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HomeMy WebLinkAbout01-0309-26JEFFERSON COUNTY BOARD OF COUNTY COMMISSIONERS AGENDA REQUEST TO: Board of County Commissioners Josh D. Peters, County Administrator FROM: Jeremy Williammee, Community Development Director Greg Ballard, Development Code Administrator DATE: March 9, 2026 SUBJECT: HEARING and POSSIBLE ACTION re: Amendments to the Jefferson County Code regarding Critical Areas Ordinance (CAO) STATEMENT OF ISSUE: The Board of County Commissioners (BoCC) has scheduled a public hearing for March 9, 2026, at 2:30 p.m. to consider amendments to the Jefferson County Code (JCC) related to the Critical Areas Ordinance (CAO). Specifically, amendments to chapter 17.05 JCC (General Provisions for Port Ludlow Master Planned Resort) in Appendix C, the amendments to chapter 18.10 JCC in Appendix D; the amendments to 18.30 (Development Standards) in Appendix E, the amendments to chapter 18.40 JCC (Permit Application and Review Procedures/SEPA Implementation) in Appendix F, and the amendments to chapter 18.42 JCC (Personal Wireless Service Facilities) in Appendix G. ANALYSIS: The Planning Commission (PC) held a public hearing on December 17, 2025, and continued deliberations on January 7, 2026. After completing its review, the PC voted 9-0 to recommend that the BoCC adopt the proposed amendments to title 18 of the JCC pertaining to critical areas. The BoCC conducted a workshop on February 2, 2026, to review the PC's recommendation. Following discussion, the BoCC elected to hold its own public hearing to gather additional testimony on the proposed amendments. On February 23, the BoCC approved a notice of public hearing for March 9, 2026, at 2:30 p.m., which was subsequently published in the February 25 and March 4, 2026 editions of The Leader. The Board may deliberate and take action on the CAO immediately following the hearing. DCD staff have reviewed the PC's recommendation and prepared the attached updated amendments for the BoCC's consideration. These updates are consistent with the PC's recommendations and are limited to correcting scrivener's errors and ensuring alignment with Resolution 17-19 on regulatory reform. The Prosecuting Attorney's Office has reviewed the staff recommendation. FISCAL IMPACT/COST-BENEFIT ANALYSIS: The General Fund supports this planning process. No significant fiscal impact from the decision to hold a public hearing, other than the fee charged by the newspaper of record. RECOMMENDATION: Conduct the public hearing on March 9, 2026, at 2:30 p.m., deliberate, and potentially take final action on the proposed amendments to the Jefferson County Code related to the Critical Areas Ordinance (CAO) update. The Board may choose to begin or continue deliberations at a later date. The Board may also opt to keep the public hearing open to a specified date and time, to continue deliberations and accept additional written testimony or to receive additional oral testimony at a future continued hearing. REVIEWED BY AZZW J4 D. Peters, County Administrator 3/3/2026 Date 2 STATE OF WASHINGTON County of Jefferson An Ordinance Repealing and Replacing Chapter 18.22 of the Jefferson County Code, known as the Critical Areas Ordinance, and Amending Chapter 17.05 JCC (General Provisions for Port Ludlow Master Planned Resort), Chapter 18.10 (Definitions), Chapter 18.30 (Development Standards), Chapter 18.40 JCC (Permit Application and Review Procedures/SEPA Implementation), and Chapter 18.42 JCC (Personal Wireless Service Facilities). ORDINANCE NO. 01-0309-26 WHEREAS, Jefferson County is required under the Growth Management Act (GMA), as codified under chapter 36.70A RCW and under the chapter 18.45 of the Jefferson County Code (JCC) to conduct a periodic review and update of the Comprehensive Plan and Development Regulations to ensure consistency with updated state laws and regulations, population and employment projections, and county policy decisions and adopts the following procedural and legislative findings; and WHEREAS, RCW 36.70A.170 and RCW 36.70A.172 requires Jefferson County to designate critical areas, including the best available science in developing policies and development regulations to protect the functions and values of critical areas; and WHEREAS, RCW 36.70A.130 requires Jefferson County to continually review, evaluate, and periodically update its development regulations, including critical areas regulations; and WHEREAS, Jefferson County's critical areas regulations are contained in chapter 18.22 of the JCC, which is commonly known as the critical areas ordinance (CAO); and WHEREAS, Ordinance No. 03-0317-08 adopted chapter 18.22 JCC (Critical Areas) and repealed the portions of chapter 18.15 JCC on "environmentally sensitive areas," namely JCC 18.15.165, and JCC 18.15.185 through and including JCC 18.15.400. See Ordinance No. 03-0317- 08, Exhibit B; and WHEREAS, a note to JCC 18.15.180 states, "This was the location of former Environmentally Sensitive Areas District (ESA) Overlays, now codified in Chapter 18.22 as Critical Areas. Any remaining references to "environmentally sensitive areas" within the Jefferson County Code are interchangeable with the term "critical areas;... and WHEREAS, adoption of Ordinance No. 03-0317-08 on March 17, 2008 is when a switch in the terminology to "critical areas" occurred in the Unified Development Code (title 18 JCC). However, remnants of the "environmentally sensitive areas" language continues in a few places in chapter 17.05 JCC (General Provisions for Port Ludlow Master Planned Resort), chapter 18.30 (Development Standards), chapter 18.40 JCC (Permit Application and Review Procedures/SEPA 1 Implementation), and chapter 18.42 JCC (Personal Wireless Service Facilities); and WHEREAS, in the GMA, "critical areas" has replaced the concept of "environmentally sensitive areas." Full consistency with both the GMA and Resolution 17-19 (Regulatory Reform) should be accomplished by the elimination of all uses of "environmentally sensitive areas" in titles 17 and 18 JCC; and WHEREAS, Jefferson County apprised the public that the CAO was in the process of being updated during publicly noticed Jefferson County Planning Commission (Planning Commission) meetings which were held simultaneously in -person on October 16, 2024 in Brinnon, February 26, 2025 in Port Hadlock, March 19, 2025 in Gardiner, and March 25, 2025 in Quilcene and on-line; and WHEREAS, Jefferson County Staff provided an overview of revisions to the Fish and Wildlife Habitat Conservation Areas sections of the CAO to the Planning Commission in a publicly noticed meeting on April 2, 2025; and WHEREAS, Jefferson County Staff provided the Planning Commission with existing and proposed language for the Fish and Wildlife Habitat Conservation Areas and Geologically Hazardous Areas articles of the CAO on April 16, 2025: and WHEREAS, Jefferson County Staff discussed revisions to the Critical Aquifer Recharge Area, Frequently Flooded Areas and Wetland sections of the CAO with the Planning Commission in a publicly noticed meeting on May 7, 2025; and WHEREAS, Jefferson County Staff discussed the Fish and Wildlife Habitat Conservation Areas Technical Memo, agriculture section and wetland buffer reductions with the Planning Commission in a publicly noticed meeting on May 21, 2025; and WHEREAS, Jefferson County Staff provided the Planning Commission a clean version of the revised Fish and Wildlife Habitat Conservation Areas and Wetland sections of the CAO on June 18, 2025; and WHEREAS, Jefferson County Staff discussed the latest changes of the Geotechnically Hazardous Areas, Fish and Wildlife Habitat Conservation Areas Technical Memo and Wetlands sections with the Planning Commission in a publicly noticed meeting on August 6, 2025; and WHEREAS, Jefferson County Staff provided the Planning Commission a copy of the revised CAO and discussed the revised definitions in a publicly noticed meeting on November 19, 2025; and WHEREAS, Jefferson County Staff provided an overview of revisions to Geologically Hazardous Areas and proposed buffer averaging and reduction processes for FWHCA and wetlands, and discussed the variance and reasonable use exception sections to the Planning Commission in a publicly noticed meeting on December 3, 2025; and WHEREAS, the CAO is supported by a record of best available science; and 0 WHEREAS, on December 17, 2025, the Planning Commission has reviewed the draft CAO prepared by Jefferson County Staff recommendations and held a duly noticed public hearing to receive testimony on the proposed amendments to the CAO; and, WHEREAS, on January 7, 2026, the Planning Commission deliberated on the testimony and record, and unanimously voted to recommend the proposed CAO as modified by it for BoCC consideration; and WHEREAS, on February 2, 2026, the BoCC held a workshop on the Planning Commission's recommendation, and the BoCC elected to hold its own public hearing on the proposed amendments to the relevant sections of the Jefferson County Code; and WHEREAS, the BoCC, after timely notice, held a public hearing on March 9, 2026, and hear public testimony; and WHEREAS, the BoCC deliberated over the proposed CAO, providing substantive feedback, which resulted in changes to the CAO which are consistent with the GMA, the State Environmental Policy Act ("SEPA") review, Resolution 17-10 (Regulatory Reform), and the best available science record; and WHEREAS, the entire package of regulations adopted by the BoCC, including the replacement chapter 18.22 JCC reflected in Appendix A, the redline version as shown in Appendix B the amendments to chapter 17.05 JCC (General Provisions for Port Ludlow Master Planned Resort) in Appendix C, the amendments to chapter 18.10 JCC in Appendix D; the amendments to 18.30 (Development Standards) in Appendix E, the amendments to chapter 18.40 JCC (Permit Application and Review Procedures/SEPA Implementation) in Appendix F, and the amendments to chapter 18.42 JCC (Personal Wireless Service Facilities) in Appendix G are attached to this Ordinance; WHEREAS, the BoCC finds that the periodic review and update of the CAO and the replacement of chapter 18.22 reflected in Appendices A and B, the amendments to chapter 17.05 JCC in Appendix C, the amendments to chapter 18.10 JCC in Appendix D; the amendments to 18.30 in Appendix E, the amendments to chapter 18.40 JCC in Appendix F, and the amendments to chapter 18.42 JCC in Appendix G serve to benefit the health, welfare, safety, and lifestyle of the residents of Jefferson County; and WHEREAS, the BoCC finds that the periodic review and update of the CAO and the amendments to chapters 17.05, 18.10, 18.22, 18.30, 18.40, and 18.42 JCC reflected in the Appendices A, B, C, D, E, F, and G are consistent with county -wide planning policies and consistent with the comprehensive plans of other counties and cities with which Jefferson County has common border or regional issues; and WHEREAS, the BoCC finds that the periodic review and update of the CAO in chapter 18.22 JCC and the amendments to chapters 17.05, 18.10, 18.22, 18.30, 18.40, and 18.42 JCC satisfy GMA and JCC requirements for a periodic review and update; and, WHEREAS, the BoCC has fulfilled the requirement that it must evaluate the CAO periodic review and update it using the criteria set forth in JCC 18.45.080(2)(c); and, WHEREAS, the BoCC makes the following additional findings, based on the full and complete record, pursuant to each requirement in JCC 18.45.080(2)(c) (repeated in italics below): (i) Have circumstances related to the proposed amendment and/or the area in which it is located substantially changed since the adoption of the Jefferson County Comprehensive Plan? The circumstances underlying the recommended code amendments have not substantially changed since adoption of the Jefferson County Comprehensive Plan. The Comprehensive Plan's periodic review and update was completed in December 2018 and is currently undergoing the required periodic review process, with final legislative adoption anticipated in 2026. This proposal aligns the CAO development regulations with the County's Comprehensive Plan. (ii) Are the assumptions upon which the Jefferson County Comprehensive Plan is based no longer valid; or is new information available, which was not considered during the adoption process or any annual amendments to the Jefferson County Comprehensive Plan? The assumptions underlying the Jefferson County Comprehensive Plan remain sound. Feedback and information gathered through the public process have further shaped this proposal. The 2025 CAO update prioritizes improving readability and usability, eliminating confusing or redundant provisions, reducing subjectivity in regulatory language, and clarifying and refining key terms. The CAO establishes development regulations that protect the functions and values of critical areas in unincorporated Jefferson County while safeguarding public health, safety, and general welfare. (iii) Does the proposed amendment reflect current, widely held values of the residents of Jefferson County? The proposal reflects currently widely held values. The proposed CAO meets requirements of the Comprehensive Plan, representing residents' input. The proposed CAO is consistent with the 2018 Comprehensive Plan. Note that the following Framework Goal: Framework Goal VI Environmental Conservation (Foster environmental stewardship, preserve clean air and water, and protect fish and wildlife habitat. Anticipate and respond to climate change with mitigation and adaptation strategies) remains valid and was not proposed for change during the 2025 Periodic Review process. Testimony received during the public hearing and comment period confirms that the proposal aligns with these widely held values. (iv) Is growth and development as envisioned in the 2025 Comprehensive Plan occurring faster or slower than anticipated, or is it failing to materialize? Growth in Jefferson County has occurred at a slower pace than projected in the 2018 forecasts. The slower growth rate is being addressed in the 2025 periodic review. (v) Has the capacity of the county to provide adequate services diminished or increased? The capacity of the County to provide adequate services has not diminished or increased relating to this proposal. 2 need? valid? (vi) Is there sufficient urban land, as designated and zoned to meet projected demand and There is sufficient urban land as designated and zoned to meet projected demand and need. (vii) Are any of these assumptions under which the plan is based no longer found to be All assumptions in the Comprehensive Plan are still valid. (viii) Are there changes in the county -wide attitudes? Do they necessitate amendments to the goals of the Comprehensive Plan and the basic values embodied within the Comprehensive Plan Vision Statement? The county -wide attitudes remain strongly aligned with those embodied in the Comprehensive Plan Vision Statement. The proposal does not necessitate amendments to the goals or basic values embodied within the Comprehensive Plan Vision State and the proposal brings the development regulations into better conformance with the Comprehensive Plan. (ix) Are there changes in circumstances which dictate a need for amendment to the Comprehensive Plan? The circumstances related to the proposal and affected areas have not substantially changed since the adoption of the Jefferson County Comprehensive Plan. The Comprehensive Plan's periodic review and update is currently underway, and the proposed CAO development regulations align with the Comprehensive Plan. (x) Do inconsistencies exist between the Comprehensive Plan and the GMA or the Comprehensive Plan and countywide planning policies for Jefferson County? There are no inconsistencies between the Comprehensive Plan, GMA, and Countywide Planning Policies for Jefferson County. NOW, THEREFORE, BE IT ORDAINED BY THE BOARD OF COUNTY COMMISSIONERS OF JEFFERSON COUNTY, STATE OF WASHINGTON, AS FOLLOWS: Section 1. Whereas Clauses are Findings of Fact. The Jefferson County BoCC hereby adopts the above "Whereas" clauses as Findings of Fact. Section 2. Purpose. The purpose of this ordinance is to repeal and replace No. 05-0310-20, as currently codified in chapter 18.22 JCC, and replace this chapter with the CAO as reflected in Appendices A and B. This updated CAO incorporates best available science and is consistent with the Comprehensive Plan for Jefferson County. The repealing of the chapter 18.22 JCC and the ordinances adopting and amending the Critical Areas Ordinance does not repeal or affect any vested rights established by the ordinance. 5 Section 3. Adoption of Amendment to Chapters 17.05, 18.10, 18.30, 18.40, and 18.42 JCC. These chapters are hereby amended as presented in Appendices C, D, E, F. and G. Section 4. Best Available Science. All references listed in Appendix H are incorporated to the County's 2008, 2009 and 2020 Record of Best Available Science, and are considered the review of scientific literature that was submitted, considered, and evaluated by citizens, agencies, tribes, the Planning Commission, Department of Community Development, and the Board of County Commissioners. This literature is referred to as the best available science. The best available science was included in the citizen, Planning Commission, and Board of County Commissioner review. Section 5. Severability. If any section, subsection, sentence, clause, or phrase of this ordinance or its application to any person or circumstance is held invalid, the remainder of this ordinance or its application to other persons or circumstances shall be fully valid and shall not be affected. Section 6. SEPA Compliance. The county, acting as lead agency, published a SEPA Checklist and Determination of Non -Significance (DNS) on November 26, 2025. For the DNS, in accordance with Part 6 of chapter 197-11 WAC, the SEPA responsible official relied upon the following existing environmental documents: Year State Environmental Policy Act Document Description 1997-1998 Draft and Final Environmental Impact Statements (DEIS/FEIS) and addenda prepared in anticipation of adoption of the Comprehensive Plan in 1998. The DEIS and FEIS are dated February 24, 1997 and May 27, 1998, respectively, and examined the potential cumulative environmental impacts of adopting alternative versions of the Comprehensive Plan. 613011999 Draft Supplemental EIS (DSEIS)--Comprehensive Plan 1999 Amendments (Task III of Tri-Area/Glen Cove Special Study) 811811999 Final Supplemental Environmental Impact Statement. Jefferson County Comprehensive Plan 1999 Amendments. Tri-Area/Glen Cove Special Study Task IV. 611112001 Glen Cove/Tri-Area Special Study Supplemental EIS Final Decision Document, June 11, 2001. 2002 Integrated Growth Management Act/State Environmental Policy Act Document Environmental Review of a Non -Project Action: Draft Supplemental EIS August 21, 2002, to Supplement the Comprehensive Plan Draft and Final EIS (1997) and Comprehensive Plan 1999 Amendments Draft and Final SEIS. November 25, 2002 Integrated FSEIS 2002 Amendment Docket. This FSEIS was appealed before the Western Washington Growth Management Hearings Board (WWGMHB) of which the WWGMHB issued a Final Decision and Order (FDO) and remanded it back to the Department for additional 2 environmental review. The county hired Wheeler Consulting, to prepare additional environmental review based on the FDO. A DSEIS to the 2002 CPA SEIS was issued on March 3, 2004. A FSEIS to the 2002 CPA SEIS was issued on May 12, 2004 as part of the review and in consideration of MLA02-00235. 2003 Staff Recommendation and Environmental Analysis with Regard to the Adoption of Four Proposed Site -Specific Amendments to the 1998 Jefferson County Comprehensive Plan. SEPA Addendum August 6, 2003. Sept. 17, 2003 SEPA Addendum for Suggested Amendments. 2004 2004 Staff Report and SEPA Addendum to 1998 EIS for UGA Amendments to the Comprehensive Plan issued May 19, 2004. 2004 2004 Comprehensive Plan Amendment Docket Department of Community Development Integrated Staff Report and SEPA Addendum issued September 22, 2004. 2005 Integrated GMA/SEPA Addendum Staff Report, August 3, 2005. Incorporated by reference: 1998 DEIS/FEIS and 2004 Addendum. 2006 Integrated GMA/SEPA Addendum Staff Rpt., July 19, 2006. 2007 SEPA Addendum, adopting by reference 2004 Staff Report and SEPA Addendum for UGA Amendments to the Comprehensive Plan issued May 19, 2004 and 2004 Comprehensive Plan Amendment Docket Department of Community Development Integrated Staff Report and SEPA Addendum issued September 22, 2004. 2008 Integrated GMA/SEPA Addendum Staff Report, September 3, 2008. Adopted by reference: 1998 DEIS/FEIS, and environmental documents from 2004, 2005, 2006, and 2007 environmental review. 2009 Port Hadlock UGA Sewer Facility Plan (2008) ("Sewer Plan") incorporated into the County's Comprehensive Plan Capital Facilities Element ("CFE") to comply with the Growth Board's decision finding noncompliance with the County's Urban Growth Area ("UGA") and GMA capital facilities planning. Ordinance No. 03-0323-09 (Re: MLA09-00024, UGA Final Compliance Action). 2009 Integrated GMA/SEPA Addendum Staff Report, September 2, 2009. Adopted by legal notice: 1998 DEIS/FEIS, September 22nd Staff Report 2004, 2005, 2006, 2007, 2008, "and all supplementary information... supporting record, analyses, materials." 2010 Integrated GMA/SEPA Addendum Staff Report, September 2010. 2013 Integrated GMA/SEPA Addendum, Staff Report September 4, 2013. Adopted by reference all previous SEPA documents. 2015 Staff Report & SEPA Environmental Review, Proposal to Amend Unified Development Code, JCC 18.30.150 Sign Code, October 29, 2015. Integrated Growth Management Act/State Environmental Policy Act Analysis, Environmental Review of a Non -Project Action. 2018 Jefferson County Comprehensive Plan Update 2018 SEPA Addendum to 1998 Draft and Final Jefferson County Comprehensive Plan Environmental Impact Statements and subsequent Supplemental EISs and Addenda. April 4, 2018. 2021 SEPA Addendum on February 28, 2021. The SEPA Addendum and supporting SEPA Environmental Checklists provide additional information relating to the Jefferson County Final Environmental Impact Statement ("Final EIS"), May 27, 1998 and associated SEPA documents. These SEPA documents were adopted and the additional information was determined not to involve significant new impacts. A Determination of Significance and Notice of Adoption was published on February 28, 2021. 2021 Port Hadlock UGA Sewer Facility Plan Update and Appendices (Feb. 2021). The revisions to the Sewer Plan mostly related to funding, engineering specifications (low pressure system with grinders), and minor modifications to the core service area. The revisions allowed the County to implement sewering the core service area within six years. A Comprehensive Plan Amendment (MLA20-00102) was adopted for the updated Sewer Plan in Ordinance No. 01- 0426-21, when the 2020 Comprehensive Plan Docket was approved. Ordinance No. 01-0426-21 included a SEPA review through a staff issued Addendum to the 1998 Draft and Final Jefferson County Comprehensive Plan Environmental Impact Statements ("EIS") and subsequent Supplement EISs, and a SEPA Checklist and Addendum that addressed the 2020 Docket items, including the proposed revisions to the Comprehensive Plan. 2022 Staff Report & SEPA Environmental Review to establish regulations for the siting, establishment, and operation of temporary housing facilities for unhoused people needing emergency housing services. Proposal to Amend Unified Development Code chapter 18.20 JCC Performance & Use -Specific Standards, chapter 18.10 JCC Definitions. Integrated Growth Management Act/State Environmental Policy Act Addendum. April 20, 2022. 2022 Staff Report & Environmental Review, Proposal to Amend Unified Development Code (UDC) Jefferson County Code (JCC) 18.12: `Legal Lot of Record Determination and Lot Consolidation' and Amendments to chapters 18.10 and 18.35 JCC. Integrated Growth Management Act (GMA)/State Environmental Policy Act (SEPA) Addendum. August 24, 2022. 2023 2023 Comprehensive Plan Amendment Docket, Staff Report and SEPA Addendum. Integrated Growth Management Act and State Environmental Policy Act Document, Environmental Review of a Non -Project Action: Addendum to Existing Environmental Documents. October 11, 2023. 2024 2024 Comprehensive Plan Amendment Docket, Combined Staff Report and SEPA Addendum, an integrated Growth Management Act and State Environmental Policy Act (SEPA) Document (September 4, 2024). An agency may use previously prepared environmental documents to evaluate proposed actions, alternatives, or environmental impacts. The proposals may be the same as or different than those analyzed in the existing documents (WAC 197-11-600(2)). This ordinance is within the scope of the previously prepared environmental documents. Section 7. Effective Date. The ordinance becomes effective upon adoption by the BoCC. (SIGNATURES FOLLOW ON THE NEXT PAGE) I ADOPTED and APPROVED this t 'day ofQrL''t 2026. SEAL: JEFFERSON COUNTY BOA •"'001111 ,�„ g rotherton, Chair °.SO/V . e�di i enhour, Member •. ;�O °''�.� wASN�NG•`°•� Du ley-Nollette Member ATTEST: APPROYVD AS W FORM: 5&�2, K1,40 IqI2 l0 �4March 10, 2026 Carol allaway, CMC ate Philip C. Hunsucker, Date Clerk of the Board Chief Civil Deputy Prosecuting Attorney m1 APPENDIX A Chapter 18.22 CRITICAL AREAS Clean Version of JCC 18.22 Sections: 18.22.100 Authority. 18.22.110 Purpose. 18.22.120 Liberal construction. Chapter 18.22 CRITICAL AREAS Article I. Authority, Purpose, and Intent Article II. Administrative Requirements 18.22.200 Applicability, conflicts with other provision of this code and requests. 18.22.210 Identification and mapping of critical areas. 18.22.220 Critical area review process. 18.22.230 Exemptions from all types of critical requirements. 18.22.240 Nonconforming uses and structures. 18.22.250 Buffer variance types and criteria. 18.22.260 Reasonable economic use exceptions. 18.22.270 Buffers physical separated and functionally isolated. 18.22.280 Adaptive management. Article III. Critical Aquifer Recharge Areas 18.22.300 Purpose. 18.22.310 Classification and designation. 18.22.320 Applicability. 18.22.330 Protection standards. Article IV. Frequently Flooded Areas 18.22.400 Purpose. 18.22.410 Classification and designation. 18.22.420 Applicability. 18.22.430 Protection standards — Incorporation by reference of chapter 15.15 JCC and additional requirements. Article V. Geologically Hazardous Areas 18.22.500 Purpose. 18.22.510 Classification and designation. 18.22.520 Regulated activities. 18.22.530 Protection standards. Article VI. Fish and Wildlife Habitat Conservation Areas (FWHCAs) 18.22.600 Purpose. 18.22.610 Classification and designation. 18.22.620 Applicability. 18.22.630 Protection standards. 18.22.640 Impact assessment and mitigation. 18.22.700 Purpose. 18.22.710 Classification and designation. Article VII. Wetlands Appendix A - 1 18.22.720 Applicability. 18.22.730 Protection standards. 18.22.740 Impact assessment and mitigation. Article VIII. Agriculture 18.22.800 Purpose and intent. 18.22.810 Resource concerns. 18.22.820 Applicability and classification. 18.22.830 Protection standards. 18.22.840 Monitoring and adaptive management. 18.22.850 Compliance. 18.22.860 Limited public disclosure. Article IX. Special Reports 18.22.900 Purpose. 18.22.905 General requirements. 18.22.910 Waivers. 18.22.915 Retaining consultants. 18.22.920 Acceptance of special reports. 18.22.930 Critical aquifer recharge area reports. 18.22.940 Frequently flooded area reports. 18.22.945 Geologically hazardous area reports. 18.22.950 Habitat management reports. 18.22.955 Process and requirements for designating habitats of local importance as critical areas. 18.22.960 Wetland reports. 18.22.965 Critical area stewardship plans. Article I. Authority, Purpose, and Intent 18.22.100 Authority. This chapter is adopted under the authority of Article XI, section 11 of the Washington State Constitution, chapter 36.70A RCW, the Growth Management Act, which requires a county to enact a critical area ordinance and provide for its administration, enforcement and amendment. 18.22.110 Purpose. The purpose of this chapter is to adopt development regulations that protect critical areas that are required to be designated under RCW 36.70A.170, part of the Growth Management Act (chapter 36.70A RCW), including the requirement to follow best available science. 18.22.120 Liberal construction. This chapter and all proceedings under it shall be liberally construed with a view to affect its purpose and intent. Article II. Administrative Requirements 18.22.200 Applicability, conflicts with other provision of this code and requests. (1) This chapter applies to any development, land disturbing activity, or use located within or containing a critical area or its associated buffer in unincorporated Jefferson County. (2) Jefferson County shall not issue any permit or other approval to alter a critical area or its associated buffer without compliance with all of the requirements of this chapter. (3) Land disturbing activity, development, or use located within or containing a critical area or its associated buffer is prohibited without full compliance with all of the requirements of this chapter. (4) Land disturbing activities in critical areas or their associated buffers are prohibited without first obtaining all applicable permits. Appendix A - 2 (5) When one type of critical area or its associated buffer adjoins or overlaps another type of critical area or its associated buffer, the wider and more protective standards shall apply. (6) When any provision of this chapter is in conflict with any other section of the Code, the provision of the Code that provides most protection to the critical areas shall apply . (7) Any critical area occurring within the jurisdiction of the Shoreline Management Act shall follow the requirements in chapter 18.25 JCC. (8) Compliance with this chapter shall not constitute a defense for failing to comply with any other applicable federal, state, or local regulations. (9) The requirements of this chapter shall apply concurrently with review conducted under the State Environmental Policy Act (SEPA) (chapter 43.21C RCW), as locally adopted in chapter 18.40 JCC. Any conditions required pursuant to this chapter shall be coordinated with the SEPA review and threshold determination. (10) This chapter applies to every forest practice over which Jefferson County has jurisdiction under chapter 76.09 RCW and title 222 WAC, which entails conversion of lands to non -forestry use pursuant to JCC 18.20.160. 18.22.210 Identification and mapping of critical areas. (1) The approximate location and extent of critical areas within the county are displayed on various inventory maps available on the Jefferson County geographic information system (GIS) web site. Critical areas maps shall be periodically revised, modified, and updated to reflect current information. (2) The critical areas maps are provided only as a general guide to alert the viewer to the possible location and extent of critical areas. Critical areas maps shall not be relied upon exclusively to establish the existence, or absence or boundaries of a critical area, or to establish whether all of the elements necessary to identify an area as a critical area actually exist. (3) The type, extent and boundaries may be approved by the administrator based on county records, field data, or presented in Special Reports that meet all the requirements of Article IX of this chapter for a type of critical area. In the event of a conflict between a critical area location shown on the county's maps and that of the administrator determination, the administrator's determination shall prevail. (4) To the extent practicable, the county shall ensure that its critical area maps are updated as inventories are completed in compliance with the requirements of the Growth Management Act (chapter 36.70A RCW). 18.22.220 Critical area review process. (1) A Site Development Review outlined in JCC 18.40.420 to 480 is required for all permits for development, land disturbing activity or use. If the development, land disturbing activity or use entails complex issues that require additional input from DCD, the applicant may request an optional pre -application conference per JCC 18.40.090. The purpose of a pre -application conference is to discuss shoreline and applicable critical area requirements, to review any conceptual site plans prepared by the applicant and to identify potential impacts and mitigation measures. A pre -application conference shall be for the convenience of the applicant, and may be conducted on -site, if agreed upon by the applicant and DCD. Any recommendations from the pre -application conference shall not be binding on the applicant or the county. (2) DCD shall perform a critical area review for any development application. Reviews for multiple critical areas shall occur concurrently. For a critical area within shoreline jurisdiction, critical area review shall occur as part of the shoreline review process. (3) To provide a timely and coordinated review process, to the extent reasonably possible, DCD shall consolidate the processing of permits issued by county departments that affect critical areas with the other development permits, as allowed in optional consolidated permit processing outlined in JCC 18.40.030(2). (4) DCD shall review all applications for development, land disturbing activity or use submitted to: (a) Confirm the nature and type of the critical area; Appendix A - 3 (b) Evaluate any required assessments, reports, or studies; (c) Determine whether the development application is consistent with this chapter; (d) Determine whether any additional information is needed to process the development application; and (e) Determine if the mitigation and monitoring plans proposed by the applicant are sufficient to protect the critical area and associated buffer as well as public health, safety, and welfare consistent with the goals, purposes, objectives, and requirements of this chapter. (5) If a proposed development, land disturbing activity or use has the potential to impact a critical area or its associated buffer, the administrator may require a special report to ensure the protection requirements of this chapter are met. Critical area special reports are subject to all of the following requirements: (a) The applicant shall submit a special report when required by this chapter; (b) The report shall be evaluated by DCD to determine if all potential impacts to the critical area or its associated buffer have been addressed in the special report; (c) DCD shall review the impacts of the proposed development for compliance with mitigation requirements (as defined in JCC 18.10.130) to determine if the mitigation plan sufficiently addresses the potential impacts; and (d) Ensure that the submittal for critical area is consistent with other documentation submitted as part of the development application and meet the requirements for a complete application in chapter 18.40 JCC. (6) At every stage of the application process, the burden of demonstrating that a development is consistent with this chapter is upon the applicant. (7) Compliance with this chapter and permit conditions shall be required by any permit issued by DCD. A final building certificate of occupancy shall not be issued until the mitigation proposal has been implemented per the approved mitigation plan and building permit conditions. Other development and stand-alone critical area review shall be required to ensure the mitigation proposal was properly implemented and all permit conditions pertaining to critical areas and buffers have been followed prior to any land use disturbance or use of the property. All approved stand-alone critical areas review shall be completed to satisfy the requirements of this chapter. 18.22.230 Exemptions from all types of critical area requirements. (1) Requirement for frequently flooded areas. Any development, land disturbing activity, or use proposed within frequently flooded areas (i.e., 100-year floodplains or floodway) shall also require a flood permit application to be submitted to DCD. This requirement applies to the proposed exemptions listed in subsection (3) of this section. (2) It is the responsibility of the applicant to provide sufficient information for the administrator to determine that one of the exemptions listed in subsection (3) of this section applies. (3) The following activities in a critical area or its associated buffer are exempt when in compliance with all of the requirements in this section, including those additional requirements in this subsection: (a) Agricultural activities. Existing agricultural activities, as defined in JCC 18.10.010, may continue in substantively the same manner; provided, the agricultural activities do not result in additional adverse impacts to a critical area or its associated buffer. This exemption shall include maintenance and repair of lawfully established structures, infrastructure, drainage and irrigation ditches, and farm ponds; provided, maintenance work does not expand further into a critical area. (b) Forest practice activities. Classes I, II,1II, and IV special (not Class IV general conversions or conversion option harvest plans) in accordance with the provisions of chapter 76.09 RCW and title 222 WAC are exempt, except where the lands have been or are proposed to be converted to a use other than commercial forest product production. Appendix A - 4 (c) Transportation activities maintenance or reconstruction. Maintenance or reconstruction of existing public or private roads, paths, bicycle ways, trails, and bridges are exempt. (d) On -Site sewage system activities. Maintenance or reconstruction of on -site sewage systems are exempt. The expansion or reconstruction of an on -site sewage system shall not further encroach upon a critical area and their associated buffers without obtaining written authorization or a permit from DCD. (e) Drainage facilities or flood control structure maintenance or repair activities. Maintenance or repair of existing drainage facilities or systems, and flood control structures are exempt. This includes, but is not limited to, ditches (that do not meet the criteria for being designated FWHCAs or wetlands), culverts, catch basins, levees, reservoirs, and outfalls. (f) Utility activities. The utility activities listed below are exempt: (i) Normal and routine maintenance or repair of existing utility facilities; or (ii) With the exception of installation of a new substation, installation, construction, relocation and replacement, operation, repair, or alteration of all utility lines, equipment, or appurtenances, in improved road rights -of -way or easement. (g) Reconstruction, remodeling, or maintenance of structures activities. Reconstruction, remodeling, or maintenance of structures activities are exempt, provided: (i) Reconstruction, remodeling, or maintenance of existing structures shall be within the footprint of an existing lawfully established structure; and (ii) Work areas shall be minimized to the fullest extent possible, restored to previous conditions as soon as construction is complete, and staging areas are located outside of critical areas and their associated buffers. This exemption shall not apply if the activity creates or continues a circumstance where personal or property damage likely is due to conditions of the critical area. (h) Site investigative activities. Site investigative work in wetlands, landslide hazard areas, riverine and coastal erosion hazard areas, or FWHCAs, or their associated buffers that is necessary for development application submittals or permit compliance, including but not limited to groundwater monitoring wells, sediment sampling, surveys, soil borings, shallow soil test pits, and excavation for soil logs or percolation tests. Site investigative activities that involve excavated areas are required to be filled unless waived in writing by the administrator. (i) Emergency activities. Activities necessary to resolve or prevent imminent threat or danger to public health or safety, or to public or private property, or serious environmental degradation are exempt; provided: (i) The nature of the emergency requires immediate action within a time period too short to allow full compliance with this chapter; (ii) DCD, as well as any federal or state agencies with jurisdiction (e.g., the U.S. Army Corps of Engineers, Washington State Department of Fish and Wildlife, Washington State Department of Ecology, etc.), have been notified of the emergency action within one working day of the initiation of the emergency action; (iii) Any person undertaking emergency action using this exemption shall submit a complete application to DCD for review and approval within 30 days of abatement of the emergency, and the "after -the -fact" application must show compliance with all requirements of this chapter; and (iv) Any impacts to critical areas or their associated buffers from the emergency activities that are not mitigated within one year of issuance of an "after -the -fact" permit shall be in violation of this exemption and subject to enforcement under title 19 JCC. Appendix A - 5 0) Artificial wetlands and artificial ponds. Artificial wetlands and artificial ponds activities (including maintenance) are exempt if all of the following requirements are met: (i) The artificial wetland or pond does not meet the definition of wetland or FWHCA; and (ii) The artificial wetland or pond was not historically constructed from a wetland or FWHCA or was legally constructed from a wetland or a FWHCA by receiving all applicable permits to modify the critical area. (k) Irrigation. Operation, maintenance and repair of dikes, ditches, reservoirs, ponds and other irrigation structures and facilities that do not require a state hydraulic permit and do not meet the criteria for being designated FWHCAs or wetlands are exempt. (1) Recreational uses without any adverse impact to a critical area. Recreational uses that do not cause any adverse impacts to a critical area or its associated buffer are exempt. Examples include, but are not limited to, such recreational uses as swimming, canoeing, kayaking, hunting, and fishing (pursuant to state law), bird watching, hiking, and bicycling. However, this exemption shall not apply to recreational uses that meet the definition of development. (m) Existing residential landscaping (typically non-native vegetation), including planting, irrigating, mowing, pruning, and maintenance and repair of landscaping structures are exempt; provided, these activities are part of existing normal residential landscaping activities and no building permit is required. This exemption does not allow any additional intrusion, expansion, or introduction of nonnative species into a critical area or its associated buffer. (n) Noxious weed control. Removal or eradication of noxious weeds listed in chapter 16-750 WAC; provided, that all of the following conditions are met: (i) The removal or control of noxious weeds shall follow guidelines issued by the Jefferson County Noxious Weed Control Board, or other agencies with jurisdiction; (ii) The Jefferson County Noxious Weed Control Board, or other agencies with jurisdiction shall coordinate with DCD for the control of noxious weeds in critical areas or their associated buffers; and (ii) The application of all herbicide in aquatic environments shall conform to the rules of the Washington State Department of Ecology, Washington State Department of Agriculture and Washington State Department of Natural Resources, pursuant to chapters 16-228, 173-201 a, and 222-38 WAC. (o) Harvesting of wild crops. Harvesting wild crops as defined in 7 C.F.R § 205.2 is exempt; provided, that the harvesting: (i) Is not injurious to natural reproduction of such crops; (ii) Does not require tilling soil, planting crops, or changing existing topography, water conditions, or water sources; and (iii) Does not have any adverse impacts on protection of the critical area or its associated buffer. (p) Native vegetation enhancement. The enhancement of a critical area or its associated buffer by the removal of invasive plants by handheld machinery, or the planting of native vegetation is exempt. Invasive plants include those listed by the Jefferson County Noxious Weed Board or as listed in the Washington State University Extension invasive forest weed resources. Examples of invasive species include, but not limited to Butterfly bush, English holly, English ivy, Herb robert, Himalayan blackberry, Tansy ragwort, Shiny geranium, or as determined by a qualified agency with jurisdiction, and approved by the administrator. (q) Pruning and tree removal within FWHCAs, wetlands and moderate or high landslide hazard areas may occur if ecological functions and values are not impacted, complies with this standard, complies with the provisions of this title, or is authorized by DCD, pursuant to the following criteria: Appendix A - 6 (i) Pruning. Minor pruning of trees that does not exceed 25% of the live crown, and does not include the topping of trees does not require approval from DCD. Pruning of trees that exceeds this standard may require a tree removal permit or an arborist report submitted to DCD for review and approval. (ii) Tree removal: DCD may require for all tree removal within FWHCAs, wetlands, and moderate or high landslide hazard areas and their associated buffers one or more of the following: (A) A tree removal permit for the removal of trees over 6-inch in diameter or removal of over 50% of the live crown; (B) A special report from a certified arborist to determine if the tree is dead, diseased or a threat to habitable or accessory structures, or where people congregate; (C) A habitat management plan or a mitigation plan; (D) If tree removal is proposed in a moderate or high landslide hazard area, DCD may require a geotechnical report if tree removal could destabilize the slope; (E) Tree removal in shoreline jurisdiction is subject to the requirements in chapter 18.25 JCC. (r) New trails. The construction of a three-foot wide, unpaved, nonmotorized trails. This exemption shall not apply to shoreline jurisdiction, or within a frequently flooded area. (s) Beaver dam alterations with a hydraulic project approval. Beaver dam alteration in stream channels when undertaken with a hydraulic project approval issued by the Washington State Department of Fish and Wildlife pursuant to chapter 77.55 RCW and chapter 220-660 WAC are exempt. (4) Application for exemption. An application for an exemption shall contain all of the following: (a) Prior to the start of a development, land disturbing activity or use for which an exemption is sought, the applicant shall submit to DCD a written description of the development, land disturbing activity or use that includes all of the following information: (i) Type, timing, frequency, and sequence of the development, land disturbing activity or use to be conducted; (ii) Type of equipment to be used (hand or mechanical); (iii) What activity the equipment will be used to perform (iv) How the development, land disturbing activity or use avoids further alterations, impacts or encroachment upon the critical area and its associated buffer; (v) Measures to be implemented to avoid impacts to a critical area and its associated buffer functions; (vi) Why no other responsible or practical alternative exists to achieve the applicant's desired objective; and (vii) The best management practices to be used. (5) Five-year length of an approved application for an exemption. An approved application for an exemption shall be valid for five years; provided, there is no significant change in the type or extent of the development, land disturbing activity or use. Once the development or use is completed, it can be continued. However, any other development, land disturbing activity or use shall require additional review by DCD. (6) Limitations on exemptions. All exemptions are subject to all of the following limitations:. Appendix A - 7 (a) The development, land use activity or use shall not alter, impact, or encroach upon critical areas or their associated buffers and no reasonable or practicable alternative exists; (b) The development, land use activity or use shall not affect the functions of a critical area or its associated buffer, and no reasonable or practicable alternative exists to achieve the applicant's desired objective; (c) Best management practices shall be implemented to minimize impacts to critical areas and their associated buffers during the activity; (d) Disturbed critical areas and their associated buffers shall be restored immediately after the activity is complete; and (f) Any impacts of the development, land disturbing activity or use to a critical area or its associated buffer shall be mitigated, as approved by the administrator. (7) Authority of the administrator. The administrator may: (a) Request additional information from an applicant to ensure compliance with exemption requirements, including special reports listed in Article IX of this chapter; (b) Determine whether an application meets all the criteria for exemptions; (c) Determine that the development, land disturbing activity, or use is closely allied or similar to any activity in the list in subsection (3) of this section, provided the activity does not impact the functions and values of any critical area or its associated buffer; and (d) Take enforcement action under title 19 JCC for any development, land disturbing activity, or use located within or containing a critical area or its associated buffer that does not meet exemption requirements. The decisions in subsections (a), (b) and (c) of this subsection are Type I land use decisions under JCC 18.40.040. 