OAR 345-021-0010
Contents of an Application


(1)

The project order described in OAR 345-015-0160 (Project Order)(1) identifies the provisions of this rule applicable to the application for the proposed facility, including any appropriate modifications to applicable provisions of this rule. The applicant must include in its application for a site certificate information that addresses each provision of this rule identified in the project order. The applicant must designate the information with the appropriate exhibit label identified in the following subsections. If the same information is required in each of several exhibits the applicant may provide the required information in one exhibit and include appropriate references in the others. For the purpose of submitting an application for a site certificate in an expedited review granted under OAR 345-015-0300 (Request for Expedited Review of Small Capacity Facilities) or 345-015-0310 (Request for Expedited Review of Special Criteria Facilities), the applicant must include information that addresses all provisions of this rule. In such expedited reviews, analysis areas addressed in this rule are the study areas defined in OAR 345-001-0010 (Definitions), subject to later modification in the project order.

(a)

Exhibit A. Information about the applicant and participating persons, including:

(A)

The name and address of the applicant including all co-owners of the proposed facility, the name, mailing address, email address and telephone number of the contact person for the application, and if there is a contact person other than the applicant, the name, title, mailing address, email address and telephone number of that person;

(B)

The contact name, mailing address, email address and telephone number of all participating persons, other than individuals, including but not limited to any parent corporation of the applicant, persons upon whom the applicant will rely for third-party permits or approvals related to the facility, and, if known, other persons upon whom the applicant will rely in meeting any facility standard adopted by the Council;

(C)

If the applicant is a corporation:
(i)
The full name, official designation, mailing address, email address and telephone number of the officer responsible for submitting the application;
(ii)
The date and place of its incorporation;
(iii)
A copy of its articles of incorporation and its authorization for submitting the application; and
(iv)
In the case of a corporation not incorporated in Oregon, the name and address of the resident attorney-in-fact in this state and proof of registration to do business in Oregon;

(D)

If the applicant is a wholly owned subsidiary of a company, corporation or other business entity, in addition to the information required by paragraph (C), the full name and business address of each of the applicant’s full or partial owners;

(E)

If the applicant is an association of citizens, a joint venture or a partnership:
(i)
The full name, official designation, mailing address, email address and telephone number of the person responsible for submitting the application;
(ii)
The name, business address and telephone number of each person participating in the association, joint venture or partnership and the percentage interest held by each;
(iii)
Proof of registration to do business in Oregon;
(iv)
A copy of its articles of association, joint venture agreement or partnership agreement and a list of its members and their cities of residence; and
(v)
If there are no articles of association, joint venture agreement or partnership agreement, the applicant must state that fact over the signature of each member;

(F)

If the applicant is a public or governmental entity:
(i)
The full name, official designation, mailing address, email address and telephone number of the person responsible for submitting the application; and
(ii)
Written authorization from the entity’s governing body to submit an application;

(G)

If the applicant is an individual, the individual’s mailing address, email address and telephone number; and

(H)

If the applicant is a limited liability company:
(i)
The full name, official designation, mailing address, email address and telephone number of the officer responsible for submitting the application;
(ii)
The date and place of its formation;
(iii)
A copy of its articles of organization and its authorization for submitting the application; and
(iv)
In the case of a limited liability company not registered in Oregon, the name and address of the resident attorney-in-fact in this state and proof of registration to do business in Oregon.

(b)

Exhibit B. Information about the proposed facility, construction schedule and temporary disturbances of the site, including:

(A)

A description of the proposed energy facility, including as applicable:
(i)
The nominal electric generating capacity and the average electrical generating capacity, as defined in ORS 469.300 (Definitions);
(ii)
Major components, structures and systems, including a description of the size, type and configuration of equipment used to generate electricity and useful thermal energy;
(iii)
A site plan and general arrangement of buildings, equipment and structures;
(iv)
Fuel and chemical storage facilities, including structures and systems for spill containment;
(v)
Equipment and systems for fire prevention and control;
(vi)
For thermal power plants:

(I)

A discussion of the source, quantity and availability of all fuels proposed to be used in the facility to generate electricity or useful thermal energy;

(II)

Process flow, including power cycle and steam cycle diagrams to describe the energy flows within the system;

(III)

Equipment and systems for disposal of waste heat;

(IV)

The fuel chargeable to power heat rate;
(vii)
For surface facilities related to underground gas storage, estimated daily injection and withdrawal rates, horsepower compression required to operate at design injection or withdrawal rates, operating pressure range and fuel type of compressors;
(viii)
For facilities to store liquefied natural gas, the volume, maximum pressure, liquefication and gasification capacity in thousand cubic feet per hour;

(B)

A description of major components, structures and systems of each related or supporting facility;

(C)

The approximate dimensions of major facility structures and visible features;

(D)

If the proposed energy facility is a pipeline or a transmission line or has, as a related or supporting facility, a transmission line or pipeline that, by itself, is an energy facility under the definition in ORS 469.300 (Definitions), a corridor selection assessment explaining how the applicant selected the corridors for analysis in the application. In the assessment, the applicant must evaluate the corridor adjustments the Department has described in the project order, if any. The applicant may select any corridor for analysis in the application and may select more than one corridor. However, if the applicant selects a new corridor, then the applicant must explain why the applicant did not present the new corridor for comment at an informational meeting under OAR 345-015-0130 (Informational Meeting on a Notice of Intent). In the assessment, the applicant must discuss the reasons for selecting the corridors, based upon evaluation of the following factors:
(i)
Least disturbance to streams, rivers and wetlands during construction;
(ii)
Least percentage of the total length of the pipeline or transmission line that would be located within areas of Habitat Category 1, as described by the Oregon Department of Fish and Wildlife;
(iii)
Greatest percentage of the total length of the pipeline or transmission line that would be located within or adjacent to public roads and existing pipeline or transmission line rights-of-way;
(iv)
Least percentage of the total length of the pipeline or transmission line that would be located within lands that require zone changes, variances or exceptions;
(v)
Least percentage of the total length of the pipeline or transmission line that would be located in a protected area as described in OAR 345-022-0040 (Protected Areas);
(vi)
Least disturbance to areas where historical, cultural or archaeological resources are likely to exist;
(vii)
Greatest percentage of the total length of the pipeline or transmission line that would be located to avoid seismic, geological and soils hazards;
(viii)
Least percentage of the total length of the pipeline or transmission line that would be located within lands zoned for exclusive farm use;

(E)

If the proposed energy facility is a pipeline or transmission line or has, as a related or supporting facility, a transmission line or pipeline of any size:
(i)
The length of the pipeline or transmission line;
(ii)
The proposed right-of-way width of the pipeline or transmission line, including to what extent new right-of-way will be required or existing right-of-way will be widened;
(iii)
If the proposed transmission line or pipeline corridor follows or includes public right-of-way, a description of where the transmission line or pipeline would be located within the public right-of-way, to the extent known. If the applicant proposes to locate all or part of a transmission line or pipeline adjacent to but not within the public right-of-way, describe the reasons for locating the transmission line or pipeline outside the public right-of-way. The applicant must include a set of clear and objective criteria and a description of the type of evidence that would support locating the transmission line or pipeline outside the public right-of-way, based on those criteria;
(iv)
For pipelines, the operating pressure and delivery capacity in thousand cubic feet per day and the diameter and location, above or below ground, of each pipeline;
(v)
For transmission lines, the rated voltage, load carrying capacity, and type of current and a description of transmission line structures and their dimensions; and

(F)

A construction schedule including the date by which the applicant proposes to begin construction and the date by which the applicant proposes to complete construction. Construction is defined in OAR 345-001-0010 (Definitions). The applicant must describe in this exhibit all work on the site that the applicant intends to begin before the Council issues a site certificate. The applicant must include an estimate of the cost of that work. For the purpose of this exhibit, “work on the site” means any work within a site or corridor, other than surveying, exploration or other activities to define or characterize the site or corridor, that the applicant anticipates or has performed as of the time of submitting the application.

