secondary legislation made in exercise of powers
therein) was primarily introduced to deal with point source
pollution. Today it is widely recognised that, although a
key aspect, it is not just 'end of pipe' discharge controls
which can deliver major improvements in the water
environment. In many cases, for example, the effect of
diffuse pollution can be of equal or even greater
significance.
The controls under Part II of
CoPA have largely been absorbed into the
Regulations and broadly speaking, point source discharges
will continue to be regulated in an equivalent manner.
However, regulation of such discharges is now risk-based
and therefore activities which previously fell outwith
CoPA may fall within the ambit of the
Regulations. Conversely the burden of regulation for many
operators has been reduced. For example, minor discharges
which were previously subject to a
CoPA consent may only require a
registration. The key difference is that the new
Regulations provide the flexibility to assign point source
discharges to the appropriate tier of control.
The first consequential amendments order will therefore
provide for the repeal of most of Part II of
CoPA and detailed guidance will be
available to existing
CoPA consent holders in respect of the
transitional arrangements which have been put in place to
ensure a smooth and seamless transfer to the new
regime.
The largest discharges which are included within
SEPA's charging scheme will be required
to apply to transfer their
CoPA consents to a
CAR authorisation during the period from
1 October 2005 to 31st March 2006. The prime purpose for
this process is to require the identification of the
responsible person.
SEPA will transfer these discharges
without imposing any additional constraints upon the
discharges. The remaining
CoPA consents will be deemed to have
been transferred to
CAR as registrations. These discharges
will be progressively reviewed by
SEPA over four years to identify which
discharges should be covered by licences.
Groundwater Regulations 1998
Similarly the requirements of the Groundwater Directive
and the Groundwater Regulations 1998 will be fulfilled by
the Regulations. The first consequential amendments order
will also therefore repeal the Groundwater Regulations
1998. From 1st April 2006 operators who intend to carry out
activities that would previously have fallen within the
ambit of the Groundwater Regulations should apply for a
CAR authorisation. However, in practice
the requirements on operators in respect of groundwater
will not change and detailed guidance will be available to
existing groundwater authorisation holders in respect of
the transitional arrangements which have similarly been put
in place to ensure a smooth and seamless transfer to the
new regime.
All Groundwater Authorisations will be deemed to have
applied to be transferred as
CAR registrations. As part of the four
yearly review of discharges of hazardous substances to
groundwater,
SEPA will transfer most of these to
CAR licences by 2010.
Pollution Prevention and Control Regulations
2000 (
PPC)
PPC provides a holistic approach to
different forms of pollution, e.g. air, water. Care has
been taken to ensure that the two regimes are as integrated
as possible. The underlying aim is to ensure that
controlled activities appropriately authorised under
PPC do not require to be authorised
under
CAR. Schedule 10 of the Regulations sets
out the provisions to ensure that there is no duplication
of regulation under
CAR.
PPC will be amended to reflect this
principle of integration, and to bring it into line with
WFD requirements. Sites which undertake
activities such as abstractions, impoundments and
engineering activities which are not covered by
PPC will still have to apply for a
CAR authorisation.
The Water (Scotland) Act 1980
The Water (Scotland) Act 1980 currently authorises
Scottish Water to abstract for public water supply. These
elements of the Act are superseded by the Regulations and
therefore need to be repealed. However, the Act also
confers proprietary rights for example to allow for
compulsory purchase of land where agreement is not
forthcoming between the operator and Scottish Water.
Clearly such matters would not be appropriately dealt with
by
SEPA. It is therefore intended that this
Act will be amended to ensure that rights of abstraction
are granted via
CAR but proprietary rights remain to
ensure that Scottish Water can fulfil its statutory
obligations.
Over the period 1 October 2005 to 31 March 2006,
Scottish Water will be required to apply for a
CAR authorisation. All other operators
of abstractions and impoundments will similarly have to
apply.
SEPA will grant an authorisation in the
form of a licence or registration. It will set conditions
which reflect currently authorised activities or current
practice and will not impose any additional constraints at
this stage.
SEPA may impose monitoring requirements
in order to provide information to support any future
review of licence conditions.
Oil Storage provisions
Our April 2004 consultation on the draft Regulations
proposed that oil storage might be included in the
Controlled Activities Regulations. In fact the simplified
format of the general binding rules mean that inclusion of
oil storage is not appropriate and as a result free
standing regulations are currently being developed for oil
storage activities.
Nature Conservation and Natural
Heritage
Throughout the development of the Regulations the
Executive,
SNH and
SEPA have given particular consideration
to integration with existing nature conservation and
natural heritage obligations, in particular those arising
under the Nature Conservation (Scotland) Act 2004, the
Conservation (Natural Habitats &c.) Regulations 1994
and the Wildlife and Countryside Act 1981. The combined
effect of the new Regulations and the existing legislation
is to deliver robust protection for both water-dependent
features and for other aspects of Scotland's natural
heritage which might be consequentially affected by
controlled activities. The Regulations will, for example,
operate in conjunction with section 15 of the 2004 Act and
with the appropriate assessment requirements in the 1994
Regulations to ensure that potentially damaging impacts on
sites of special scientific interest and Natura 2000 sites
are regulated in accordance with established domestic
policy and the requirements of European law. The
Regulations also provide
SEPA with appropriate powers to ensure
that activities normally authorised by means of a general
binding rule can, where necessary, be more directly
regulated in order to protect natural heritage
interests.
The statutory authorisation processes set out in the
Regulations will be supported by appropriate administrative
procedures and partnership-working between agencies. For
example,
SNH will liaise with
SEPA to identify sites or features which
are likely to be particularly sensitive to certain types of
controlled activity. This will assist
SEPA in subjecting potentially damaging
activities to appropriate assessment when carrying out its
functions under the Regulations.
SNH and
SEPA will also work together to provide
guidance to prospective operators to ensure that they are
fully aware of their wider legal obligations in relation to
nature conservation.
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