18.22.240 Nonconforming uses and structures. (1) Any legal use or legal structure in existence on the effective date of this chapter that does not meet the critical area or its associated buffer shall be considered a legal nonconforming use. (2) Applicant who prove to the satisfaction of the administrator that the use or structure was legal prior to the effective date of this chapter may continue. (3) A legal nonconforming use or structure may be maintained or repaired or repaired as allowed by this chapter. This may include meeting the provisions of JCC 18.20.260. (4) A legal nonconforming use or structure that has been damaged or destroyed may be restored to a lawfully established prior condition and the immediately previous use may be resumed in accordance with nonconforming provisions of JCC 18.20.260. (5) Nonconforming uses and structures in a critical area or its associated buffer that are under the jurisdiction of the Shoreline Management Act shall follow JCC 18.25.660 (Nonconforming development). 18.22.250 Buffer variance types and criteria. (1) Application for a variance shall be made on forms approved by the administrator and shall contain all of the information required in JCC 18.40.100 and in this subsection: (a) All applications for a variance shall include a restoration plan, habitat management plan or mitigation plan consistent with the provisions of Article IX (Special Reports) of this chapter. The application for a variance shall be processed pursuant to chapter 18.40 JCC (Application and review procedures). (b) Applications for a variance under this section may be pursued only if buffer averaging is not feasible. Buffer averaging is not considered a variance. Appendix A - 8 (c) Applications for a Type I Variance or a Type III Variance shall satisfy all of the requirements in subsection (2) of this section. (2) Variance criteria. Prior to the granting of a variance, the applicant shall demonstrate that all of the following criteria have been met: (a) Failure to grant the variance would result in an extraordinary hardship to the applicant; (b) The extraordinary hardship to the applicant is specifically related to the property, and is the result of unique conditions such as irregular lot shape, size, or natural features and the application of this chapter, and is not, for example, from deed restrictions or the applicant's own action; (c) The variance is justified to cure a special circumstance and not simply for the economic convenience of the applicant and no other practicable or reasonable alternative exists; (d) The granting the variance shall not be materially detrimental to the critical area, public health, safety, welfare, use or interest; or injurious to the property or improvements in the vicinity; (e) The granting of the variance is the minimum necessary to afford relief to accommodate a use allowed under the Comprehensive Plan, chapter 18.45 JCC, Land Use Districts, chapter 18.15 JCC, Jefferson County Shoreline Master Program (SMP), chapter 18.25 JCC, or other applicable provisions of the Code; (f) The granting of the variance shall not materially compromise the goals and policies of the Comprehensive plan, the Code or be inconsistent with title 18 JCC. Proposal that does not meet the variance criteria may submit a reasonable use exception or a critical area stewardship plan (CASP). 18.22.260 Reasonable use exceptions. If a proposal exceeds the FWHCA or wetland thresholds for a variance, the application of this chapter would deny all reasonable use of the property, or would otherwise constitute a taking under either the state or federal constitution, an applicant who seeks an exception from the standards and requirements of this chapter shall pursue relief by means of a reasonable use exception as provided for in this chapter. Any reasonable use authorized under this section shall also be an allowed or conditional land use specified by chapter 18.15 Land Use Districts. For a reasonable use exception to be granted, the following criteria shall be met: (1) An application for a critical area reasonable use exception shall be filed with the administrator and shall be considered by the Hearing Examiner as a Type III land use permit pursuant to chapter 18.40 JCC. The applicant may apply for a reasonable use exception without first applying for a variance if the requested exception would provide relief from standards for which a variance cannot be granted under this chapter (i.e. exceeds the maximum reduction permitted in each of the critical area protection standards). The property owner and applicant for a reasonable use exception have the burden of proving that the property is deprived of all reasonable uses. (2) Even though a variance application is not required, a reasonable use exception is a type of variance and shall meet the variance criteria found in JCC 18.22.250 to the maximum extent possible. In addition, approval of a reasonable use exception requires consistency with all of the following criteria listed in subsection (a) through (f) of this section. Demonstration of consistency is burdened upon the applicant. (a) The applicant shall submit reports documenting the location of all the critical areas and their associated buffers. This information shall be identified on a site map to scale; (b) Application of this chapter would deny all reasonable use of the property; (c) There is no other reasonable or practicable use of the property; (d) The proposed development does not pose an unreasonable threat to the public health, safety or welfare on or off the development proposal site; Appendix A - 9 (e) The proposed development is consistent with the general purposes of this chapter and the public interest, and does not conflict with applicable state and federal laws; and (f) The proposed alterations to regulated critical areas and their associated buffers are the minimum necessary to allow for reasonable use of the property. (3) Any authorized alteration of a critical area under this section may be subject to additional conditions established by the administrator and may require mitigation under an approved mitigation plan pursuant to Article IX (Special Reports). 18.22.270 Buffers physically separated and functionally isolated. (1) Critical areas buffers that are both physically separated and functionally isolated from a critical area and do not protect the critical area from adverse impacts shall be excluded from critical areas requirements of this chapter. Physically separated and functional isolation can occur due to anthropogenic physical conditions such as an existing impervious public road, or structures of sufficient size to eliminate buffer functions, vertical separating, or any other relevant physical characteristic. The administrator shall evaluate whether the interruption affects the entirety of the buffer. Individual structures that do not fully interrupt ecological functions and values or protective measures provided by the buffer functions shall be limited in scope to just the portion of the buffer that is affected. (2) Functional isolation shall be limited to landslide hazard, wetland and FWHCA and their associated buffers only. (3) Special report may be required. The administrator may require a special report to determine whether a critical area and its associated buffer is functionally isolated. 18.22.280 Adaptive management. Adaptive management is an ongoing process of assessing critical area policies, regulations, and procedures; and this process is intended to identify ways of improving critical area policies, regulations, and procedures; and this process is intended to identify ways of improving critical area protection. Monitoring of process improvements leads to a feedback loop that can be used to continuously make improvements. Monitoring includes assessing if permits followed all applicable regulations, if regulations are implemented consistently over time, and if regulations are effectively resulting in no let loss of critical area functions. The county looks to improve processes, and as funding and staff allow, are interested in evaluating regulatory and nonregulatory actions affecting critical area protections. Article III. Critical Aquifer Recharge Areas 18.22.300 Purpose. Potable water is an essential life -sustaining element for humans and many other species. Much of Jefferson County's drinking water comes from groundwater supplies. Critical aquifer recharge areas are important to ensure the quality and quantity of groundwater in aquifers. Preventing contamination from land uses that may contaminate groundwater is necessary to protect water supplies and avoid exorbitant costs, hardships and physical harm to people and ecosystems. It is the purpose of this article to identify and classify aquifer recharge areas in accordance with WAC 365-190-100 and balance competing needs for land uses and clean water supplies and preserve essential natural functions and processes, especially for maintaining FWHCA. 18.22.310 Classification and designation. Critical aquifer recharge areas (CARA) have the same meaning as in JCC 18.10.030 C definitions. The following classifications define critical aquifer recharge areas: (1) Susceptible aquifer recharge areas. Susceptible aquifer recharge areas are those with geologic and hydrologic conditions that promote rapid infiltration of recharge waters to groundwater aquifers. For the purposes of this article, unless otherwise determined by preparation of a Hydrogeologic or a critical aquifer recharge area special report authorized under this article, the following geologic units, as identified from available Washington State Department of Natural Resources geologic mapping, define susceptible aquifer recharge areas for east Jefferson County: (a) Alluvial fans (Ha); (b) Artificial fill (Hx); Appendix A - 10 (c) Beach sand and gravel (Hb); (d) Dune sand (Hd); (e) Floodplain alluvium (Hf); (f) Vashon recessional outwash in deltas and alluvial fans (Vrd); (g) Vashon recessional outwash in melt water channels (Vro); (h) Vashon ice contact stratified drift (Vi); (i) Vashon ablation till (Vat); 0) Vashon advance outwash (Vao); (k) Whidbey formation (Pw); and (1) Pre-Vashon stratified drift (Py). (2) Special aquifer recharge protection areas. Special aquifer recharge protection areas include: (a) Sole -source aquifers designated by the U.S. Environmental Protection Agency in accordance with the Safe Drinking Water Act of 1974 (42 U.S.C. 300f et seq.), such as Marrowstone Island; (b) Special protection areas designated by the Washington State Department of Ecology under chapter 173-200 WAC; (c) Wellhead protection areas determined in accordance with delineation methodologies specified by the Washington State Department of Health under authority of chapter 246-290 WAC; (d) Groundwater management areas designated by the Washington State Department of Ecology in cooperation with local government under chapter 173-100 WAC. (3) Seawater intrusion protection zones (SIPZ). (a) Seawater intrusion protection zones are: (i) Aquifers and land overlying aquifers with some degree of vulnerability to seawater intrusion. SIPZ are defined either by proximity to marine shoreline or by proximity to groundwater sources that have demonstrated high chloride readings. (ii) All islands and land area within one -quarter mile of marine shorelines and associated aquifers together compose the coastal SIPZ. (b) High risk SIPZ. (i) Existing individual groundwater sources with a history of chloride analyses above 200 mg/L are categorized as a high risk SIPZ for development proposed under this code. (ii) Areas within 1,000 feet of a groundwater source with a history of chloride analyses above 200 milligrams per liter (mg/L) are categorized as a high risk SIPZ for development proposed under this code. (c) At Risk SIPZ. Areas within 1,000 feet of a groundwater source with a history of chloride analyses above 100 milligrams per liter (mg/L) are categorized as at risk SIPZ for development proposed under this code. (4) Connate seawater exception. In some cases, high chloride readings may be indicative of connate seawater (i.e., relic seawater in aquifers as opposed to active seawater intrusion). When best available science or a hydrogeologic Appendix A - 11 evaluation demonstrates that high chloride readings in a particular area are due to connate seawater, the area in question shall not be considered an at risk or high risk SIPZ. (5) Recommendation from the Jefferson County Public Health Department. When the status of an area as either a high risk or an at risk SIPZ is in question, the administrator is responsible for making the determination based upon recommendation from the Jefferson County Public Health Department. 18.22.320 Applicability. This article applies to any development, land disturbing activity or use within critical aquifer recharge areas, unless the proposed activity meets any of the exemptions listed in JCC 18.22.230 General exemptions. 18.22.330 Protection standards. (1) General. The following protection standards shall apply to all development, land disturbing activities or uses within a CARA that have the potential to impact aquifers. These areas include geologic and hydrologic conditions that promote rapid infiltration or recharge waters to groundwater aquifers, which are vulnerable to contaminations. CARA are areas with a critical recharging effect on aquifers used for potable water. These include special aquifer recharge protection areas for protection of sole source of drinking water as designated by the federal or the state of Washington. (2) High impact uses. The uses listed below are considered high impact uses and shall be prohibited in areas that are classified as both a susceptible aquifer recharge area and a special aquifer recharge protection area. When high impact uses are proposed in areas classified solely as a suspectable aquifer recharge area or a special aquifer recharge area, a CARA report or hydrogeologic report that meets all of the requirements of JCC 18.22.930 shall be submitted to DCD for review and approval. (a) Chemical manufacturing and processing; (b) Creosote and asphalt manufacturing or treatment (except that asphalt batch plants may be permitted in susceptible aquifer recharge areas only if such areas lie outside of special aquifer recharge protection areas and only if best management practices are implemented pursuant to JCC 18.20.240(2)(h)(iv) and JCC 18.30.170(1) and an accepted special report on the CARA or hydrogeologic report); (c) Dry cleaners; (d) Electrical battery processing, reprocessing, or storage; (e) Electroplating and metal coating activities; (f) Hazardous substance disposal, storage, and treatment facilities; (g) Junk and salvage yards; (h) Landfills; (i) Petroleum product refinement and reprocessing; 0) Pipelines; (k) Radioactive disposal or processing of radioactive wastes; (1) Recycling centers or recycling collection facilities as defined in JCC 18.10.180; (m) Storage tanks (above or below ground) for hazardous substances or petroleum products; (n) Tank farms; (o) Waste piles as defined in WAC 173-303-660; and, Appendix A - 12 (p) Wood and wood products treatment or preserving. (3) Other uses. The following uses, when proposed in a critical aquifer recharge area shall be subject to the protection standards in this article: (a) All industrial and commercial uses with the potential to impact groundwater; (b) All rural residential uses that meet one of the following; (i) Uses with a locally managed community sewage system; (ii) Uses with a large on -site sewage system meeting the management requirements of the Washington Department of Health; and, (iii) All planned rural residential developments. (4) Seawater intrusion protection zones. New development, redevelopment, and new land disturbing activities on islands and in close proximity to marine shorelines where there is a risk of seawater intrusion should be developed in such a manner to maximize aquifer recharge, maintain the saltwater and freshwater balance to the maximum extent possible, and are subject to the antidegradation policy in accordance with WAC 173-200-030. (5) Stormwater disposal. (a) Stormwater runoff shall be controlled and treated in accordance with best management practices and facility design standards as identified and defined in the current Stormwater Management Manual for Western Washington and the stormwater provisions contained in chapter 18.30 JCC. To the extent practicable, stormwater should be managed in a way that facilitates aquifer recharge. (b) To help prevent seawater from intruding landward into aquifers, all new development activity on Marrowstone Island and within one -quarter mile of any marine shoreline should be required to infiltrate all stormwater runoff on site, except if this would destabilize unstable slopes. The administrator will consider requests for exceptions to this policy on a case -by -case basis. The administrator may require a special report that indicates that infiltration of stormwater is unfeasible based on the hazards to slope stability that complies with all the requirements of JCC 18.22.930, and demonstrates the project does not pose a threat of seawater intruding landward into aquifers, or other information (like the use of wells in the areas, availability of public water systems, or proximity to marine waters) when making this determination. (6) On -site sewage disposal. All land uses identified in JCC 18.22.320 that are within areas classified as both a special aquifer recharge protection area and a susceptible aquifer recharge area shall be reviewed by Jefferson County Environmental Public Health Department to ensure the nitrogen requirements in title 8 JCC are met. (7) Golf courses and other turf cultivation. (a) Golf courses shall be developed and operated in a manner consistent with the most current edition of "Best Management Practices for Golf Course Development and Operation," King County Department of Development and Environmental Services. (b) Recreational and institutional facilities (e.g., parks and schools) with extensive areas of cultivated turf shall be operated in a manner consistent with portions of the aforementioned best management practices pertaining to fertilizer and pesticide use, storage, and disposal. In seawater intrusion protection zones, golf courses and other turf cultivation using groundwater for irrigation shall be prohibited, unless the water source is located outside of seawater intrusion protection zones or in an approved public water supply. (8) Above -ground and underground storage tanks. (a) Above -ground and underground storage tanks shall be fabricated, constructed, installed, used and operated in a manner which prevents the release of hazardous substances to the ground or groundwater and is consistent Appendix A - 13 with the Washington Department of Ecology's standards for construction and installation under chapter 173- 360A WAC. (b) Above -ground storage tanks intended to hold or store hazardous substances shall be provided with an impervious containment system, enclosing and underlying the tank; and ensure that other measures are undertaken as prescribed by the Uniform Fire Code which provide an equivalent measure of protection. (c) Underground storage tanks intended to store hazardous substances shall provide an impervious tertiary containment system underlying the tanks or ensure that other measures are undertaken which provide an equivalent measure of protection. (d) When required under this section, an impervious containment system must be durable, compatible with the substance it is meant to contain, and large enough to contain a volume equal to 10 percent of all containers, or 110 percent of the largest single container, whichever is greater. (9) Mining and Quarrying. For mining and quarrying, required performance standards with groundwater protection best management practices pertaining to operation, closure, and the operation of gravel screening, gravel crushing, cement concrete batch plants, and asphalt concrete batch plants, where allowed, are contained in chapters 18.20 and 18.30 JCC. (10) Hazardous Substances. Activities that generate, handle, store, or use hazardous substances, which are not prohibited outright under this code, and which are conditionally exempt from regulation by the Washington Department of Ecology under WAC 173-303-100 (Dangerous Waste Criteria), or which generate, handle, store or use hazardous substances, shall be required to prepare and submit a hazardous substances management plan that demonstrates that the development will not have an adverse impact on groundwater quality. The hazardous substances management plan shall describe the following: (a) How hazardous substance(s) shall be managed in a manner consistent with chapter 8.10 JCC and chapter 173-303 WAC; (b) Screening of any waste suspected of being a regulated dangerous waste as defined in JCC 8.10.100; (c) Requirements for labeling of containers holding hazardous substances with the name of the hazardous substance(s) and the applicable material safety data sheets; and (d) The secondary containment system to be used to prevent releases of hazardous substances to the ground, groundwater, and surface water. The facility owner must update the hazardous materials management plan annually and provide the updated plan to the department on or before the next January 1st, after the plan is updated. (11) Well drilling, subdivisions, and building permits in SIPZ. (a) Well drilling. The Washington State Department of Ecology regulates well drilling pursuant to the Water Well Construction Act. Proposed wells, including those exempt from permitting requirements, shall be sited at least 100 feet from "known or potential sources of contamination," which include "sea -salt water intrusion areas" (WAC 173-160-171), unless a variance is obtained from the Washington State Department of Ecology per WAC 173-160-106. (b) Subdivisions. Applications for land division (chapter 18.35 JCC) in coastal, at risk, and high risk SIPZ shall include specific and conclusive proof of adequate supplies of potable water and the applicant must provide a special report that satisfies all the requirements or a hydrogeologic evaluation contained in JCC 18.22.930(2)(b) that demonstrates that the creation of new lots and corresponding use of water shall not cause degradation of the aquifer by seawater intrusion. A hydrogeologic evaluation shall not be required when the applicant demonstrates that public water is available for the entire project. (c) Marrowstone Island. Due to documented seawater intrusion on Marrowstone Island and the existence of undeveloped lots of record, DCD, in consultation with Jefferson County environmental public health Appendix A - 14 department shall only allow land division on the island if public water connections are provided to each lot of a proposed project and all existing wells within the project site are decommissioned. No permit shall be approved if a public water connection to each lot of a proposed project cannot be provided. (d) Building permits. (i) Evidence of potable water may be an individual well, connection to a public water system, or an alternative system. Whatever method is selected, the regulatory and operational standards for that method shall be met and the department will work in consultation with the Jefferson County public health department. Identification of well interference problems and impairment to senior rights is the responsibility of the Washington Department of Ecology. If the possibility of a problem is suspected, the local permitting authority should contact the Washington Department of Ecology, as required by RCW 19.27.097. (ii) All types of building permits that require proof of potable water use, as per RCW 19.27.097, are subject to this article. (e) All of the following voluntary and mandatory measures for mitigating seawater intrusion apply to development are required within the coastal, at risk, and high risk SIPZ, and upon Marrowstone Island, in the following manner, in addition to all existing applicable health codes: (i) Coastal SIPZ. (A) Voluntary Actions. Voluntary actions may include but are not limited to: (I) Water conservation measures; (II) Ongoing well monitoring for chloride concentration; and (III) Submittal of data to DCD. (B) Mandatory actions. (I) For proof of potable water on a building permit application, applicant shall utilize Washington State Department of Health -approved public water system if available; (II) If public water is unavailable, meaning the subject property is not within a current water service area, an individual well may be used as proof of potable water subject to the following requirements: 1. Chloride concentration of a laboratory -certified well water sample submitted with building permit application; and 2. Installation of source -totalizing meter (flow); (III) If public water is unavailable, a qualifying alternative system may be used as proof of potable water. (ii) At Risk SIPZ. (A) Voluntary actions. (I) Water conservation measures. (B) Mandatory actions. (I) For proof of potable water on a building permit application, the applicant shall utilize a Washington Department of Health -approved public water system if available; Appendix A - 15 (II) If public water is unavailable, meaning the subject property is not within a current water service area, an individual well may be used as proof of potable water subject to the following requirements: 1. Chloride concentration of a laboratory -certified well water sample submitted with building permit application; 2. Installation of a source -totalizing meter (flow); and (III) If public water is unavailable, a qualifying alternative system may be used as proof of potable water. (iii) High risk SIPZ. (A) Mandatory actions. (I) Water conservation measures; (II) For proof of potable water on a building permit application, applicant shall utilize a Washington Department of Health -approved public water system if available; (III) If public water is unavailable, meaning the subject property is not within a current water service area, an individual well may only be used as proof of potable water subject to the following requirements: 1. Variance from the title 173 WAC standards granted by the Washington State Department of Ecology per WAC 173-160-106 for a new groundwater well within 100 feet of a sea -salt water intrusion area per WAC 173-160-171 (i.e., within 100 feet of a groundwater source showing chloride concentrations above 200 mg/L or within 100 feet of the marine shoreline) and with the submittal of a hydrogeologic evaluation that satisfies all the requirements or a hydrogeologic evaluation contained in JCC 18.22.930(2)(b); 2. For an existing groundwater well not subject to a Washington State Department of Ecology variance, the applicant shall provide a hydrogeologic evaluation that satisfies all the requirements or a hydrogeologic evaluation contained in JCC 18.22.930(2)(b), which shall be transmitted to the Washington State Department of Ecology for review, demonstrating that use of the well does not cause any detrimental interference with existing water rights and is not detrimental to the public interest; 3. Chloride concentration of a laboratory -certified well water sample submitted with building permit application; 4. If chloride concentration exceeds 250 mg/L in a water sample submitted for a building permit, then the property owner shall be required to record a restrictive covenant that indicates a chloride reading exceeded the U.S. Environmental Protection Agency secondary standard (250 mg/L) under the National Secondary Drinking Water Regulations; 5. Installation of a source -totalizing meter flow; 6. Ongoing well monitoring for chloride concentration; and 7. Submittal of flow and chloride data to the county per monitoring program; and (IV) If public water is unavailable, a qualifying alternative system may be used as proof of potable water. Appendix A - 16 (iv) Marrowstone Island. Since Marrowstone Island is a sole source aquifer and a high risk SIPZ, and the island is served by public water, proof of potable water connection to the public water supply shall be required for all lots in the project. (12) Mitigating conditions. The administrator may require additional mitigating conditions, as needed to provide protection to all critical aquifer recharge areas and to ensure that the subject land or water use action will not pose a risk of significant adverse groundwater quality impacts. The determination of significant adverse groundwater quality impacts will be based on the antidegradation policy included in chapter 173-200 WAC. (13) Quilcene-snow water resource inventory area (WRIA 17) in -stream flow rule. All applications required to provide proof of potable water or source water approval shall meet all county and state requirements, including WRIA 17 in -stream flow rule in chapter 173-517 WAC at the time of application. All applications involving water use shall be reviewed by the Jefferson County Public Health Department for compliance with county and state requirements. (14) Results of DOD's review of a special report on a critical aquifer recharge area, a hydrogeologic evaluation or a hazardous substances management plan. The applicant shall submit a critical aquifer recharge area report, a hydrogeologic evaluation or a hazardous substances management plan to be reviewed by the County and DCD shall either: (a) Accept the special report on a critical aquifer recharge area, a hydrogeologic evaluation or a hazardous substances management plan and approve the application; or (b) Reject the special report on a critical aquifer recharge area, a hydrogeologic evaluation or a hazardous substances management plan and require revisions or additional information. (15) Authority for Denial. In all critical aquifer recharge areas, the administrator may deny approval if the protection standards contained in this section or added mitigating conditions cannot prevent significant adverse groundwater quality impacts. Article IV. Frequently Flooded Areas 18.22.400 Purpose. The purpose of this article is to protect the public health, safety and welfare from harm caused by flooding and to establish protection standards for these areas. It is the intent of this article to prevent damage or loss to people, property, property, infrastructure, and federally -listed species and to ensure compliance with Federal Emergency Management Agency (FEMA) requirements. 18.22.410 Classification and designation. Frequently flooded areas are lands in the floodplain subject to at least a one percent or greater chance of flooding in any given year, or within areas subject to flooding due to high groundwater. These areas include, but are not limited to, streams, rivers, lakes, coastal areas, wetlands, and areas where high groundwater forms ponds on the ground surface. Frequently flooded areas perform important hydrologic functions and may present a risk to persons and property. Flood hazard areas are depicted on the Federal Emergency Management Agency's Flood Insurance Rate Maps (FIRMS). FIRMS display areas of concern including areas that fall within the 100-year floodplain designations of the Federal Emergency Management Agency and the National Flood Insurance Program. 18.22.420 Applicability. These standards apply to any development within frequently flooded areas, unless the proposed activity meets any of the exemptions listed in chapter 15.15 JCC. The flood damage prevention ordinance (chapter 15.15 JCC) conforms with the intent of the minimum guidelines (WAC 365-190-110(1)) through directly considering the effects of flooding on human health and safety, together with effects on public facilities and services, through its protection standards. For purposes of this article, "development" is defined as any manmade change to improved or unimproved real estate, including but not limited to buildings or other structures, mining, dredging, filling, grading, paving, excavation or drilling operations, storage of equipment or materials, subdivision of land, removal of more than five percent of the native vegetation on the property, or alteration of natural site characteristics. Appendix A - 17 18.22.430 Protection standards — Incorporation by reference of Chapter 15.15 JCC and additional requirements. This chapter incorporates by reference the classification, designation and protection provisions contained in the county flood damage prevention ordinance (chapter 15.15 JCC) with the following additions: (1) Compliance with FIRMS. The FIRMS identified in the flood damage prevention ordinance (chapter 15.15 JCC) shall be used to determine flood hazard areas for compliance with FEMA regulatory requirements. Such flood hazard areas shall be subject to the criteria of the flood damage prevention ordinance (chapter 15.15 JCC). (2) Compliance with national marine fisheries service biological opinion. Development proposed within regulated frequently flooded areas and floodplains shall ensure no impacts to federally listed fish and wildlife habitat as required by the National Marine Fisheries Service (NMFS) September 22, 2008, final Biological Opinion (BiOp) under the Endangered Species Act (ESA) on the National Flood Insurance Program (NFIP) in Puget Sound (NMFS Tracking No.: 2006-00472 (or as amended by NMFS)). (3) Habitat assessment requirements. (a) A habitat assessment that meets all the requirements of JCC 18.22.940 shall be submitted to the department for review if any portion of the proposed project occurs within a special flood hazard area (floodplain), as mapped by the Federal Emergency Management Agency (FEMA). (b) The administrator may request federal assistance in reviewing the submitted habitat assessment. (c) The administrator may waive the requirement to submit a habitat assessment only if. (i) The entire proposal meets one of the exemptions listed in chapter 15.15 JCC; (ii) The proposal requires a federal permit that is reviewed by federal agencies responsible for ensuring compliance with the Endangered Species Act (this could include, but is not limited to, project actions covered by separate consultation under Section 4(d), 7, or 10 of the Endangered Species Act); (iii) A habitat assessment previously has been prepared and the proposed project clearly fits within the nature and scope of that habitat assessment; or (iv) If FEMA approves an alternate process for Jefferson County to demonstrate compliance with the Biological Opinion (such as a programmatic review), this department may waive the requirement to submit a habitat assessment. Article V. Geologically Hazardous Areas 18.22.500 Purpose. The purpose of this article is to reduce risks to human life and safety and reduce the risk of damage to structures and property from geologic hazards, to allow for natural geologic processes supportive of forming and maintaining fish and wildlife habitat, and to regulate and inform land use and planning decisions. Since the elimination of all risk from geologic hazards is not feasible to achieve, the purpose of this article is to reduce the risk to acceptable levels. 18.22.510 Classification and designation. (1) Geologically hazardous areas have the same meaning as in JCC 18.10.070 G definitions. Unless specifically noted below, principal sources of geologically hazardous areas mapped information are the Washington Department of Natural Resources Geologic Hazard Maps (https://dnr.wa.gov/washington-geological-survey/geologic-hazards- and-environment/geologic-hazard-maps). (2) Geologically hazardous area classification and designation. The following classification and designation criteria are considered when classifying geologically hazardous areas: (a) Erosion hazard areas (as defined in JCC 18.10.050). Appendix A - 18 (b) Landslide hazard areas (as defined in JCC 18.10.120). Landslide hazard areas include any areas susceptible to landslide because of any combination of bedrock, soil, slope (gradient), slope aspect, structure, hydrology, or other factors, as follows: (i) Areas of historic failures, such as: (A) Areas delineated by United States Department of Agriculture, Natural Resources Conservation Service as having a significant limitation for building site development; (B) Coastal areas mapped by the Washington State Department of Ecology Coastal Atlas as unstable, unstable old slides, and unstable recent slides; or (C) Areas designated and mapped as quaternary slumps, earthflows, mudflows, lahars, or landslide hazards by the Washington State Department of Natural Resources or the United States Geological Survey. (ii) Composite layer produced from the SCS Soils source coverage for soil types in Eastern Jefferson County, the Department of Ecology Coastal Zone Atlas of Jefferson County, and a review of topographic contours indicating steep slopes. This composite layer does not give detailed attributes, but it does give an attribute with a rating factor which is a weighted probable problem rating based on severity of slope. (iii) Areas where all three of the following conditions occur: (A) Slopes are steeper than 15 percent; (B) Hillsides intersecting geologic contacts with a relatively permeable sediment overlying a relatively impermeable sediment or bedrock; and (C) Spring or groundwater seepage. (iv) Areas that have shown movement during the Holocene epoch (from 10,000 years ago to present) or have been underlain or covered by mass wastage debris of this epoch. (v) Areas with slopes that are parallel or subparallel to planes of weakness (such as bedding planes, joint systems, and fault planes) in subsurface materials. (vi) Areas with slopes having gradients steeper than 80 percent subject to rockfall during seismic shaking. (vii) Areas that are potentially unstable as a result of rapid stream incision, stream bank erosion, and undercutting by wave action, including stream channel migration zones. (viii) Areas that show evidence of, or are at risk from, snow avalanches. (ix) Areas located in a canyon or on an active alluvial fan, presently or potentially subject to inundation by debris flows or catastrophic flooding. (x) Areas with a slope of 40 percent or steeper and with a vertical relief of 10 or more feet, except areas composed of bedrock. (c) Seismic hazard areas (as defined in JCC 18.10.190). Seismic areas are areas subject to damage as a result of earthquake induced ground shaking, slope failure, settlement, soil liquefaction, debris flows, lahars, and tsunamis (as defined JCC 18.10.200). Appendix A - 19 18.22.520 Applicability Any development, land disturbing activity or use within a geologically hazardous area or its associated buffer shall be subject to the provisions of this article, unless specially exempted in JCC 18.22.230. 