(c)

Exhibit C. Information about the location of the proposed facility, including:

(A)

A map or maps showing the proposed locations of the energy facility site, all related or supporting facility sites and all areas that might be temporarily disturbed during construction of the facility in relation to major roads, water bodies, cities and towns, important landmarks and topographic features, using a scale of 1 inch = 2000 feet or smaller when necessary to show detail;

(B)

A description of the location of the proposed energy facility site, the proposed site of each related or supporting facility and areas of temporary disturbance, including the total land area (in acres) within the proposed site boundary, the total area of permanent disturbance, and the total area of temporary disturbance. If a proposed pipeline or transmission line is to follow an existing road, pipeline or transmission line, the applicant must state to which side of the existing road, pipeline or transmission line the proposed facility will run, to the extent this is known; and

(C)

For energy generation facilities, a map showing the approximate locations of any other energy generation facilities that are known to the applicant to be permitted at the state or local level within the study area as defined in OAR 345-001-0010 (Definitions) for impacts to public services;

(d)

Exhibit D. Information about the organizational expertise of the applicant to construct and operate the proposed facility, providing evidence to support a finding by the Council as required by OAR 345-022-0010 (Organizational Expertise), including:

(A)

The applicant’s previous experience, if any, in constructing and operating similar facilities;

(B)

The qualifications of the applicant’s personnel who will be responsible for constructing and operating the facility, to the extent that the identities of such personnel are known when the application is submitted;

(C)

The qualifications of any architect, engineer, major component vendor, or prime contractor upon whom the applicant will rely in constructing and operating the facility, to the extent that the identities of such persons are known when the application is submitted;

(D)

The past performance of the applicant, including but not limited to the number and severity of any regulatory citations in constructing or operating a facility, type of equipment, or process similar to the proposed facility;

(E)

If the applicant has no previous experience in constructing or operating similar facilities and has not identified a prime contractor for construction or operation of the proposed facility, other evidence that the applicant can successfully construct and operate the proposed facility. The applicant may include, as evidence, a warranty that it will, through contracts, secure the necessary expertise;

(F)

If the applicant has an ISO 9000 or ISO 14000 certified program and proposes to design, construct and operate the facility according to that program, a description of the program; and

(G)

If the applicant relies on mitigation to demonstrate compliance with any standards of Division 22 or 24 of this chapter, evidence that the applicant can successfully complete such proposed mitigation, including past experience with other projects and the qualifications and experience of personnel upon whom the applicant will rely, to the extent that the identities of such persons are known at the date of submittal.

(e)

Exhibit E. Information about permits needed for construction and operation of the facility, including:

(A)

Identification of all federal, state and local government permits related to the siting of the proposed facility, a legal citation of the statute, rule or ordinance governing each permit, and the name, mailing address, email address and telephone number of the agency or office responsible for each permit;

(B)

A description of each permit, the reasons the permit is needed for construction or operation of the facility and the applicant’s analysis of whether the permit should or should not be included in and governed by the site certificate;

(C)

For any state or local government agency permits, licenses or certificates that are proposed to be included in and governed by the site certificate, evidence to support findings by the Council that construction and operation of the proposed facility will comply with the statutes, rules and standards applicable to the permit. The applicant may show this evidence:
(i)
In Exhibit J for permits related to wetlands; or
(ii)
In Exhibit O for permits related to water rights;

(D)

For federally-delegated permit applications, evidence that the responsible agency has received a permit application and the estimated date when the responsible agency will complete its review and issue a permit decision;

(E)

If the applicant relies on a state or local government permit or approval issued to a third party, identification of any such third-party permit and for each:
(i)
Evidence that the applicant has, or has a reasonable likelihood of entering into, a contract or other agreement with the third party for access to the resource or service to be secured by that permit;
(ii)
Evidence that the third party has, or has a reasonable likelihood of obtaining, the necessary permit;
(iii)
An assessment of the impact of the proposed facility on any permits that a third party has obtained and on which the applicant relies to comply with any applicable Council standard;

(F)

If the applicant relies on a federally-delegated permit issued to a third party, identification of any such third-party permit and for each:
(i)
Evidence that the applicant has, or has a reasonable likelihood of entering into, a contract or other agreement with the third party for access to the resource or service to be secured by that permit;
(ii)
Evidence that the responsible agency has received a permit application;
(iii)
The estimated the date when the responsible agency will complete its review and issue a permit decision; and

(G)

The applicant’s proposed monitoring program, if any, for compliance with permit conditions.

(f)

Exhibit F. A list of the names and mailing addresses of property owners, as described in this subsection:

(A)

The list must include all owners of record, as shown on the most recent property tax assessment roll, of property located:

(i) Within 100 feet of property which is the subject of the application, where the subject property is wholly or in part within an urban growth boundary;
(ii)
Within 250 feet of the property which is the subject of the application, where the subject property is outside an urban growth boundary and not within a farm or forest zone; or
(iii)
Within 500 feet of the property which is the subject of the application, where the property is within a farm or forest zone;

(B)

The applicant must submit an updated list of property owners as requested by the Department before the Department issues notice of any public hearing on the application for a site certificate as described in OAR 345-015-0220 (Public Hearing on the Draft Proposed Order); and

(C)

In addition to incorporating the list in the application, the applicant must submit the list to the Department in an electronic format approved by the Department.

(g)

Exhibit G. A materials analysis including:

(A)

An inventory of substantial quantities of industrial materials flowing into and out of the proposed facility during construction and operation;

(B)

The applicant’s plans to manage hazardous substances during construction and operation, including measures to prevent and contain spills; and

(C)

The applicant’s plans to manage non-hazardous waste materials during construction and operation.

(h)

Exhibit H. Information from reasonably available sources regarding the geological and soil stability within the analysis area, providing evidence to support findings by the Council as required by OAR 345-022-0020 (Structural Standard), including:

(A)

A geologic report meeting the Oregon State Board of Geologist Examiners geologic report guidelines. Current guidelines must be determined based on consultation with the Oregon Department of Geology and Mineral Industries, as described in paragraph (B) of this subsection;
(B) A summary of consultation with the Oregon Department of Geology and Mineral Industries regarding the appropriate methodology and scope of the seismic hazards and geology and soil-related hazards assessments, and the appropriate site-specific geotechnical work that must be performed before submitting the application for the Department to determine that the application is complete;

(C)

A description and schedule of site-specific geotechnical work that will be performed before construction for inclusion in the site certificate as conditions;

(D)

For all transmission lines, and for all pipelines that would carry explosive, flammable or hazardous materials, a description of locations along the proposed route where the applicant proposes to perform site specific geotechnical work, including but not limited to railroad crossings, major road crossings, river crossings, dead ends (for transmission lines), corners (for transmission lines), and portions of the proposed route where geologic reconnaissance and other site specific studies provide evidence of existing landslides, marginally stable slopes or potentially liquefiable soils that could be made unstable by the planned construction or experience impacts during the facility’s operation;

(E)

An assessment of seismic hazards, in accordance with standard-of-practice methods and best practices, that addresses all issues relating to the consultation with the Oregon Department of Geology and Mineral Industries described in paragraph (B) of this subsection, and an explanation of how the applicant will design, engineer, construct, and operate the facility to avoid dangers to human safety and the environment from these seismic hazards. Furthermore, an explanation of how the applicant will design, engineer, construct and operate the facility to integrate disaster resilience design to ensure recovery of operations after major disasters. The applicant must include proposed design and engineering features, applicable construction codes, and any monitoring and emergency measures for seismic hazards, including tsunami safety measures if the site is located in the DOGAMI-defined tsunami evacuation zone; and

(F)

An assessment of geology and soil-related hazards which could, in the absence of a seismic event, adversely affect or be aggravated by the construction or operation of the facility, in accordance with standard-of-practice methods and best practices, that address all issues relating to the consultation with the Oregon Department of Geology and Mineral Industries described in paragraph (B) of this subsection. An explanation of how the applicant will design, engineer, construct and operate the facility to adequately avoid dangers to human safety and the environment presented by these hazards, as well as:
(i) An explanation of how the applicant will design, engineer, construct and operate the facility to integrate disaster resilience design to ensure recovery of operations after major disasters; and
(ii) An assessment of future climate conditions for the expected life span of the proposed facility and the potential impacts of those conditions on the proposed facility.
(i)
Exhibit I. Information from reasonably available sources regarding soil conditions and uses in the analysis area, providing evidence to support findings by the Council as required by OAR 345-022-0022 (Soil Protection), including:

(A)

Identification and description of the major soil types in the analysis area;

(B)

Identification and description of current land uses in the analysis area, such as growing crops, that require or depend on productive soils;

(C)

Identification and assessment of significant potential adverse impact to soils from construction, operation and retirement of the facility, including, but not limited to, erosion and chemical factors such as salt deposition from cooling towers, land application of liquid effluent, and chemical spills;

(D)

A description of any measures the applicant proposes to avoid or mitigate adverse impact to soils; and

(E)

The applicant’s proposed monitoring program, if any, for adverse impact to soils during construction and operation.