18.22.530 Protection standards. Geologically hazardous areas are areas that because of their susceptibility to erosion, sliding, earthquake, or other geological events, are not suited to siting commercial, residential, or industrial development consistent with public health or safety concerns. (1) General standards for erosion hazard and all landslide hazard (slight, moderate and high) (a) Clearing, grading and vegetation removal. (i) Within land slide hazard areas only minor pruning of vegetation for view enhancement may be allowed through consultation with DCD. The thinning of limbs on individual trees is preferred to topping of trees for view corridors. Total buffer thinning shall not exceed 25 percent of the live tree crowns shall be removed. (ii) Vegetation shall not be removed from a high or moderate landslide hazard area, except for hazardous trees based on review by a qualified arborist or as otherwise provided for in a vegetation management and restoration plan as determined by DCD. (iii) Development, land use activity, or use shall not be allowed in high or moderate landslide hazard areas or their associated buffers unless a geotechnical report or engineered stormwater plan (special report) demonstrates that building within a landslide hazard area will provide protection commensurate to being located outside the landslide hazard area and meets the requirements of this section. This may include proposed mitigation measures. (iv) Seasonal Restrictions. Clearing and grading shall be limited to the period between May 1 st and October 1 st, unless the applicant provides an erosion and sedimentation control plan prepared by a professional engineer licensed in the state of Washington that specifically and realistically identifies methods of erosion control for wet weather conditions. (v) Only the clearing necessary to install temporary erosion control measures will be allowed prior to clearing for roads and utilities construction. (vi) The faces of cut and fill slopes shall be protected to prevent erosion as required by the engineered erosion and sedimentation control plan. (vii) Clearing for roads and utilities shall be the minimum necessary and shall remain within marked construction limits. (viii) Clearing for overhead power lines shall be the minimum necessary for construction and will provide the required minimum clearances for the serving utility corridor. (b) Existing Logging Roads. Where existing logging roads occur in geologically hazardous areas, a geological assessment may be required prior to use as a permanent access road under a conversion or conversion option harvest plan pursuant to JCC 18.20.160. (c) DCD may also require: (i) Clustering of development to increase protection to geologically hazardous areas; or (ii) Enhancement of buffer vegetation to increase protection to geologically hazardous areas. (d) The provisions in this section are in addition to those required in JCC 18.30.060, Grading and excavation standards, and JCC 18.30.070, Stormwater management standards. Appendix A - 20 (e) If there is a conflict between applicable published standards, the more restrictive protection requirement applies. (f) Drainage and Erosion Control. (i) An applicant submitting a project application shall also submit, and have approved, a stormwater site plan that meets all the requirements of JCC 18.30.070(4)(e), when the project application involves either of the following: (A) The alteration of a high or moderate landslide hazard area; or (B) The creation of a new parcel within a high or moderate landslide hazard area; and (ii) Shall discuss, evaluate, and recommend methods to minimize sedimentation of adjacent properties during and after construction. (iii) Surface drainage shall not be directed across the face of a marine bluff that is mapped as high or moderate erodible or susceptible to landslide or debris flow. The applicant must demonstrate that the stormwater discharge cannot be accommodated on site or upland by evidence presented in a geological assessment as required by JCC 18.22.945, unless waived by the administrator. If drainage shall be discharged from a bluff to adjacent waters, it shall be collected above the face of the bluff and directed to the water by tight line drain and provided with an energy dissipating device at the shoreline, above the ordinary high water mark (OHWM). (iv) The applicant shall clearly demonstrate in the geological assessment that stormwater quantity, quality, and flow path post -construction will be comparable to pre -construction conditions. (v) Stormwater conveyance through a properly designed stormwater pipe when no other stormwater conveyance alternative is available. The pipe shall be located above ground and be properly anchored or designed so that it will continue to function in the event of a slope failure or movement of the underlying materials and will not increase the risk or consequences of static or seismic slope instability or result in increased risk of mass wasting activity. (g) Vegetation retention requirements within a geologically hazardous area and its associated buffer. Compliance with all of the following regarding vegetation retention is required: (i) During clearing for roadways and utilities, all trees and understory vegetation lying outside of approved construction limits shall be retained to the maximum extent practicable; (ii) Clearing limits, as shown on the approved site plan, shall be marked by orange construction barrier fencing to be installed prior to beginning any clearing, grading, or other land -disturbing activities; (iii) Vegetation within identified clearing limits may be removed upon permit issuance. All vegetation within the high or moderate landslide hazard area or its critical area buffer, but outside the marked clearing limits, shall be retained. Cleared vegetation shall not be placed within a high or moderate landslide hazard area unless it is used as part of a mitigation plan consistent with other critical area mitigation provisions, is reviewed by the geotechnical professional, and is approved by the administrator; and (iv) Within a high risk CMZ, vegetation removal shall not be allowed. Vegetation removal outside of a high risk CMZ shall not be reviewed under this article. Should this provision conflict with other vegetation retention requirements specified elsewhere within this title, the more restrictive protection requirement applies. (2) Landslide hazard buffers for high and moderate landslide hazard. (a) Top of slope building setback. All development activities or actions that require project permits or clearing in erosion and landslide hazard areas shall provide native vegetation from the toe of the slope to 25 feet beyond the top of slope, with an additional minimum 15-foot building and impervious surface setback, unless otherwise Appendix A - 21 allowed through a geologic assessment. The minimum building and setback shall be increased from the top of the slope as follows: (i) For high landslide hazard areas, the setback shall be equal to the height of the slope (1:1 horizontal to vertical) plus the greater of one-third of the vertical slope height or 25 feet. (ii) For moderate landslide hazard areas, the setback shall be 40 feet from the top of slope. (b) Building setback from toe of slope. The setback shall be equal to half the height of the slope (1:1 horizontal to vertical) plus 15 feet (per IBC 1808.7). (c) Larger native vegetation width may be required. DCD may require a larger native vegetation width than the standard buffer distance as determined above if any of the following are identified through the geological assessment process: (i) The adjacent land is susceptible to severe erosion and erosion control measures will not effectively prevent adverse impacts; (ii) The area has a severe risk of slope failure or downslope stormwater drainage impacts; or (iii) The minimum native vegetation width or building setback requirement may be decreased if a geotechnical report demonstrates that a lesser distance, through design and engineering solutions, will adequately protect both the proposed development and the erosion or landslide hazard area. The department may decrease the setback when such a setback would result in a greater than 1:1 slope setback. (d) Reducing buffer widths. The administrator may reduce geologically hazardous area buffers as follows: (i) Buffers may be reduced with a geotechnical report prepared by a geotechnical professional with a state stamp; provided, the geotechnical report identifies recommendations for preventing or minimizing risks post -development. The geotechnical report should at a minimum include: the marking of the top or toe of the slope adjacent to the proposed development, land disturbing activity, or use; the setback of structures from the landslide hazard area; the limits to removal of natural vegetation; the location of septic system and other utilities; limits to the timing of land disturbing activity and construction; and the location and method of stormwater management; unless waived by the administrator. (ii) The administrator may require a third -party review based on JCC 18.22.930 or the applicant enters into an indemnity and hold harmless agreement with the county that is approved by the county's risk manager and the prosecuting attorney. If the administrator requires a third -party review of the geotechnical report, the administrator shall be responsible for identifying and transmitting the geotechnical report to the third -party reviewer. (e) Increasing buffer widths. Buffer widths may be increased on a case -by -case basis, as determined by the administrator, to protect the functions and values of a geologically hazardous area and to reduce risks to public safety and welfare. Information that may be used to support this determination, includes but is not limited to: (i) The landslide area is unstable and active; (ii) The adjacent land is susceptible to severe landslide or erosion, and erosion control measures will not effectively protect the proposed project from the risks posed by the landslide hazard area; and (iii) The adjacent land has minimal vegetative cover. (f) With the exception of engineered tight -lines for stormwater, new utility lines are allowed within a moderate or high landslide hazard or its associated buffer through a critical area variance under JCC 18.22.250. Utility lines and pipes that are above ground, properly anchored or designed so that they will continue to function in the event of a slope failure or movement of the underlying materials and will not increase the risk or consequences of static or seismic slope instability or result in a risk of mass wasting. Such utility lines may be permitted only when the applicant demonstrates that no other feasible alternative is available to serve the Appendix A - 22 affected population. This would include finding and recommendations in the geotechnical report that the proposed development will not impact the slope stability of the slope of the surrounding area. (g) New access roads are allowed within a moderate or high landslide hazard or its associated buffer through a variance. Access roads and trails that are engineered and built to standards that minimize the need for major repair or reconstruction beyond that which would be required in nonhazardous areas. Access roads and trails may be permitted only if the applicant demonstrates that no other feasible alternative exists, including through the provisions of chapter 8.24 RCW. If such access through critical areas is granted, exceptions or deviations from technical standards for width or other dimensions and specific construction standards to minimize impacts, including drainage and drainage maintenance plans, may be required. (h) Buffer marking. To ensure that buffers are not impacted by proposed adjacent development, land disturbing activity, or uses and to provide notice of the location of buffers, DCD may require any of the following: (i) Showing the location of the critical area and buffer on all approved site plans adjacent to development or land disturbing activity; (ii) Adding permanent fencing, berms, barriers, or native vegetation plantings. This is intended to ensure that development or land disturbing activity does not encroach upon buffers; (iii) Posting signs along the buffer edge adjacent to the development or land disturbing activity for commercial, industrial development or uses, or for development or uses on public lands. This is intended to ensure that the public knows the location of the buffers; or (iv) Record a notice to title on the property with the Jefferson County Auditor prior to approval of the application, if the landslide hazard areas are not identified in the development application or on the County's GIS mapping system. This is intended to disclose to future buyers the existence of critical areas and their associated buffers. (3) Seismic and tsunami hazard areas protection standards. (a) Seismic hazard areas protection standards. (i) The placement of buildings or structures meet the requirements of title 15 JCC. (ii) Critical facility necessary to protect public health, safety and welfare shall be allowed only when there are no feasible alternative locations, and geotechnical analysis and design are provided that minimize potential damage to these facilities from earthquakes. This includes, but not limited to, schools, hospitals, police stations, fire departments and other emergency response facilities, nursing homes, and hazardous material storage or production. (iii) Public roads, bridges, and utilities shall be allowed when there are no feasible alternative locations, and geotechnical analysis and design are provided that minimize potential damage to roadway, bridge, and utility structures, will not be susceptible to damage from seismically induced ground deformation. Mitigation measures shall be designed in accordance with the most recent version of the American Association of State Highway and Transportation Officials (AASHTO) Manual or another appropriate document. (b) Tsunami hazard areas protection standards. (i) Public roads, bridges, utilities, and public facilities shall be allowed when there are no feasible alternative locations, and geotechnical analysis and design are provided that minimize potential damage to roadway, bridge, and utility structures, and public facilities will not be susceptible to damage from inundation. (ii) For development within tsunami hazard areas the proposed development shall be designed to provide protection from the tsunami hazard that meets the projected hazard on the Washington State Department of Natural Resources Tsunami Inundation Maps. Appendix A - 23 (iii) For other low-lying coastal areas not included on the inundation maps, development shall be designed to provide protection for debris impact and an inundation as determined by current Washington State Department of Natural Resource modeling, unless other measures can be shown to provide equal or greater protection. Article VI. Fish and Wildlife Habitat Conservation Areas (FWHCAs) 18.22.600 Purpose. The purposes of this article are to: (1) Protect, restore, and maintain native fish and wildlife populations by protecting and conserving fish and wildlife habitat and protecting the ecological processes, functions and values, and biodiversity that sustain these resources. (2) Protect valuable aquatic and terrestrial habitats, including lakes, ponds, rivers, and streams and their associated riparian areas, corridors for Washington State Department of Fish and Wildlife (WDFW) Priority Species, state or federally listed species and the ecosystem processes on which these areas depend. (3) Regulate development so that isolated populations of species are not created and habitat degradation and fragmentation are minimized. (4) Maintain the natural geographic distribution, connectivity, and quality of fish and wildlife habitat and ensure no net loss of such important habitats, including net losses through cumulative impacts. 18.22.610 Classification and designation. FWHCAs are areas that serve a critical role in sustaining needed habitats and species for the functional integrity of the ecosystem, and which, if altered, may reduce the likelihood that the species will persist over the long term. FWHCAs may include, but not limited to, rare or vulnerable ecological systems, communities, habitat or habitat elements including seasonal ranges, breeding habitat, winter range, and movement corridors; and, areas with high relative population density or species richness. FWHCAs does not include such artificial features or structures as irrigation delivery systems, irrigation infrastructure, irrigation canals, or drainage ditches that lie within the boundaries of, and are maintained by, a port district, a drainage district, or an irrigation district or company. (1) The following are designated as FWHCAs: (a) Areas where federally listed species (endangered and threatened) and state -listed species (endangered, threatened, and sensitive species) have a primary association. (b) Areas where federally listed species (endangered and threatened) and candidate species as listed on WDFW Priority Habitats and Species (PHS) program have a primary association and the administrator determines they should be designed as FWHCAs; (c) Rivers and streams not otherwise addressed under Washington State Forest Practices regulations (chapter 76.09 RCW and title 222 WAC); (d) Commercial and recreational shellfish areas; (e) Kelp and eelgrass beds; (f) Surf smelt, Pacific herring, and Pacific sand lance, and other forage fish spawning areas; (g) Naturally occurring ponds less than 20 acres, including submerged aquatic beds that provide fish and wildlife habitat; (h) Lakes, ponds, streams, and rivers planted with game fish by a governmental or tribal entity; (i) State natural area preserves, natural resource conservation areas, and state wildlife areas; and Appendix A - 24 0) Species and habitats of local importance designated pursuant to the process delineated in Article IX (Special Reports) of this chapter. (2) Designated FWHCAs and their associated buffers that are within shoreline jurisdiction are regulated under the shoreline master program in chapter 18.25 JCC, and in circumstances where this chapter conflicts with the shoreline master program, the provisions of the shoreline master program shall prevail. (3) Sources for identification. The following sources should be used to identify potential FWHCA locations. These maps are informational only and site evaluations by a qualified professional or wildlife biologist shall be used to determine compliance with this article. Sources include, but are not limited to: (a) Jefferson County Critical Areas mapping; (b) Washington State Department of Natural Resources (DNR) interim Forest Practice Water Typing in WAC 222-16-030; (c) Washington State Department of Ecology's Washington State Hydrography Dataset Program (WASHD). (d) Washington State Department of Fish and Wildlife, Priority Habitats and Species maps and lists; (e) Washington State Department of Fish and Wildlife, forage fish spawning maps; (f) Washington State Department of Ecology, Coastal Atlas online mapping; (g) United States Department of the Interior, Fish and Wildlife Service, Information for Planning and Consultation; (h) United States Department of Commerce, National Oceanic and Atmospheric Administration, National Marine Fisheries Service Species and Habitat App; and, (i) Northwest Indian Fisheries Commission, Statewide Washington Integrated Fish Distribution map. 18.22.620 Applicability. (1) Any development, land disturbing activity or use in a FWHCA or its associated buffer shall be subject to the provisions of this article, unless specially exempted under JCC 18.22.230. 18.22.630 Protection standards. (1) General. An application for development, land disturbing activity or use on a parcel of real property containing a designated FWHCA or its associated buffer shall adhere to all of the requirements set forth below. (2) Types of special reports for FWHCA. When a development, land disturbing activity or use is proposed on lands which may contain a FWHCA or its associated buffer, an on -site habitat evaluation may be required to determine if a FWHCA or its associated buffers occur in the project area. When required by this section, an applicant shall submit a report documenting the results of an on -site habitat evaluation conducted by a qualified professional or wildlife biologist pursuant to the special report requirements found in Article IX (Special Reports) of this chapter for review and approval by DCD. Based on the results of the on -site evaluation, a special report shall be prepared by a qualified professional or wildlife biologist and shall be one of the following: (a) Habitat reconnaissance letter. This type of report shall be used if the field evaluation determines that no regulated FWHCA or buffer is present in the proposed project area, which includes those areas that may be temporarily or permanently affected by construction -related activities or would be within the limits of clearing for construction. Habitat reconnaissance letters shall be prepared by a qualified professional or wildlife biologist based on requirements presented in Article IX (Special Reports) of this chapter; (b) Habitat management plan. This type of report shall be used if the field evaluation determines that any portion of the development occurs within a regulated FWHCA or buffer, which includes those areas that may be temporarily or permanently affected by construction -related activities or would be within the limits of clearing for Appendix A - 25 construction. Habitat management plans shall be prepared by a wildlife biologist based on report requirements in Article IX (Special Reports) of this chapter; (c) Enhancement Plan. An enhancement plan of degraded FWHCA or its associated buffer may be prepared by a qualified professional, agency with jurisdiction, or wildlife biologist. The plan shall be reviewed and approved by DCD; (d) Dive survey. If the proposed use, development, or activity occurs in marine water, a dive survey shall be required to determine if any FWHCA is present in the project area and if any FWHCA has the potential to be affected by the proposal. The results of the survey shall be described in a special report and supported by photos taken underwater; or (e) Use of best available information. If the potential FWHCA is located off of the property involved and is inaccessible, the best available information shall be used to determine the FWHCA boundary and any buffer.. (3) Vegetation retention required within a FWHCA or its buffer. Compliance with all of the following regarding vegetation retention is required: (a) Vegetation within a FHWCA or its associated buffer shall be retained to the extent practicable. Unless exempt under this chapter, vegetation removal or alteration of a FWHCA or an associated buffer shall be approved by DCD. (b) Altering the habitat conditions (existing functions and values) of a FWHCA or its associated buffer without prior approval by DCD is prohibited. (c) During maintenance clearing of rights -of -way and easements for established roadways and existing utilities, all trees (except for hazard trees) and understory vegetation within a FWHCA or its associated buffer lying outside of road rights -of -way and utility easements shall be retained. Retained vegetation may be pruned to the right-of-way or easement limits.(d) Damage to a FWHCAs and its associated buffer from land disturbing activity shall be minimized by installing temporary construction fencing before grading near the buffers, and the felling of trees away from these areas. (4) Buffer marking. To ensure that buffers are not impacted by proposed adjacent development, land disturbing activity or use and to provide notice of the location of buffers, DCD may require any of the following: (a) Showing the location of the critical area and buffer on all approved site plans adjacent to development or land disturbing activity; (b) Adding permanent fencing, berms, barriers, or native vegetation plantings. This is intended to ensure that development or land disturbing activity does not encroach upon buffers; (c) Posting signs along the buffer edge adjacent to the development or land disturbing activity for commercial, industrial development or uses, or for development or uses on public lands. This is intended to ensure that the public knows the location of the buffers. (d) Record a notice to title on the property with the Jefferson County Auditor prior to approval of the application, if the FWHCA is not identified in the development application or on the County's GIS mapping system. This is intended to disclose to future buyers the existence of critical areas and their potential associated buffers. (5) Buffers. The administrator shall have the authority to require buffers from the edges of all FWHCAs in accordance with this chapter based on all of the following requirements: (a) General. (i) Buffers shall be established for activities adjacent to FWHCAs as necessary to protect the integrity, functions, and values of the resource, consistent with the requirements in Tables 18.22.630(l) and JCC 18.22.630(2) of this section. Appendix A - 26 (ii) A building setback line of five feet is required from the edge of any buffer area; however, nonstructural improvements such as septic drain fields may be located within setback areas. (iii) Buffers shall be retained in their natural condition; however, minor pruning of vegetation (as outlined in JCC 18.22.230(3)(q)) to enhance views or provide access may be permitted as long as the function and character of the buffer are not diminished. (iv) Lighting shall be directed away from the FWHCA. (b) Standard buffers for FWHCAs. (i) The standard buffer widths required by this article are considered to be the minimum required to protect the FWHCA functions and values at the time of the proposed development, land disturbing activity or use. When a buffer lacks adequate vegetation to protect critical area functions, the administrator may require additional documentation before allowing a proposal for buffer reduction or buffer averaging. (ii) The standard buffer shall be measured landward horizontally from the ordinary high water mark (OHWM). Channel migration zone (CMZ), or from the outer edge of the FWHCA as identified in the field. The following standard buffer width requirements are established for streams; provided, portions of streams that flow underground may be exempt from these buffer standards at the administrator's discretion when it can be demonstrated that no adverse effects on aquatic species will occur. Table 18.22.630(1): Stream Buffers* Stream Type Buffer Width (feet) Type "S" — Shoreline Streams Regulated by JCC 18.25 (Shoreline Master Program Type "F" — Fish Habitat Streams: Urban Growth Areas: 150 LAMIRDs: 150 Other (Rural) Areas: 200 Type "Np"— Non -Fish Habitat Perennial 100 Streams Type "Ns" — Non -Fish Habitat Seasonal 100 Streams *Note: (a) The buffers above shall apply to culverted streams. (b) The buffers above shall not apply to lawfully established piped streams. The burden of proof is on the applicant to show that the pipe was lawfully established; failure to demonstrate compliance with this requirement shall result in buffers being required. (c) Stream type shall be determined using the criteria in WAC 222- 16-030, or as outlined in JCC 18.22.620(3). d SMP standard buffers are found in JCC 18.25.270(4)(c). (iii) Buffers for non -stream FWHCAs. The administrator shall determine appropriate buffer widths for non -stream FWHCAs based on the best available information. Buffer widths for non -stream FWHCAs shall be as follows in Table 18.22.630(2): Appendix A - 27 Table 18.22.630(2): Required buffers for non -stream FWHCAs FWHCA Type Buffer Width (feet)' Areas where federally listed (endangered and threatened) species or 150 from edge of FWHCA state -listed (endangered, threatened, and sensitive) species have a primary association Commercial and Recreational Shellfish Areas 150 Native Kelp and Native Eelgrass Beds (No buffer for non-native 25 from each patch kelp and non-native eelgrass beds) Surf Smelt, Pacific Herring, and Pacific Sand Lance Spawning 150 Areas Non -Shoreline Natural Ponds and Lakes (Under 20 Acres)Z Lakes and ponds that have a direct surface connection to a fish- 200 habitat stream segment Lakes and ponds that have a direct surface connection to a non- 100 fish -habitat stream segment Other lakes and ponds 50 Shoreline Natural Ponds and Lakes (20 Acres and Larger) (along Regulated by JCC 18.25 (Shoreline Master Program) with any submerged aquatic beds serving as fish or wildlife habitat) Natural Area Preserves Natural Resource Conservation Areas' Not applicable Designated Habitats of Local Importance° Case -by -case basis. Footnote 1: Measured landward of OHWM unless specified. Footnote 2: Includes any submerged aquatic beds serving as fish or wildlife habitat. Footnote 3: Buffers shall not be required adjacent to these areas. These areas are assumed to encompass the land required for species preservation. Footnote 4: The need for and dimensions of buffers for other locally importance species or habitats shall be determined on a case -by -case basis. (6) When buffer averaging may be allowed. (a) The administrator shall have the authority to average buffer widths adjacent to a FWHCA area up to 25 percent when all of the following criteria are met: (i) The specific standards for mitigation sequencing in JCC 18.22.640 have been applied during the siting and design of the proposed project. To the extent practicable, that may include consideration all of the following avoidance and minimization measures: (A) Trees and other existing native vegetation are avoided, and development, land disturbing activities, and uses are placed on existing road grades, utility corridors, or other developed lands if present; or (B)The buffer is increased adjacent to the higher -functioning area or more -sensitive portion of the buffer or FWHCA and decreased adjacent to the lower functioning or less -sensitive portion; and (ii) Lower intensity land uses are located in the reduced buffer area if feasible; (iii) The development is designed to separate and screen impacts such as noise, glare, and vegetation trampling of adjacent land uses from the critical area. The site design shall consider the varying degrees of impacts of different land uses. For example, parking lots, store entrances, and roads generally have higher noise and glare impacts than the rear of the store. Site screening should take advantage of natural topography or existing vegetation, wherever possible. Where natural screening is not available, berms, Appendix A - 28 landscaping, and structural screens should be implemented (e.g., orient buildings to screen parking lots and store entrances from critical area). Landscaping shall be consistent with JCC 18.30.130; (iv) The total area contained in the buffer after averaging is no less than that which would be contained within the standard buffer area and all increases in buffer dimension are parallel to the FWHCA; (v) The buffer averaging does not reduce the functions or values of the FWHCA or riparian habitat, or the buffer averaging, in conjunction with vegetation enhancement, increases the habitat function; (vi) The buffer averaging is necessary due to site constraints caused by existing physical characteristics such as slope, soils, vegetation, or permitted development that is as subject to a legal non -conforming use; (vii) The slopes adjacent to the FWHCA within the buffer area are stable; (viii) Buffer averaging of reduced buffers shall not be allowed; and (ix) The modified buffer shall meet the well vegetated buffer standard, which is comprised of at least 40 percent aerial cover of native trees and shrubs in its existing or proposed enhanced condition at maturity. This shall also include the removal of invasive non-native plants (e.g., Himalayan blackberry, English ivy, Scotch broom, etc.) or noxious weeds and replacement with native vegetation. An enhancement plan or habitat management plan shall be required to achieve this standard, which shall include a 5-year monitoring plan to ensure that standards are met. (b) The administrator shall have the authority to average buffer widths adjacent to a FWHCA area up to 50 percent when all of the following requirements are met: (i) A habitat management plan shall be submitted; (ii) The modified buffer shall meet the definition of a fully vegetated buffer, which shall contain at least 80 percent aerial cover of native trees and shrubs in its existing or proposed enhanced condition at maturity. This shall also include the removal of invasive non-native plants (e.g., Himalayan blackberry, English ivy, Scotch broom etc) or noxious weeds and replacement with native vegetation. An enhancement plan or habitat management plan shall be required to achieve this standard, which shall include a 5-year monitoring plan to ensure that standards are met; (iii) Allows for the natural movement of a stream within its floodplain or channel migration zone; (iv) Separates development from potential flooding impacts taking climate resilience measures into consideration; (v) Limits visual, auditory, and direct intrusion between critical areas and developed environments; (vi) The buffer averaging does not reduce the functions or values of the FWHCA or riparian habitat and protects important wildlife habitat components for species dependent on or associated with wetland, marine, and riverine environments; (vii) Protects wildlife movement corridors; and (viii) Does not significantly impact erosion and landslide hazard areas adjacent to the critical area. (7) When buffer reduction may be allowed. The administrator has the authority to reduce standard buffer widths outlined in Table 18.22.630(1) and Table 18.22.630(2) at the location of a proposed development on a case -by -case basis up to 25 percent. The decision to reduce standard buffer widths of up to 25 percent shall be processed as a Type I land use decision under JCC 18.40.040. Appendix A - 29 Table 18.22.630(3): Reduced Buffers for FWHCAs FWHCA Type Reduced Buffer Width (feet)' Type "F" — Fish Habitat Streams 150 Other (Rural) County Areas: Type "Np"— Non -Fish Habitat Perennial Streams 75 Type "Ns" — Non -Fish Habitat Seasonal Streams Non -Shoreline Natural Ponds and Lakes (Under 20 Acres) Lakes and ponds that have a direct surface connection to a fish - habitat stream segment: 150 Lakes and ponds that have only a direct surface connection to a non - fish -habitat stream segment: 75 Footnote 1: Measured landward from the OHWM. Applicants for a reduced buffer shall demonstrate in an enhancement plan or a habitat management plan to the satisfaction of the administrator that all of the following criteria are met: (a) Buffer averaging is not feasible; (b) The specific standards for mitigation sequencing in JCC 18.22.640 have been applied during the siting and design of the proposed development, which may include consideration of all or the following avoidance and minimization measures: (i) Trees and other existing native vegetation are avoided, and alterations are placed on existing road grades, utility corridors, or other developed lands if present; (ii) The buffer is reduced adjacent to the lower functioning or less -sensitive portion of the buffer or FWHCA; (iii) Lower intensity land uses are located in the reduced buffer area if feasible; (iv) The development is designed to separate and screen impacts such as noise, glare, vegetation trampling, etc. of adjacent land uses from the critical area. The site design shall consider the varying degrees of impacts of different land uses. For example, parking lots, store entrances, and roads generally have higher noise and glare impacts than the rear of the store. Site screening should take advantage of natural topography or existing vegetation, wherever possible. Where natural screening is not available, berms, landscaping, and structural screens should be implemented (e.g., orient buildings to screen parking lots and store entrances from critical area). Landscaping shall be consistent with JCC 18.30.130; (c) The buffer reduction shall not adversely affect the habitat functions and values of the adjacent FWHCA or other critical area; (d) The buffer shall not be reduced to less than 75 percent of the standard buffer; (e) The slopes adjacent to the FWHCA within the buffer area are stable; (f) The reduced buffer shall be fully vegetated. A fully vegetated buffer is one that contains or will mature into a dense, multi -storied, diverse native vegetation community that provides riparian functions adequate to protect the adjacent waterbody. A fully vegetated buffer contains at least 80 percent aerial cover of trees and shrubs in its existing or proposed enhanced condition at maturity. This shall also include the removal of invasive non-native plants (e.g. Himalayan blackberry, English ivy, Scotch broom, etc.) or noxious weeds and replacement with native Appendix A - 30 vegetation. Based on the condition of the buffer the administrator may require an enhancement plan or habitat management plan to achieve the fully vegetated standard in its existing or proposed enhanced condition at maturity. These plans shall include a 5-year monitoring plan to ensure that standards are met; and (g) For overwater development or uses, a reduction of the buffers shall be based on the review of reports, established criteria or through consultation with federal and state agencies. (8) Buffer reduction process and criteria. Table 18.22.630(4): Buffer Averaging, Reduction, Permit Process and Criteria Buffer Averaging Permit Process Up to 25% Type I per JCC 18.22.630(6)(a) Up to 50% Type II per JCC 18.22.630(6)(b) Variances' Buffer Reduction Permit Process Up to 25% Administrative Type I Variance per JCC 18.22.630(7) Over 25% to 75% Type III Critical Area Variance per JCC 18.22.250 Over 75% Type III Reasonable Use Exception per JCC 18.22.260 Footnote 1: A Critical area stewardship plan (CASP) meeting the provisions of JCC 18.22.965 may be utilized instead of critical area variances or Reasonable Use Exception. Footnote 2: Buffer reduction not allowed if buffer averaging is feasible. (9) Increasing buffer widths. Buffer widths may be increased on a case -by -case basis, as determined by the administrator, to protect the functions and values of a FWHCA. Supporting documents that may be used to support this determination include but are not limited to: (a) The FWHCA is used by, or has habitat features that could be used by, state or federally listed threatened or endangered species; (b) The FWHCA serves as nesting or foraging habitat for raptors or great blue herons; (c) The area adjacent to the FWHCA is susceptible to erosion or landslide; or (d) The area adjacent to the FWHCA has minimal deep rooting, native vegetation or the slopes are greater than 30 percent. (10) Voluntary restoration. FWHCAs and their associated buffers that have been previously altered such that the functions, values, and natural processes have been diminished are encouraged to be restored to conditions that existed historically or prior to the alteration. Voluntary restoration requires the submission of an enhancement plan or habitat management plan to DCD for review and approval prior to issuance of a County permit to restore a FWHCA or its associated buffer. DCD shall provide information or technical expertise, where possible, in facilitating restoration of a FWHCA or its associated buffer to previously existing conditions. This could include, but is not limited to, referring interested property owners to restoration information, efforts, and funds. (11) Stream crossings. Stream crossing may be permitted within a FWHCA or its associated buffer only when no practicable or reasonable alternative location is available. Any private or public road expansion or construction Appendix A - 31 which is proposed and shall cross streams classified within this article shall comply with all of the following minimum development standards: (a) There are no practicable or reasonable alternative location is available; (b) A habitat management plan and site plan shall be submitted that show the impacts to the FWHCA and its buffer are minimized, that any disturbed areas shall be immediately restored, and that restoration shall be through the establishment of native vegetation; (c) The design of stream crossings shall meet the requirements of the Washington State Department of Fish and Wildlife Water Crossing Design Guidelines, as amended. Fish passage shall be restored if necessary to address manmade obstructions on site. Other alternatives may be allowed upon a showing that, for the site under review, the alternatives would be less disruptive to the habitat or that the necessary building foundations were not feasible; (d) Crossings shall not occur in salmonid spawning areas unless no other reasonable crossing site exists; (e) Bridge piers or abutments may be allowed either within the floodway or between the ordinary high-water marks, provided no other reasonable alternative placement exists; (f) Crossings shall serve multiple properties whenever possible; and, (g) Where there is no reasonable alternative to providing a culvert, the culvert shall be the minimum size (diameter) and length necessary to accommodate the permitted activity. (12) Utilities. Utilities including sewer lines, on -site sewage systems and stormwater facilities (serving one parcel, development or legal lot of record) may be permitted in critical area buffers only when no practicable or reasonable alternative location is available. Placement of utilities within FWHCA may be allowed pursuant to all of the following requirements: (a) A habitat management plan or enhancement plan and site plan shall be submitted that show the impacts to the FWHCA and its buffer are minimized, that any disturbed areas shall be immediately restored, and the restoration of the site through the establishment of native vegetation; (b) Construction of utilities may be permitted in FWHCAs when no practicable or reasonable alternative location is available and the utility corridor does not cause or increase habitat fragmentation for state or federally listed species and meets the requirements for installation, replacement of vegetation and maintenance outlined below. Utilities are encouraged to follow existing or permitted roads where possible; (c) Construction of sewer lines or on -site sewage systems may be permitted in FWHCA buffers when it can be demonstrated that it is necessary to meet state or local health code requirements, that there are no other practicable alternatives available, and construction meets the requirements of this article. Joint use of the sewer utility corridor by other utilities may be allowed; (d) New utility corridors shall not be allowed in FWHCAs with known locations of federal- or state -listed endangered, threatened, or sensitive species, except in those circumstances where an approved habitat management plan is in place; (e) Utility corridor. In addition to meeting the utilities standards above, new utility corridors (serving more than one property) proposed within a FWHCA or its associated buffer shall require a Type III Variance under JCC 18.22.250. The construction of new utility corridors shall protect the FWHCA and its associated buffer as follows: (i) New utility corridors shall be aligned when possible, to avoid cutting trees greater than 12 inches in diameter at breast height (four and one-half feet) measured on the uphill side; and, Appendix A - 32 (ii) New utility corridors shall be revegetated with appropriate native vegetation at not less than preconstruction vegetation densities or greater, immediately upon completion of construction or as soon thereafter as possible due to seasonal growing constraints. The utility shall ensure that such vegetation survives for a three-year period; and, (f) Utility towers should be painted with brush, pad or roller and should not be sandblasted or spray -painted, nor shall lead -based paints be used; and, (g) Utilities should follow best management practices for avian protection. (13) Bank stabilization. Bank stabilization within designated FWHCA may be allowed pursuant to all of the following criteria: (a) No practicable or reasonable alternative location is available; (b) A habitat management plan and site plan shall be submitted that show the impacts to the FWHCA and its buffer are minimized, that any disturbed areas shall be immediately restored, and that restoration shall be through the establishment of native vegetation; (c) A stream channel and bank, bluff, and shoreline may be stabilized when naturally occurring earth movement threatens existing legal structures, public improvements, unique natural resources, public health, safety or welfare, or the only feasible access to property, and, in the case of streams, when such stabilization results in maintenance of fish habitat or improved water quality, as demonstrated through a habitat management plan or equivalent study or assessment; and, (d) Bluff, bank and shoreline stabilization shall follow the standards of the geologically hazardous areas provision in this chapter, and chapter 15.15 JCC (Flood Damage Prevention). Bluff, bank and shoreline stabilization within shoreline jurisdiction shall follow the standards of chapter 18.25 JCC (Shoreline Master Program). (14) Road and street expansion. The expansion of legally established private or public road may be allowed in a FWHCA or its associated buffer; provided it complies with all of following minimum criteria: (a) No other reasonable or practicable alternative exists and the proposed road or street serves multiple properties whenever possible; (b) A habitat management plan or enhancement plan shall be submitted with a site plan addressing the impacts to the FWHCA and its associated buffer are minimized, that any disturbed areas shall be immediately restored, and that restoration shall be through the establishment of native vegetation; (c) Public and private roads are encouraged to provide for other purposes, such as utility crossings, pedestrian or bicycle easements, viewing points, etc.; and (d) The road or street construction is the minimum necessary, as required by the department of public works' guidelines, where minimum necessary provisions may include projected level of service requirements. (15) New public or private roads. In addition to meeting the requirements for road and street expansion above, the establishment of a new public or private road is subject to the requirement of a variance under JCC 18.22.250. (16) Outdoor recreation, Education, and Trails Construction. Improvements that do not significantly affect the function of the FWHCA or its associated buffer (including viewing structures, outdoor scientific or interpretive facilities, trails, hunting blinds, etc.) are permitted in a FWHCA and its associated buffer provided they comply with all of the following minimum criteria: (a) A habitat management plan or enhancement plan shall be submitted with a site plan addressing the impacts to the FWHCA and its buffer are minimized, that any disturbed areas shall be immediately restored, and that restoration shall be with through the establishment of native vegetation; Appendix A - 33 (b) Trails and other facilities shall, to the extent feasible, shall be placed on existing road grades, utility corridors, or other previously disturbed areas; (c) Trails and other facilities shall be planned to minimize removal of trees, shrubs, snags, and important wildlife habitat; (d) Viewing platforms, interpretive centers, benches, and access to them, shall be designed and located to minimize impacts to wildlife, fish, or their habitat; (e) Private trails, serving one parcel or legal lot of record, may be permitted within the buffer provided that they do not exceed three feet in width and are designed to minimize the impact to FWHCA and their associated buffers. Trails serving multiple parcels or subdivision shall not exceed six 6 feet in width in the buffer. Trails shall be constructed with pervious surfaces or boardwalks and shall not be utilized by motorized vehicles; (f) The size, configuration and surfacing of regional and public trails within a buffer shall be determined through a Type II variance permit. Regional trails shall be limited to a maximum of 12-foot-wide paved surface and with a total width of 6-foot-wide gravel shoulders for non -motorized public access. This shall also include the submission of a mitigation plan prepared by qualified professional addressing the impacts to the FWHCA and its buffer are minimized, so that any disturbed areas shall be immediately restored, and that restoration shall be through the establishment of native vegetation. (17) Stream relocation. (a) In addition to the submission of a habitat management plan, the relocation of streams, or portions of streams requires a variance under JCC 18.22.250. (b) Relocation of a stream may be allowed when there is no other feasible alternative and when the relocation will result in equal or better habitat and water quality and quantity, and will not diminish the flow capacity of the stream or other natural stream processes; provided, the relocation meets state hydraulic project approval requirements, the relocation will not impact the based flood elevation of existing development areas (outside of the project area) within the frequently flooded area, and that relocation of shoreline streams shall be prohibited unless the relocation has been identified formally by the Washington State Department of Fish and Wildlife as essential for fish and wildlife habitat enhancement or identified in watershed planning documents prepared and adopted pursuant to chapter 90.82 RCW. 18.22.640 Impact assessment and mitigation. The overall goal of mitigation shall be no net loss of ecological functions or values, and no degradation of natural processes within a FWHCA or its associated buffer. All unavoidable impacts to FWHCA require mitigation. (1) FWHCA mitigation sequencing. Mitigation includes avoiding, minimizing, or compensating for adverse impacts to a FWHCA or its associated buffer. When a proposed development, land disturbing activity, or use poses adverse impacts to a FWHCA or its associated buffer, the preferred sequence of mitigation as defined below shall be followed unless the applicant demonstrates that an overriding public benefit would warrant an exception to this preferred sequence. (a) Avoiding the impact altogether by not taking a certain action or parts of an action; (b) Minimizing adverse impacts by limiting the degree or magnitude of the action and its implementation; (c) Rectifying the adverse impact by repairing, rehabilitating, or restoring the affected environment to the historical condition or the condition existing at the time of the initiation of a project; (d) Reducing or eliminating the adverse impact over time by preservation and maintenance operation during the life of the action; (e) Compensating for the adverse impact by replacing, enhancing, or providing substitute resources or environments; Appendix A - 34 (f) Monitoring the required compensation and taking appropriate corrective measures when necessary. (2) Impact assessment. All potential impacts to a FWHCA and its associated buffer shall be identified and described in the habitat management plan. Impact assessments shall be made based on requirements in Article IX (Special reports). (3) Mitigation — minimum requirements and types of mitigation. (a) Minimum mitigation requirements are as follows: (i) Unavoidable impacts to a FWHCA or its associated buffer shall be mitigated with at least a 1:1 mitigation ratio. The administrator has the authority to require buffer mitigation at a higher ratio if the area to be adversely affected consists of intact native habitat or the risk of failure is judged unacceptable. (ii) Unavoidable impacts to a FWHCA shall require mitigation that fully compensates for all adverse effects to FWHCA functions and values. (b) FWHCAs mitigation shall include the following options: (i) On -site mitigation. The applicant may propose on -site mitigation if the mitigation proposal compensates for the loss or degradation to existing habitat. (ii) Off -site mitigation. The applicant may propose off -site mitigation if - (A) On -site mitigation is not feasible and the mitigation proposal compensates for the loss of functions and values; or (B) Off -site mitigation occurs within the same watershed or a connected habitat of a similar nature to the maximum extent practicable and provides better or better protection of the FWHCA and compensates for the loss of functions and values; and (C) There is a willing landowner that accepts the proposed mitigation; and (D) A mitigation agreement or easement is recorded that specifies the individuals or parties responsible for implementing, maintaining, and monitoring the mitigation. (c) In -lieu fee mitigation (ILF). As an alternative to permittee-responsible mitigation, an in -lieu fee program may be used to compensate for impacts or alterations to a FWHCA or its associated buffer, if an established in - lieu fee program is available for the project area. Use of the in -lieu fee program to address impacts to FWHCAs or their associated buffers shall adhere to the in -lieu mitigation requirements in JCC 18.22.740(4). Article VII. Wetlands 18.22.700 Purpose. The purposes of this article are to: (1) Recognize and protect the beneficial functions, values, and services performed by wetlands, which include, but are not limited to, providing food, breeding, nesting or rearing habitat for fish and wildlife; recharging and discharging groundwater; contributing to stream flow during low flow periods; stabilizing stream banks and shorelines; storing storm and flood waters to reduce flooding and erosion; and improving water quality through biofiltration, adsorption, retention and transformation of sediments, nutrients, and toxicants. (2) Regulate land use to avoid adverse effects on wetlands and maintain the functions, services, and values of freshwater and estuarine wetlands throughout Jefferson County. 18.22.710 Classification and designation. Wetlands have the same definition as in JCC 18.10.230 W definitions. Wetlands are those areas that are inundated or saturated by surface water or groundwater at a frequency and duration sufficient to support, and that under normal Appendix A - 35 circumstances do support, a prevalence of vegetation typically adapted for life in saturated soil conditions. Wetlands generally include swamps, marshes, bogs, and similar areas. Wetlands may include those artificial wetlands intentionally created from nonwetland areas to mitigate conversion of wetlands. Wetlands do not include those artificial wetlands intentionally created from non -wetland sites, including, but not limited to, irrigation and drainage ditches, grass -lined swales, canals, detention facilities, wastewater treatment facilities, ponds for agricultural activities, landscape amenities, farmed wetlands, or those wetlands created after July 1, 1990, that were unintentionally created as a result of the construction of a road, street, or highway. (1) Wetland delineation. Wetlands shall be delineated in accordance with the requirements of RCW 36.70A.175. Unless otherwise provided for in this chapter, all areas within the county determined to be wetlands in accordance with the U.S. Army Corps of Engineers Wetlands Delineation Manual, 1987 Edition, and the Western Mountains, Valleys, and Coast Region Supplement (Version 2.0), 2010 or as revised, are hereby designated critical areas and are subject to the provisions of this article. (2) Wetland rating. Wetlands shall be rated based on categories that reflect the functions and values of each wetland. Wetland categories shall be based on the criteria provided in the Washington State Wetland Rating System for Western Washington, revised 2014, and as amended thereafter, as determined using the appropriate rating forms and associated figures contained in that publication. These categories are generally defined as follows: (a) Category 1. These wetlands are: (i) relatively undisturbed estuarine wetlands larger than one acre; (ii) wetlands of high conservation value that are identified by the State of Washington Natural Heritage Program; (iii) bogs; (iv) mature and old -growth forested wetlands larger than one acre; (v) wetlands in coastal lagoons; or (vi) wetlands that perform many functions well (scoring a total of 23 or more points). These wetlands: (i) represent unique or rare wetland types; (ii) are more sensitive to disturbance than most wetlands; (iii) are relatively undisturbed and contain ecological attributes that are impossible to replace within a human lifetime; or (iv) provide a high level of functions. (b) Category II. These wetlands are: (i) undisturbed estuarine wetlands smaller than one acre or disturbed estuarine wetlands larger than one acre or (ii) wetlands with a moderately high level of functions (scoring between 20 and 22 points total). (c) Category III. These wetlands are (i) those with moderate level of functions (scoring between 16 and 19 points total) or (ii) those that can often be adequately replaced with a well -planned mitigation project. Wetlands scoring between 16 and 19 points generally have been disturbed in some ways and are often less diverse or more isolated from other natural resources in the landscape than Category II wetlands. (d) Category IV. These wetlands have the lowest levels of functions (scoring 15 or fewer total points) and are often heavily disturbed. These wetlands likely could be replaced or improved in some cases. Replacement cannot be guaranteed in any specific case. These wetlands may provide some important functions. (3) Category IV wetlands that are non -federally regulated and not associated with a riparian area and less than one - tenth acre (4,356 square feet) shall be exempt from the requirements of this article when all of the following criteria are met: (a) The wetland does not provide significant breeding habitat for native amphibian species. Breeding habitat is indicated by adequate and stable seasonal inundation, presence of thin -stemmed emergent vegetation, and clean water; (b) The wetland does not have unique characteristics that would be difficult to replace through standard compensatory mitigation practices; (c) The wetland is not located within a FWHCA or its associated buffer as defined in Article VI of this chapter, and is not integral to the maintenance of habitat functions of an FWHCA; (d) The wetland is not located within a floodplain; (e) The wetland is not within the jurisdiction of the county shoreline master program; Appendix A - 36 (f) The wetland is not part of a mosaic of wetlands and uplands, as determined using the guidance provided in the wetland rating system; and (g) The wetland does not score five or more points for habitat functions (based on the 2014 version of the Washington Department of Ecology Wetland Rating System, or as amended by Washington Department of Ecology). Wetlands less than one -tenth acre that meet the above criteria shall not be filled or otherwise altered, unless approval is obtained from Washington State Department of Ecology or the U.S. Army Corp of Engineers. This exemption does not allow for unmitigated alteration of wetland area or functions. Alteration of any wetland, including wetlands less than one -tenth of an acre, shall require mitigation. (4) Sources for identification. The following sources should be used to identify potential wetland locations. These maps are informational only and site evaluations by a qualified professional or wetlands specialist shall be used to determine compliance with this article. Sources include, but are not limited to: (a) Jefferson County Critical Areas Mapping; (b) United States Department of the Interior, Fish and Wildlife Service, National Wetlands Inventory; (c) United States Department of Agriculture, Natural Resources Conservation Service, Soil Survey for Jefferson County Areas, Washington; (d) United States Department of Agriculture, Natural Resource Conservation Service, Hydric Soils List; and (e) Washington State Department of Ecology, Coastal Atlas Map. 18.22.720 Applicability. All development, land disturbing activities and uses in a wetland or its associated buffer shall be subject to the provisions of this article, unless specially exempted in JCC 18.22.230. 18.22.730 Protection standards. (1) General. Application for a project or use on a parcel of real property containing a designated wetland or its associated buffer shall adhere to the requirements set forth below. (2) Types of wetland evaluations. An applicant shall submit, and have approved, a wetland report prepared based on results of an on -site field investigation conducted by a qualified professional or wetland specialist using wetland delineation manuals specified in JCC 18.22.710(1). The wetland report shall be completed based on the following: (a) Wetland reconnaissance. This type of wetland assessment does not require flagging of wetland boundaries or completing a wetland rating form. It shall be used only if no regulated wetland is present within 300 feet of the project area, which includes those areas that may be temporarily affected by construction -related activities or would be within the limits of construction. The wetland reconnaissance requires the wetland specialist to assess all areas within 300 feet of any proposed project component. (b) Wetland delineation. This type of wetland assessment shall be used if any portion of the proposed project is within 300 feet of a regulated wetland, including those areas that may be temporarily affected by construction - related activities or are within the proposed limits of land disturbing activity. The on -site wetland boundary shall be flagged in the field and flags shall be numbered sequentially, and a wetland rating form shall be completed, as required by JCC 18.22.710(2) and (3), for each wetland identified. A wetland delineation report shall be prepared by the wetland specialist based on report requirements presented in Article IX (Special Reports) of this chapter. (c) If the wetland is located off of the property involved in the project application and is inaccessible, the best available information shall be used to determine the wetland boundary and category. Appendix A - 37 (d) The requirement for a wetland evaluation may be waived by the administrator for construction of a single- family residence on an existing legal lot of record if department staff, qualified professional, or a wetlands specialist determines that: (i) Sufficient information exists for staff to estimate the boundaries of a wetland without a delineation; and, (ii) The single-family residence and all accessory structures and uses are not proposed to be located within the distances identified in Table 18.22.730(1)(a) from the estimated wetland boundary. (3) Vegetation retention required within a wetland or its associated buffer. All of the following provisions regarding vegetation retention shall apply: (a) Vegetation within a wetland or its associated buffer shall be retained to the extent practicable. Unless exempt under this chapter, vegetation removal or alteration of a wetland or its associated buffer shall require review and approval by the department; (b) Altering the habitat conditions of a wetland or its associated buffer without prior review and approval by the department is prohibited; (c) During maintenance clearing of rights -of -way and easements for established roadways and existing utilities, all trees (except for hazard trees) and understory vegetation within wetlands or its associated buffer lying outside of road rights -of -way and utility easements shall be retained. Retained vegetation may be pruned to the right-of-way or easement limits; and (d) Damage to a wetland or its associated buffer from land disturbing activity shall be minimized by installing temporary construction fencing before grading near the buffers, and the falling of trees away from these areas. (4) Wetland ratings to establish buffer requirements. Wetland ratings and categories shall be prepared by a qualified professional or wetlands specialist, be based on the Washington State Wetland Rating System for Western Washington (2014 version, or as amended), and be submitted to the department for review and approval. Buffers for wetlands are based on wetland category, habitat function score, and land use intensity as shown in Table 18.22.730(1)(a) or based on special characteristics as shown in Table 18.22.730(1)(b). (5) Buffer marking. To ensure that a buffer is not impacted by proposed adjacent development, land disturbing activity, or use DCD may require one or more of the following: (a) The marking or flagging of the edge of the wetland or its associated buffer; (b) A 5-foot building setback shall be required from the edge of any buffer area, except for nonstructural improvements such as septic drain fields may be located within a setback; (c) Showing the location of the critical area and its associated buffer on all approved site plans adjacent to development or land disturbing activity proposed. (d) Require permanent fencing, berms, barriers, or native vegetation plantings adjacent to new development or new land disturbing activity to ensure that it does not encroach upon buffers; (e) Require that signs be posted along the buffer edge adjacent to the development, land disturbing activity or use to ensure that the public knows the location of the buffers for (i) Permitted commercial or industrial development or uses; or, (ii) Development, land disturbing activities or uses on public lands. (f) Require a notice to title be recorded on the property by the permittee prior to the approval being issued, if the location of the wetland or its associated buffer is not identified in the development permit or on the County's GIS mapping system to disclose to future buyers the existence of critical areas and their associated buffers. Appendix A - 38 (6) Buffers — Standard requirements for wetlands. (a) The administrator shall have the authority to require buffers from the boundaries of all wetlands as established by this article and in accordance with the following criteria. (b) Buffers for wetlands shall be measured as a horizontal line perpendicular to the boundary of the wetland. (c) The standard buffer width for a wetland shall be determined based on the following: (i) The wetland category shall be based on the total score and the habitat functions from the wetland rating form and the land use intensity described in subsection (6)(c) below. Buffer widths for wetlands are shown in Table 18.22.730(1)(a); or (ii) The wetland category is based on the special characteristics of the wetland from the wetland rating form. The buffer widths for wetlands with special characteristics are shown in Table 18.22.730(1)(b). (d) Land use intensity for wetland ratings is based on the following: (i) High land use intensity means development and uses that are commercial, industrial, institutional, urban, high intensity new agriculture (dairies, nurseries, hard side greenhouses, annual tilling), high intensity recreation (golf courses, ball fields), or solar farms. Residential development proposed on a parcel that is less than one acre in size. (ii) Moderate land use intensity means development and uses that are open space parks, moderate intensity new agriculture (orchards, hay fields, animal pastures, soft sided greenhouses, etc.), or utility corridors within rights -of -way that are shared. Residential development on a parcel one to five acres in size. (iii) Low land use intensity means low impact development and uses such as unpaved trails or passive recreation (when not exempt in JCC 18.22.230), regional trails with a maximum of 12-foot-wide paved surface and with a total width of 6-foot-wide gravel shoulders for non -motorized public access, public utility corridors not requiring a maintenance road or a vegetation management plan, landscaping or lawns. Residential development on parcels over five acres in size. Table 18.22.730(1)(a). Standard buffer widths for wetlands based on points Land Use Intensity Wetland Habitat Function High Impact Buffer Width Moderate Impact Buffer Low Impact Buffer Width Category Score (feet) Width (feet) (feet) Category I Total score is 23- 8-9 300 225 150 27 points 6-7 150 110 75 <3 — 5 100 75 50 Category II Total score is 20- 8-9 300 225 150 22 points 6-7 150 110 75 <3 — 5 100 75 50 Category III Total score is 16- 8-9 300 225 150 19 points 6-7 150 110 75 <3 — 5 80 60 50 Category IV Total score is 15 All 50 40 25 points or less Appendix A - 39 Table 18.22.730(1)(b). Standard buffer widths based on special characteristics Category I Buffer width (feet) Bog 250 Coastal Lagoon 200 Estuarine 200 Forested Based on habitat score Wetland of high conservation value 250 Category II Buffer width (feet) Lagoon 150 Estuarine 150 (7) Land Use Intensity Impact Reductions: Applicants have the option to meet the following performance standards found in Table 18.22.730(c) to reduce the buffers outlined in Table 18.22.730(1)(a) above from high to moderate impact. Table 18.22.730(1)(c) Required measures to minimize impacts to wetlands (All measures are required for land use intensity reduction) Disturbance Required measures for land use intensity reduction Lights Lights shall be shielded to avoid being directed off the developed area, and should include timers or motion detection. Noise Locate activity that generates noise away from wetland; If warranted, enhance existing buffer with native vegetation plantings adjacent to noise source; For activities that generate relatively continuous, potentially disruptive noise, such as certain heavy industry or mining, establish an additional 10 feet heavily vegetated buffer strip immediately adjacent to the outer wetland buffer. Toxic runoff Route all new, untreated runoff away from wetland while ensuring wetland is not dewatered; Utilize native vegetation that does not require as much fertilizer or pesticides as non-native vegetation, or require a statement on all approved site plans for development, land disturbing activities or use by limiting use of pesticides within 150 feet of wetland Apply integrated pest management Stormwater runoff Roads and development areas (including lawns) that discharge to buffers are required to utilize best management practices to treat stormwaters; Prevent channelized flow from lawns that directly enters the buffer; Use low impact development (LID) techniques (for more information visit Washington State Department of Ecology's website) Change in water regime Infiltrate or treat, detain, and disperse into buffer new runoff from impervious surfaces and new lawns Pets and human disturbance Use privacy fencing or plant dense vegetation to delineate buffer edge and to discourage disturbance using vegetation appropriate for the ecoregion Appendix A - 40 Disturbance Required measures for land use intensity reduction For non-residential development, DCD may require wetland and its associated buffer in a separate tract or protect with a conservation easement Dust Use best management practices to control dust (8) When buffer averaging may be allowed. (a) The administrator shall have the authority to average buffer widths adjacent to a wetland area up to 25 percent when all of the following criteria are met. (i) The specific standards for mitigation sequencing in JCC 18.22.740 have been applied during the siting and design of the proposed project. To the extent practicable, that may include consideration of the following avoidance and minimization measures: (A) Trees and other existing native vegetation are avoided, and development, land disturbing activity, and uses are placed on existing road grades, utility corridors, or other developed areas if present; (B) The buffer width is increased to match the adjacent to the higher -functioning or more -sensitive portion of the wetland and decreased to match the adjacent to the lower functioning or less -sensitive wetland areas; (C) Lower intensity land uses are located in the reduced buffer area if feasible; (D) The development is designed to separate and screen impacts such as noise, glare, vegetation trampling, etc. of adjacent land uses from the critical area. The site design shall consider the varying degrees of impacts of different land uses. For example, parking lots, store entrances, and roads generally have higher noise and glare impacts than the rear of the store. Site screening should take advantage of natural topography or existing vegetation, wherever possible. Where natural screening is not available, berms, landscaping, and structural screens should be implemented (e.g., orient buildings to screen parking lots and store entrances from critical area). Landscaping shall be consistent with JCC 18.30.130; (ii) The total area contained in the buffer after averaging is no less than that which would be contained within the standard buffer and all increases in buffer dimension are parallel to the wetland; (iii) The buffer averaging does not reduce the functions or values of the wetland, or the buffer averaging, in conjunction with vegetation enhancement, increases the habitat function or value; (iv) The buffer averaging is necessary due to parcel size, existing development or other critical area requirements, or other site constraints such as slope, soils, or protecting existing native vegetation (e.g. mature conifers); (v) The slopes adjacent to the wetland within the buffer area are stable; (vi) Buffer averaging of buffer reductions addressed in JCC 18.22.730(9) are not allowed; and (vii) The modified buffer shall meet the well vegetated buffer standard, which is comprised of at least 40 percent aerial cover of native trees and shrubs in its existing or proposed enhanced condition at maturity. This shall also include the removal of invasive non-native plants (e.g. Himalayan blackberry, English ivy, Scotch broom, etc.) or noxious weeds and replacement with native vegetation. An enhancement plan or habitat management plan shall be required to achieve this standard, which shall include a 5-year monitoring plan to ensure that standards are met. (b) The administrator shall have the authority to average buffer widths adjacent to a wetland area up to 50 percent when all of the following requirements are met: Appendix A - 41 (i) A habitat management plan shall be submitted; (ii) The modified buffer shall meet the definition of a fully vegetated buffer, which shall contain at least 80 percent aerial cover of native trees and shrubs in its existing or proposed enhanced condition at maturity. This shall also include the removal of invasive non-native plants (e.g. Himalayan blackberry, English, Scotch broom, etc.) or noxious weeds and replacement with native vegetation. An enhancement plan or habitat management plan shall be required to achieve this standard, which shall include a 5-year monitoring plan to ensure that standards are met; (iii) Allows for the natural movement of a stream within its floodplain or channel migration zone; (iv) Separates development from potential flooding impacts; (v) Limits visual, auditory, and direct intrusion between critical areas and developed environments; (vi) Protects important wildlife habitat components for species dependent or associated with wetland, marine, and riverine environments; (vii) Enables wildlife movement; and (viii) Does not accelerate erosion and landslide hazard areas adjacent to the critical area. (9) Process and criteria for wetlands reduction. The administrator may reduce wetland buffers up to 25% administratively through a Type I Variance for moderate land uses provided a wetland delineation shall be submitted to DCD for review and approval establishing all of the following criteria are met: (a) Buffer averaging is not feasible; (b) The specific standards for mitigation sequencing in JCC 18.22.640 have been applied during the siting and design of the proposed development, which may include consideration of all or the following avoidance and minimization measures: (i) Trees and other existing native vegetation are avoided, and development, land disturbing activity, and uses are placed on existing road grades, utility corridors, or other developed lands if present; (ii) The buffer is reduced adjacent to the lower functioning or less -sensitive portion of the wetland; (iii) Lower intensity land uses are located adjacent to the reduced buffer area if feasible; (iv) The development is designed to separate and screen impacts such as noise, glare, vegetation trampling, etc. of adjacent land uses from the critical area. The site design shall consider the varying degrees of impacts of different land uses. For example, parking lots, store entrances, and roads generally have higher noise and glare impacts than the rear of the store. Site screening should take advantage of natural topography or existing vegetation, wherever possible. Where natural screening is not available, berms, landscaping, and structural screens should be implemented (e.g., orient buildings to screen parking lots and store entrances from critical area). Landscaping shall be consistent with JCC 18.30.130; (c) The buffer reduction shall not adversely affect the habitat functions and values of the adjacent wetland or other critical area; (d) The buffer shall not be reduced to less than 75 percent of the standard buffer; (e) The slopes adjacent to the FWHCA within the buffer area are stable; (f) The reduced buffer shall be fully vegetated. A fully vegetated buffer is one that currently contains or will mature into a dense, multi -storied, diverse native vegetation community that provides ecological functions adequate to protect the adjacent waterbody. A fully vegetated buffer contains at least 80 percent aerial cover of trees and shrubs in its existing or proposed enhanced condition at maturity. This shall also include the removal Appendix A - 42 of invasive non-native plants (e.g. Himalayan blackberry, English ivy, Scotch broom, etc.) or noxious weeds and replacement with native vegetation. Based on the condition of the buffer the administrator may require an enhancement plan or habitat management plan to achieve the fully vegetated standard in its existing or proposed enhanced condition at maturity, which shall include a 5-year monitoring plan to ensure that standards are met; and Table 18.22.730(1)(d). Buffer Averaging, Reduction, Permit Process and Criteria Buffer Averaging Permit Process Up to 25% Type I per JCC 18.22.730(8)(a) Up to 50% Type II per JCC 18.22.730(8)(b) Variances' Buffer Reduction Permit Process Land use intensity from high to moderate JCC 18.22.730(7) Up to 25% Type I moderate land uses per JCC 18.22.730(9) Over 25% to 75% Type III Critical area variance per JCC 18.22.250 Over 75% Type III Reasonable use exception per JCC 18.22.260 Footnote 1: A Critical area stewardship plan (CASP) meeting the provisions of JCC 18.22.965 may be utilized instead of critical area variances or reasonable use exception. Footnote 2: Buffer reduction is not allowed if buffer averaging is feasible. (10) When increasing buffers for wetlands may be required. The administrator shall have the authority to increase buffers adjacent to a wetland to protect the functions and values of a wetland. Factors that may be used to support this determination include but are not limited to: (a) The wetland is used by, or has habitat features that could be used by, state or federally listed threatened or endangered species; (b) The wetland serves as nesting or foraging habitat for raptors or great blue herons; (c) The area adjacent to the wetland is susceptible to erosion or landslide; or (d) The area adjacent to the wetland has minimal deep rooting, native vegetation or the slopes are greater than 30 percent. (11) Voluntary restoration. A wetland and its associated buffer that has been previously altered such that the functions, values, and natural processes have been diminished are encouraged to be restored to conditions that existed historically or prior to the alteration. Voluntary restoration requires the submission of an enhancement plan or habitat management plan to DCD for review and approval prior to issuance of a permit to restore a wetlands or buffer. DCD shall provide information or technical expertise, where possible, in facilitating restoration of a wetland or buffer to previously existing conditions. This could include, but is not limited to, referring interested property owners to restoration information, efforts, and funds. (12) Utilities. Placement of utilities (serving one parcel, development or legal lot of record) within a wetland and its associated buffer may be allowed pursuant to the following standards: (a) A habitat management plan or enhancement plan shall be submitted with a site plan demonstrating how the impacts to a wetland and its associated buffer are minimized, that any disturbed areas shall be immediately restored, and that the restoration shall be through the establishment of native vegetation. Appendix A - 43 (b) Construction of utilities, including stormwater BMP's, may be permitted in a wetland and its associated buffer when no practicable or reasonable alternative location is available and the utility does not cause or increase habitat fragmentation for state or federally listed species and meets the requirements for installation, replacement of vegetation and maintenance outlined below. Utilities are encouraged to follow existing or permitted roads where possible. (c) New utilities shall be aligned when possible, to avoid cutting trees greater than 12 inches in diameter at breast height (four and one-half feet) measured on the uphill side. (d) New utilities shall be revegetated with appropriate native vegetation at pre -construction vegetation densities or greater, immediately upon completion of construction or as soon thereafter as possible due to seasonal growing constraints. The utility shall ensure that such vegetation survives for a three-year period. (e) Construction of sewer lines or on -site sewage systems may be permitted in a wetland or its associated buffer when it can be demonstrated that it is necessary to meet state or local health code requirements, that there are no other practicable alternatives available, and construction meets the requirements of this article. Joint use of the sewer utility by other utilities may be allowed. (f) In addition to meeting the utilities standards above, new utility corridors (serving more than one property) proposed within a wetland or its associated buffer shall require a variance under JCC 18.22.250. (g) Utility corridors for towers should be painted with brush, pad or roller and should not be sandblasted or spray -painted, nor shall lead -based paints be used. (f) Utilities corridors for towers should follow best management practices for avian protection. (13) Road and street expansion. The expansion of a legally established private or public road may be allowed in a wetland or its associated buffers provided it complies with the following minimum development requirements: (a) A habitat management plan or enhancement plan shall be submitted with a site plan demonstrating that the impacts to a wetland and its associated buffer are minimized, that any disturbed areas shall be immediately restored, and that restoration shall be through the establishment of native vegetation. (b) No other reasonable or practicable alternative exists and the proposed road or street serves multiple properties whenever possible; (c) Public and private roads are encouraged to provide for other purposes, such as utility crossings, pedestrian or bicycle easements, viewing points, etc.; and (d) The road or street construction is the minimum necessary, as required by the department of public works' guidelines. Minimum necessary provisions may include projected level of service requirements. (14) New public or private roads. In addition to meeting the development standards for road and street expansion above, the establishment of a new public or private road within a wetland or its associated buffer is subject to variance under JCC 18.22.250. (15) Outdoor recreation, education, and trails construction. Uses and improvements that do not significantly affect the function of a wetland and its associated buffers (including viewing structures, outdoor scientific or interpretive facilities, trails, hunting blinds, etc.) may be permitted in a wetland and its associated buffer provided they comply with all of the following minimum development standards: (a) A habitat management plan or enhancement plan shall be submitted with a site plan addressing the impacts to the wetland and its associated buffer are minimized, that any disturbed areas shall be immediately restored, and the enhanced with through the establishment of native vegetation; (b)Trails and other facilities shall, to the extent feasible, be placed on existing road grades, utility corridors, or other previously disturbed areas; Appendix A - 44 (c) Trails and other facilities shall be planned to minimize removal of trees, shrubs, snags, and important wildlife habitat; (d) Viewing platforms, interpretive centers, benches, and access to them, shall be designed and located within the buffer to minimize impacts to wildlife, fish, or their habitat; (e) Private trails, serving one parcel or legal lot of record, may be permitted within the buffer provided that they do not exceed three feet in width and are designed to minimize the impact to a wetland and its associated buffer. Trails serving multiple parcels or subdivision shall not exceed six feet in width in the buffer. Trails shall be constructed with pervious surfaces or boardwalks and shall not be utilized by motorized vehicles; (f) The size, configuration and surfacing of regional and public trails within a buffer shall be determined through a Type II Variance. Regional trails shall be limited to a maximum of 12-foot-wide paved surface and with a total width of 6-foot-wide gravel shoulders for non -motorized public access. This shall also include the submission of a mitigation plan prepared by wetland biologist or qualified professional; and (g)The impacts to the wetland and its buffer are minimized, so that any disturbed areas shall be immediately restored, and that restoration shall be through the establishment of native vegetation. 