(j)

Exhibit J. Information based on literature and field study, as appropriate, about waters of this state, as defined under ORS 196.800 (Definitions for ORS 196.600 to 196.921), including:

(A)

A description of all areas within the site boundary that might be waters of this state and a map showing the location of these features;

(B)

An analysis of whether construction or operation of the proposed facility would adversely affect any waters of this state;

(C)

A description of the significance of potential adverse impacts to each feature identified in (A), including the nature and amount of material the applicant would remove from or place in the waters analyzed in (B);

(D)

If the proposed facility would not need a removal-fill authorization, an explanation of why no such authorization is required for the construction and operation of the proposed facility;

(E)

If the proposed facility would need a removal-fill authorization, information to support a determination by the Council that the Oregon Department of State Lands should issue a removal-fill permit, including information in the form required by the Department of State Lands under OAR Chapter 141 Division 85; and

(F)

A description of proposed actions to mitigate adverse impacts to the features identified in (A) and the applicant’s proposed monitoring program, if any, for such impacts.

(k)

Exhibit K. Information about the proposed facility’s compliance with the statewide planning goals adopted by the Land Conservation and Development Commission, providing evidence to support a finding by the Council as required by OAR 345-022-0030 (Land Use). The applicant must state whether the applicant elects to address the Council’s land use standard by obtaining local land use approvals under ORS 469.504 (Facility compliance with statewide planning goals)(1)(a) or by obtaining a Council determination under ORS 469.504 (Facility compliance with statewide planning goals)(1)(b). An applicant may elect different processes for an energy facility and a related or supporting facility but may not otherwise combine the two processes. Once the applicant has made an election, the applicant may not amend the application to make a different election. In this subsection, “affected local government” means a local government that has land use jurisdiction over any part of the proposed site of the facility. In the application, the applicant must:

(A)

Include a map showing the comprehensive plan designations and land use zones in the analysis area;

(B)

If the applicant elects to obtain local land use approvals:
(i)
Identify the affected local governments from which land use approvals will be sought;
(ii)
Describe the land use approvals required in order to satisfy the Council’s land use standard;
(iii)
Describe the status of the applicant’s application for each land use approval;
(iv)
Provide an estimate of time for issuance of local land use approvals;

(C)

If the applicant elects to obtain a Council determination on land use:
(i)
Identify the affected local governments;
(ii)
Identify the applicable substantive criteria from the affected local government’s acknowledged comprehensive plan and land use regulations that are required by the statewide planning goals and that are in effect on the date the application is submitted and describe how the proposed facility complies with those criteria;
(iii)
Identify all Land Conservation and Development Commission administrative rules, statewide planning goals and land use statutes directly applicable to the facility under ORS 197.646 (Implementation of new requirement in goal, rule or statute)(3) and describe how the proposed facility complies with those rules, goals and statutes;
(iv)
If the proposed facility might not comply with all applicable substantive criteria, identify the applicable statewide planning goals and describe how the proposed facility complies with those goals;
(v)
If the proposed facility might not comply with all applicable substantive criteria or applicable statewide planning goals, describe why an exception to any applicable statewide planning goal is justified, providing evidence to support all findings by the Council required under ORS 469.504 (Facility compliance with statewide planning goals)(2); and

(D)

If the proposed facility will be located on federal land:
(i)
Identify the applicable land management plan adopted by the federal agency with jurisdiction over the federal land;
(ii)
Explain any differences between state or local land use requirements and federal land management requirements;
(iii)
Describe how the proposed facility complies with the applicable federal land management plan;
(iv)
Describe any federal land use approvals required for the proposed facility and the status of application for each required federal land use approval;
(v)
Provide an estimate of time for issuance of federal land use approvals; and
(vi)
If federal law or the land management plan conflicts with any applicable state or local land use requirements, explain the differences in the conflicting requirements, state whether the applicant requests Council waiver of the land use standard described under paragraph (B) or (C) of this subsection and explain the basis for a waiver.

(L)

Exhibit L. Information about the proposed facility’s impact on protected areas, providing evidence to support a finding by the Council as required by OAR 345-022-0040 (Protected Areas), including:

(A)

A list of the protected areas within the analysis area showing the distance and direction from the proposed facility and the basis for protection by reference to a specific subsection under OAR 345-022-0040 (Protected Areas)(1);

(B)

A map showing the location of the proposed facility in relation to the protected areas listed in OAR 345-022-0040 (Protected Areas) located within the analysis area; and

(C)

A description of significant potential impacts of the proposed facility, if any, on the protected areas including, but not limited to, potential impacts such as:
(i)
Noise resulting from facility construction or operation;
(ii)
Increased traffic resulting from facility construction or operation;
(iii)
Water use during facility construction or operation;
(iv)
Wastewater disposal resulting from facility construction or operation;
(v)
Visual impacts of facility structures or plumes; and
(vi)
Visual impacts from air emissions resulting from facility construction or operation, including, but not limited to, impacts on Class 1 Areas as described in OAR 340-204-0050 (Designation of Prevention of Significant Deterioration Areas).

(m)

Exhibit M. Information about the applicant’s financial capability, providing evidence to support a finding by the Council as required by OAR 345-022-0050 (Retirement and Financial Assurance)(2). Nothing in this subsection requires the disclosure of information or records protected from public disclosure by any provision of state or federal law. The applicant must include:

(A)

An opinion or opinions from legal counsel stating that, to counsel’s best knowledge, the applicant has the legal authority to construct and operate the facility without violating its bond indenture provisions, articles of incorporation, common stock covenants, or similar agreements;

(B)

The type and amount of the applicant’s proposed bond or letter of credit to meet the requirements of OAR 345-022-0050 (Retirement and Financial Assurance); and

(C)

Evidence that the applicant has a reasonable likelihood of obtaining the proposed bond or letter of credit in the amount proposed in paragraph (B), before beginning construction of the facility.