18.22.740 Impact Assessment and mitigation. The overall goal of mitigation shall be no net loss of wetland functions or values. (1) Mitigation sequence. Mitigation includes avoiding, minimizing, rectifying, or compensating for adverse impacts to regulated wetlands. When development, land disturbing activity or use poses potentially significant adverse impacts to a regulated wetland, the preferred sequence of mitigation as defined below shall be followed unless the applicant demonstrates that an overriding public benefit would warrant an exception to this preferred sequence. (a) Avoiding the impact altogether by not taking a certain action or parts of an action; (b) Minimizing adverse impacts by limiting the degree or magnitude of the action and its implementation; (c) Rectifying the adverse impact by repairing, rehabilitating, or restoring the affected environment to the historical condition or the condition existing at the time of the initiation of a project; (d) Reducing or eliminating the adverse impact over time by preservation and maintenance operation during the life of the action; (e) Compensating for the adverse impact by replacing, enhancing, or providing substitute resources or environments; (f) Monitoring the required compensation and taking appropriate corrective measures when necessary. (2) Impact assessment. All potential impacts to wetlands and buffers shall be identified and described in the wetland report. Impact assessments shall be made based on requirements in Article IX (special reports). (3) Compensatory wetland mitigation — general requirements. As a condition of any permit or other approval allowing alteration which results in the unavoidable loss or degradation of regulated wetlands, or as an enforcement action pursuant to title 19 JCC compensatory mitigation, shall be required to offset impacts resulting from the actions of the applicant or any code violator. (a) Except persons exempt under this article, any person who alters or proposes to alter regulated wetlands shall provide wetland mitigation that is equivalent to or greater than impacts in order to compensate for wetland losses. Table 18.22.740(1) specifies the mitigation ratios by category and type of mitigation that must be used for compensatory wetland mitigation: Appendix A - 45 Table 18.22.740(1) Required Replacement Ratios for Compensatory Wetland Mitigation Category and Type Reestablishment or Rehabilitation Only' Reestablishment or Reestablishment or Enhancement Only' of Wetland Impacts Creation Creation (R/C) and Creation (R/C) and Rehabilitation (RH)' Enhancement (E)' All Category IV 1.5:1 3:1 1:1 R/C and 1:1 RH 1:1 R/C and 2:1 E 6:1 All Category III 2:1 4:1 1:1 R/C and 2:1 RH 1:1 R/C and 4:1 E 8:1 Category II Estuarine Case -by -case 4:1 Case -by -case Case -by -case Case -by -case Rehabilitation of an estuarine wetland All Other Category II 3:1 6:1 1:1 R/C and 4:1 RH 1:1 R/C and 8:1 E 12:1 Category I Forested 6:1 12:1 1:1 R/C and 10:1 RH 1:1 R/C and 20:1 E 24:1 Category I Based on 4:1 8:1 1:1 R/C and 6:1 RH 1:1 R/C and 12:1 E 16:1 Score for Functions Category I Wetlands Not considered 6:1 R/C not considered R/C not considered Case -by -case with High possible' Rehabilitation of a possible' possible' Conservation Value wetland with high conservation value Category I Coastal Not considered 6:1 R/C not considered R/C not considered Case -by -case Lagoon possible' Rehabilitation of a possible' possible' coastal lagoon Category I Bog Not considered 6:1 R/C not considered R/C not considered Case -by -case possible' Rehabilitation of a possible' possible' bog Category I Estuarine Case -by -case 6:1 Case -by -case Case -by -case Case -by -case Rehabilitation of an estuarine wetland These ratios assume that the rehabilitation or enhancement actions implemented represent the average degree of improvement possible for the site. Proposals to implement more effective rehabilitation or enhancement actions may result in a lower ratio, while less effective actions may result in higher ratio. The distinction between rehabilitation and enhancement is not clear-cut. Instead, rehabilitation and enhancement actions span a continuum. Mitigation proposals that fall within the gray area between rehabilitation and enhancement will result in a ratio that lies between the ratios for rehabilitation and the ratios for enhancement. '- Wetlands with high conservation value, coastal lagoons, and bogs are considered irreplaceable wetlands because they perform some functions that cannot be replaced through compensatory mitigation. Impacts to such wetlands would therefore result in a net loss of some functions no matter what kind of compensation is proposed. Note: Each type of mitigation is defined in subsection (3) of this section under mitigation types. Note: Wetland preservation may be approved by the administrator under limited circumstances on a case -by -case basis if preservation requirements are met, as specified in Wetland Mitigation in Washington State, Part 1: Agency Policies and Guidance, or as amended. (b) Compensatory mitigation may also be determined using methods described in Calculating Credits and Debits for Compensatory Mitigation in Wetlands of Western Washington: Final Report (Washington Department of Ecology Publication No. 10-06-011, or as amended); provided, the mitigation is consistent with Table 18.22.740(l). (c) Compensatory mitigation must follow an approved compensatory mitigation plan pursuant to this article, with the replacement ratios as specified above. (d) Compensatory mitigation must be conducted on property that will be protected and managed to avoid further development or degradation. The applicant or code violator must provide for long-term preservation of the compensation area. The administrator has the authority to require the applicant record a notice to title to ensure protection. Appendix A - 46 (e) Compensatory wetland mitigation shall be designed to mimic natural wetland hydrologic conditions, and shall not be used as a stormwater system to comply with chapter 18.30 JCC. (f) The applicant may be required to post a mitigation performance bond to ensure monitoring the site occurs and contingency plans are implemented if the project fails to meet projected goals. Corrective actions must be coordinated and approved by department of community development. (4) Compensatory buffer mitigation general requirements. (a) Buffers adversely affected by a proposed development, land disturbing activity, or use shall be compensated at a mitigation ratio of at least 1:1. (b) Impacts to buffers that are well -developed, well -established, or have unique natural habitats consisting primarily of native plant species shall require a mitigation ratio greater than 1:1. This could include, but is not limited to, buffers consisting of tall trees; areas dominated by native species; areas considered a priority habitat by WDFW; or, habitat conditions that could support rare plants or plant communities. (c) The permittee shall install a highly visible and durable protective fencing as a barrier between the limits of construction and the retained buffer vegetation. The fencing shall be installed prior to any land disturbing activity, including but not limited to clearing or grading , and shall be maintained during construction to prevent access and protect the wetland and retained buffer. This requirement may be waived if an alternative to fencing that achieves the same objective is proposed by the applicant and approved by the administrator. (5) Compensatory wetland and buffer mitigation — type, location, and timing. (a) Mitigation is to be provided in the preferred order listed below. A lower order preference shall not be approved unless a wetlands evaluation prepared by a wetlands specialist documents to the satisfaction of the administrator that a higher preferred option is not ecologically viable. (i) Restoration (reestablishment or rehabilitation) is the preferred mitigation option; (ii) Creation (also referred to as establishment) may be approved if restoration is not an ecologically viable option; (iii) Preservation (also referred to as protection or maintenance) is the least preferred mitigation option and shall be permitted only under limited circumstances when, based on a report prepared by a wetlands specialist, the administrator determines that no other option is ecologically viable; (iv) Enhancement may be approved if restoration or creation are not ecologically viable options or may be required in the same buffer area when a use or structure is permitted and encroaches into the same buffer. (b) On -site compensation within the same subdrainage basin is preferred. The administrator may approve off - site compensation only if- (i) A wetlands specialist documents that on -site mitigation is not feasible and that off -site mitigation is ecologically preferable; (ii) No reasonable opportunities exist on -site and within the same subdrainage basin; (iii) On -site mitigation would result in the loss of high -quality upland habitats; (iv) Off -site mitigation has a greater likelihood of compensating for project -related impact; (v) On -site compensation is not feasible due to hydrology, soils, waves, or other factors; (vi) On -site compensation is not practical due to probable adverse impacts from surrounding land uses; and Appendix A - 47 (vii) Potential functions and values at the site of the proposed restoration are significantly greater than the lost wetland functions and values. (c) Compensation outside of the subdrainage basin may be approved by the administrator if an authorized in - lieu fee program is used. (d) Construction of rectification and compensation projects must be timed to reduce impacts to existing wildlife and flora. Construction must be timed to assure that grading and soil movement occurs during the dry season. Planting of vegetation must be specifically timed to the needs of the target species. (e) Compensation shall be completed prior to wetland destruction, where feasible. (6) In -lieu fee program (ILF). An applicant may opt to use an ILF to compensate for impacts to wetlands or their associated buffers based on criteria listed below. Use of an ILF program transfers the responsibility of providing compensatory mitigation from the applicant to an ILF program sponsor. The sponsoring organization is required to provide mitigation that complies with all mitigation requirements of this chapter. (a) The ILF program may be used by an applicant as a way to mitigate for project impacts if the impacts to the critical area or its associated buffer occur within an ILF program service area. If an impact occurs outside of an ILF program service area, an applicant may request that DCD investigate the possibility of using the ILF program as mitigation. The ILF program sponsor is under no obligation to accept mitigation responsibilities for impacts outside an ILF program service area. (b) The applicant shall determine if there is a preference for using the ILF program over permittee-responsible mitigation to compensate for unavoidable impacts. DCD may encourage an applicant to use the ILF program, but shall not require an applicant to use ILF for mitigation. (c) The administrator may approve an application using an ILF program for mitigation if the ILF program sponsor accepts the mitigation responsibility. The sponsoring organization has the right to deny the request if the sponsoring organization cannot fulfill all ILF program mitigation requirements. If the sponsoring organization does not accept the mitigation responsibility, the applicant shall be responsible for providing mitigation that complies with this chapter. The administrator shall not approve a permit involving ILF mitigation until (i) the applicant has purchased the appropriate number of credits from the sponsoring organization and (ii) the sponsoring organization has completed a statement of sale. Once the ILF program sponsor completes the financial transaction with the applicant, the sponsor becomes responsible for completing the mitigation effort to comply with the requirements of this chapter and the applicable approved in -lieu fee program instrument. Article VIII. Agriculture 18.22.800 Purpose and intent. (1) Jefferson County encourages the conservation of productive agricultural land and the implementation of alternative means of protecting critical areas using conservation practices in this article. As allowed under WAC 365-196-830 (Protection of critical areas), both regulatory and voluntary measures may be developed and used to prevent degradation of critical areas. (2) The well-being of agricultural activities in Jefferson County depends in part on good quality soil, water, air, and other natural resources. Agricultural operations that incorporate protection of the environment, including critical areas and their associated buffers as defined by this chapter, are essential to achieving this goal. (3) Jefferson County offers producers of agricultural products or commodities (agricultural activities as defined in JCC 18.10.010) two paths to achieve no net loss of critical area functions and values while supporting the viability of agriculture. These two paths are: (a) A "prescriptive" approach utilizes the FWHCA protection standards (Article VI) and the wetland protection standards (Article VII). The prescriptive approach utilizes the standard buffer widths from streams, wetlands, and ponds, which may offer a simpler yet stricter set of standards; or Appendix A - 48 (b) A "performance" based approach where the producer of agricultural products or commodities works independently or with farm assistance agencies to identify the resource concerns that are unique to the farm operation and to implement practices best suited to address those concerns. (4) DCD shall ensure monitoring and adaptive management processes are in place to evaluate whether the application of performance -based approaches address resource concerns identified in this article to the extent related to agricultural activities. 18.22.810 Resource concerns. The continuation of existing agricultural activities meeting the provisions of JCC 18.22.230(3)(a) is exempt from critical area requirements and the requirements of this chapter. Agricultural activities are defined in JCC 18.10.010. Except as noted above, new or expanded agricultural activities are subject to the provisions of this chapter. New or expanded agricultural activities have the potential to create adverse impacts to critical areas. It is the policy goal of this chapter to minimize the impacts of- (1) Potential water polluting activities. Agricultural activities, such as livestock management and tillage, without proper conservation practices may contribute wastes or sediments into a natural or modified natural stream or wetlands; (2) Management of manure and chemicals used for agricultural activities. Without proper conservation practices, manure could be carried into a stream, wetlands, or other waters of the state by any means. Chemicals used for agricultural activities shall be applied consistent with chemical container labels and all applicable federal and state laws and regulations to avoid harm to streams, wetlands, and other fish and wildlife habitat conservation areas. (3) Soil erosion. Construction of roads used for agricultural purposes, agricultural equipment operation, and ditch construction and maintenance should be undertaken in such a manner as to avoid sediment contribution to streams; (4) Drainage Infrastructure. Maintenance and operation of ditches should be designed to prevent maintenance problems, avoid blocking water flow, ensure control of erosion, avoid sedimentation, protect water quality, and ensure stream bank vegetation is protected or replanted; and (5) Unnecessary removal of riparian vegetation. Dense riparian vegetation along the water's edge will slow and protect against flood flows; provide infiltration and filtering of pollutants; secure food and cover for fish, birds, and wildlife; and keep water cooler in summer. Existing riparian vegetation should be managed to continue to provide soil and streambank stability, shade, filtration, and habitat for fish and wildlife, and control noxious weeds. 18.22.820 Alternative performance -based approach for agriculture in FWHCAs or wetlands (1) Applicability. An owner or a producer of agricultural products or commodities may apply to use the performance requirements of this chapter instead of the prescriptive standards. This shall include the submission of an application on a form approved by the administrator and approval by DCD based on requirements of this article for the following agricultural activities within a FWHCA or a wetland or its associated buffer: (a) New or expanded areas of agricultural activities; and (b) Producers of agricultural products or commodities conducting one or more of the following agricultural activities within the footprint of an agricultural activity as of the effective date of March 10, 2020, the date agriculture was first regulated under this article: (i) Adding or expanding temporary or permanent structures; (ii) Adding or expanding compacted areas such as for parking, roads, or access; (iii) Adding or expanding impervious areas; (iv) Adding or replacing wells or septic systems; (v) Constructing or altering ditches or drainage systems; Appendix A - 49 (vi) Constructing or altering ponds for agricultural use; (vii) Expanding or altering manure or compost management structures or practices; (viii) Expanding or altering the application of fertilizers or agricultural chemical in proximity to wetlands or water bodies; (ix) Adding or altering irrigation practices; or (x) Other similar agricultural activities as determined by the administrator. (2) This article does not apply to: (a) Exempt agricultural activities per JCC 18.22.230(3)(a); (b) Agricultural activities occurring within the footprint of use as of the effective date of March 10, 2020, the date agriculture was first regulated under this article are exempt from compliance with this chapter unless listed in JCC 18.22.720; (c) Agricultural activities that meet the FWHCA and wetland prescriptive standards; or (d) Agricultural activities that do not lie within FWHCA or wetland prescriptive standard. (3) Agricultural checklist and classification. DCD shall develop, adopt and maintain an agricultural checklist in consultation with farm assistance agencies for completion by producers of agricultural products or commodities. The agricultural checklist shall identify agricultural activities and the conservation practice(s) necessary to achieve the performance standards in JCC 18.22.830 and avoid potential negative impacts described under resource concerns in JCC 18.22.810 in the following classifications shall be used on the agricultural checklist: (a) Type 1 conservation practices compliant. A Type 1 classification applies to producers of agricultural products or commodities that have a farm plan developed by farm assistance agencies, or have completed the agricultural checklist, demonstrating that a development application addresses performance standards in JCC 18.22.830 due to the nature of the proposals and conservation practices in place that avoid potential negative impacts described under resource concerns in JCC 18.22.810. (b) Type 2 conservation practices scheduled. A Type 2 classification applies to development that does not meet one or more performance standards in JCC 18.22.830 and identifies conservation practices that will adequately address resource concerns created by the agricultural activities. The conservation practices shall be implemented based on a schedule developed in consultation with farm assistance agencies or a report by a natural resource conservation professional. Such scheduled conservation practices shall avoid resource concerns identified in JCC 18.22.810 and meet performance standards in JCC 18.22.830. (c) Conservation practices unable to be met applies when the checklist criteria and cannot document that appropriate conservation practices have been implemented or scheduled that will adequately address resource concerns created by the agricultural activities. A producer of agricultural products or commodities shall complete an agricultural checklist and provide a report prepared by a farm assistance agency or a natural resource professional to demonstrate how the proposal meets the performance standards in JCC 18.22.830 and avoids potential negative impacts described under resource concerns in JCC 18.22.810. If performance standards cannot be met with adequate conservation practices scheduled, the proponent shall be subject to the prescriptive standards of this chapter and may apply for variances or reasonable use exceptions as applicable under JCC 18.22.250 and JCC 18.22.260, where appropriate, or may pursue a financially bonded critical area stewardship plan (CASP) as applicable under JCC 18.22.965; provided, the proposal can meet all CASP financial and other provisions. 18.22.830 Protection standards. (1) Performance Standards. Producers of agricultural products or commodities shall submit an agricultural checklist and supporting documentation to the satisfaction of the administrator to demonstrate all of the following Appendix A - 50 performance standards are met due to the nature of the proposal as well as installed or scheduled conservation practices: (a) Structures and impervious surfaces are sited to prevent manure, pathogens, sediment, and other contaminants from entering fish and wildlife habitat conservation areas and wetlands; (b) Roof runoff is managed so that it does not result in ponding or channeling in confinement areas, or contribute to the discharge of manure, pathogens, sediment, pesticides, and other contaminants to FWHCAs and wetlands; (c) Agricultural lands are managed to prevent stormwater from carrying manure, pathogens, sediment, pesticides, and other contaminants from entering all FWHCAs and wetlands; (d) Catch basins, drains, tiles, pipes and other conveyances of surface and ground water that outlet to streams and ditches installed and maintained in a manner that prevents the entry of manure, pathogens, sediment, pesticides, and other contaminants; (e) Livestock are excluded from FWHCAs and wetlands by means of fencing, gates or other controls that are consistent with the practices recommended by farm assistance agencies; (f) Buffers are established that either: (i) are consistent with either the prescriptive standards in this chapter applicable to FWHCAs or wetlands or (ii) consistent with farm assistance agency -designed conservation practices that provide for buffers around FWHCAs or wetlands within areas where livestock are kept; (g) Manure is handled and stored in a way that prevents nutrients, pathogens, sediment, and other contaminants from entering FWHCAs and wetlands; (h) Manure is applied in a manner to prevent pollution of FWHCAs and wetlands; (i) Compost production is handled and stored in a way that prevents stormwater from carrying nutrients, pathogens, sediment and other contaminants into FWHCAs and wetlands; 0) Fertilizers or agricultural chemicals for weed and pest control are applied in a manner that prevents them from entering any FWHCAs and wetlands on agricultural land either by aerial drift or by stormwater run-off; (k) The development avoids adverse alteration of wetland hydrology; (1) The development protects riparian vegetation or tree cover after drainage maintenance or construction; (m) The proposal maintains surface and groundwater flow, discharge, and recharge, through such means including but not limited to maintaining soil permeability, avoiding net increases in impervious areas, avoiding compaction, or avoiding changing discharge to streams; (n) Existing native woody vegetation is retained along streams, lakes, ponds, and wetlands consistent with the practices recommended by farm assistance agencies; (o) The site has not been cleared under a forest practices permit or altered tree cover by more than 10,000 square feet; (p) If in a flood hazard area, all fill or excavation or additional permanent impervious areas as proposed are in conformity with county flood hazard regulations in chapter 15.15 JCC and the practices recommended by farm assistance agencies; and (q) A proposed agricultural activity is consistent with locational allowances in subsection (2) of this section. (2) Locational standards. Table 18.22.830(1) identifies agricultural activities that are allowed in or near wetlands and FWHCAs and their associated buffers. Appendix A - 51 (a) Cultivation and production and agricultural structures, buildings, impervious areas shall meet the locational allowances and associated performance standards. Table 18.22.830(1) Agricultural Activities Allowances in Wetland and FWHCA Buffers Activity Allowed in wetlands Allowed in associated Wetland and FWHCA Buffers Cultivation and production Yes, existing agricultural activities lawfully established Yes, existing agricultural activities lawfully established as of March 10, 2020, the date regulation of agriculture as of March 10, 2020, the date regulation of agriculture was first adopted in this chapter. was first adopted in this chapter. Yes, new or expanded agricultural activities'°2 Yes, new or expanded agricultural activities'•z Agricultural structures, Limited to activities addressed by farm assistance Yes, existing agricultural activities lawfully established buildings, impervious areas agency practices on farmed wetlands, including but not as of March 10, 2020, the date regulation of limited to high tunnel systems, where consistent with agriculture was first adopted in this chapter. federal and state law',2•' Yes, new or expanded agricultural activities',Z Notes: ' Subject to performance standards in subsection (1) of this section and determined to be a Type 1 or Type 2 proposal per JCC 18.22.820. 2 Conditions or performance standards applied by the administrator may include but are not limited to wetland/riparian or buffer enhancement in limited circumstances and as determined in consultation with a farm assistance agency or qualified professional, or wetland specialist, provided proposed actions for compensation are conducted in advance of the impact and are shown to be successful and provided enhancement is part of ongoing monitoring. ' Producers of agricultural products or commodities shall demonstrate they have received a NRCS Certified Wetlands Determination or equivalent determination by another farm assistance agency, state oversight agency official, qualified professional, or DCD. (3) Structures. Structures shall be determined to achieve no -net -loss of critical area functions and values when following NRCS Field Office Technical Guides (FOTGs). Documentation supports the administrator making a written decision finding that the owner's compliance with other state or federal regulations or permits provides sufficient protection on the site to satisfy related critical areas requirements of this chapter. (a) The administrator may condition the proposed agricultural activities to avoid resource concerns in JCC 18.22.810 by requiring conservation practices recommended by farm assistance agencies, a natural resources conservation professional or a qualified professional. (b) If the agricultural activity has conservation practices unable to be met or does not demonstrably meet the performance standards in subsection (1) of this section, or does not meet locational requirements of Table 18.22.830(1), the administrator shall deny proposal. The proponent may seek use of the prescriptive path offered in this chapter. (4) Conservation practices. Owners of agricultural land and producers of agricultural products or commodities are encouraged to design conservation practices through use of the following resources: (a) Section 4 of the USDA Natural Resources Conservation Service (MRCS) "Field Office Technical Guide" (FOTG) contains a nonexclusive list of conservation practices to guide implementation of the expectations of this article. (b) The Jefferson County conservation district is available to assist with completion of an agricultural checklist and in the development of conservation plans approved by DCD. A producer of agricultural products or commodities may also work with other farm assistance agencies. (5) Scheduled conservation practices. For a conservation practices not satisfied proposal, the applicant shall identify the standards by which the practice will be designed and the scheduled date of implementation. The proponent shall provide documentation the scheduled conservation practice has been established in accordance with the design specifications following implementation. 18.22.840 Monitoring and adaptive management. Monitoring provides information used by DCD to assist in determining the effectiveness of the county's critical area regulations and conservation practices applicable to agricultural activities. DCD shall develop a cooperative Appendix A - 52 monitoring program with producers of agricultural products or commodities , conservation district staff and farm assistance agency staff based on the conservation practices and performance standards of approved critical areas permits in agricultural land. The monitoring program shall identify existing functions and values per subsection (1) of this section, the thresholds of no harm or degradation in subsection (2) of this section, and the benchmarks and outcomes in subsection (3) of this section. The monitoring and adaptive management report shall be prepared periodically in accordance with subsection (4) of this section. (1) "Existing functions and values" mean the following categories as compared to conditions as of March 10, 2020, the date regulation of agriculture was first adopted in this chapter: (a) Water quality, as documented in a given watershed by the Jefferson County conservation district or a farm assistance agency. (b) The existence or absence of large woody debris within a FWHCA, as documented in the analyses completed by the Washington State Department of Fish and Wildlife for the Water Resource Inventory Areas (WRIAs) 16, 17, 20, and 21, or other relevant studies. (c) The existing riparian buffer characteristics and width, including, but not limited to, the existing amount of shade provided by the existing riparian buffer, as documented in analyses completed for the Water Resource Inventory Areas (WRIAs) 16, 17, 20, and 21, or other relevant studies. (d) The existing channel morphology as documented with Washington State Department of Natural Resources Aerial Photography. (e) Location and functions of wetlands if present and determined by a wetland rating or as depicted by National Wetlands Inventory, Jefferson County GIS critical areas mapper or other mapped documentation and described by a wetland rating (when available). (2) "No harm or degradation" means the following: (a) Maintaining or improving documented water quality levels, if available. (b) Meeting, or working towards meeting, the requirements of any total maximum daily load (TMDL) requirements established by the Washington State Department of Ecology pursuant to chapter 90.48 RCW. (c) Meeting all applicable requirements of chapter 77.55 RCW and chapter 220-660 WAC (Hydraulics Code). (d) No evidence of degradation to the existing fish and wildlife habitat characteristics of the FWHCA or wetland that can be reasonably attributed to adjacent agricultural activities. (e) The references above to chapters 77.55 and 90.48 RCW and chapters 173-201A and 220-660 WAC shall not be interpreted to replace Washington State Department of Ecology and Washington State Department of Fish and Wildlife authority to implement and enforce these state programs. (3) Monitoring program benchmarks and outcomes. (a) Water quality monitoring results shall be based on sampling data collected and analyzed in accordance with the most recent version of the Washington State Department of Ecology Guidelines for Project Quality Plans for Environmental Studies and reviewed by Jefferson County Department of Environmental Public Health or another agency with jurisdiction. To comply with the no harm requirement for water quality, all parameters evaluated must remain comparable (or improve) relative to established state standards. If any water quality parameter shows a decline, DCD and environmental public health may require on -site sampling of upstream and downstream water quality conditions to determine if permitted activities that have been implemented have since affected water quality. (b) Habitat ecology should remain comparable to the watershed conditions as documented by agencies with expertise with no net loss of critical area functions and values compared to a baseline as of the effective date of March 10, 2020, the date regulation of agriculture was first adopted in this chapter. Additionally, indicators of Appendix A - 53 habitat conditions, such as (i) the percent cover of woody vegetation (native trees and shrubs) shall not result in a net decrease; (ii) the amount of habitat features such as snags, downed woody debris, and open water habitats shall not result in a net decrease. (c) In -stream fish habitat, wetland and riparian vegetation conditions should remain stable or improve (based on assessments, reports, and online information published the Washington State Department of Fish and Wildlife or another state or federal agency with jurisdiction). Critical area restoration and habitat improvement projects when required as part of approved conservation practices or performance standards shall meet specific benchmarks to ensure success. The applicant shall propose specific benchmarks for approval by the director. The benchmarks shall reference indicators of habitat conditions per subsection (3)(b) of this section or other relevant habitat ecology indicators based on site specific conditions, advice from farm assistance agencies, advice from agencies with expertise, or applicable areawide studies by qualified professionals or agencies with expertise that are relevant to the site. At a site -specific level, any activity that negatively affects salmonids shall be considered a negative benchmark. This could include, but is not limited to, installation of in -stream barriers to fish passage, removing woody debris from a stream, altering spawning gravel, altering pool/riffle instream conditions, or introduction of chemicals into the water column. (d) Wetland area and function should remain stable or improve, as documented by monitoring or periodic site inspection of plan implementation or aerial photo analysis of mapped wetlands within areas of new or expanded agricultural intersects. (4) Reporting. The administrator shall periodically review the monitoring and adaptive management report of applicant conservation practices programs' implementation and compliance beginning one year after the effective date of this article and every two years thereafter, through the life of the monitoring and adaptive management report, or more frequently at the administrator's discretion. The review may include periodic site inspections, a certification of compliance by the producer, or other appropriate actions. A subset of properties may be monitored on a rotating basis. (a) Self -certification is allowed for approved conservation practices satisfied and not satisfied classifications. A sufficient self -certification monitoring report shall include photos and implemented conservation practices or documentation from farm assistance agencies, a natural resources management professional or a qualified professional. Self -certifications shall be submitted within 45 days of request; county staff may make a site visit. Site visits will be coordinated with the owner or producer of agricultural products or commodities. Prior to carrying out a site inspection, the administrator shall provide reasonable notice to the owner or manager of the property as to the purpose or need for the entry, receive confirmation, and afford at least two weeks in selecting a date and time for the visit. At the owner's or producer of agricultural products or commodities' discretion, the Jefferson conservation district staff or other farm assistance agency staff may accompany DCD. (b) The county will, in cooperation with producers of agricultural products or commodities or farm assistance agency staff, publish the results of its periodic reviews and make them available to the public and state agencies. These results will include all baseline monitoring data, summary statistics, an assessment of the accuracy and completeness of the data, and a description of data collection issues if any, identified during the reporting period as well as the following additional information: (i) A description of all compliance assessments and source identification actions taken during the reporting period; (ii) A description of educational outreach actions as well as enforcement actions taken during the reporting period; (iii) A description of any actions taken to modify conservation practices on a site or area specific basis; (iv) A discussion of monitoring priorities for the next reporting period; and (v) Potential adaptive management measures applicable on an areawide or countywide basis when monitoring indicates: that standards or thresholds are being exceeded; the exceedance is adversely affecting designated critical areas; and a change in regulations that are applicable areawide or countywide Appendix A - 54 is needed to address the exceedance. Modifications may also be made if monitoring indicates that less stringent standards are appropriate based on best available science. 18.22.850 Compliance. (1) Critical area protection is required for existing and ongoing agriculture as well as new agriculture. All agricultural activities shall be conducted so as not to cause harm or degrade the existing functions of critical areas and associated buffers. (2) Agricultural activities are expected to meet the objectives and standards of this article through voluntary compliance. Agricultural operations shall cease to be in compliance with this article, and a new or revised agricultural checklist and supporting documentation will be required consistent with JCC 18.22.820, when the administrator determines that any of the following has occurred: (a) When a producer of agricultural products or commodities fails to implement and maintain their conservation practices determined to exist or be scheduled per JCC 18.22.820. (b) When implementation of the conservation practices fails to protect critical areas. If so, a new or revised agricultural checklist and schedule of conservation practices shall be required per JCC 18.22.820 to protect the values and functions of critical areas at the benchmark condition described in JCC 18.22.840 or a baseline established by the producer of agricultural products or commodities in consultation with a farm assistance agency, natural resources management professional or qualified professional. (c) When substantial changes in the agricultural activities of the farm or livestock operation have occurred that render the current agricultural checklist and associated conservation practices ineffective. Substantial changes that render an agricultural checklist and associated conservation practices ineffective are those that: (i) Degrade baseline critical area conditions for riparian and wetland areas that existed when the plan was approved; (ii) Result either in a direct discharge or substantial potential discharge of pollution to surface or ground water; or (iii) The type of agricultural practices changes. (d) When a new or revised agricultural checklist and supporting documentation is required, and the producer of agricultural products or commodities has been so advised in writing and a reasonable amount of time has passed without significant progress being made to develop said plan. Refusal or inability to provide a new agricultural checklist within a reasonable period of time shall be sufficient grounds to revoke the approved agricultural activity and require compliance with the standard provisions of this chapter. (3) When a producer of agricultural products or commodities denies the administrator reasonable access to the property for technical assistance, monitoring, or compliance purposes, then the administrator shall document such refusal of access and notify the producer of agricultural products or commodities of the findings. The producer of agricultural products or commodities shall be given an opportunity to respond in writing to the findings of the administrator, propose a prompt alternative access schedule, and to state any other issues that need to be addressed. Refusal or inability to comply with an approved agricultural checklist and schedule of conservation practices within a reasonable period of time shall be sufficient grounds to revoke said plan and require compliance with the standard provisions of this chapter. (4) If agricultural activities result in degradation of a critical area, the producer of agricultural products or commodities shall be required to either cease the agricultural activity that results in critical area degradation or prepare an agricultural checklist and supporting documentation that demonstrates how agricultural activities will be brought into compliance with critical area protection requirements. The agricultural checklist shall be submitted to DCD for review and approval. If the administrator determines the proposed activities and conservation practices do not sufficiently address critical areas degradation, a farm assistance agency, natural resources management professional or qualified professional shall prepare a schedule of conservation practices. The applicant shall allow the county or farm agency with expertise reasonable access to the parcel to determine that the scheduled Appendix A - 55 conservation practices are installed, and critical areas functions are not being degraded. If compliance cannot be achieved, other enforcement action based on title 19 JCC shall be required. (5) A producer of agricultural products or commodities is responsible only for those conditions caused by agricultural activities conducted by the producer of agricultural products or commodities and is not responsible for conditions that do not meet the standards of this article resulting from actions of others or from natural conditions not related to the on -site agricultural operations. Conditions resulting from unusual weather events (such as storm in excess of a 25-year, 24-hour storm) or other exceptional circumstances that are not the product of obvious neglect are not the responsibility of the owner or producer of agricultural products or commodities. 18.22.860 Limited public disclosure. (1) Producers of agricultural products or commodities that have a farm plan developed by a farm assistance agencies will not be subject to public disclosure unless required by law or a court of competent jurisdiction. (2) Provided, that the county will collect summary information related to the general location of a farming enterprise, the nature of the farming activity, and the specific conservation management practices to be implemented such as through an agricultural checklist per JCC 18.22.820. The summary information shall be provided by the producer of agricultural products or commodities approved designee and shall be used to document the basis for the county's approval of the proposal. (3) The county will provide to the public via its website information regarding which agricultural land has approved conservation practices per JCC 18.22.820 and the date of their approval. (4) Upon request, the county may provide a sample agricultural checklist, exclusive of site- or property -specific information, to give general guidance on the development of a conservation farm plan. Article IX. Special Reports 18.22.900 Purpose. (1) Purpose. Special reports may be required to provide environmental information and to present proposed strategies for maintaining, protecting, or mitigating impacts to critical areas: (a) Demonstrate that the submitted development, land disturbing activity or use is consistent with the purposes and specific standards of this chapter; (b) Describe all relevant aspects of the development proposed and critical areas adversely affected by the development and assess impacts on the critical area from activities and uses proposed; (c) Where impacts are unavoidable, demonstrate through an alternatives analysis that no other feasible alternative exists; and (d) Consider the cumulative impacts of the proposed action that includes past, present, and reasonably foreseeable future actions to facilitate the goal of no net loss of critical areas. Such impacts shall include those to wildlife, habitat, and migration corridors; water quality and quantity; and other geologic or watershed processes that relate to critical area condition, process, or service. 18.22.905 General requirements. (1) When special reports are required. The administrator shall require a special report or reports if any portion of a development, land disturbing activity or use has the potential to negatively impact a critical area or encroach upon a buffer, and that impact or encroachment requires mitigation, consistent with the standards found in this chapter. (2) The administrator shall determine the requirements for qualified professional and verify the qualifications of professionals submitting special reports. A habitat reconnaissance letter is intended to document the existence of critical areas and their associated buffers. This letter shall be prepared by a qualified professional in the field of the critical area. The administrator will determine if they agree with the assessment of the habitat assessment letter. Appendix A - 56 (3) Standard requirements. Special reports shall be prepared for review and approval by the administrator. In addition to specific requirements of particular special reports described in this article, each special report shall describe narratively and show graphically, if applicable, the following: (a) The proposed development, land disturbing activity or use, and its location and dimensions; (b) Provide a scaled site plan that includes a north arrow, property boundaries, existing structures and features on the subject site, and the limits of clearing needed during construction; (c) Describe existing conditions and all critical areas and their buffers occurring on the property; (d) Assess potential impacts to all critical areas and their associated buffers per the specific requirements described in this article for each critical area type; (e) Propose mitigation for unavoidable losses and impacts to critical areas and their associated buffers; (f) Identify amount of and limits of clearing, grading, and impervious surface on a stormwater calculation worksheet, if applicable; and (g) Present photographs of the project site. (4) Special reports shall be valid for five years from the date the report was prepared and report validity may be extended by the administrator; provided, critical area conditions, including buffer conditions, have not changed since the special report was written. The administrator shall have the authority to require a revised special report, as needed, to satisfy all the provisions of this chapter. (5) The administrator may require a special report to be recorded at the auditor's office. 18.22.910 Waivers. The administrator may waive the requirement for a special report in limited circumstances when an applicant demonstrates all of the following: (1) The proposal involved will not affect the critical area in a manner contrary to the goals, purposes, and objectives of this code; and (2) The minimum protection standards required by this chapter are satisfied. 18.22.915 Retaining consultants. Jefferson County may retain consultants to assist in the review of special reports outside the range of staff expertise. The applicant shall pay for the costs of retaining said consultants. 18.22.920 Acceptance of special reports. (1) The administrator shall verify the accuracy and sufficiency of all special reports. (2) If the administrator finds that a special report does not accurately reflect site conditions, or does not incorporate appropriate protections mechanisms, the administrator shall cite evidence that demonstrates where the special report is insufficient or in error. The applicant may then revise and resubmit the special report. 18.22.930 Critical aquifer recharge area reports. (1) General. Critical aquifer recharge area reports serve as the primary means for Jefferson County to verify the accuracy of its critical aquifer recharge area map and to determine specific aquifer protection measures to be applied to prevent significant adverse impacts to groundwater quality, and in some cases water quantity. A critical aquifer recharge area report shall be prepared by a hydrogeologist when required in Article III (Critical Aquifer Recharge Areas) of this chapter. (2) Standards for critical aquifer recharge area report or hydrogeologic evaluation. A critical aquifer recharge area report or a hydrogeologic evaluation shall be made by a hydrogeologist. The critical aquifer recharge area report shall include: Appendix A - 57 (a) A detailed description of how the project, including all processes and other activities, has the potential to impact groundwater recharge or for contaminating groundwater; (b) A hydrogeologic evaluation that includes, at a minimum: (i) A description of the hydrogeologic setting of the aquifer region; (ii) Site location, topography, drainage, and surface water bodies; (iii) Soils and geologic units underlying the site; (iv) Groundwater characteristics of the area, including flow direction and gradient, and existing groundwater quality; (v) The location and characteristics of wells and springs within 1,000 feet of the site; (vi) An evaluation of existing groundwater recharge; and (vii) A discussion and evaluation of the potential impact of the proposal on groundwater recharge. (c) A contaminant transport analysis for the uppermost groundwater supply aquifer assuming an accidental spill or release of project -specific contaminants or on -site sewage discharge, or both if applicable; (d) A discussion and evaluation that details available on -site spill response and containment equipment, employee spill response training, and emergency service coordination measures; (e) Best management practices to minimize exposure of permeable surfaces to potential pollutants and to prevent degradation of groundwater quality; (f) Pollution prevention measures to be implemented, including but not limited to, secondary containment for chemical storage areas, spill prevention measures, and contingency plans for emergencies; (g) Demonstrate compliance with applicable protection standards in JCC 18.22.330; and (h) If performance standards cannot be met with adequate conservation practices scheduled, the applicant shall be subject to the prescriptive standards of this chapter and may apply for a variance under JCC 18.22.250 or a reasonable use exception under JCC 18.22.260. (3) County review. Critical aquifer recharge area report or hydrogeologic evaluation shall be forwarded to the Jefferson County department of environmental public health for technical review. The county may request additional information in order to determine the adequacy of the reports and may rely on input from Washington State Department of Ecology or Washington State Department of Health. (4) Conditions for mitigation identified in the critical aquifer recharge area report or hydrogeologic evaluation. The administrator shall determine appropriate permit conditions as identified in the critical aquifer recharge area report or hydrogeologic evaluation to mitigate the impacts of proposed activities to critical aquifer recharge areas. 