(n)

Exhibit N. If the proposed facility is a non-generating facility for which the applicant must demonstrate need under OAR 345-023-0005 (Need for a Facility), information about the need for the facility, providing evidence to support a finding by the Council as required by OAR 345-023-0005 (Need for a Facility), including:

(A)

Identification of the rule in Division 23 of this chapter under which the applicant chooses to demonstrate need;

(B)

If the applicant chooses to demonstrate need for the proposed facility under OAR 345-023-0020 (Least-Cost Plan Rule)(1), the least-cost plan rule:
(i)
Identification of the energy resource plan or combination of plans on which the applicant relies to demonstrate need;
(ii)
The name, address and telephone number of the person responsible for preparing each energy resource plan identified in subparagraph (i);
(iii)
For each plan reviewed by a regulatory agency, the agency’s findings and final decision, including:

(I)

For a plan reviewed by the Oregon Public Utility Commission, the acknowledgment order; or

(II)

For a plan reviewed by any other regulatory agency, a summary of the public process including evidence to support a finding by the Council that the agency’s decision process included a full, fair and open public participation and comment process as required by OAR 345-023-0020 (Least-Cost Plan Rule)(1)(L), and the location of and means by which the Department can obtain a complete copy of the public record;
(iv)
Identification of the sections of the short-term action plan that call for the acquisition of the proposed facility or, as defined in OAR 345-001-0010 (Definitions), a facility substantially similar to the proposed facility;
(v)
The attributes of the proposed facility that qualify it as one called for in the short-term action plan of the energy resource plan or combination of plans identified in subparagraph (i) or a demonstration that, as defined in OAR 345-001-0010 (Definitions), a facility substantially similar to the proposed facility is called for in the plan;

(C)

In addition to the information described in paragraph (B), if the applicant chooses to demonstrate need for the proposed facility under OAR 345-023-0020 (Least-Cost Plan Rule)(1), the least-cost plan rule, and relies on an energy resource plan not acknowledged by the Public Utility Commission of Oregon:
(i)
The names, addresses and telephone numbers of members of any public advisory groups that participated in the preparation and review of each plan identified in paragraph (B);
(ii)
A discussion of how the plan or combination of plans conforms to the standards in OAR 345-023-0020 (Least-Cost Plan Rule)(1)(a) through (L) including citations to relevant portions of the plan documents or other supporting evidence;
(iii)
The expected annual emissions in tons of nitrogen oxides, PM-10 particulate, sulfur dioxide, carbon dioxide and mercury and a discussion of other environmental impacts, as compared to resources in the applicable energy resource plan;

(D)

In addition to the information described in paragraphs (B) and (C), if the applicant chooses to demonstrate need for a proposed natural gas pipeline or storage facility for liquefied natural gas under OAR 345-023-0020 (Least-Cost Plan Rule)(1), the least-cost plan rule, and relies on an energy resource plan not acknowledged by the Public Utility Commission of Oregon, the applicant must include the information described in paragraph (G) of this subsection if the energy resource plan or combination of plans does not contain that information. If the energy resource plan or combination of plans contains the information described in paragraph (G), the applicant must provide a list of citations to the sections of the energy resource plan that contain the information;

(E)

In addition to the information described in paragraphs (B) and (C), if the applicant chooses to demonstrate need for a proposed electric transmission line under OAR 345-023-0020 (Least-Cost Plan Rule)(1), the least-cost plan rule and relies on an energy resource plan not acknowledged by the Public Utility Commission of Oregon, the applicant must include the information described in paragraph (F) of this subsection if the energy resource plan or combination of plans does not contain that information. If the energy resource plan or combination of plans contains the information described in paragraph (F), the applicant must provide a list of citations to the sections of the energy resource plan that contain the information;

(F)

If the applicant chooses to demonstrate need for a proposed electric transmission line under OAR 345-023-0030 (System Reliability Rule for Electric Transmission Lines), the system reliability rule:
(i)
Load-resource balance tables for the area to be served by the proposed facility. In the tables, the applicant must include firm capacity demands and existing and committed firm resources for each of the years from the date of submission of the application to at least five years after the expected in-service date of the facility;
(ii)
Within the tables described in subparagraph (i), a forecast of firm capacity demands for electricity and firm annual electricity sales for the area to be served by the proposed facility. The applicant must separate firm capacity demands and firm annual electricity sales into loads of retail customers, system losses, reserve margins and each wholesale contract for firm sale. In the forecast, the applicant must include a discussion of how the forecast incorporates reductions in firm capacity demand and firm annual electricity sales resulting from:

(I)

Existing federal, state or local building codes, and equipment standards and conservation programs required by law for the area to be served by the proposed facility;

(II)

Conservation programs provided by the energy supplier, as defined in OAR 345-001-0010 (Definitions);

(III)

Conservation that results from responses to price; and

(IV)

Retail customer fuel choice;
(iii)
Within the tables described in subparagraph (i), a forecast of existing and committed firm resources used to meet the demands described in subparagraph (ii). The applicant must include, as existing and committed firm resources, existing generation and transmission facilities, firm contract resources and committed new resources minus expected resource retirements or displacement. In the forecast, the applicant must list each resource separately;
(iv)
A discussion of the reasons each resource is being retired or displaced if the forecast described in subparagraph (iii) includes expected retirements or displacements;
(v)
A discussion of the annual capacity factors assumed for any generating facilities listed in the forecast described in subparagraph (iii);
(vi)
A discussion of the reliability criteria the applicant uses to demonstrate the proposed facility is needed, considering the load carrying capability of existing transmission system facilities supporting the area to be served by the proposed facility;
(vii)
A discussion of reasons why the proposed facility is economically reasonable compared to the alternatives described below. In the discussion, the applicant must include a table showing the amounts of firm capacity and firm annual electricity available from the proposed facility and each alternative and the estimated direct cost, as defined in OAR 345-001-0010 (Definitions), of the proposed facility and each alternative. The applicant must include documentation of assumptions and calculations supporting the table. The applicant must evaluate alternatives to construction and operation of the proposed facility that include, but are not limited to:

(I)

Implementation of cost-effective conservation, peak load management and voluntary customer interruption as a substitute for the proposed facility;

(II)

Construction and operation of electric generating facilities as a substitute for the proposed facility;

(III)

Direct use of natural gas, solar or geothermal resources at retail loads as a substitute for use of electricity transmitted by the proposed facility;

(IV)

Adding standard sized smaller or larger transmission line capacity;
(viii)
The earliest and latest expected in-service dates of the facility and a discussion of the circumstances of the energy supplier, as defined in OAR 345-001-0010 (Definitions), that determine these dates; and

(G)

If the applicant chooses to demonstrate need for a proposed natural gas pipeline or a proposed facility for storing liquefied natural gas under OAR 345-023-0040 (Economically Reasonable Rule for Natural Gas Pipelines or Liquified Natural Gas Storage Facilities), the economically reasonable rule:
(i)
Load-resource balance tables for the area to be served by the proposed facility. In the tables, the applicant must include firm demands and resource availability for each of the years from the date of submission of the application to at least five years after the expected in-service date of the proposed facility. In the tables, the applicant must list flowing supply and storage supply separately;
(ii)
Within the tables described in subparagraph (i), a forecast of firm capacity demands for the area to be served by the proposed facility. The applicant must separate firm capacity demands into firm demands of retail customers, system losses and each wholesale contract for firm sale. The applicant must accompany the tables with load duration curves of firm capacity and interruptible demands for the most recent historical year, the year the facility is expected to be placed in service and the fifth year after the expected in-service date. In the forecast of firm capacity demands, the applicant must include a discussion of how the forecast incorporates reductions in firm capacity demand resulting from:

(I)

Existing federal, state or local building codes and equipment standards and conservation programs required by law for the area to be served by the proposed facility;

(II)

Conservation programs provided by the energy supplier, as defined in OAR 345-001-0010 (Definitions);

(III)

Conservation that results from responses to price; and

(IV)

Retail customer fuel choice;
(iii)
Within the tables described in subparagraph (i), a forecast of existing and committed firm resources used to meet the demands described in subparagraph (ii). The applicant must include, as existing and committed firm capacity resources, existing pipelines, storage facilities, and scheduled and budgeted new facilities minus expected resource retirements or displacement. In the forecast, the applicant must list each committed resource separately;
(iv)
A discussion of the reasons each resource is being retired or displaced if the forecast described in subparagraph (iii) includes expected retirements or displacements;
(v)
A discussion of the capacity factors assumed for any storage facilities listed in the forecast described in subparagraph (iii);
(vi)
A discussion of the reliability criteria the applicant uses to demonstrate the proposed facility is needed, considering the capacity of existing gas system facilities supporting the area to be served by the proposed facility;
(vii)
A discussion of reasons why the proposed facility is economically reasonable compared to the alternatives described in subparagraphs (viii) or (ix). In the discussion, the applicant must include a table showing the amounts of firm capacity available from the proposed facility and each alternative and the estimated direct cost, as defined in OAR 345-001-0010 (Definitions), of the proposed facility and each alternative. The applicant must include documentation of assumptions and calculations supporting the table;
(viii)
In an application for a proposed natural gas pipeline, an evaluation of alternatives to construction and operation of the proposed facility including, but not limited to:

(I)

Implementation of cost-effective conservation, peak load management and voluntary customer interruption as a substitute for the proposed facility;

(II)

Installation of propane storage systems, facilities to store liquefied natural gas and underground gas storage reservoirs as a substitute for the proposed facility;

(III)

Direct use of electricity, solar or geothermal resources at retail loads as a substitute for use of natural gas supplied by the proposed facility;

(IV)

Adding standard sized smaller or larger pipeline capacity;
(ix)
In an application for a proposed liquefied natural gas storage facility, an evaluation of alternatives to construction and operation of the proposed facility including, but not limited to:

(I)

Implementation of cost-effective conservation, peak load management and voluntary customer interruption as a substitute for the proposed facility;

(II)

Installation of propane storage systems, natural gas pipelines and underground gas storage facilities as a substitute for the proposed facility;

(III)

Direct use of electricity, solar or geothermal resources at retail loads as a substitute for use of natural gas supplied by the proposed facility;

(IV)

Adding smaller or larger liquefied natural gas storage capacity; and
(x)
The earliest and latest expected in-service date of the facility and a discussion of the circumstances of the energy supplier, as defined in OAR 345-001-0010 (Definitions), that determine these dates.

(o)

Exhibit O. Information about anticipated water use during construction and operation of the proposed facility. The applicant must include:

(A)

A description of the use of water during construction and operation of the proposed facility;

(B)

A description of each source of water and the applicant’s estimate of the amount of water the facility will need during construction and during operation from each source under annual average and worst-case conditions;

(C)

A description of each avenue of water loss or output from the facility site for the uses described in (A), the applicant’s estimate of the amount of water in each avenue under annual average and worst-case conditions and the final disposition of all wastewater;

(D)

For thermal power plants, a water balance diagram, including the source of cooling water and the estimated consumptive use of cooling water during operation, based on annual average conditions;

(E)

If the proposed facility would not need a groundwater permit, a surface water permit or a water right transfer, an explanation of why no such permit or transfer is required for the construction and operation of the proposed facility;

(F)

If the proposed facility would need a groundwater permit, a surface water permit or a water right transfer, information to support a determination by the Council that the Water Resources Department should issue the permit or transfer of a water use, including information in the form required by the Water Resources Department under OAR Chapter 690, Divisions 310 and 380; and

(G)

A description of proposed actions to mitigate the adverse impacts of water use on affected resources.

(p)

Exhibit P. Information about the fish and wildlife habitat and the fish and wildlife species, other than the species addressed in subsection (q) that could be affected by the proposed facility, providing evidence to support a finding by the Council as required by OAR 345-022-0060 (Fish and Wildlife Habitat). The applicant must include:

(A)

A description of biological and botanical surveys performed that support the information in this exhibit, including a discussion of the timing and scope of each survey;

(B)

Identification of all fish and wildlife habitat in the analysis area, classified by the general fish and wildlife habitat categories as set forth in OAR 635-415-0025 (Implementation of Department Habitat Mitigation Recommendations) and the sage-grouse specific habitats described in the Greater Sage-Grouse Conservation Strategy for Oregon at OAR 635-140-0000 (Purpose) through 635-140-0025 (Mitigation Hierarchy of Impacts in Sage-grouse Core, Low Density, and General Habitats) (core, low density, and general habitats), and a description of the characteristics and condition of that habitat in the analysis area, including a table of the areas of permanent disturbance and temporary disturbance (in acres) in each habitat category and subtype;

(C)

A map showing the locations of the habitat identified in (B);

(D)

Based on consultation with the Oregon Department of Fish and Wildlife (ODFW) and appropriate field study and literature review, identification of all State Sensitive Species that might be present in the analysis area and a discussion of any site-specific issues of concern to ODFW;

(E)

A baseline survey of the use of habitat in the analysis area by species identified in (D) performed according to a protocol approved by the Department and ODFW;

(F)

A description of the nature, extent and duration of potential adverse impacts on the habitat identified in (B) and species identified in (D) that could result from construction, operation and retirement of the proposed facility;

(G)

A description of any measures proposed by the applicant to avoid, reduce, or mitigate the potential adverse impacts described in (F) in accordance with the general fish and wildlife habitat mitigation goals and standards described in OAR 635-415-0025 (Implementation of Department Habitat Mitigation Recommendations) and a description of any measures proposed by the applicant to avoid, minimize, and provide compensatory mitigation for the potential adverse impacts described in (F) in accordance with the sage-grouse specific habitat mitigation requirements described in the Greater Sage-Grouse Conservation Strategy for Oregon at OAR 635-140-0000 (Purpose) through 635-140-0025 (Mitigation Hierarchy of Impacts in Sage-grouse Core, Low Density, and General Habitats), and a discussion of how the proposed measures would achieve those goals and requirements; and

(H)

A description of the applicant’s proposed monitoring plans to evaluate the success of the measures described in (G).

(q)

Exhibit Q. Information about threatened and endangered plant and animal species that may be affected by the proposed facility, providing evidence to support a finding by the Council as required by OAR 345-022-0070 (Threatened and Endangered Species). The applicant must include:

(A)

Based on appropriate literature and field study, identification of all threatened or endangered species listed under ORS 496.172 (Commission management authority for threatened or endangered species)(2) and ORS 564.105 (Responsibility to protect and conserve native plants)(2) that may be affected by the proposed facility;

(B)

For each species identified under (A), a description of the nature, extent, locations and timing of its occurrence in the analysis area and how the facility might adversely affect it;

(C)

For each species identified under (A), a description of measures proposed by the applicant, if any, to avoid or reduce adverse impact;

(D)

For each plant species identified under (A), a description of how the proposed facility, including any mitigation measures, complies with the protection and conservation program, if any, that the Oregon Department of Agriculture has adopted under ORS 564.105 (Responsibility to protect and conserve native plants)(3);

(E)

For each plant species identified under paragraph (A), if the Oregon Department of Agriculture has not adopted a protection and conservation program under ORS 564.105 (Responsibility to protect and conserve native plants)(3), a description of significant potential impacts of the proposed facility on the continued existence of the species and on the critical habitat of such species and evidence that the proposed facility, including any mitigation measures, is not likely to cause a significant reduction in the likelihood of survival or recovery of the species;

(F)

For each animal species identified under (A), a description of significant potential impacts of the proposed facility on the continued existence of such species and on the critical habitat of such species and evidence that the proposed facility, including any mitigation measures, is not likely to cause a significant reduction in the likelihood of survival or recovery of the species; and

(G)

The applicant’s proposed monitoring program, if any, for impacts to threatened and endangered species.

(r)

Exhibit R. An analysis of significant potential impacts of the proposed facility, if any, on scenic resources identified as significant or important in local land use plans, tribal land management plans and federal land management plans for any lands located within the analysis area, providing evidence to support a finding by the Council as required by OAR 345-022-0080 (Scenic Resources), including:

(A)

A list of the local, tribal and federal plans that address lands within the analysis area;

(B)

Identification and description of the scenic resources identified as significant or important in the plans listed in (A), including a copy of the portion of the management plan that identifies the resource as significant or important;

(C)

A description of significant potential adverse impacts to the scenic resources identified in (B), including, but not limited to, impacts such as:
(i)
Loss of vegetation or alteration of the landscape as a result of construction or operation; and
(ii)
Visual impacts of facility structures or plumes;

(D)

The measures the applicant proposes to avoid, reduce or otherwise mitigate any significant adverse impacts;

(E)

A map or maps showing the location of the scenic resources described under (B); and

(F)

The applicant’s proposed monitoring program, if any, for impacts to scenic resources.