18.22.940 Frequently flooded area reports. (1) Habitat assessment required. A habitat assessment may be required if any portion of the proposed project occurs within a special flood hazard area (floodplain), as mapped by the Federal Emergency Management Agency (FEMA). (2) Standards for habitat assessment. (a) In addition to the general requirements found at JCC 18.22.905, frequently flooded area reports shall be based on 2013 FEMA Region 10 guidance document entitled Regional Guidance for Floodplain Habitat Assessment and Mitigation in the Puget Sound Basin (or as amended by FEMA). Appendix A - 58 (b) Habitat assessments also shall be prepared to comply with Article IV of this chapter and the flood damage prevention ordinance, as codified in Chapter 15.15 JCC. 18.22.945 Geologically hazardous area reports. (1) General. When required in Article V, a geological professional (state -licensed geotechnical engineer, a geologist, or a professional engineer knowledgeable in regional geologic conditions with professional experience assessing geologically hazardous areas) shall make a site visit to determine if a geologically hazardous area or its associated buffer is present. Based on the site visit, a geotechnical letter or a geotechnical report shall be prepared based on requirements in Article V (geologically hazardous areas), the general report requirements of JCC 18.22.905, and report requirements in sections (2) through (4) below. (2) Qualifications of the preparer. Geotechnical letters and reports shall be prepared by a geotechnical professional (licensed geotechnical engineer, a geologist, or a professional engineer) knowledgeable in regional geologic conditions with professional experience assessing geologically hazardous areas. Geologically hazardous letters, reports, and drawings shall be stamped and signed by the geotechnical professional preparing the documents. (3) Geotechnical letter. A geotechnical letter shall be prepared and submitted only if all project components, including areas of temporary impact and the limits of clearing, are outside of all geologically hazardous areas or their associated buffers, as described in JCC 18.22.530(2); provided the geotechnical professional is not proposing a buffer reduction. A geotechnical letter shall address the following: (a) Describe site location and existing conditions; (b) Describe proposed activity and all geologically hazardous areas and buffers that occur on the property; (c) Show the distance of the geologically hazardous area buffers and setbacks from the limits of clearing on a site plan, which should be included with the geotechnical letter; and (d) Provide recommendations, as appropriate, to minimize the risk of erosion or landslide. (4) Geotechnical report. A geotechnical report shall be prepared and submitted if any part of the development, land disturbing activity or use, including areas of temporary impact and areas within the limits of clearing, are within a geologically hazardous area or an associated buffer, as described in JCC 18.22.530(2), (3) or (4), or if a buffer reduction is proposed. (a) A geotechnical report shall contain the following information: (i) Site location, including parcel number; (ii) Detailed description of development, land disturbing activity or use; (iii) Date on -site geologic assessment was conducted and date report was completed; (iv) Summary of geologic information reviewed and analyzed (such as maps and reports) to determine the potential for geologically hazardous areas to be present. Based on this review, identify the types of geologically hazardous areas and buffers that have the potential to occur in the development, land disturbing activity or use; (v) Detailed description of the site, geologically hazardous areas and their associated buffers, including but not limited to, surface and subsurface geology, hydrology, soils, and vegetation; (vi) Detailed description of the results of the field investigation, including all geologically hazardous areas occurring on the property. The description shall also address the stability of the geologically hazardous areas and buffers and shall describe any past activity in the vicinity of the property; (vii) Assessment of the potential for the proposed activity to affect the geologically hazardous area or the stability of the area. Appendix A - 59 (viii) Drainage and erosion control plan that addresses provisions in 18.22.530(1)(f) and presents physical, structural, or managerial best management practices that prevent or reduce pollution of water; (ix) Description of potential effects of the proposed activity on stormwater quality, quantity, and runoff patterns post -construction. The report shall clearly indicate if the development, land disturbing activity or use has the potential to affect or alter water movement to the geologically hazardous and buffer if the proposal is implemented and identify measures to avoid or minimize alteration of stormwater; (x) If a development, land disturbing activity or use is proposed within a geologically hazardous area as addressed in JCC 18.22.530(2), (3) and (4), the report shall state if the development, land disturbing activity or use can be safely constructed, occupied, or used and shall include any engineering, design, and construction to protect public health and safety; (xi) Conclusions and recommendations relevant to the development, land disturbing activity or use and existing site conditions; (xii) Site plan showing the location and extent of development, land disturbing activity or use proposed during the site visit; and (xiii) Figure showing geologically hazardous areas and their associated buffers relative to property boundaries, the development, land disturbing activity and uses and clearing limits, existing structures and other site features, existing and proposed contours, and stakes placed onsite. (b) The administrator may request that the project geologist or project engineer to review reports and plans prepared by others for consistency with the conclusions and recommendations in the geotechnical report. . 18.22.950 Habitat management reports. (1) General. When required in Article VI of this chapter, a site visit conducted by a wildlife biologist is required to determine if a FWHCA or its associated buffer is present. Based on the site visit, the biologist shall prepare a habitat reconnaissance letter or a habitat management plan and include all of the required information described in JCC 18.22.905. Habitat reconnaissance letters and habitat management plans shall be prepared based on requirements in Article VI (Fish and Wildlife Habitat Conservation Areas), the general report requirements of JCC 18.22.905, and the criteria specified in subsections (2) and (3) of this section. (2) Habitat Reconnaissance Letter. A habitat reconnaissance letter shall be prepared and submitted only if all project components, including areas of temporary impact and the limits of construction, are outside of all FWHCA and its associated buffer. A habitat reconnaissance letter shall document that proposed projects because of their location will not impact FWHCA and will include the following: (a) Site location and description of existing site conditions; (b) A description of the proposed development, land disturbing activity or use; (c) The buffer width used; (d) A description of every FWHCA and its associated buffer on the property; (e) Narratively and graphically present the distance of all FWHCAs from the limits of clearing, as shown on a site plan. The site plan used during the site visit shall be included in the habitat review letter; and (f) Photographs of the site, every FWHCA and its associated buffer. (3) Habitat Management Plan. A habitat management plan shall be prepared and submitted if any portion of the development, land disturbing activity or use, including areas of temporary impact and areas within the limits of clearing, are within a FWHCA, as described in this chapter, or if a critical area or its associated buffer reduction is proposed. A habitat management plan shall address the following: Appendix A - 60 (a) Detailed description of all proposed project components relative to every FWHCAs, other development proposed, and limits of clearing; (b) State whether or not in -water work is proposed, and if so, describe timing and methods of construction; (c) Date site visits were made and date report was completed; (d) A summary of information reviewed prior to the site visit to determine the potential presence of a FWHCA or its associated buffer; (e) Detailed description of the field investigation results, including habitat types present on the property, habitat conditions with a FWHCA, location of native vegetation on the property, and location of nonnative or invasive vegetation on the property. The habitat management report should indicate if the critical areas extend off site; (f) If the project area is identified as potential habitat for threatened or endangered species, methods used to determine presence or absence of listed species, methods used to determine if appropriate habitat occurs on site or in the vicinity of the site, and results of the field investigation; (g) In addition to complying with the clearing, grading, excavation, and stormwater requirements in JCC 18.30.060 and JCC 18.30.070, and the current Stormwater Management Manual for Western Washington, describe any potential effects of the development, land disturbing activity or use on stormwater quantity, quality, and runoff patterns post -construction. The report shall state whether the proposal will affect or alter water movement to the FWHCA and its associated buffer if the development, land disturbing activity or use is implemented and identify measures to avoid or minimize alteration of stormwater runoff patterns post - construction; (h) Identify all potential impacts of the development, land use activity or use on every FWHCA and its associated buffer. The habitat management report shall include: (i) Mitigation sequencing. Describe measures to avoid and minimize impacts to every FWHCA. For any unavoidable impacts, describe and justify all project components that cannot avoid impacting the FWHCA. For unavoidable impacts, mitigation plans must be prepared in accordance with subsection (3)(i) of this section. (ii) Types of impacts. All potential impacts to every FWHCA and its functions and values shall be identified and described in the habitat management report. Habitat management reports shall consider direct impacts, indirect impacts, permanent impacts, temporary (long-term and short-term) impacts, and cumulative impacts. (iii) Impact area. The area (square footage) of potential impact shall be quantified for every FWHCA and its associated buffer. At a minimum, impact area shall include FWHCA that occurs within the limits of clearing, as shown on the site plan; and (iv) Functional assessment. The impact assessment shall describe how the FWHCA and its associated buffer functions and values will be affected by the development, land use activity or use proposed. (i) Provide a detailed mitigation plan for any unavoidable impacts. Mitigation plans shall include: (i) Description and scaled, graphic rendering of the mitigation proposal and of the area, suitability, and objectives of the area to compensate for impact area and functions. (ii) A table identifying impact areas (in square feet) and functions affected for each FWHCA and its associated buffer that also identifies mitigation areas (in square feet) and functions. The table shall clearly show a link between potential impacts (area and function) and proposed mitigation (area and function). (iii) Mitigation plans shall include performance standards that are applicable to the goals and objectives of the mitigation effort. Monitoring shall be required annually for five years and quantifiable performance standards shall be specified in the plan for each of the five years of monitoring. Appendix A - 61 (iv) A planting plan, when appropriate, that lists the species to be planted, including quantity and planting density of each species to be installed. (v) Monitoring schedule, monitoring methods, and monitoring data to be collected shall be described. (vi) Contingency measures shall be described. If any performance standard is not met, the administrator shall require contingency measures be implemented and may extend the monitoring period beyond five years to ensure FWHCAs are adequately mitigated and protected. (vii) A site map showing existing conditions, including property boundaries, the location of the development, land disturbing activity or use and limits of clearing, existing structures and other physical features on the property, the location of every on -site FWHCA and associated buffer potentially affected by the proposal. (viii) A site map showing impact areas on the property. Figure shall show every FWHCA and its associated buffer potentially affected by the proposal relative to clearing limits, property boundaries, and existing site features. (ix) A site map showing mitigation areas on the property. The site map shall all proposed mitigation areas on the property. If buffer averaging is proposed, the area of increase shall be shown relative to the area of decrease on the figure. (x) Photographs of the site and the FWHCAs. (4) In -lieu fee (ILF) program. A mitigation plan shall not be required if an approved ILF program, as specified in JCC 18.22.660(3), is used to mitigate project impacts. 18.22.955 Process and requirements for designating habitats of local importance as critical areas. (1) Purpose. WAC 360-190-130(4)(a) requires the county to consult current information on priority habitats and species identified by the Washington state department of fish and wildlife. WAC 360-190-130(4)(b) states the county should identify, classify and designate locally important habitats and species. This section describes the process and requirements for designating, monitoring, and removing species and habitats of local importance that are not covered by the State Priority Species and Habitats List. (2) Procedure for designation. An application to designate a habitat of local importance as a critical area shall be processed according to the procedures for Type V land use decisions under chapter 18.40 JCC. (3) Applications for designation of a species or habitat of local importance. Any person residing or headquartered in Jefferson County or any county department may apply for designation of a species or habit of local importance. (4) Requirements for approval of an application for designation of a species or habitat of local significance. (a) The applicant shall provide information demonstrating that the species or habitat is native to Jefferson County, existing on or before the date of adoption of the regulations codified in this chapter. (b) The application shall include all of the following: (i) Identification of the species including its scientific and locally common name(s); (ii) Identification of the geographic location, including Jefferson County parcel numbers, and extent of the habitat associated with an applied for species or the applied for habitat itself if not associated with an applied for species; (iii) Identification of the specific habitat features to be protected (e.g., nest sites, breeding areas, nurseries, etc.). (iv) For a proposed wildlife corridor, the features that are required for the corridor to remain viable to support and protect the applied for species. Appendix A - 62 (v) A map of an appropriate scale to properly describe the location and extent of the habitat; (vi) Geo-referencing information sufficient to allow mapping of the applied for habitat in the county GIS mapping system; (vii) The status of the species or the occurrence of the type of habitat in surrounding counties and in the rest of the state has been considered in making this application. (c) The application shall include a management plan for protection of the species or habitat that includes all of the following: (i) Whether the management plan has been peer reviewed, and if so, how this was done and by whom; (ii) How the restoration will be funded; (iii) Recommendations for allowed, exempt, and regulated development, land disturbing activities or uses within the area; (iv) Recommended buffer and setback requirements and their justification; (v) Any seasonal requirements; (vi) A monitoring plan that is practical and achievable and includes all of the following: (A) Baseline data and a description of what measurements will be used to determine the success of the proj ect. (B) The requirements and time period required to evaluate the success of the plan; (C) A contingency plan for failure; and (D) A list of all parcels not included in the nomination but affected by the monitoring process; (vii) An economic impact, cost, and benefits analysis; and (viii) An analysis of alternative solutions to formal designation of the species or habitat of local importance as a regulated critical area under this chapter. (d) The applicant shall be responsible for paying all fees and all expenses incurred by Jefferson County to process the application for designation of a species or habitat of local significance. (5) Review and approval criteria. (a) The application for designating a species of local importance under this section shall satisfy all of the following requirements: (i) Local populations that are in danger of extirpation based on documented trends since the adoption of the Growth Management Act, chapter 36.70A RCW; (ii) The species is sensitive to habitat manipulation; (iii) The species or habitat has commercial, game, or other special value such as it is locally rare; (iv) The application shall include an analysis of the proposal using best available science; and (v) The application specifies why protection by other county, state or federal policies, laws, regulations or nonregulatory tools is inadequate to prevent degradation of the species or habitat and for which management strategies are practicable, and describes why, without designation and protection, there is a Appendix A - 63 likelihood that the species will not maintain and reproduce over the long term, or that a unique habitat will be lost. (b) Applications for habitats of nominated for designation under this section shall satisfy all of the following criteria: (i) Where the application for a habitat is for protection of a species, the use of the habitat by that species shall be documented or be highly likely or the habitat is proposed to be restored with the consent of the affected property owner so that it will be suitable for use by the species; and long-term persistence of the species in Jefferson County and adjoining counties is dependent on the protection, maintenance or restoration of the habitat; (ii) The applied for areas to protect a particular habitat shall represent either high quality native habitat or habitat that has an excellent potential to recover to a high -quality condition and which is either of limited availability or highly vulnerable to alteration; and (iii) The application specifies the specific habitat features to be protected (e.g., nest sites, breeding areas, nurseries, etc.). In the case of proposed wildlife corridors, the application shall specify those features that are required for the corridor to remain viable to support and protect the applied for species. (6) Review and approval process. (a) DCD shall determine whether the application submittal is complete. If deemed complete, DCD shall evaluate the proposal for compliance with the approval criteria in this section and make a recommendation to the planning commission based on those criteria. DCD shall also notify all parcel owners affected of the terms and contents of the proposal. (b) Upon receipt of a staff report and recommendation from DCD, the planning commission shall hold a public hearing, and make a recommendation to the Jefferson County board of commissioners based upon the approval criteria in this section. (c) The board of commissioners shall consider the recommendation transmitted by the planning commission at a regularly scheduled public meeting, and may then adopt an ordinance formally approving the designation. Should the board wish to vary from the planning commission recommendation and alter or reject the application, such action may only occur following a separate public hearing conducted by the board. (d) Upon approval, the ordinance designating and regulating the species or habitat of local importance shall be codified in this article for public information and implementation by DCD, and a notice to title shall be placed upon all parcels affected by the designation. (e) Each ordinance creating a species or habitat of local importance shall include periodic review or reassessment of the initial designation. The length of the periodic review may be dependent on the characteristics of the species or habitat. (7) Removal from designation. Species or habitats of local significance may be removed at any time; provided, they no longer meet the criteria in subsection (5) of this section (e.g., as a result of a natural catastrophe or climatic change event); and all procedural requirements of this section and the procedural requirements established for Type V land use decisions within chapter 18.40 JCC are met. 18.22.960 Wetland reports. (1) General. When required by Article VII of this chapter, a site visit conducted by a wetland specialist or qualified wetland professional to determine if a wetland is present. Based on the site visit, a wetland reconnaissance letter or a wetland delineation report shall be prepared. Wetland reconnaissance letters and wetland delineation reports shall be prepared based on requirements in Article VII (Wetlands) of this chapter, the general report requirements of JCC 18.22.905, and the criteria specified in subsections (2) and (3) of this section. (2) Wetland Reconnaissance Letter. A wetland reconnaissance letter shall be prepared and submitted only if all the components of the development, land disturbing activity or use are at least 300 feet from areas of temporary impact Appendix A - 64 and the limits of clearing; provided, no buffer reduction is proposed. A wetland reconnaissance letter shall document that development, land disturbing activity or use, because of their location will not impact wetlands and will include all of the following: (a) Describe all wetlands and their associated buffers on the property; (b) Narratively and graphically describe the distance of all wetlands from the limits of clearing, as shown on the site plan. The site plan used during the site visit shall be included in the wetland reconnaissance letter; (c) Provide a wetland delineation field data form for all potential wetland areas assessed; (e) Plot locations shall be shown on the site plan that is attached to the wetland reconnaissance letter; and (f) Photographs of the site and the wetlands. (3) Wetland Delineation Report. A wetland delineation report shall be prepared and submitted if any portion of the development, land disturbing activity or use is within 300 feet of areas of temporary impact and areas within the limits of clearing, or if a buffer reduction is proposed. A wetland delineation report shall address all of the following: (a) Date site visits were made and date report was completed. (b) Summary of information reviewed (such as maps and reports) to determine the potential for wetlands to be present. Based on this review, describe wetlands and associated buffers within 300 feet of the development, land disturbing activity or use. (c) Detailed description of the field evaluation results, location and types of wetlands identified, and buffer conditions. Discuss all on -site wetlands identified, potential off -site wetlands, and wetland ratings and associated buffer widths. Indicate locations of wetland boundary flagging and plot flagging, including flag color, type, and number. (d) Wetland Determination Field Data Forms for all wetland and upland plots shall be included in the report. (e) Wetland Rating Forms for all wetlands identified shall be included in the report. (f) In addition to complying with the clearing, grading, excavation, and stormwater requirements in JCC 18.30.060 and JCC 18.30.070, and the most current version of the Stormwater Management Manual for Western Washington, describe any potential effects of the development, land disturbing activity or use on stormwater quantity, quality, and runoff patterns post -construction. The report shall state whether the development, land disturbing activity or use will affect or alter water movement to the wetland if the development, land disturbing activity or use is implemented and identify measures to avoid or minimize alteration of stormwater runoff patterns post -construction. (g) All potential impacts shall be identified. The impact assessment shall include: (i) Mitigation sequencing. Describe measures to avoid impacts to wetlands and buffers. For any unavoidable impacts, describe measures to minimize impacts. (ii) Types of impacts. All potential impact to wetlands and buffers shall be identified and described in the report. Impact assessments shall consider direct impacts, indirect impacts, permanent impacts, temporary (long-term and short-term) impacts, and cumulative impacts. (iii) Impact area. The area (square footage) of potential impacts shall be quantified for each wetland and buffer. The impact area shall include the wetland and buffer areas that occur within the limits of clearing, as shown on the site plan. (iv) Functional impact. The impact assessment shall describe how wetland and buffer functions and natural processes will be affected by the proposed development or use. Appendix A - 65 (v) Figures. The impacts described above shall be shown a figure. (vi) Photos. Photos of areas to be impacted shall be included in a report. (h) Prepare a mitigation plan for any unavoidable impacts to wetlands and buffers. Mitigation plans shall include: (i) Description of the mitigation area and suitability of the area to compensate for impacts to area and functions. (ii) Detailed description of the mitigation proposal. (iii) Goals and objectives of the mitigation proposal, including a detailed description of how the proposal will compensate for impacts. (iv) Table identifying impact areas (square feet) and functions affected for each wetland and buffer. The table shall clearly show a link between potential impacts (area and function) and proposed mitigation (area and functions). (v) Mitigation plans shall include performance standards that are applicable to the goals and policies of the mitigation effort. Monitoring shall be required annually for five years and quantifiable performance standards shall be specified in the plan for each of the five years. (vi) A planting plan that lists the native species to be installed, including quantity and density of each species. (vii) Monitoring schedule, monitoring methods, and monitoring data to be collected shall be described. (viii) Contingency measures shall be described. If any performance standard is not met, the administrator shall require contingency measures be implemented and may extend the monitoring period beyond five years to ensure wetlands and buffers are adequately mitigated and protected. (ix) Figure showing existing conditions, including property boundaries, location of the proposed activity and limits of clearing, existing structures and other physical features on the property, location of all on -site wetlands and buffers, location of wetland boundary flagging and numbering, and plot locations. (x) Figure showing impact areas on the property. Figure shall show all wetlands and buffers potentially affected by the proposal relative to the limits of clearing, property boundaries, and existing site features. (xi) Figure showing mitigation areas on the property. Figure shall show location and square footage of each mitigation area. If buffer averaging is proposed, the area of increase shall be shown relative to the area of decrease. (i) Photographs of the site and the wetlands or buffer. (4) A mitigation plan shall not be required if an actively managed ILF program is approved by the administrator and used to mitigate project impacts. 18.22.965 Critical area stewardship plans. (1) General. Property owners may elect to develop site -specific critical area stewardship plans (CASPs) as an alternative to the prescriptive requirements of Article VI ((FWHCAs) and Article VII (Wetlands) of this chapter. The overall goal of the CASP is to maintain existing functions and values of the watershed and sub -basin, while addressing the needs and desires of the property owner. CASPs are an option if any portion of a development is proposed within a FWHCA, wetland, or require a critical area variance per JCC 18.22.250, or a reasonable use exception per JCC 18.22.260. (2) Authority. The administrator may approve CASPs as an alternative to a variance pursuant to JCC 18.22.250 or a reasonable use exception pursuant to JCC 18.22.260. Appendix A - 66 (3) Review of CASPs reports and approval of CASPs permits. The administrator shall be responsible for reviewing and approving submitted CASPs reports and issuing CASPs permits. The administrator may, at the administrator's discretion, seek technical assistance from the Jefferson County conservation district, Washington State Department of Fish and Wildlife or the Washington State Department of Ecology when reviewing CASPs. (4) Applicability and limitations. CASPs may be used in any land use district, provided all of the following requirements are met: (a) CASPs shall not be used where rural transitional zoning applies pursuant to chapter 18.19 JCC if a buffer reduction has the potential to preclude future urban growth area density requirements in chapter 18.18 JCC; (b) CASPs on properties one -quarter acre or larger; (c) CASPs are only allow for development, land disturbing activities or uses proposed in FWHCAs and their associated buffers (Article VI) or wetlands and their associated buffers (Article VII); (d) CASPs shall provide equal or greater protection of critical area functions and values than the prescriptive standards of buffers and setbacks; (e) Permits for a CASP not in shoreline jurisdiction as determined by chapter 18.25 JCC shall be processed as a Type I land use decision under chapter 18.40 JCC; and (f) Permits for a CASP in shoreline jurisdiction shall be processed as specified in chapter 18.25 JCC. (5) Implementation and time limits for a GASP. (a) The maximum period of CASP permits shall be five years from the date the CASP permit is issued. Once a CASP permit has expired, it shall not be renewed. (b) A CASP permit shall be limited to the same period as the underlying permit (e.g., building permit, septic permit, shoreline permit). However, if the underlying permit does not have a specified expiration date or if the CASP application is a standalone application, the CASP permit shall be limited to five years from the date the CASP permit is issued. (c) The application for a CASP shall be made on a form approved by DCD. The applicant shall record a notice title for the CASP any approved mitigation with the Jefferson County auditor's office and shall post a mitigation performance bond in an amount determined by the administrator to be sufficient to ensure compliance with the CASP, including the estimated cost of monitoring by staff or a qualified professional or natural resources conservation professional to ensure that maintenance and monitoring are completed as required by this section. Any amount remaining shall be refunded to the applicant at the end of the specified monitoring period or when all performance standards are met, whichever is later. (d) No other permits (such as building, shoreline, septic) shall be approved until the applicant has recorded the notice to title and posted the performance bond required by this section, unless approved by the administrator. (6) Report requirements. (a) CASP reports shall be prepared by a qualified professional, wildlife biologist, a wetlands specialist, or both, as the administrator may require and shall show compliance with JCC 18.22.905 (general requirements) and JCC 18.22.950 (habitat management reports) or JCC 18.22.960 (wetland reports). (b) The CASP report shall be consistent with protection standards in Article VI (FWHCA) and Article VII (wetlands). (c) It is the burden of the applicant to demonstrate to the satisfaction of the administrator that the mitigation proposal in the CASP report is sufficiently detailed to justify the impact to the critical area and or its associated buffer. CASPs that cannot demonstrate protection of the critical area and its associated buffer shall not be approved. Appendix A - 67 (7) As -built plan requirement. An as -built plan shall be prepared by a wetland specialist describing the action taken to implement the GASP. This as -built plan shall include: (a) A contour map describing final contours if grading is required; (b) A quantitative description of the work completed to show compliance with the approved mitigation plan and CASP permit conditions; (c) Establishment of two or more permanent photo documentation stations with established bearings and monuments to ensure that subsequent photographs depict the same landscape for comparative purposes; (d) Additional photographic documentation that shows the condition of mitigation area(s) once CASP mitigation has been implemented; (e) A site plan showing the location of the mitigation areas relative to the mitigation proposal as presented in the approved CASP report and to the CASP permit conditions; and (f) Building final certificate of occupancy or septic final shall not be issued until the applicant has submitted an as -built showing compliance with this article, the approved CASP report, and all CASP permit conditions. (8) Contingency plan requirement. A contingency plan is required describing how the CASP might be modified if monitoring indicates a failure to meet the stated goals, or a need to modify the goals because of events outside the owner's control (e.g., damage associated with wildlife). For instance, if one of the planted species of vegetation proves ill adapted to the environment and fails to survive or thrive to the extent needed to provide the intended function then alternative species should be identified. In general, plans should initially plant at greater than 120 percent of the specified final density of shrubs and trees. The contingency plan should call for either supplemental planting when the density falls below the prescribed final density or it could call for the planting of alternate specie(s). (9) Failure to submit required reports. Failure to submit a report required under this article shall constitute a failure to comply with the terms of the permit. (10) Performance bond. The administrator shall authorize the use of the performance bond to ensure maintenance and monitoring are completed to comply with permit conditions. In the event the performance bond amount is insufficient to ensure compliance with the permit (or if development, land disturbing activities or uses on the site have negatively affected the mitigation area(s), the failure to comply with CASP permit conditions shall be processed by the administrator pursuant to title 19 JCC (Code Compliance). (10) Waiver. The administrator may waive portions of a critical area stewardship plan (CASP) if, in the administrator's opinion, critical area functions and values will not be adversely affected by a development, land disturbing activity or use. (11) Recording of approved CASP required. An approved CASP must be recorded on the property deed (recorded with the Jefferson County auditor) and must remain in effect unless replaced by a new or updated CASP approved by the county. Appendix A - 68 APPENDIX B Chapter 18.22 CRITICAL AREAS Redline Version of JCC 18.22 Chapter 18.22 CRITICAL AREAS Sections: Article I. Authority, Purpose, and Intent 18.22.100 Authority. 18.22.110 Purpose. 18.22.120 lfAen4 an Liberal construction. Article II. Administrative WevisiensRequirements 18.22.200 Applicability, conflicts with other provision of this code and requests. 18.22.210 Identification and mapping of critical areas. 18.22.220 Critical area review process. 18.22.230 GenefalzExemptions from all types of critical requirements. 18.22.240 Nonconforming uses and structures. 18.22.250 VBuffer variance types and criteria. 18.22.260 Reasonable economic use exceptions. 18.22.270 Buffers P-physical separated and functionally isolatedien F..netiefial is latie� 18.22.280 Adaptive management. Article III. Critical Aquifer Recharge Areas 18.22.300 Purpose. 18.22.310 Classification/ and designation. 18.22.320 Applicability. 18.22.330 Protection standards. Article IV. Frequently Flooded Areas 18.22.400 Purpose. 18.22.410 Classification -/and designation. 18.22.420 Applicability. 18.22.430 Protection standards — Incorporation by reference of Cchapter 15.15 JCC and additional requirements. Article V. Geologically Hazardous Areas 18.22.500 Purpose. 18.22.510 Classification -/and designation. 18.22.520 Regulated activities. 18.22.530 Protection standards. Article VI. Fish and Wildlife Habitat Conservation Areas (FWHCAss) 18.22.600 Purpose. 18.22.610 Classification and /designation. 18.22.620 Regulated aetiv t e^Applicability. 18.22.630 Protection standards. 18.22.640 Buffer- -edu ..iens an a-veFagingIrnpact assessment and mitigation. Appendix B - 1 Article VII. Wetlands 18.22.700 Purpose. 18.22.710 Classification/ and designation. 18.22.720 Regulated tivities kpplicability. 18.22.730 Protection standards. 18.22.740 MitigatienImpact assessment and miti ag tion. Article VIII. Agriculture 18.22.800 Purpose and intent. 18.22.810 Resource concerns. 18.22.820 Applicability and classification. 18.22.830 Protection standards. 18.22.840 Monitoring and adaptive management. 18.22.850 Compliance. 18.22.860 Limited public disclosure. Article IX. Special Reports 18.22.900 Purpose. 18.22.905 General requirements. 18.22.910 Waivers. 18.22.915 Retaining consultants. 18.22.920 Acceptance of special reports. 18.22.930 Critical aquifer recharge area reports. 18.22.940 Frequently flooded area reports. 18.22.945 Geologically hazardous area reports. 18.22.950 Habitat management reports. 18.22.955 Process and requirements for designating habitats of local importance as critical areas. 18.22.960 Wetland reports. 18.22.965 Critical area stewardship plans. Article I. Authority, Purpose, and Intent 18.22.100 Authority. This chapter is adopted under the authority of Article XI, Ssection 11 of the Washington State Constitution, Echapter 36.70A RCW, the Growth Management Act, which empower-srequires a county to enact a critical area ordinance and provide for its administration, enforcement and .,and Chapter- 36.70A RGW, the Growth Management n . 18.22.110 Purpose. The purpose of this chapter is to adopt development regulations that protect critical areas that are required to be designated under RCW 36.70A.170, part of the Growth Management Act (Echapter 36.70A RCW), including the requirement to follow best available science. [n -a 5 20 § 2 (Appx. )] 18.22.120 intent and eOHStFuetion of ehapteFLiberal construction. The intent E)f this ehapter- is to eemply with the re"ifements fef efitieal aFeas in the Gr-ewth Management Aet (Chapter- 36.70A RGIAL), the Growth Management Aet implementing r-egula4iens (C;haptef 365 190 WAG), a -ad the Toff fsen County r,..,.,.fehensive Plan. The pfevisions This chapter and all proceedings under it shall be liberally construed with a view to affect its purpose and intent. rn -a 5 20 § 2 (Appx. A)] Appendix B - 2 Article 11. Administrative ProvisionsReguirements 18.22.200 Applicability, conflicts with other provision of this code and requests. (1) This chapter applies to any development, land disturbing activity, development, ^r aefivity ..n e....,venor use elm l-and-located within or containing a critical area or ^ ^r�eaits associated buffer in unincorporated Jefferson County. Allper-sons ..;thin Te f f Fsen County shall a ply with this ,.L apte,- (2) Jefferson County shall not gla*tissue any permit or other approval to alter a critical area or a critical -are aits associated buffer without ens gcompliance with all of the requirements of this chapter. (3) N& Land disturbing activity, development, or aetivityuse on located within or containing a critical area or a- er-itieal- are aits associated buffer is prohibited in reFF .sen Ce„nt,y shall be aut e fize,l without full compliance with *'��sall of the requirements of this chapter. (4) Land disturbing activities in critical areas or their associated buffers are prohibited without first obtaining all applicable permits. 1� � A A — eter-ized by a partieWar eritieal area may also be subj eet to other- regWations established by4his- ^, apte . ,1„e to the ^ erlap or multiple fimetions of some ^ -ifie ,1 ^ When one type of critical area or its associated buffer adjoins or overlaps another type of critical area or its associated buffer, the wider and; the —more yeprotective standards shall apply. (56) Uses, development, and aefivifies in er-ifieal areas er- er-ifieal area buffefs fef whieh ne pefmit ef appfeval is ehapterWhen any provision of this chapter is in conflict with any other section of the Code, the provision of the Code that provides most protection to the critical areas shall apply . (67) Any critical area occurring within the jurisdiction of the Shoreline Management Act alse-shall follow the peNeies and fegulatie asrequirements in Echapter 18.25 JCC. (78) Compliance with these „latio s does of remove an plieant a.e,r the obligatia this chapter shall not constitute a defense for failing to comply with ally other applicable federal, state, or local regulations. (8) Any aetien taken in a er-itieal area of a er-itieal area btt�r- designated by this ehapter- that is in vielation of the (9) The requirements of this chapter shall apply concurrently with review conducted under the State Environmental Policy Act (SEPA) (Echapter 43.21 C RCW), as locally adopted (Ginn -chapter 18.40 JCC). Any conditions required pursuant to this chapter shall be coordinated with the SEPA review and threshold determination. (10) This chapter applies to allevery forest practice over which Jefferson County has jurisdiction under Echapter 76.09 RCW and and WAC title 222 WAC, which entails conversion of lands to non-foreslly use pursuant to JCC 18.20.160. rn,.,l c 20 § 2 (Appx. n )l 18.22.210 Identification and mapping of critical areas. (1) The approximate location and extent of critical areas within the county are displayed on various inventory maps available on the Jefferson County geographic information system (GIS) web site. Critical areas maps shall be periodically revised, modified, and updated to reflect current information. (2) The critical areas maps are provided only as a general guide to alert the viewer to the possible location and extent of critical areas. TheseCritical areas maps shall not be relied upon exclusively to establish the existence_�or absence or boundaries of a critical area, or to establish whether all of the elements necessary to identify an area as a critical area actually exist. (3) The type, extent and boundaries may be approved by the administrator based on county records, field data, or presented in Special Reports that meet all the requirements of Article IX of this chapter for a We of critical area. Appendix B - 3 determined in the field by a geeteehnieal prefessional, wetland specialist, wildlife biologist er- staff per -son aceer-ding to the r-e"4ements of this ehapter. In the event of a conflict between a critical area location shown on the county's maps and that of an-eff-seethe administrator determination, the en- siteadministrator's determination shall r>l evail•� (4) To the extent practicable, the county shall ensure that its critical area maps are updated as inventories are completed in compliance with the requirements of the Growth Management Act (Echapter 36.70A RCW). {Ord. 20 m 2 (n ppx M 18.22.220 Critical area review process. (1) All applieants fer- new development afe eneettraged have a ettstemer- assistanee meeting with the depaftment pr-iE)f to applying for- a pefmit. Fees for- a eustemef assistanee meeting may be applied tewafds the applieatiffi fee the ^^me *.A Site Development Review outlined in JCC 18.40.420 to 480 is required for all permits for development, land disturbingactivity ctivity or use. If the development, land disturbingactivity ctivity or use entails complex issues that require additional input from DCD, the applicant may request an optional pre -application conference per JCC 18.40.090. The purpose of this eustomer assistance meetifiga pre -application conference is to discuss zeffingshoreline and applicable critical area requirements, to review any conceptual site plans prepared by the applicant and to identify potential impacts and mitigation measures. fie" pre -application conference shall be for the convenience of the applicant, and may be conducted on -site, if agreed upon b, t�pplicant and DCD. aAny recommendations from the pre -application conference shall not be binding on the applicant or the county. (2) The depaF*mentDCD shall perform a critical area review for any development application submitted f r ^Mated aetiv*. Reviews for multiple critical areas shall occur concurrently. For a critical areas within shoreline jurisdiction, critical area review shall occur as part of the shoreline review process. (3) To provide a timely and coordinated review process, to the extent reasonabley-Rossible,_ DCD shall consolidate the processing of permits issued b, city departments that affect critical areas with the other development permits, as allowed in optional consolidated permit processing outlined in JCC 18.40.030(2) sueh as subdivision of site development, with the appFaval pfeeess established in this ehapter- so as te pfevide a (4) As paf of theDCD shall review-ef all applications for development, land disturbingaty or useJauiklifig- submitted to: (a) Confirm the nature and type of the critical area; a*& (bJeEvaluate any required assessments, reports, or studies; (hc) Determine whether the development prepesalapplication is consistent with this chapter; (ed) Determine whether any proposed alterations to the site containing critical areas are necessaryadditional information is needed to process the development application; and (de) Determine if the mitigation and monitoring plans proposed by the applicant are sufficient to protect the_ critical area and associated buffer as well as public health, safety, and welfare consistent with the goals, purposes, objectives, and requirements of this chapter. (5) If a aproposed prepesaldevelopment, land disturbingativity or use has the potential to impact a critical area or aits associated buffer, the administrator may require a special report to ensure the protection requirements per-stiant topf this chapter are met. When .o,,.,".ea, ^Critical area special reports are subject to all of the following requirements: (a) The applicant is required teshall submit a efitieal area ^ aft pfepar-ed by a qualified „ of ssien ' base � theVecial report r^ ,,: ow o. *^ when required by this chapter; (b) The report willshall be evaluated by DCD to determine if all potential impacts to the critical area or its associated buffer have been addressed in the eritieal afeaWgcial report; Appendix B - 4 (c) t-xyDCD shall review the impacts of the proposed development will be-e�vie..,oa for compliance with mitigation requirements (as defined in JC�JCC 18.10.130) alto determine if the mitigation plan sufficiently addresses the potential impacts; and (d) Ensure that the submittal for critical areas is consistent with other documentsation submitted as part of the development application and meet the that the submittal is eonsiste,,t wit,, the requirements for a complete application in Echapter 18.40 JCC. (6) At every stage of the application process, the burden of demonstrating that a pr-epesaldevelopment is consistent with this chapter is upon the applicant. rn_a 5 20 § 2 (App*. A)] (7) Compliance with this chapter and permit conditions shall be required by any permit issued by DCD. A final building certificate of occupancy shall not be issued until the mitigation proposal has been implemented per the approved mitigation plan and building permit conditions. Other development and stand-alone critical area review shall be required to ensure the mitigation proposal was properly plemented and all permit conditions pertaining to critical areas and buffers have been followed prior to any land use disturbance or use of the property. All approved stand-alone critical areas review shall be completed to satisfy the requirements of this chapter. 18.22.230 General-eExemptions from all types of critical area requirements. (1) Requirement for frequently flooded areas. Any development, land disturbing activity, or use proposed within frequently flooded areas (i.e., 100-year floodplains or floodway) shall also require a flood permit application to be submitted to DCD. This requirement applies to the proposed exemptions listed in subsection (3) of this section. aefivifies listed in subseefien (4) of this seetien are exempt from the requirements of this ehapter-, assuming the (2) The administr-Mef may deteftnine thm an aetivity is elesely allied ef similaf to any aefivivy in this list even if the detefmine thr-eiigh a Type 1 pefmit pFeeess whether- E)r- not a development should be elassified as an exempt aetivity and that stteh an aetivity does not impaet the ftmetions and vaWes of any eritieal area E)r- a eFitieal area buffer-. (42) It is the responsibility of the applicant to provide sufficient information for the administrator to determine that one of the exemptions listed in subsection (43) of this section applies. (43) The following activities in a critical areas or its associated ^r'��buffers are exempt when in compliance with all of -from the requirements in this section, including those additional efrequirements in this ehapt€-subsection: (a) Agr-iet4Hfe;Aericultural activities. Existing agricultural activities, as defined in JCC 18.10.010, may continue in substantively the same manner; provided, the agricultural activityies does not result in additional adverse impacts to a critical area or a eri�eaits associated buffer. This exemption shall include maintenance and repair of lawfully established structures, infrastructure, drainage and irrigation ditches, and farm ponds; provided, maintenance work does not expand further into a critical area. (b) Forest hpractice activities. Classes I, I1, III, and IV special (not Class IV general conversions or conversion option harvest plans) in accordance with the provisions of Echapter 76.09 RCW and forest pr-aetieer-egtrlations, WAG T--itle 222 WAC are exempt, except where the lands have been or are proposed to be converted to a use other than commercial forest product production. (c) Maintenance —Transportation activities maintenance or reconstruction. Maintenance or reconstruction of existing public or private roads, paths, bicycle ways, trails, and bridges (d) M-ainteeaeee er Reeenstf:ttEtion On -Site 8sewage system activities. Maintenance or reconstruction of on - site sewage systems are exempt. The expansion ; or reconstruction eemplies with additional ro o ews : 4 seetio (5) of this seetion.of an on -site sewage system shall not further encroach upon a critical area and their associated buffers without obtaining written authorization or a permit from DCD. Appendix B - 5 (e) Maintenanee—Drainage facilities or flood control structure maintenance or repair activities. Maintenance a*dor repair of existing drainage facilities or systems, and flood control structures are exempt. This includes, — ineludiaabut is not limited to, ditches (that do not meet the criteria for being eansi efe a fish a^a ,. ildli f habita4 eensen a4ion are designated FWHCAs or wetlands), culverts, catch basins, levees, reservoirs, and outfalls; provided, the maintenanee or- repair- eemplies with the additional r-eqttir-ements in stibseetion (5) of this- SeefiE) . (f) Utility i activities._-T he --utility activities listed below are exemptproviQed, the titility activities eemply with the additional reqttir-emefAs in stibseetion (5) ef this seetien: (i) Normal and routine maintenance or repair of existing utility facilities ; or (ii) With the exception of installation of a new substation, (installation, construction, relocation and replacement, operation, repair, or alteration of all utility lines, equipment, or appurtenances, net ineluding s..,.s, in improved road rights -of -way or easement. (g) Reconstruction, Rremodeling, or Mmaintenance of structures activities. Stna t -es This exemption hm' zReconstruction, remodeling, or maintenance of existing structures activities are exempt, provided: (i) Reconstruction, remodeling, or maintenance of existing structures shall be within the footprint of an existing lawfully established structure; and ii , wWork areas areshall be minimized to the fullest extent possible, ���^�restored to previous conditions as soon as construction is complete, and staging areas are located outside of -all critical areas and their associatederitiealaarea buffers. This exemption shall not apply if the activity creates or continues a circumstance where personal or property damage is -likely is due to conditions of the critical area ^ ..�, if thefe s a.,:a.,. siefi irate itie ral ^ (h) Site linvestigative Werkactivities. Site investigative work in wetlands, landslide hazard areas, riverine and coastal erosion hazard areas, or fish and wildlife habitat ^^^se=afie ar^asFWHCAs, or their efitioal ar-eaassociated buffers that is necessary for land tisedevelopment application submittals or permit compliance, including but not limited to groundwater monitoring wells, sediment sampling, surveys, soil borings, shallow soil test pits, and pereolation tests involving no fill er ttse of h rt ^ 'excavation for soil logs or percolation tests; _sSite investigative activitieswer'r eemplies with the additional fe ^ eats in subseetion (5) of this seetion and &EeaN,a4ion for soil logs of per-eela4ien tests afe �P!14-4 that involve excavated areas are required to be filled unless waived in writing by the administrator. (i) Emergency activitiesAetien. Activitiestion that is taken w-hieh is necessary to resolve or prevent imminent threat or danger to public health or safety, or to public or private property, or serious environmental degradation are exempt; provided_ (i) , tThe nature of the emergency requires immediate action within a time period too short to allow full compliance with this chapter;,— (ii) DC13th ep r*ffwnt, as well as any federal or state agencies with jurisdiction (e.g., the U.S. Army Corps of Engineers, Washington State Department of Fish and Wildlife, Washington State Department of Ecology, etc.), wAst-behave been notified of the emergency action within one working day of the initiation of the emergency action...; iii Any person er-agene3-undertaking emergency action using this exemption mustshall submit a complete application to depa taentDCD for review and approval within 30 days of abatement of the emergency, and the "after -the -fact" application must show compliance with all requirements of this chapter; and, Appendix B - 6 iv Any impacts to critical areas or of their associated buffers from the emergency activities that are not mitigated within one year of issuance of an "after -the -fact' permit shall be in violation of this exemption and may be subject to enforcement nder title 19 JCC. 0) Artificial Wwetlands and Aaicial Pponds. Artificial wetlands and artificial ponds activities (including maintenance) are exempt if all of the following requirements are met-,previded: (i) The artificial wetland or pond does not meet the definition of wetland or fish and wildlife habitat alien afe FWHCA; and (ii) The artificial wetland or pond was not historically constructed from a wetland or fish and ., ildl f 1'abitat eensep,,a ^r�FWHCA or was legally constructed from a wetland or a FWHCA by- ( receiving all applicable permits to modify the critical area). (k) Irrigation. Operation, maintenance and repair of dikes, ditches, reservoirs, ponds and other irrigation structures and facilities that do not require a state hydraulic permit and do not meet the criteria for being designated a-FWHCAs or wetlands are exe, fish and wildlife habitat eons ,;,lea the r mai ..tenanee orepair-eamplies with subseetio« (5) of this seetion (1) RecreationPassive-al uses without any adverse impact to a critical area. Recreational uses . Passive r-eer-ea4ion, when the aefiv4y that do not cause any adverse impacts to a critical area or its associated buffer are exempt. Examples include, but are not limited to, such recreational uses as swimming, canoeing-4cayaking, hunting, and fishing (pursuant to state law), bird watching, hiking, and bicycling. However, this exemption shall not apply to recreational uses that meet the definition of development. (m) Existing Presidential Elandscaping (typically non-native ve etation), including planting, irrigating, mowing, pruning, and maintenance and repair of landscaping structures are exempt; provided, these activities are part of existing normal residential landscaping activities and no building permit is required This exemption does not allow any additional intrusion, expansion, or introduction of nonnative species into a critical area or a er-'�eaits associated buffer. (n) Noxious Wweed Econtrol. Removal or eradication of noxious weeds listed in Cchapter 16-750 WAC. Stich fivit is the fe sibility of the lando•• fief; provided, that all of the following conditions are met: (i) The removal or control of noxious weeds shall follow guidelines issued by the Jefferson County nNoxious wWeed sControl bBoard, or other agencies with jurisdiction;— ii The Jefferson County nNoxious wWeed c-Control bBoard, or other agencies with jurisdiction shall coordinate with the depaftment fplanning and eammunity develop nentDCD for the control of noxious weeds in wedandscritical areas or their associated buffers; and - (ii) The All of all herbicide in aquatic environments shall conform to the rules of the Washington State Department of Ecology, Washington State Department of Agriculture and Washington State Department of Natural Resources, pursuant to Echapters 16-228, 173-201 a, and 222-38 WAC. (o) Harvesting of Wwild C-crops. The liHarvesting of -wild crops as defined in 7 CY R § 205.2 is exempt; provided, that the harvesting: (i) Is not injurious to natural reproduction of such crops; (ii) Does not require tilling soil, planting crops, or changing existing topography, water conditions, or water sources; and (iii) Does not have any adverse impacts on protection of the critical area or a er-l�its associated buffer. Appendix B - 7 (p) Native Vv_egetation enhancement. The enhancement of a critical area or its associated buffer by the removal of invasive plants by handheld machinery, or the planting of native vegetation is exempt. Invasive plants include those listed by the Jefferson County Noxious Weed Board or as listed in the Washington State University Extension invasive forest weed resources. Examples of invasive species include, but not limited to Butterfly bush, English holly, English ivy, Herb robert, Himalayan blackberry, Tansy ragwort, Shiny_ geranium, or as determined by a qualified agency with jurisdiction, and approved by the administrator. (q) Pruning and tree removal within FWHCAs, wetlands and moderate or high landslide hazard areas may occur if ecological functions and values are not impacted, complies with this standard, complies with the provisions of this title, or is authorized by DCD, pursuant to the following criteria: (i) Pruning. Minor pruning of trees that does not exceed 25% of the live crown, and does not include the topping of trees does not require approval from DCD. Pruning of trees that exceeds this standard may require a tree removal permit or an arborist report submitted to DCD for review and approval. (ii) Tree removal: DCD may require for all tree removal within FWHCAs, wetlands, and moderate or high landslide hazard areas and their associated buffers one or more of the following: (A) A tree removal permit for the removal of trees over 6-inch in diameter or removal of over 50% of the live crown; (B) A special report from a certified arborist to determine if the tree is dead, diseased or a threat to habitable or accessory structures, or where people congregate; (C) A habitat management plan or a mitigation plan; (D) If tree removal is proposed in a moderate or high landslide hazard area, DCD may require a geotechnical report if tree removal could destabilize the slope; (E) Tree removal in shoreline jurisdiction is subject to the requirements in chapter 18.25 JCC. (rINew Ttrails. The construction of a three-foot widenew, unpaved, nonmotorized trails when l,.ea4ea in the ei#er- 25 pereefA ef a wetia-ad or- a fish and wildlife habita4 eensefva4ien area er- their er-ifieal area btiffer-s; pr-evided, she new tfail is no wider- t a -a five feet. This exemption shall not apply to shoreline jurisdiction, or within a frequently flooded area. of it r--46 ..,' o.. bhuff . ... efe development must follow FRM . . .-ents, of within a geelegieally hazaMetts area or- its er-itieal area buffer- if the new trail will be for- ptthlie (s) Beaver Ddam Aalterations with a I4hydraulic P-project Aapproval, Pufstlant to Chapter- 77.55 RCW an Chapter- 220 660 W- C. Beaver dam alteration in stream channels when undertaken with a hydraulic project approval issued by the Washington State Department of Fish and Wildlife pursuant to C-chapter 77.55 RCW and Echapter 220-660 WAC are exempt. (4-5) Additional Pr-ateetien a -Ha Roster .:,. D o,.,,;,.ementsApplication for exemption. An application for an exemption shall contain. , all of the followingF-equifeffients Must be me : - (a) Prior to the start of thea development, land disturbing activity or use for which an exemption is sought, the applicant mtts shall submit to the a written description of the development, land disturbing activityor use that includes ^4�tall of the following information: (i) Type, timing, frequency, and sequence of the development, land disturbing activity or use to be conducted; Appendix B - 8 (ii) Type of equipment to be used (hand or mechanical); (iii) Manner- it whie What activity the equipment will be used to perform -and (iv) How the development, land disturbingaty or use avoids further alterations, impacts or encroachment upon the critical area and its associated buffer; (v) Measures to be implemented to avoid impacts to a critical area and its associated buffer functions; (vi) Why no other responsible or practical alternative exists to achieve the applicant's desired objective; and vii The best management practices to be used., (5) Five-year length of an approved application for an exemption. The wr-i,+of deseriptie ^ n approved application for an exemption shall be valid for five years; provided, there is no significant change in the type or extent of the development, land disturbing activity or use. Once the development or use is completed, it can be continued. However, any other development, land disturbingactivity or use shall require additional review by DCD. (6) Limitations on exemptions. All exemptions are subject to all of the following limitations:. (ba) The development, land use activityor use sane shall notes alter, impact, or encroach upon critical areas or their associated^- ea buffers and no reasonable or practicable alternative exists..-; (eb) The development, land use activityor use eannetshall not-fmther- affect the functions of a critical area or_ its associated a e~'-ease buffer, and no reasonable or practicable alternative exists to achieve the applicant's desired objective;.. (dc) Best management practices mustshall be implemented to minimize impacts to critical areas and efi ieal a-eatheir associated buffers during the activity.., (ed) Disturbed critical areas and ^eatheir associated buffers mus shall be restored immediately after the activity is complete; and - (f) Any impacts of the development, land disturbing activity or use to a critical area or a er'�eaits associated buffer mustshall be mitigated, as approved by the administrator. (67) Authority of Tthe administrator. The administrator may h t��: (a) Request additional information from an applicant to ensure compliance with exemption requirements_ including special reports listed in Article IX of this chapter; (b) Determine whether -or -net an application meets all the criteria for the -exemptions listed; and (c) Determine that the development, land disturbing ag ctivity, or use is closely allied or similar to any activi , in the list in subsection (3) of this section, provided the activity does not impact the functions and values of any critical area or its associated buffer; and (d) Take enforcement action under title 19 JCC for any development, land disturbing activity, development, or useaefien „mdei4 lcen en a located within or containing a critical area or a er'�eaits associated buffer-itr that does not meet exemption requirements. . The decisions in subsections (a), (b) and (c) of this subsection are Type I land use decisions under JCC 18.40.040. Appendix B - 9 18.22.240 Nonconforming uses and structures. (1) Any legal use or legal structure in existence on the effective date of this chapter that does not meet the critical area or efitieal area its associated buffer shall be considered a legal nonconforming use. (2) Any use er stfueWr-e for- w-hieh an applieation has vested er for w-hieh a pefmit has been obtained prior- to the effeetive date of this ehapter, that dees not meet the oritieal area buffer- r-equiFements ef this ehapter- for- any .Applicant who prove to the satisfaction of the administrator that the use or structure was legal prior to the effective date of this chapter may continue. (3) A legal nonconforming use or structure may be maintained or repaired or repaired as allowed by this chapter_ This may include meeting a*d-the provisions of JC�JCC 18.20.260. [n -a 5 20 § 2 (Appx. )] (4) A legal nonconforming use or structure that has been damaged or destroyed may be restored to a lawfully established prior condition and the immediately previous use may be resumed in accordance with nonconforming provisions of JCC 18.20.260. (5) Nonconforming uses and structures in a critical area or its associated buffer that are under the jurisdiction of the Shoreline Management Act shall follow JCC 18.25.660 (Nonconformingdevelopment). evelopment). 18.22.250 Buffer Vvariance types and criteria. (1) Application for a variance shall be made on forms approved by the administrator and shall contain all of the information required in JCC 18.40.100 and in this subsection: (a) All applications for a variance shall include a restoration plan, habitat management plan or mitigation plan consistent with the provisions of Article IX (Special Reports) of this chapter. The application for a variance shall be processed pursuant to chapter 18.40 JCC (Application and review procedures. (b) Applications for a variance under this section may be pursued only if buffer averaging is not feasible. Buffer averaging is not considered a variance. (c) Applications for a Type I Variance or a Type III Variance shall satisfy all of the requirements in subsection (2) of this section. (2) Variance criteria. Prior to the grantiUof a varianee fr-afn the r-equir-ements of this ehapter- when, in the epinian of the hearing ,variance, the applicant shall demonstrate that all of the following criteria have been met: (a) , tepegfaphy, leemian, ef stir-feundings that do net apply generally te suffeunding pfoper-ties E)f that Mak ble to ,.odesig the pFE)jeet to o, hide the need f r a vafianeeFailure to grant the variance would result in an extraordinary hardship to the applicant; (b) The extraordinary hardship to the applicant is specifically related to the property, and is the result of unique conditions such as irregular lot shape, size, or natural features and the application of this chapter, and is not, for example, from deed restrictions or the applicant's own action; (c) The variance is justified to cure a special circumstance and not simply for the economic convenience of the applicant and no other practicable or reasonable alternative exists; ^r-itie ' .,re buffer- -edu tier repose through the var-ia-nee is the minim -um neeessar-y to aeeatmnedate the pefmitted use; Appendix B - 10 (d) The Ggranting the variance wi44shall not be materially detrimental to the critical area, public health, safety, welfare, use or interest; or injurious to the property or improvements in the vicinity; (e) The Ggranting of the variance is the minimum necessary to afford relief to accommodate a use allowed under ensefe eensisteney with the Comprehensive P-Plan, chapter 18.45 JCC, Land Use Districts, chapter 18.15 JCC, Jefferson County Shoreline Master Program (SMP), chapter 18.25 JCC, —andor ^ ., iften an ,., blic ebli atie ^other applicable provisions of the Code; and (f) The granting of the variance shall not materiallypromise the goals and policies of the Comprehensive plan, the Code or be inconsistent with title 18 JCC . Proposal that does not meet the variance criteria may submit a reasonable use exception or a critical area stewardship Dlan (CASP). 18.22.260 Reasonable eeeuemie-use exceptions. If a proposal exceeds the FWHCA or wetland thresholds for a variance, the application of this chapter would deny all reasonable use of the property, or would otherwise constitute a taking under either the state or federal constitution, an applicant who seeks an exception from the standards and requirements of this chapter shall pursue relief by means of a reasonable use exception as provided for in this chapter. Any reasonable use authorized under this section shall also be an allowed or conditional land use specified by chapter 18.15 Land Use Districts. For a reasonable use exception to be granted, the following criteria shall be met: (1) ineluding buffer aver -aging, buffer r-edtiefien, er- other- meehanism, would deny all r-easenable eeenefnie use may seek approval pidrstiant to the reasonable eeenemie use standards and pfaee"res pfevided in this An application for a critical area reasonable use exception shall be filed with the administrator and shall be considered by the Hearing Examiner as a Type III land use permit pursuant to chapter 18.40 JCC. The applicant may apply for a reasonable use exception without first applying for a variance if the requested exception would provide relief from standards for which a variance cannot be granted under this chapter (i.e. exceeds the maximum reduction permitted in each of the critical area protection standards). The property owner and applicant for a reasonable use exception have the burden of proving that the propenty is deprived of all reasonable uses. (2) (}Even though a variance application is not required, s a reasonable eeanamie use exception is a type of variance and shall meet the variance criteria found in JCC 18.22.250 to the maximum extent possible. In addition, approval of a reasonable use exception requires consistency, the teehnioal administrator- e . hearing exam; ^^ appr-epr-ia4e, midst find that the pr-epesal is with all of the following criteria listed in subsection (athrough (f) of this section. Demonstration of consistency is burdened upon the applicant.: (a) There , ineluding agrietiltufal use of eantinuation of legal n nrn,... ing es Uplicant shall submit reports documenting the location of all the critical areas and their associated buffers. This information shall be identified on a site map to scale; Appendix B - 11 (b) Application of this chapter would denim reasonable ic-use of the propey rw th' a i pa * itica buff r-s;_ -L less GCVITGTI CSGIIfCLfe-LITp1�RZSGT (c) Aefivifies will be leeated as faf as possible ffam efifieal afeas and the pfejeet employs all reasonable methods to avoid adverse effeets an er-itieal area ffinetions and values, ineluding maintaining existing vegetation, tepagr-aphy, and hydr-elogy. Where beth er-itieal areas and buffer- afeas are lecated OR a ar--"-" bu r areas shall be disWr-bed in preference to the er-itieal ae There is no other reasonable or practicable use of the property;_ (d) The proposed development does not pose an unreasonable threat to the public health, safety or welfare on or off the development proposal site;_ (e) quality, ) (#) The proposed ,.e fivities ,., mplydevelopment is consistent with the general of this chapter and the public interest, and does not conflict with allapplicable state- ,4eeal and federal laws; and , nel ' ng hose disposal; (h) The pr-eposed aefivities will not iner-ease risk to the health E)r- safiety E)f people on er- off the site; (i) The inability to derive reasonable eeenemie use ef the property is not the result of segrega4ifig or- dividing (f) The proposed alterations to regulated critical areas and their associated buffers are the minimum necessary to allow for reasonable use of the property. (3) Any authorized alteration of a critical area under this section may be subject to additional conditions established by the administrator and may require mitigation under an approved mitigation plan pursuant to Article IX (Special Reports). 18.22.270 Buffers pphysical!j separatiened and—F functionally isolatedien. (1) se�zCritical areas buffers that are both physically separated and functionally isolated from a critical area and do not protect the critical area from adverse impacts shall be excluded from critical areas requirements �..�s ethe .wise ,.o,.uifea ay f this chapter. Physically separated and Ffunctional isolation can occur due to anthropogenic physical conditions such as an exis ",, ^ubh oa&existing impervious public road, or structures of sufficient size to eliminate buffer functions, vertical separating, or any other relevant physical characteristic. The administrator shall evaluate whether the interruption affects the entirety of the buffer. Individual structures that do not fully interrupt ecological functions and values or protective measures provided by the buffer functions shall be limited in scope to just the portion of the buffer that is affected. (a) -Functional isolation shall be limited to landslide hazard, wetland4iu€fers and fisi, and wildlife habitat eansei=vatien-ar-eaFWHCA and their associated buffers only. Appendix B - 12 (3) Special Rreport Mmay Hbe Rrequired. The administrator may require a special report to determine whether a critical area and its associated buffer is functionally isolated. 18.22.280 Adaptive management. Adaptive management achieve their- objeetives and adjttsts these programs. Management, pehey, and fegulatery aetions are tfeated as expefifnents that afe ptffpesefully moniter-ed and evaluate-T;W) ddetenin-ine. whethef they afe effeetive and, if not, how :is an ongoingrocess of assessing critical area policies, regulations, and procedures; and this process is intended to identify wqys of improving critical area policies, regulations, and procedures; and this process is intended to identify wad improving critical area protection. Monitoring of process improvements leads to a feedback loop that can be used to continuously make improvements. Monitoring includes assessing if permits followed all applicable regulations, if regulations are implemented consistently over time, and if regulations are effectively resulting in no let loss of critical area functions. The county looks to improve processes, and as funding and staff allow, are interested in evaluating regulatory and nonre ug latory actions affecting critical area protections. (3) Commit to the appropriate tifne fiame a -ad seale neeessary to reliably evaluate regulatofy and nenregtda4efy Article III. Critical Aquifer Recharge Areas 18.22.300 Purpose. Potable water is an essential life -sustaining element for humans and many other species. Much of Jefferson County's drinking water comes from groundwater supplies. Critical aquifer recharge areas are important to ensure the quality and quantity of groundwater in aquifers. Preventing contamination from land uses that may contaminate groundwater is necessary to protect water supplies and avoid exorbitant costs, hardships and physical harm to people and ecosystems. It is the purpose of this article to identify and classify aquifer recharge areas in accordance with WAEWAC 365-190-100 and balance competing needs for land uses and clean water supplies and preserve essential natural functions and processes, especially for maintaining efitieal fish and wildlife ' abita* ,.erase.-vatio areasFWHCA. rn -a 5 20 6 2 (Air,.,. A)! 18.22.310 Classification/ and designation. Critical aquifer recharge areas (CARA) have the same meaning as in JCC 18.10.030 C definitions. are areas with efitieal feehai7gifig egaet on a"ifersused for- potable wa4er-, ifieluding afeas where a -a aquifer- that is a satffee E)f r-edueed r-eehafge. Critieal aquifer- r-eehafge afea maps shall be per-iodieally fevised, modified, and updated to r-efleet ettffent in at The following classifications define critical aquifer recharge areas: (1) Susceptible aAquifer rRecharge aAreas. Susceptible aquifer recharge areas are those with geologic and hydrologic conditions that promote rapid infiltration of recharge waters to groundwater aquifers. For the purposes of this article, unless otherwise determined by preparation of a Hydrogeolo ig c or aura critical aquifer recharge area special report authorized under this article, the following geologic units, as identified from available Washington_ State -Department of Natural Resources geologic mapping, define susceptible aquifer recharge areas for east Jefferson County: (a) Alluvial fans (Ha); (b) Artificial fill (Hx); Appendix B - 13 (c) Beach sand and gravel (Hb); (d) Dune sand (Hd); (e) Floodplain alluvium (Hf); (f) Vashon recessional outwash in deltas and alluvial fans (Vrd); (g) Vashon recessional outwash in melt water channels (Vro); (h) Vashon ice contact stratified drift (Vi); (i) Vashon ablation till (Vat); 0) Vashon advance outwash (Vao); (k) Whidbey formation (Pw); and (1) Pre-Vashon stratified drift (Py). (2) Special i aquifer Rrecharge Pprotection Aareas. Special aquifer recharge protection areas include: (a) Sole -source aquifers designated by the U.S. Environmental Protection Agency in accordance with the Safe Drinking Water Act of 1974 (42 U.S.C. 300f et seq.), such as Marrowstone Island; (b) Special protection areas designated by the Washington State Department of Ecology under Echapter 173- 200 WAC; (c) Wellhead protection areas determined in accordance with delineation methodologies specified by the Washington State Department of Health under authority of Echapter 246-290 WAC; (d) Groundwater management areas designated by the Washington State Department of Ecology in cooperation with local government under Echapter 173-100 WAC. (3) Seawater (intrusion Pprotection Zzones (SIPZ). (a) Seawater intrusion protection zones are: (i) Aquifers and land overlying aquifers with some degree of vulnerability to seawater intrusion. SIPZ are defined either by proximity to marine shoreline or by proximity to groundwater sources that have demonstrated high chloride readings. (ii) All islands and land area within one -quarter mile of marine shorelines and associated aquifers together compose the coastal SIPZ. (b) High rRisk SIPZ. (i) Existing individual groundwater sources with a history of chloride analyses above 200 mg/L are categorized as a high risk SIPZ for development proposed under this code. (ii) Areas within 1,000 feet of a groundwater source with a history of chloride analyses above 200 milligrams per liter (mg/L) are categorized as a high risk SIPZ for development proposed under this code. (c) At Risk SIPZ. Areas within 1,000 feet of a groundwater source with a history of chloride analyses above 100 milligrams per liter (mg/L) are categorized as at risk SIPZ for development proposed under this code. (4) Connate seawater Eexception. In some cases, high chloride readings may be indicative of connate seawater (i.e., relic seawater in aquifers as opposed to active seawater intrusion). When best available science or a Appendix B - 14 hydrogeologic evaluation demonstrates that high chloride readings in a particular area are due to connate seawater, the area in question shall not be considered an at risk or high risk SIPZ. (5) Recommendation from the Jefferson County Public Health Department. When the status of an area as either a high risk or an at risk SIPZ is in question, the administrator is responsible for making the determination based upon recommendation from the Jefferson County deaf Epublic hHealth Department. rn.-,l 5 20 § 2 (,A,ppx. A)] 18.22.320 Applicability. This article applies to any development, land disturbing ate ctivity or use within critical aquifer recharge areas, unless the proposed activity meets any of the exemptions listed in JCC7GG 18.22.230 General exemptions. (1) Other Aetivities. The following aetivities, when proposed in a er-itieal aquifer- recharge area shall be stibjeet to (a) All indtistfial and eeffimer-eial !and nses with the potential to impact groundwater; 18.22.330 Protection standards. (1) General. The following protection standards shall apply to all development, land disturbing activities or uses within a CARA that have the potential to impact aquifers. These areas include ,geologic and hydrologic conditions that promote rapid infiltration or recharge waters to ,groundwater aquifers, which are vulnerable to contaminations. CARA are areas with a critical recharging effect on aquifers used for potable water. These include special aquifer recharge protection areas for protection of sole source of drinking water as designated_by the federal or the state of Washin tg on. r..;t;, l n ,,,,;F n e,a,arge fe. High limpact Aeirtiuses. The uses listed below are considered high impact uses and shall be prohibited in areas that are classified as both a susceptible aquifer recharge area and a special aquifer recharge protection area. When high impact uses are proposed in areas classified solely as a suspectable aquifer recharge area or a special aquifer recharge area, a CARA report or hydrogeolo ig c report that meets all of the requirements of JCC 18.22.930 shall be submitted to DCD for review and approval. (a) Chemical manufacturing and processing; ( Creosote and asphalt manufacturing or treatment (except that asphalt batch plants may be permitted in susceptible aquifer recharge areas only if such areas lie outside of special aquifer recharge protection areas and only if best management practices are implemented pursuant to JCC 18.20.240(2)(h)(iv) and JCC 18.30.170(l) and an accepted special report on the CARA or hydrogeolo ig'c report); (c) Dry cleaners; (d) Electrical battery processing, reprocessing, or storage; (e) Electroplating and metal coating activities; (f) Hazardous substance disposal, storage, and treatment facilities; (g) Junk and salvage yards; (h) Landfills; (i) Petroleum product refinement and reprocessing; (i) Pipelines; Appendix B - 15 (k) Radioactive disposal or processing of radioactive wastes; (1) Recycling centers or recycling collection facilities as defined in JCC 18.10.180; (m) Storage tanks (above or below ground) for hazardous substances or petroleum products; (n) Tank farms; (o) Waste piles as defined in WAC 173-303-660; and, (p) Wood and wood products treatment or preserving.14igh Table 19.22.330(i) afe high impaet aefivities due to the pfabability ar- potential magnitude of theif adverse eg:�e OR gfE)tMdW&tef. T.,l,l., 1 Q '1'1 330 \ Cr-ia:.,.,1 A ....:i'.,.. D.,.,l.., ....,. A...,., ii:..l, i.,..,.,.,a A .,4:.:4:.,.. Appendix B - 16 (d) High impaet Aetivities Proposed in Areas Classified Solely as a Speeial Aquifer Reeharge Proteetion Area Re"ire a Gr-itieal Aquifer- Reeharge Area Repef4. When high impaet aetivities afe proposed for a speeial aquifer r-eehafge pfeteetion area, a er-itieal a"ifer- r-eehafge area fepet4 that meets all the r-e"ir-ements of XG 19.22.930 (3) Other uses. The following uses, when proposed in a critical aquifer recharge area shall be subject to the protection standards in this article: (a) All industrial and commercial uses with the potential to impact ,groundwater; (b) All rural residential uses that meet one of the following; (i) Uses with a locally managed community sewage system; GO Uses with a large on -site sewage system meeting the management requirements of the Washington Department of Health; and, (iii) All planned rural residential developments. (2;4) Seawater (intrusion P-protection Zzones. New development, redevelopment, and new land disturbing activities on islands and in close proximity to marine shorelines where there is a risk of a high fisk of seawater intrusion should be developed in such a manner to maximize aquifer recharge, maintain the saltwater and /freshwater balance to the maximum extent possible, and are subject to the antidegradation policy in accordance with WAC 173-200-030 (35) Stormwater Ddisposal. (a) Stormwater runoff shall be controlled and treated in accordance with best management practices and facility design standards as identified and defined in the current Stormwater Management Manual for Western Washington and the stormwater provisions contained in Echapter 18.30 JCC. To the extent practicable, stormwater should be managed in a way that facilitates aquifer recharge. (b) To help prevent seawater from intruding landward into aquifers, all new development activity on Marrowstone Island and within one -quarter mile of any marine shoreline shallould be required to infiltrate all stormwater runoff on site, except f r these areas ;thin the Peet r u lee D..,:n o Distl. e if this would destabilize unstable slopes. The administrator will consider requests for exceptions to this policy on a case -by - case basis;. The administrator may require a special report that indicates that infiltration of stormwater is unfeasible based on the hazards to slope that complies with all the requirements of JC-JCC 18.22.930, and demonstrates the project does not pose a threat of seawater intruding landward into aquifers, or other information (like the use of wells in the areas, availability of public water systems, or proximity to marine waters) when making this determination. (6) On -site sewage disposal. All land uses identified in JCC 18.22.320 that are within areas classified as both a special aquifer recharge protection area and a susceptible aquifer recharge area shall be reviewed by Jefferson County Environmental Public Health Department to ensure the nitrogen requirements in title 8 JCC are met. (47) Golf Gcourses and 9other Tturf Ecultivation. (a) Golf courses shall be developed and operated in a manner consistent with the most current edition of "Best Management Practices for Golf Course Development and Operation," King County dDepartment of dDevelopment and eEnvironmental sServices. (b) Recreational and institutional facilities (e.g., parks and schools) with extensive areas of cultivated turf shall be operated in a manner consistent with portions of the aforementioned best management practices pertaining to fertilizer and pesticide use, storage, and disposal. In seawater intrusion protection zones, golf courses and other turf cultivation using groundwater for irrigation shall be prohibited, unless the water source is located outside of seawater intrusion protection zones or in an approved public water supply. Appendix B - 17 (58) Above-Cground and Uunderground Sstorage Ttanks. (a) Above -ground and underground storage tanks shall be fabricated, constructed, installed, used and operated in a manner which prevents the release of hazardous substances to the ground or groundwater and is consistent with the Washington Department of Ecology's standards for construction and installation under Cchapter 173- 360A WAC. (b) Above -ground storage tanks intended to hold or store hazardous substances shall be provided with an impervious containment system, enclosing and underlying the tank; efand ensure that other measures are undertaken as prescribed by the Uniform Fire Code which provide an equivalent measure of protection. (c) Underground storage tanks intended to store hazardous substances shall provide an impervious tertiary containment system underlying the tanks or ensure that other measures are undertaken which provide an equivalent measure of protection. (d) When required under this section, an impervious containment system must be durable, compatible with the substance it is meant to contain, and large enough to contain a volume equal to 10 percent of all containers, or 110 percent of the largest single container, whichever is greater. (69) Mining and Quarrying. For mining and quarrying, required performance standards with groundwater protection best management practices pertaining to operation, closure, and the operation of gravel screening, gravel crushing, cement concrete batch plants, and asphalt concrete batch plants, where allowed, are contained in Cchapters 18.20 and 18.30 JCC. (710) Hazardous Substances. Activities that generate, handle, store, or use hazardous substances, which are not prohibited outright under this code, and which are conditionally exempt from regulation by the Washington Department of Ecology under WACWAC 173-303-100 (Dangerous Waste Criteria), or which generate, handle, store or use hazardous substances, shall be required to prepare and submit a hazardous substances management plan that demonstrates that the development will not have an adverse impact on groundwater quality. The hazardous substances management plan shall describe the following: (a) How hazardous substance(s) wi4shall be managed in a manner consistent with Cchapter 8.10 JCC and Cchapter 173-303 WAC; (b) Screening of any waste suspected of being a regulated dangerous waste as defined in JCC 8.10.100; (c) Requirements for labeling of containers holding hazardous substances with the name of the hazardous substance(s) and the applicable material safety data sheets; and (d) The secondary containment system to be used to prevent releases of hazardous substances to the ground, groundwater, and surface water. The facility owner must update the hazardous materials management plan annually and provide the updated plan to the department on or before the next January 1st, after the plan is updated. (411) Well Ddrilling, Ssubdivisions, and Bbuilding Ppermits in SIPZ). (a) Well Ddrilling. The Washington State Department of Ecology regulates well drilling pursuant to the Water Well Construction Act. Proposed wells, including those exempt from permitting requirements, mstshall be sited at least 100 feet from "known or potential sources of contamination," which include "sea -salt water intrusion areas" (WACWAC 173-160-171), unless a variance is obtained from the Washington State Department of Ecology per WAC WAC 173-160-106. (b) Subdivisions. Applications for land division (cChapter 