(s)

Exhibit S. Information about historic, cultural and archaeological resources. Information concerning the location of archaeological sites or objects may be exempt from public disclosure under ORS 192.345 (Public records conditionally exempt from disclosure)(11). The applicant must submit such information separately, clearly marked as “confidential,” and shall request that the Department and the Council keep the information confidential to the extent permitted by law. The applicant must include information in Exhibit S or in confidential submissions providing evidence to support a finding by the Council as required by OAR 345-022-0090 (Historic, Cultural and Archaeological Resources), including:

(A)

Historic and cultural resources within the analysis area that have been listed, or would likely be eligible for listing, on the National Register of Historic Places;

(B)

For private lands, archaeological objects, as defined in ORS 358.905 (Definitions for ORS 358.905 to 358.961)(1)(a), and archaeological sites, as defined in ORS 358.905 (Definitions for ORS 358.905 to 358.961)(1)(c), within the analysis area;

(C)

For public lands, archaeological sites, as defined in ORS 358.905 (Definitions for ORS 358.905 to 358.961)(1)(c), within the analysis area;

(D)

The significant potential impacts, if any, of the construction, operation and retirement of the proposed facility on the resources described in paragraphs (A), (B) and (C) and a plan for protection of those resources that includes at least the following:
(i)
A description of any discovery measures, such as surveys, inventories, and limited subsurface testing work, recommended by the State Historic Preservation Officer or the National Park Service of the U.S. Department of Interior for the purpose of locating, identifying and assessing the significance of resources listed in paragraphs (A), (B) and (C);
(ii)
The results of the discovery measures described in subparagraph (i), together with an explanation by the applicant of any variations from the survey, inventory, or testing recommended;
(iii)
A list of measures to prevent destruction of the resources identified during surveys, inventories and subsurface testing referred to in subparagraph (i) or discovered during construction; and

(E)

The applicant’s proposed monitoring program, if any, for impacts to historic, cultural and archaeological resources during construction and operation of the proposed facility.

(t)

Exhibit T. Information about the impacts the proposed facility would have on important recreational opportunities in the analysis area, providing evidence to support a finding by the Council as required by OAR 345-022-0100 (Recreation), including:

(A)

A description of the recreational opportunities in the analysis area that includes information on the factors listed in OAR 345-022-0100 (Recreation)(1) as a basis for identifying important recreational opportunities;

(B)

A description of any significant potential adverse impacts to the important opportunities identified in (A) including, but not limited to:
(i)
Direct or indirect loss of a recreational opportunity as a result of facility construction or operation;
(ii)
Noise resulting from facility construction or operation;
(iii)
Increased traffic resulting from facility construction or operation;
(iv)
Visual impacts of facility structures or plumes;

(C)

A description of any measures the applicant proposes to avoid, reduce or otherwise mitigate the significant adverse impacts identified in (B);

(D)

A map of the analysis area showing the locations of important recreational opportunities identified in (A); and

(E)

The applicant’s proposed monitoring program, if any, for impacts to important recreational opportunities.

(u)

Exhibit U. Information about significant potential adverse impacts of construction and operation of the proposed facility on the ability of public and private providers in the analysis area to provide the services listed in OAR 345-022-0110 (Public Services), providing evidence to support a finding by the Council as required by OAR 345-022-0110 (Public Services). The applicant must include:

(A)

The important assumptions the applicant used to evaluate potential impacts;

(B)

Identification of the public and private providers in the analysis area that would likely be affected;

(C)

A description of any likely adverse impact to the ability of the providers identified in (B) to provide the services listed in OAR 345-022-0110 (Public Services);

(D)

Evidence that adverse impacts described in (C) are not likely to be significant, taking into account any measures the applicant proposes to avoid, reduce or otherwise mitigate the impacts; and

(E)

The applicant’s proposed monitoring program, if any, for impacts to the ability of the providers identified in (B) to provide the services listed in OAR 345-022-0110 (Public Services).
(v)
Exhibit V. Information about the applicant’s plans to minimize the generation of solid waste and wastewater and to recycle or reuse solid waste and wastewater, providing evidence to support a finding by the Council as required by OAR 345-022-0120 (Waste Minimization). The applicant must include:

(A)

A description of the major types of solid waste and wastewater that construction, operation and retirement of the facility are likely to generate, including an estimate of the amount of solid waste and wastewater;

(B)

A description of any structures, systems and equipment for management and disposal of solid waste, wastewater and storm water;

(C)

A discussion of any actions or restrictions proposed by the applicant to reduce consumptive water use during construction and operation of the facility;

(D)

The applicant’s plans to minimize, recycle or reuse the solid waste and wastewater described in (A);

(E)

A description of any adverse impact on surrounding and adjacent areas from the accumulation, storage, disposal and transportation of solid waste, wastewater and stormwater during construction and operation of the facility;

(F)

Evidence that adverse impacts described in (D) are likely to be minimal, taking into account any measures the applicant proposes to avoid, reduce or otherwise mitigate the impacts; and

(G)

The applicant’s proposed monitoring program, if any, for minimization of solid waste and wastewater impacts.

(w)

Exhibit W. Information about site restoration, providing evidence to support a finding by the Council as required by OAR 345-022-0050 (Retirement and Financial Assurance)(1). The applicant must include:

(A)

The estimated useful life of the proposed facility;

(B)

Specific actions and tasks to restore the site to a useful, non-hazardous condition;

(C)

An estimate, in current dollars, of the total and unit costs of restoring the site to a useful, non-hazardous condition;

(D)

A discussion and justification of the methods and assumptions used to estimate site restoration costs; and

(E)

For facilities that might produce site contamination by hazardous materials, a proposed monitoring plan, such as periodic environmental site assessment and reporting, or an explanation why a monitoring plan is unnecessary.
(x)
Exhibit X. Information about noise generated by construction and operation of the proposed facility, providing evidence to support a finding by the Council that the proposed facility complies with the Oregon Department of Environmental Quality’s noise control standards in OAR 340-035-0035 (Noise Control Regulations for Industry and Commerce). The applicant must include:

(A)

Predicted noise levels resulting from construction and operation of the proposed facility;

(B)

An analysis of the proposed facility’s compliance with the applicable noise regulations in OAR 340-035-0035 (Noise Control Regulations for Industry and Commerce), including a discussion and justification of the methods and assumptions used in the analysis;

(C)

Any measures the applicant proposes to reduce noise levels or noise impacts or to address public complaints about noise from the facility;

(D)

Any measures the applicant proposes to monitor noise generated by operation of the facility; and

(E)

A list of the names and addresses of all owners of noise sensitive property, as defined in OAR 340-035-0015 (Definitions), within one mile of the proposed site boundary.

(y)

Exhibit Y. If the facility is a base load gas plant, a non-base load power plant, or a nongenerating energy facility that emits carbon dioxide, a statement of the means by which the applicant elects to comply with the applicable carbon dioxide emissions standard under OAR 345-024-0560 (Means of Compliance for Base Load Gas Plants), 345-024-0600 (Means of Compliance for Non-Base Load Power Plants), or 345-024-0630 (Means of Compliance for Nongenerating Energy Facilities) and information, showing detailed calculations, about the carbon dioxide emissions of the energy facility. The applicant may present the calculations in tabular form. The applicant must include the following information and calculations:

(A)

Fuel cycle and usage including the maximum hourly fuel use at net electrical power output at average annual conditions for a base load gas plant and the maximum hourly fuel use at nominal electric generating capacity for a non-base load power plant or a base load gas plant with power augmentation technologies, as applicable;

(B)

The gross capacity as estimated at the generator output terminals for each generating unit. For a base load gas plant, gross capacity is based on the average annual ambient conditions for temperature, barometric pressure and relative humidity. For a non-base load plant, gross capacity is based on the average temperature, barometric pressure and relative humidity at the site during the times of year when the facility is intended to operate. For a baseload gas plant with power augmentation, gross capacity in that mode is based on the average temperature, barometric pressure and relative humidity at the site during the times of year when the facility is intended to operate with power augmentation;

(C)

A table showing a reasonable estimate of all on-site electrical loads and losses greater than 50 kilowatts, including losses from on-site transformers, plus a factor for incidental loads, that are required for the normal operation of the plant when the plant is at its designed full power operation;

(D)

The maximum number of hours per year and energy content (Btu per year, higher heating value) of alternate fuel use;

(E)

The total gross carbon dioxide emissions for 30 years, unless an applicant for a non-base load power plant or nongenerating energy facility proposes to limit operation to a shorter time;

(F)

The gross carbon dioxide emissions rate expressed as:
(i)
Pounds of carbon dioxide per kilowatt-hour of net electric power output for a base load gas plant, including operation with or without power augmentation, as appropriate, or for a non-base load power plant;
(ii)
Pounds of carbon dioxide per horsepower hour for nongenerating facilities for which the output is ordinarily measured in horsepower; or
(iii)
A rate comparable to pounds of carbon dioxide per kilowatt-hour of net electric power output for nongenerating facilities other than those measured in horsepower;

(G)

The total excess carbon dioxide emissions for 30 years, unless an applicant for a non-base load power plant or a nongenerating energy facility proposes to limit operation to a shorter time;

(H)

The excess carbon dioxide emissions rate, using the same measure as required for paragraph (F);

(I)

The average annual site conditions, including temperature, barometric pressure and relative humidity, together with a citation of the source and location of the data collection devices;

(J)

For a non-base load power plant (or when using power augmentation), the average temperature, barometric pressure and relative humidity at the site during the times of the year when the facility is intended to operate, together with a citation of the source and location of the data collection devices;

(K)

The annual fuel input in British thermal units, higher heating value, to the facility for each type of fuel the facility will use, assuming:
(i)
For a base load gas plant, a 100-percent capacity factor on a new and clean basis and the maximum number of hours annually that the applicant proposes to use alternative fuels;
(ii)
For a non-base load power plant, the applicant’s proposed annual hours of operation on a new and clean basis, the maximum number of hours annually that the applicant proposes to use alternative fuels and, if the calculation is based on an operational life of fewer than 30 years, the proposed operational life of the facility;
(iii)
For a nongenerating energy facility, the reasonably likely operation of the facility based on one year, 5-year, 15-year, and 30-year averages, unless an applicant proposes to limit operation to a shorter time;

(L)

For each type of fuel a base load gas plant or a non-base load power plant will use, the estimated heat rate and capacity of the facility measured on a new and clean basis with no thermal energy to cogeneration, consistent with the data supplied in Exhibit B;

(M)

For each type of fuel a nongenerating energy facility will use, the estimated efficiency and capacity of the facility with no thermal energy to cogeneration;

(N)

If the facility provides thermal energy for cogeneration to lower its net carbon dioxide emissions rate:
(i)
The estimated annual useful thermal energy available from the facility for non-electric processes, annual useful thermal energy used by non-electric processes, and annual thermal energy rejected as waste heat;
(ii)
For a base load gas plant or non-base load power plant, the estimated annual net electric power output and annual fuel input in British thermal units higher heating value for the facility for each type of fuel the facility will use and the basis of such estimates;
(iii)
A description of the non-electric thermal processes, the names and addresses of the persons intending to use the non-electric thermal energy, and a description and an estimate of the fuel displaced by cogeneration, including supporting assumptions;
(iv)
A description of the products produced and thermal energy needed for production of the primary products made by the persons intending to use the non-electric thermal energy produced by the proposed facility, supported by fuel use and steam production records or estimates, if the production facility is new;
(v)
The efficiency of each boiler that the thermal energy will displace;
(vi)
For each boiler, the annual fossil fuel displaced in million Btu, higher heating value, by type of fuel that will be displaced by the thermal energy;
(vii)
The annual carbon dioxide offset by the cogeneration host, using a rate of 117 pounds of carbon dioxide per million Btu of natural gas fuel (higher heating value) and a rate of 161 pounds of carbon dioxide per million Btu of distillate fuel (higher heating value);
(viii)
The cumulative carbon dioxide offset by the steam host through the thirtieth year of facility operation, or for a shorter period if an applicant for a nongenerating facility proposes a shorter operational period;
(ix)
A copy of the contractual agreement between the applicant and the cogeneration host for the use of the thermal energy;
(x)
A description of the guarantees of offsets that the applicant must provide for cogeneration projects, pursuant to OAR 345-024-0560 (Means of Compliance for Base Load Gas Plants)(1) and 345-024-0600 (Means of Compliance for Non-Base Load Power Plants)(1);
(xi)
A proposed monitoring and evaluation plan and an independent verification plan, pursuant to subparagraphs (O)(xix) and (O)(xx);
(xii)
A copy of the instrument by which the certificate holder will transfer the offsets to the Council for it to hold in trust;

(O)

If the applicant proposes to offset carbon dioxide emissions as described in OAR 345-024-0550 (Standard for Base Load Gas Plants)(3), 345-024-0560 (Means of Compliance for Base Load Gas Plants)(2), 345-024-0590 (Standard for Non-Base Load Power Plants)(3), 345-024-0600 (Means of Compliance for Non-Base Load Power Plants)(2), 345-024-0620 (Standard for Nongenerating Energy Facilities)(3) or 345-024-0630 (Means of Compliance for Nongenerating Energy Facilities)(1):
(i)
A description of each offset project;
(ii)
A description of who will implement the offset project, including qualifications and experience;
(iii)
Detailed estimates of the of carbon dioxide offset, measured in short tons, that the offset projects will achieve over the life of the project;
(iv)
For each offset project, an explanation of how the applicant quantified its carbon dioxide estimates to a degree of certainty acceptable to the Council through a transparent and replicable calculation methodology;
(v)
For each offset project, evidence that the offset project would not likely have been implemented if not for the applicant’s activities or funding;
(vi)
For each offset project, a description of a “Baseline” projection that does not include the proposed project and a “Project Case” projection that does. The historic Baseline must use reliable emissions data or pre-project data available for the most recent three years unless the applicant can demonstrate that a different period more closely represents historical operations or unless it can demonstrate that another method provides a more reasonable estimate. The applicant must show how the Baseline projection changes over time if changes from business-as-usual could be reasonably anticipated during the project life;
(vii)
For each offset project, a description, in a transparent and realistic manner, of the assumptions and methodologies used to quantify the Baseline and the Project Case projections, including a description of key parameters and data sources. This must include a description of the formulae used to estimate carbon dioxide emissions or sequestration within the project boundary and a net change of carbon dioxide emissions or sequestration that occurs outside of the project boundary that is measurable and attributable to the project activity;
(viii)
For projects that avoid conventional electricity generation, a description of a Baseline that calculates the carbon dioxide emissions per kilowatt hour in two steps:

(I)

For the first five years of operation, a description of the rate based on dispatch data or models or, absent that, a weighted average of all resources in a power pool except zero-fuel-cost or must-run facilities; and

(II)

A description of the rate for any subsequent years based on a group of similar facilities built within the prior five years or under construction in the electrical distribution region of the project or the three most recent plants built in the region, whichever rate is lower;
(ix)
For projects that avoid conventional electricity generation, a description of avoided transmission and distribution losses, using average grid area or national losses;
(x)
A description of any guarantee for offsets from projects that the applicant proposes pursuant to OAR 345-024-0560 (Means of Compliance for Base Load Gas Plants)(2), 345-024-0600 (Means of Compliance for Non-Base Load Power Plants)(2), and 345-024–630(1), if the applicant chooses to offer a guarantee;
(xi)
A description of the offset project boundary. The boundary must encompass all carbon dioxide emissions under the control of the project that are significant and reasonably attributable to the project activity. If the project is being conducted by one part of a corporation, the boundary must include the emissions and reductions of the whole corporate entity and the carbon dioxide emissions resulting from processes and facilities that are related to the project, with identification of subsidiaries that are affected by the project;
(xii)
A description of significant risks and risk mitigation strategies, including an estimate of the range of uncertainty around the expected carbon dioxide offsets;
(xiii)
For biological sequestration projects, an assessment of the risk of climate change to natural systems that are sequestering the carbon dioxide, including, if appropriate, the risks from forest fires, pest and other unplanned releases of carbon from sequestration;
(xiv)
A description of whether the offset project will permanently avoid or displace emissions of carbon dioxide. If a project only temporarily sequesters carbon, an indication of the duration of sequestration or storage;
(xv)
A description of the amount of funding the applicant will provide for each offset project it proposes;
(xvi)
If the applicant anticipates that a project will have funding sources in addition to itself, identification of the sources of those funds, the amount of other funding that is required to implement a project, the amount of funds other parties have committed, and the risks of other funds not being available;
(xvii)
If the applicant proposes that a project will have funding sources in addition to itself, a description of how ownership of the offsets will be allocated among the several funding sources;
(xviii)
A copy of the instrument by which the certificate holder will transfer all the offsets to the Council for it to hold in trust;
(xix)
A description of a transparent and replicable methodology for the applicant’s monitoring and evaluation plan and for an independent verification plan, including:

(I)

Procedures the applicant and the independent entity will employ;

(II)

How the applicant will assure funds for ongoing monitoring, evaluation and verification;

(III)

The time frame and frequency over which the applicant will conduct monitoring and evaluation and over which the independent entity will conduct verification, including the frequency of site visits, if applicable;

(IV)

The reporting procedures and guidelines for the plans; and

(V)

Whether the applicant has identified the independent entity that will perform the verification;
(xx)
The monitoring and evaluation plan and the verification plan must identify the data needs and data quality with regard to accuracy, comparability, completeness and validity. It must include methodologies to be used for data collection, monitoring, storage, reporting and management, including quality assurance and quality control provisions. It must provide complete calculations used to calculate and estimate carbon dioxide emissions from activity within the project boundary. It must show any formulae and assumptions the applicant used to calculate offset project leakage;
(xxi)
A description of reasonably likely, significant undesirable long-term environmental impacts from the implementation of an offset project; and

(P)

If the applicant elects to comply with the applicable carbon dioxide emissions standard by using the monetary path under OAR 345-024-0560 (Means of Compliance for Base Load Gas Plants)(3), 345-024-0600 (Means of Compliance for Non-Base Load Power Plants)(3) or 345-024-0630 (Means of Compliance for Nongenerating Energy Facilities)(2), the applicant must include:
(i)
A statement of the applicant’s election to use the monetary path;
(ii)
The amount of carbon dioxide reduction, in tons, for which the applicant is taking credit by using the monetary path;
(iii)
The qualified organization to whom the applicant will provide offset funds and funds for the cost of selecting and contracting for offsets. The applicant must include evidence that the organization meets the definition of a qualified organization under OAR 345-001-0010 (Definitions). The applicant may identify an organization that has applied for, but has not received, an exemption from federal income taxation, but the Council will not find that the organization is a qualified organization unless the organization is exempt from federal taxation under section 501(c)(3) of the Internal Revenue Code as amended and in effect on September 18, 2015; and
(iv)
A statement of whether the applicant intends to provide a bond or letter of credit to secure the funds it must provide to the qualified organization or whether it requests the option of providing either a bond or a letter of credit.

(z)

Exhibit Z. If the proposed facility has an evaporative cooling tower, information about the cooling tower plume, including:

(A)

The predicted size and frequency of occurrence of a visible plume and an assessment of its visual impact;

(B)

The predicted locations and frequency of occurrence of ice formation on surfaces and ground level fogging and an assessment of significant potential adverse impacts, including, but not limited to, traffic hazards on public roads;

(C)

The predicted locations and rates of deposition of solids released from the cooling tower (cooling tower drift) and an assessment of significant potential adverse impacts to soils, vegetation and other land uses;

(D)

Any measures the applicant proposes to reduce adverse impacts from the cooling tower plume or drift;

(E)

The assumptions and methods used in the plume analysis; and

(F)

The applicant’s proposed monitoring program, if any, for cooling tower plume impacts.

(aa)

Exhibit AA. If the proposed energy facility is a transmission line or has, as a related or supporting facility, a transmission line of any size:

(A)

Information about the expected electric and magnetic fields, including:
(i)
The distance in feet from the proposed center line of each proposed transmission line to the edge of the right-of-way;
(ii)
The type of each occupied structure, including but not limited to residences, commercial establishments, industrial facilities, schools, daycare centers and hospitals, within 200 feet on each side of the proposed center line of each proposed transmission line;
(iii)
The approximate distance in feet from the proposed center line to each structure identified in (A);
(iv)
At representative locations along each proposed transmission line, a graph of the predicted electric and magnetic fields levels from the proposed center line to 200 feet on each side of the proposed center line;
(v)
Any measures the applicant proposes to reduce electric or magnetic field levels;
(vi)
The assumptions and methods used in the electric and magnetic field analysis, including the current in amperes on each proposed transmission line;
(vii)
The applicant’s proposed monitoring program, if any, for actual electric and magnetic field levels; and

(B)

An evaluation of alternate methods and costs of reducing radio interference likely to be caused by the transmission line in the primary reception area near interstate, U.S. and state highways.

(bb)

Exhibit BB. Any other information that the Department requests in the project order or in a notification regarding expedited review.

(cc)

Exhibit CC. Identification, by legal citation, of all state statutes and administrative rules and local government ordinances containing standards or criteria that the proposed facility must meet for the Council to issue a site certificate, other than statutes, rules and ordinances identified in Exhibit E, and identification of the agencies administering those statutes, administrative rules and ordinances. The applicant must identify all statutes, administrative rules and ordinances that the applicant knows to be applicable to the proposed facility, whether or not identified in the project order. To the extent not addressed by other materials in the application, the applicant must include a discussion of how the proposed facility meets the requirements of the applicable statutes, administrative rules and ordinances.

(dd)

Exhibit DD. If the proposed facility is a facility for which the Council has adopted specific standards, information about the facility providing evidence to support findings by the Council as required by the following rules:

(A)

For wind energy facilities, OAR 345-024-0010 (Public Health and Safety Standards for Wind Energy Facilities) and 345-024-0015 (Cumulative Effects Standard for Wind Energy Facilities);

(B)

For surface facilities related to underground gas storage reservoirs, OAR 345-024-0030 (Public Health and Safety Standards for Surface Facilities Related to Underground Gas Storage Reservoirs), including information required by OAR 345-021-0020 (Specific Application Requirements for Siting of Surface Facilities Related to Underground Gas Storage Reservoirs); and

(C)

For any transmission line under Council jurisdiction, OAR 345-024-0090 (Siting Standards for Transmission Lines).

(2)

Documents prepared in connection with an environmental assessment or environmental impact statement for the proposed facility under the National Environmental Policy Act of 1970, if any, may contain some of the information required under section (1) of this rule. The applicant may copy relevant sections of such documents into the appropriate exhibits of the site certificate application. The applicant may otherwise submit full copies of those documents and include, in the appropriate exhibits of the site certificate application, cross-references to the relevant sections of those documents. The applicant may use such documents only to avoid duplication. The applicant must include additional information in the site certificate application as needed to meet the requirements of section (1) of this rule.

(3)

The applicant must include a table of contents in the preliminary application identifying the location of each exhibit required by this rule.

(4)

The applicant must submit, to the Department, an original and a copy of the printed preliminary application, and a non-copy-protected electronic version of the preliminary application in a format acceptable to the Department. The applicant must submit additional printed copies of the preliminary application to the Department upon request. The applicant must prepare and distribute additional copies of the application as required by OAR 345-021-0050 (Distribution of a Preliminary Application).

Source: Rule 345-021-0010 — Contents of an Application, https://secure.­sos.­state.­or.­us/oard/view.­action?ruleNumber=345-021-0010.

Last Updated

Jun. 8, 2021

Rule 345-021-0010’s source at or​.us