18.35 JCC) in coastal, at risk, and high risk SIPZ mus shall include specific and conclusive proof of adequate supplies of potable water and the applicant must provide a special report that satisfies all the requirements or a hydrogeologic evaluation contained in 72-rJCC - 18.22.930(2)(b) that demonstrates that the creation of new lots and corresponding use of water wi4shall not Appendix B - 18 cause degradation of the aquifer by seawater intrusion. A hydrogeologic evaluation shall not be required when the applicant demonstrates that public water is available for the entire project. (c) Marrowstone Island. Due to documented seawater intrusion on Marrowstone Island and the existence of undeveloped lots of record, *'�entDCD, in consultation with Jefferson County environmental public health department shallwill only allow land division on the island if public water connections are provided to each lot of a proposed project and all existing wells within the project site are decommissioned. No permit shall be approved if a public water connection to each lot of a proposed project cannot be provided. (d) Building P-permits. (i) Evidence of potable water may be an individual well, connection to a public water system, or an alternative system. Whatever method is selected, the regulatory and operational standards for that method wittstshall be met and the department will work in consultation with the Jefferson County public health department. Identification of well interference problems and impairment to senior rights is the responsibility of the Washington Department of Ecology. If the possibility of a problem is suspected, the local permitting authority should contact the Washington Department of Ecology, as required by RCW _l9.27.097. (ii) All types of building permits that require proof of potable water use, as per RCW 19.27.097, are subject to this article. (e) All of the following V_voluntary and mandatory measures for mitigating seawater intrusion apply to development are required within the coastal, at risk, and high risk SIPZ, and upon Marrowstone Island, in the following manner, in addition to all existing applicable health codes: (i) Coastal SIPZ. (A) Voluntary Actions. Voluntary actions may include but are not limited to: (I) Water conservation measures; (II) Ongoing well monitoring for chloride concentration; and (III) Submittal of data to the eetxntyDCD. (B) Mandatory Aactions. (I) For proof of potable water on a building permit application, applicant mustshall utilize DO Washington State Department of Health -approved public water system if available; (II) If public water is unavailable, meaning the subject property is not within a current water service area, an individual well may be used as proof of potable water subject to the following requirements: 1. Chloride concentration of a laboratory -certified well water sample submitted with building permit application; and 2. Installation of source -totalizing meter (flow); (III) If public water is unavailable, a qualifying alternative system may be used as proof of potable water. (ii) At Risk SIPZ. (A) Voluntary Aactions. Appendix B - 19 (I) Water conservation measures. (B) Mandatory Aactions. (I) For proof of potable water on a building permit application, the applicant mustshall utilize a Washington Department of Health -approved public water system if available; (II) If public water is unavailable, meaning the subject property is not within a current water service area, an individual well may be used as proof of potable water subject to the following requirements: 1. Chloride concentration of a laboratory -certified well water sample submitted with building permit application; 2. Installation of a source -totalizing meter (flow); and (III) If public water is unavailable, a qualifying alternative system may be used as proof of potable water. (iii) High Rrisk SIPZ. (A) Mandatory Aactions. (I) Water conservation measures; (Jl) For proof of potable water on a building permit application, applicant mus shall utilize a Washington Department of Health -approved public water system if available; (III) If public water is unavailable, meaning the subject property is not within a current water service area, an individual well may only be used as proof of potable water subject to the following requirements: 1. Variance from the „' C Title 173 WAC standards granted by the Washington State Department of Ecology per WACW-AG 173-160-106-_for anew groundwater well within 100 feet of a sea -salt water intrusion area per WAC�4E 173-160-171 (i.e., within 100 feet of a groundwater source showing chloride concentrations above 200 mg/L or within 100 feet of the marine shoreline) and with the submittal of a hydrogeologic evaluation that satisfies all the requirements or a hydrogeologic evaluation contained in JC�JCC 18.22.930(2)(b); 2. For an existing groundwater well not subject to a Washington State Department of Ecology variance, the applicant rnustshall provide a hydrogeologic evaluation that satisfies all the requirements or a hydrogeologic evaluation contained in JCCJCC 18.22.930(2)(b), which shall be transmitted to the Washington State Department of Ecology for review, demonstrating that use of the well does not cause any detrimental interference with existing water rights and is not detrimental to the public interest; 3. Chloride concentration of a laboratory -certified well water sample submitted with building permit application; 4. If chloride concentration exceeds 250 mg/L in a water sample submitted for a building permit, then the property owner shall be required to record a restrictive covenant that indicates a chloride reading exceeded the U.S. Environmental Protection Agency secondary standard (250 mg/L) under the National Secondary Drinking Water Regulations; 5. Installation of a source -totalizing meter flow; 6. Ongoing well monitoring for chloride concentration; and Appendix B - 20 7. Submittal of flow and chloride data to the county per monitoring program; and (IV) If public water is unavailable, a qualifying alternative system may be used as proof of potable water. (iv) Marrowstone Island. Since Marrowstone Island is a sole source aquifer and a high risk SIPZ, and the island is served by public water, proof of potable water connection to the public water supply wi-llshall be required for all lots in the project. (912) Mitigating Econditions. The administrator may require additional mitigating conditions, as needed to provide protection to all critical aquifer recharge areas and to ensure that the subject land or water use action will not pose a risk of significant adverse groundwater quality impacts. The determination of significant adverse groundwater quality impacts will be based on the antidegradation policy included in Cchapter 173-200 WAC. 03) Quilcene-snow water resource inventor area 17) in -stream flow rule. All applications required to provide proof of potable water or source water approval shall meet all county and state requirements, including_ WRIA 17 in -stream flow rule in chapter 173-517 WAC at the time of application. All applications involving water use shall be reviewed by the Jefferson County Public Health Department for compliance with county and state requirements. (4-e14 Results of CD's review of a special report on a C-critical Aaquifer Rrecharge Aarea Repe, a Flhydrogeologic E-evaluation or a 14hazardous Ssubstances Mmanagement P-plan. The applicant shall submit- aehy�geo shall revie-.. a critical aquifer recharge area report, a hydrogeologic evaluation or a hazardous substances management plan to be reviewed by the County and DCD shall either: (a) Accept the special report on a critical aquifer recharge area-repert, rhea hydrogeologic evaluation or thea hazardous substances management plan and approve the application; or (b) Reject the special report on a critical aquifer recharge area-FepeA, thea hydrogeologic evaluation or thea hazardous substances management plan and require revisions or additional information. (1475) Authority for Denial. In all critical aquifer recharge areas, the administrator may deny approval if the protection standards contained in this section or added mitigating conditions cannot prevent significant adverse groundwater quality impacts. [Ord. 5 20 § 2 (Appx. A)] Article IV. Frequently Flooded Areas 18.22.400 Purpose. The purpose of this article is to protect the public health, safety and welfare from harm caused by flooding and to establish protection standards for these areas. It is the intent of this article to prevent damage or loss to ep ople Jaeth- property, property, infrastructure, and federally -listed species and to ensure compliance with Federal Emergency Management Agency (FEMA) requirements. 18.22.410 Classification/ and designation. Frequently flooded areas are lands in the floodplain subject to at least a one percent or greater chance of flooding in any given year, or within areas subject to flooding due to high groundwater. These areas include, but are not limited to, streams, rivers, lakes, coastal areas, wetlands, and areas where high groundwater forms ponds on the ground surface. Frequently flooded areas perform important hydrologic functions and may present a risk to persons and property. Flood hazard areas are depicted on the Federal Emergency Management Agency's Flood Insurance Rate Maps (FIRMS). FIRMS display areas of concern including areas that fall within the 100-year floodplain designations of the Federal Emergency Management Agency and the National Flood Insurance Program. [Ord. 5 20 § 2 (App*. M 18.22.420 Applicability. These standards apply to any development within frequently flooded areas, unless the proposed activity meets any of the exemptions listed in Cchapter 15.15 JCC. The flood damage prevention ordinance (Cchapter 15.15 JCC) conforms with the intent of the minimum guidelines (WACWAG 365-190-110(1)) through directly considering the Appendix B - 21 effects of flooding on human health and safety, together with effects on public facilities and services, through its protection standards. For purposes of this article, "development" is defined as any manmade change to improved or unimproved real estate, including but not limited to buildings or other structures, mining, dredging, filling, grading, paving, excavation or drilling operations, storage of equipment or materials, subdivision of land, removal of more than five percent of the native vegetation on the property, or alteration of natural site characteristics. [O -aL�2 18.22.430 Protection standards — Incorporation by reference of Chapter 15.15 JCC and additional requirements. This a#ielechapter incorporates by reference the classification, designation and protection provisions contained in the Je€fer-se Ecounty flood damage prevention ordinance (Echapter 15.15 JCC) with the following additions: (1) Compliance with FIRMS. The FIRMS identified in the flood damage prevention ordinance (Echapter 15.15 JCC) shall be used to determine flood hazard areas for compliance with the Federal Emer- ,eney Management ^ gene). (FEMA) regulatory requirements. Such flood hazard areas shall be subject to the criteria of the flood damage prevention ordinance (Echapter 15.15 JCC). (2) Compliance with Nn_ational Mm_arine lifisheries 8service Bbiological Oppinion. Development proposed within regulated frequently flooded areas and floodplains shall ensure no impacts to federally listed fish and wildlife habitat as required by the National Marine Fisheries Service (NMFS) September 22, 2008, final Biological Opinion (BiOp) under the Endangered Species Act (ESA) on the National Flood Insurance Program (NFIP) in Puget Sound (NMFS Tracking No.: 2006-00472 (or as amended by NMFS)). (3) Habitat Aassessment Rrequirements (a) A habitat assessment that meets all the requirements of JC-CJCC 18.22.940 shall be submitted to the department for review if any portion of the proposed project occurs within a special flood hazard area (floodplain), as mapped by the Federal Emergency Management Agency (FEMA). (b) The administrator may request federal assistance in reviewing the submitted habitat assessment. (c) The administrator may waive the requirement to submit a habitat assessment only if- (i) The entire proposal meets one of the exemptions listed in Echapter 15.15 JCQ-and-dees,+iotfequir& (ii) The proposal requires a federal permit that is reviewed by federal agencies responsible for ensuring compliance with the Endangered Species Act (this could include, but is not limited to, project actions covered by separate consultation under Section 4(d), 7, or 10 of the Endangered Species Act); (iii) A habitat assessment previously has been prepared and the proposed project clearly fits within the nature and scope of that habitat assessment; or (iv) If FEMA approves an alternate process for Jefferson County to demonstrate compliance with the Biological Opinion (such as a programmatic review), this department may waive the requirement to submit a habitat assessment. [O .,a 5 20 § 2 (n ppic A)] Article V. Geologically Hazardous Areas 18.22.500 Purpose. The purpose of this article is to reduce risks to human life and safety and reduce the risk of damage to structures and property from geologic hazards, to allow for natural geologic processes supportive of forming and maintaining fish and wildlife habitat, and to regulate and inform land use and planning decisions. it is r-eeognized th Since the elimination of all risk from geologic hazards is not feasible to achieve, lithe purpose of this article is to reduce the risk to acceptable levels. Appendix B - 22 18.22.510 Classification/ and designation. (Geologically hazardous areas have the same meaning as in JCC 18.10.070 G definitions.afe area., tha. bo,.attse of theif sidseeptibilitt, to efesion, sliding, eafthquake, ar- ethef geelegieal events, are fiet suited to siting , . Unless specifically noted below, principal sources of geologically hazardous areas mapped information are the Washington Department of Natural Resources Geologic Hazard Maps (https:Hdnr.wa.aov/washington-geological-surve /y geologic-hazards-and- environment/geologic-hazard-mates' .. : ii,..., a w and se e /,.eeIE),. y'ge IE)gie (2) Geologically hazardous area classification and designation. O+The following classification and designation criteria are considered when classi , in are when mapped as high of moderate geologically hazardous areas: (aa) Erosion hazard areas (as defined in JJCC 18.10.050). (bb) Landslide hazard areas (as defined in JCC3EG_18.10.120). Landslide hazard areas include any areas susceptible to landslide because of any combination of bedrock, soil, slope (gradient), slope aspect, structure, hydrology, or other factors, as follows: (ii) Areas of historic failures, such as: (AA) Areas delineated by United States Department of Agriculture, Natural Resources Conservation Service as having a significant limitation for building site development; (13B) Coastal areas mapped by the Washington State Department of Ecology Coastal Atlas as unstable, unstable old slides, and unstable recent slides; or (EC) Areas designated and mapped as quaternary slumps, earthflows, mudflows, lahars, or landslide hazards by the Washington State Department of Natural Resources or the United States Geological Survey. (ii) Composite layerproduced from the SCS Soils source coverage for soil types in Eastern Jefferson County, the Department of Ecology Coastal Zone Atlas of Jefferson County, and a review of topographic contours indicating steep slopes. This composite layer does not give detailed attributes, but it does give an attribute with a rating factor which is a weighted probable problem rating based on severity of slope. (iiiii) Areas where all three of the following conditions occur: (AA) Slopes are steeper than 15 percent; (BB) Hillsides intersecting geologic contacts with a relatively permeable sediment overlying a relatively impermeable sediment or bedrock; and (CC) Spring or groundwater seepage. Areas that have shown movement during the Holocene epoch (from 10,000 years ago to present) or have been underlain or covered by mass wastage debris of this epoch. (ivy_) Areas with slopes that are parallel or subparallel to planes of weakness (such as bedding planes, joint systems, and fault planes) in subsurface materials. (vvi) Areas with slopes having gradients steeper than 80 percent subject to rockfall during seismic shaking. (viyii) Areas that are potentially unstable as a result of rapid stream incision, stream bank erosion, and undercutting by wave action, including stream channel migration zones. (vi-iviii) Areas that show evidence of, or are at risk from, snow avalanches. Appendix B - 23 (tiiix) Areas located in a canyon or on an active alluvial fan, presently or potentially subject to inundation by debris flows or catastrophic flooding. (ikx) Areas with a slope of 40 percent or steeper and with a vertical relief of 10 or more feet, except areas composed of bedrock. (ec) Seismic hazard areas (as defined in JGGJCC 18.10.190). Seismic areas are areas subject to damage as a result of earthquake induced ground shaking, slope failure, settlement, soil liquefaction, debris flows, lahars, and tsunamis (as defined JCC 18.10.200). (e) Seiehe and landslide generated wa-,,e hazard afeas (as defined in XG 18. 10. 190). (f) -r.,tmafni >,aza f,a afeas („s defined in XG 18. 10.200). hazards, > 18.22.520 Applicability Any development, land disturbingactivity ctivity or use within a geologically hazardous area or its associated buffer shall be subject to the provisions of this article, unless specially exempted in JCC 18.22.230. Regulated aetivities. sly (b) UtiliiEe best management pfaetiees (BN4Ps) and all known and available teehmelogy appfapr-iate for- eemplianee Stermwatef management standards; an shall net: (b) Cause o r landslide hazard risk; (d) Adver-sely impaet wetla-ads, fish and wildlife habitat eensefva4ien areas or their btl�rs; 0 limited te, sehools, hespitals, poliee stations, fife depaFtments and ethef emer-geney fespense f4eilifies, nursing homes, and hazardous m ater-i l storage , pr-aduetieft. [nr,l 5 20 § 2 (Appx. A)] 18.22.530 Protection standards. Geologically hazardous areas are areas that because of their susceptibility to erosion, sliding earthquake, or other geological events, are not suited to siting commercial, residential, or industrial development consistent with public health or safety concerns. (1) General standards for erosion hazard and all landslide hazard (slight, moderate and high) (aa) Clearing, Ggrading and Vv_egetation Rremoval. _(ai) Within land slide hazard areas only Mminor pruning of vegetation for view enhancement may be allowed through consultation with the aerertme�tDCD. The thinning of limbs on individual trees is preferred to topping of trees for view corridors. Total buffer thinning shall not exceed 25 percents .re than 30 percnn of the live tree crowns shall be removed. Appendix B - 24 (bii) Vegetation shall not be removed from a high or moderate landslide hazard area, except for hazardous trees based on review by a qualified arborist or as otherwise provided for in a vegetation management and restoration plan as determined by DCD. _(eiii) Development, land use activity, or use shall not be allowed in high or moderate landslide hazard areas or their associated buffers unless a geotechnical report or engineered stormwater plan (special report) demonstrates that building within a landslide hazard area will provide protection commensurate to being located outside the landslide hazard area and meets the requirements of this section. This may include proposed mitigation measures. iv Seasonal Restrictions. Clearing and grading shall be limited to the period between May 1st and October 1 st, unless the applicant provides an erosion and sedimentation control plan prepared by a professional engineer licensed in the state of Washington that specifically and realistically identifies methods of erosion control for wet weather conditions. _(dv_) Only the clearing necessary to install temporary erosion control measures will be allowed prior to clearing for roads and utilities construction. _(eyi) The faces of cut and fill slopes shall be protected to prevent erosion as required by the engineered erosion and sedimentation control plan. _(€vii) Clearing for roads and utilities shall be the minimum necessary and shall remain within marked construction limits. _(gviii) Clearing for overhead power lines shall be the minimum necessary for construction and will provide the required minimum clearances for the serving utility corridor. (2b) Existing Logging Roads. Where existing logging roads occur in geologically hazardous areas, a geological assessment may be required prior to use as a permanent access road under a conversion or C014P F rest p..aeti,.o.. applie +: conversion option harvest plan pursuant to JCC 18.20.160. (3�c) The depai-'men*DCD may also require: (ai) Clustering of development to increase protection to geologically hazardous areas; or _(bii) Enhancement of buffer vegetation to increase protection to geologically hazardous areas. (4d) The provisions in this section are in addition to those required in JGGJCC 18.30.060, Grading and excavation standards, and JC�JCC 18.30.070, Stormwater management standards. (de) If there is a conflict between applicable published standards, the more restrictive protection requirement applies. (6f) Drainage and Erosion Control. (ai) An applicant submitting a project application shall also submit, and have approved, a stormwater site plan that meets all the requirements of 7CrJCC 18.30.070(4)(e), when the project application involves either of the following: OA) The alteration of a high or moderately landslide hazard area _(i-iB) The creation of a new parcel within a high or moderately high geolo,.ieally h.,z -dat s landslide hazard area; and (bii) Shall discuss, evaluate, and recommend methods to minimize sedimentation of adjacent properties during and after construction. Appendix B - 25 (eiii) Surface drainage shall not be directed across the face of a marine bluff that is mapped as high or moderate erodible or susceptible to landslide or debris flow. The applicant must demonstrate that the stormwater discharge cannot be accommodated on site or upland by evidence presented in a geological assessment as required by JCCJCG 18.22.945, unless waived by the administrator. If drainage —rstshall be discharged from a bluff to adjacent waters, it shall be collected above the face of the bluff and directed to the water by tight line drain and provided with an energy dissipating device at the shoreline, above the ordinary high water mark (OHWM). (div) The applicant mustshall clearly demonstrate in the geological assessment that stormwater quantity, quality, and flow path post -construction will be comparable to pre -construction conditions. (v) Stormwater conveyance through a properly designed stormwater pipe when no other stormwater conveyance alternative is available. The pipe shall be located above ground and be properly anchored or designed so that it will continue to function in the event of a slope failure or movement of the underlying materials and will not increase the risk or consequences of static or seismic slope instability or result in increased risk of mass wastingak (7g) Vegetation #retention requirements within a geologically hazardous area and its associated buffer. Compliance with all of Tthe followings regarding vegetation retention is required shall apply: (ai) During clearing for roadways and utilities, all trees and understory vegetation lying outside of approved construction limits shall be retained to the maximum extent practicable; (bii) Clearing limits, as shown on the approved site plan, shall be marked by orange construction barrier fencing to be installed prior to beginning any clearing, grading, or other land -disturbing activities; (eiii) Vegetation within identified clearing limits may be removed upon permit issuance. All vegetation within the high or moderate geelea__a'_'_; landslide hazardous area or its critical area buffer, but outside the marked clearing limits, shall be retained. Cleared vegetation shall not be placed within a high or moderate geolegieaUylandslide hazardeiis area unless it is used as part of a mitigation plan consistent with other critical area mitigation provisions, is reviewed by the geotechnical professional, and is approved by the administrator; and _(div) Within a high risk CMZ, vegetation removal shall not be allowed. Vegetation removal outside of a high risk CMZ shall not be reviewed under this article. Should this provision conflict with other vegetation retention requirements specified elsewhere within this title, the more restrictive protection requirement applies. (92) &e4e*Landslide hazard buffers for high and moderate landslide hazardand Landslide 14az, .a Development Standafds. (a) Development aetivities or acti —Project permits or elearing shall not be allowed in landslide hazafd areas unless a geoteehaieal repei4 demonstfates theA building within a !andshde hazard area will pr-evide pr-oteefien eemmenstffate to being leeeAed etAside the !andslide hazard area and fneets the requirements of this (b)-Top of 8slope Bbuilding Ssetback. All development activities or actions that require project permits or clearing in erosion and landslide hazard areas shall provide native vegetation from the toe of the slope to 25 feet beyond the top of slope, with an additional minimum 15-foot building and impervious surface setback, unless otherwise allowed through a geologic assessment. The minimum building and setback shall be increased from the top of the slope as follows: (i) For high landslide hazard areas, the setback shall be equal to the height of the slope (1:1 horizontal to vertical) plus the greater of one-third of the vertical slope height or 25 feet. (ii) For moderate landslide hazard areas, the setback shall be 40 feet from the top of slope. Appendix B - 26 (bb) Building setback from toe of slope. The setback shall be equal to half the height of the slope (1:1 horizontal to vertical) plus 15 feet (per IBC 1808.7). (c) Larger native vegetation width may be required. DCD may require a larger native vegetation width than the standard buffer distance as determined above if any of the following are identified through the geological assessment process: (i The adjacent land is susceptible to severe erosion and erosion control measures will not effectively prevent adverse impacts; GO The area has a severe risk of slope failure or downslope stormwater drainage impacts; or (iii) The minimum native vegetation width or building setback requirement may be decreased if a geotechnical report demonstrates that a lesser distance, through design and engineering solutions, will adequately protect both the proposed development and the erosion or landslide hazard area. The department may decrease the setback when such a setback would result in a ,greater than 1:1 slope setback. (d) Reducing buffer widths. The administrator may reduce geologically hazardous area buffers as follows: (i) Buffers may be reduced with a geotechnical report prepared by a geotechnical professional with a state stamp;provided, the geotechnical report identifies recommendations for preventing or minimizing risks post -development. The geotechnical report should at a minimum include: the marking of the top or toe of the slope adjacent to the proposed development, land disturbingactivity, ctivity, or use; the setback of structures from the landslide hazard area; the limits to removal of natural vegetation; the location of septic system and other utilities; limits to the timing of land disturbingactivity ctivity and construction; and the location and method of stormwater management; unless waived by the administrator. (ii) The administrator may require a third -party review based on JCC 18.22.930 or the applicant enters into an indemnity and hold harmless agreement with the county that is approved by the coup , 's risk manager and the prosecutingay. If the administrator requires a third -party review of the geotechnical report, the administrator shall be responsible for identifying and transmitting the geotechnical report to the third -party reviewer. (e) Increasing buffer widths. Buffer widths may be increased on a case -by -case basis, as determined by the administrator, to protect the functions and values of a geologically hazardous area and to reduce risks to public safety and welfare. Information that may be used to support this determination, includes but is not limited to: (i) The landslide area is unstable and active; ii) The adjacent land is susceptible to severe landslide or erosion, and erosion control measures will not effectively protect the proposed project from the risks posed by the landslide hazard area; and (iii) The adjacent land has minimal vegetative cover. (f) With the exception of engineered tight -lines for stormwater, new utility lines are allowed within a moderate or high landslide hazard or its associated buffer through a critical area variance under JCC 18.22.250. Utility lines and pipes that are above ground, properly anchored or designed so that they will continue to function in the event of a slope failure or movement of the underlying materials and will not increase the risk or consequences of static or seismic slope instability or result in a risk of mass wasting. Such utility lines may be permitted only when the applicant demonstrates that no other feasible alternative is available to serve the affected population. This would include finding and recommendations in the geotechnical report that the proposed development will not impact the slope stability of the slope of the surrounding area. (g) New access roads are allowed within a moderate or high landslide hazard or its associated buffer through a variance. Access roads and trails that are engineered and built to standards that minimize the need for major repair or reconstruction beyond that which would be required in nonhazardous areas. Access roads and trails may be permitted only if the applicant demonstrates that no other feasible alternative exists, includingthrough hrough the provisions of chapter 8.24 RCW. If such access through critical areas is granted, exceptions or deviations Appendix B - 27 from technical standards for width or other dimensions and specific construction standards to minimize impacts including drainage and drainage maintenance plans, may be required. (h) Buffer marking. To ensure that buffers are not impacted by proposed adjacent development, land disturbing_ activity, or uses and to provide notice of the location of buffers, DCD may require any of the following_ (i) Showing the location of the critical area and buffer on all approved site plans adjacent to development or land disturbing activity; (ii) Adding permanent fencing, berms, barriers, or native vegetation plantings. This is intended to ensure that development or land disturbingactivity does not encroach upon buffers; (iii) Posting signsg the buffer edge adjacent to the development or land disturbingactivity ctivity for commercial, industrial development or uses, or for development or uses on public lands. This is intended to ensure that the public knows the location of the buffers; or (iv) Record a notice to title on the property with the Jefferson County Auditor prior to approval of the application, if the landslide hazard areas are not identified in the development application or on the County's GIS mapping system. This is intended to disclose to future buyers the existence of critical areas and their associated buffers. Appendix B - 28 (13) inefeasing Buffef Widths. Buff�f widths may be inefeased en a ease by ease basis, as detefmined by the safety and welfafe. infer-mation that fnay be tised te suppeft this detefminatien, ineludes Nit is not limited r-e"ires a third party review of the geoteehaieal report, the admiaistfeAer shall be respeasible for- identifying and (a) The landslide area is unstable and active— (b) The adjaeent land is suseeptible to sevefe landslide er- efesien, and efesien eentfel meastifes will not effeetively r„teet the r oa p eet f em the risks posed by the l.,r„lslide hazard .. (e) The .,.1;.,cen4 l.,r..l has fninitnal vegetative e hazard areas when all reasonable fneastifes ha-ve been taken to minimize Fisks and other adver-se eMets asseeiated with landslide hazards, and when the amettnt and degree of the alter-atian are lifnited te the minifflum needed to (a) The standards of subseetion (1) of this seetion shall appl�- (b) Develeptnents that will not iner-ease the threat to the health or- sa", of peeple and will not iner-ease petential fer (e) U444-y lines and pipes tha4 are above gr-ettnd, properly anehar-ed of designed so gia� they will eentintle to 4metien eensequenees of sta4ie or- seismie slope instabilit-y of resttit in a risk of mass wasting. Stteh utilitt, lines May be pefmitted only when the appheant defnenstfa4es that no ethef feasible altefna4ive is available to serwe the affeeted only if the applieafA demonstrates tha ne other feasible altefnative eiiists, ineluding through the provisions ef (e) Stem+watef eenveyanee thFetigh a pr-apedy designed stem+water- pipe when no other- stami-watef eanveyanee altemative is available. The pipe shall be leeated abeve ground and be pr-eper-ly aneher-ed or- designed se that it will eef4ifpde te fimetion in the event ef a slope failure er- movement of the under -lying fna4erials and will not inerease the -- risk or eensequeffees of static er- seisfnie slope instabilit-y er- r-estilt in iner-eased risk of fnass wasting activity. (47 3) Seismic and tsunami 14hazard Aareas protection —Sstandards. Development may be allewed i seis ie h r l afeas when all E)f the following apply: (a) Seismic hazard areas protection standards. _(ai) The placement of buildings or structures meet the requirements of title 15 JCCstan la fds of subteen ,n (bii) Critical facility necessary to protect public health, safety and welfare shall be allowed only when there are no feasible alternative locations, and geotechnical analysis and design are provided that minimize potential damage to these facilities from earthquakes. This includes, but not limited to, schools, hospitals, police stations, fire departments and other emergency response facilities, nursing homes, and hazardous material storage or production Appendix B - 29 (siii) Public roads, bridges, and utilities, and ils shall be allowed when there are no feasible alternative locations, and geotechnical analysis and design are provided that minimize potential damage to roadway, bridge, and utility structures, ara�will not be susceptible to damage from seismically induced ground deformation. Mitigation measures shall be designed in accordance with the most recent version of the American Association of State Highway and Transportation Officials (AASHTO) Manual or another appropriate document. �b(4-6) Tsunami Flhazard Aareas protection —Sstandards. (ai) Public roads, bridges, utilities, and public facilities shall be allowed when there are no feasible alternative locations, and geotechnical analysis and design are provided that minimize potential damage to roadway, bridge, and utility structures, and public facilities will not be susceptible to damage from inundation.The stanaafds of subsee fi n () e f this seet ,...shall apply. (bii) For development within tsunami hazard areas the proposed development shall be designed to provide protection from the tsunami hazard that meets the projected hazard on the Washington State Department of Natural Resources Tsunami Inundation Maps. (siii) For other low-lying coastal areas not included on the inundation maps, development shall be designed to provide protection for debris impact and an inundation as determined by current Washington State Department of Natural Resource modeling, unless other measures can be shown to provide equal or greater protection. [Ord. c 20 § 2 (Appx. A)] Appendix B - 30 ,� .. . NO F&I'MI TA jj� .0i M..' " , , MW M, NO ... .. �_ .. Appendix B - 31 hazards, hazards, high the the ha�ar-detts efesion seismie area ,.lesest to the p Stakes be installed a -ad risk channel migmAien sod ae fi ity shall be staked on site te zenes, identify exten4 of the geelegieally hazar-datis (b) shall pfevided, the distanee between Staked lintits the and mar-ked as neeessafy eleafly o eh of the stakes shall not hazar-detts o ed 50 F geelegieally o. based the ttTe afeas pfesent; folio (e) of geologically Stakes f6r building afea shall r-emain in on site on final building of appheation, as fef (i) of Staking for- septie appheations shall femain develepment, plaee un4il a eeftifieate binding of eeetipaney a (ii) a subdivision, in final a planned mral residential is issued. if-, the time a site plan, bttildiffg, or a rezone shall remain land plaee tinfil a county appfoval at of subsequent septie, of other use Staking for- land in the department (iii) any other- development appheation fequiring use review has to the shall Femain plaee urAil te batindar-ies of eomm-unity tiyitie , as shownn a The leea4ian made a site visit review submitted site plan-. the hazafdatis staking relative pr-eper-ty be and pr-epesed (d) staked of .1: a4i r if than on site gealegieally hazar-dojg afeas shall the shown an a site plan s4mit4ed with an hazardatis (e) more one gealegieally ..t, only mest Festr-ietive geologieally area Bold as folio s: Geelogieally hazardous buffer-s be (a) Geelegieally hazardetts areas and shall shown bt4ar-s be on a site plan to submitted with beginning an applieati (b) land distur-bing afea shall sWEed on site The this priar- any eleafing, if development grading, E)r- other - aetivities. The ad+niaist+ator may waive be the bttffer- r-eqtiir-ement if the all aetivities is are Emtside ef— (e) administrator- may Fequir-e signs posted at edge pr-oposed aetivit-y eammer-eial or - Article VI. Fish and Wildlife Habitat Conservation Areas (FWHCAs) 18.22.600 Purpose. The purposes of this article are to: (1) Protect, restore, and maintain native fish and wildlife populations by protecting and conserving fish and wildlife habitat and protecting the ecological processes, functions and values, and biodiversity that sustain these resources. (2) Protect valuable aquatic and terrestrial habitats, including lakes, ponds, rivers, and streams and their associated riparian areas, corridors for Washington State Department of Fish and Wildlife (WDFW) Priority Species, state or federally listed species and the ecosystem processes on which these areas depend. (3) Regulate development so that isolated populations of species are not created and habitat degradation and fragmentation are minimized. (4) Maintain the natural geographic distribution, connectivity, and quality of fish and wildlife habitat and ensure no net loss of such important habitats, including net losses through cumulative impacts. Appendix B - 32 18.22.610 Classification/ and designation. Fist, and wildlife habita, eefi,o.. ,a4ien areas-(FWHCAs) are areas that serve a critical role in sustaining needed habitats and species for the functional integrity of the ecosystem, and which, if altered, may reduce the likelihood that the species will persist over the long term. FWHCAs may include, but not limited to, 4es Fear �o,t being of er-itieal impeftanee to the maintenanee of endangered, thfeaened, of sensitive speeies of fish, wildlife of plants of designated >,abita4s and speeies of leeal impeftanee. rare or vulnerable ecological systems, communities, habitat or habitat elements including seasonal ranges, breeding habitat, winter range, and movement corridors; and, areas with high relative population density or species richness. FWHCAs does not include such artificial features or structures as irrigation delivery systems, irrigation infrastructure, irrigation canals, or drainage ditches that lie within the boundaries of. and are maintained bv. a Dort district. a drainage district. or an irrigation district or comDanv. (1) The following are designated as f4sh aaa wild! >,abita, .��FWHCAs: (a) Areas where federally listed species (endangered and threatened) and state -listed species (endangered, threatened, and sensitive species) have a primary association._ (b) Areas where federally listed species (endangered and threatened) and candidate species as listed on WDFW Priority Habitats and Species (PHS) program have a primary association and the administrator determines they should be designed as FWHCAs; (hc) Rivers and streams not otherwise addressed under Washington State Forest Practices regulations (Echapter 76.09 RCW and V G-Ttitle 222 WAC)-; (de) Commercial and recreational shellfish areas..-; (ed) Kelp and eelgrass beds..-; (fe) Surf smelt, Pacific herring, and Pacific sand lance, and other forage fish spawning areas..-; (gf) Naturally occurring ponds less than 20 acres, including submerged aquatic beds that provide fish and wildlife habitat..., (hg) Lakes, ponds, streams, and rivers planted with game fish by a governmental or tribal entity.-; (1}i) State natural area preserves, natural resource conservation areas, and state wildlife areas; and.- (li) Species and habitats of local importance designated pursuant to the process delineated in Article IX (Special Reports) of this chapter. (2) Designated fis>, and wildlife >,abitm ,.ense,..,.,tie afe FWHCAs and their associated buffers that are within shoreline jurisdiction are regulated under the shoreline master program in Echapter 18.25 JCC, and in circumstances where this chapter conflicts with the shoreline master program, the provisions of the shoreline master program shall prevail. rn .a 5 20 § 2 (Appx. n n (3) Sources for identification. The following sources should be used to identify potential FWHCA locations. These maps are informational only and site evaluations by a qualified professional or wildlife biologist shall be used to determine compliance with this article. Sources include, but are not limited to: (a) Jefferson County Critical Areas mapping_; (b) Washington State Department of Natural Resources (DNR) interim Forest Practice Water Typing in WAC 222-16-030; (c) Washington State Department of Ecology's Washington State Hydrography Dataset Program (WASHM (d) Washington State Department of Fish and Wildlife, Priority Habitats and Species maps and lists; (e) Washington State Department of Fish and Wildlife, forage fish spawning maps; Appendix B - 33 (f) Washington State Department of Ecology, Coastal Atlas online mapping; (g) United States Department of the Interior, Fish and Wildlife Service, Information for Planning and Consultation; lei) United States Department of Commerce, National Oceanic and Atmospheric Administration, National Marine Fisheries Service Species and Habitat App; and, (i) Northwest Indian Fisheries Commission, Statewide Washington Integrated Fish Distribution map. 18.22.620 Regulated aetivitiesApplicability. (aAnyland development, land disturbingaty or use in a FWHCA or its associated buffer ibjeet to ^ development permit or- approval requirements of this eerie shall be subject to the provisions of this article. , in , unless ^oesneciallX exempted under 3C—GJCC 18.22.230. -1 111111111 1 1 1 111 1 1011 1- Rva - FA • - 111 . III WIN IM r i Appendix B - 34 , MO. 111101. I: MWYMMM Mr. I_ Nmww ff • ...... iijijji� l =--.- ."111111 I• Mll 11 IN !. 18.22.630 Protection standards. (1) General. An application for development, land disturbingativity or use a prejeet on a parcel of real property containing a designated FWHCA or its associated buffer shall adhere to all of the requirements set forth belowi s- seefie . (2) Types of special reports for FWHCA. When a development, land disturbingactivity or use is proposed on lands which may contain a FWHCA or its associated buffer, an on -site habitat evaluation may be required to determine if a FWHCA or its associated buffers occur in the project area. When required by this section, an applicant shall submit a report documenting the results of an on -site habitat evaluation conducted by a qualified professional or wildlife biologist pursuant to the special report requirements found in Article IX (Special Reports) of this chapter for review and approval by DCD. Based on the results of the on -site evaluation, a special report shall be prepared by qualified professional or wildlife biologist and shall be one of the following; Appendix B - 35 (a) Habitat reconnaissance letter. This type of report shall be used if the field evaluation determines that no regulated FWHCA or buffer is present in the proposed project area, which includes those areas that may be temporarily or permanently affected by construction -related activities or would be within the limits of clearing for construction. Habitat reconnaissance letters shall be prepared by a qualified professional or wildlife biologist based on reauirements presented in Article IX (Special Reports) of this chanter: (b) Habitat management plan. This type of report shall be used if the field evaluation determines that any portion of the development occurs within a regulated FWHCA or buffer, which includes those areas that may be temporarily or permanently affected by construction -related activities or would be within the limits of clearing for construction. Habitat management plans shall be prepared by a wildlife biologist based on report requirements in Article IX (Special Reports) of this chapter; (c) Enhancement Plan. An enhancement plan of degraded FWHCA or its associated buffer may be prepared by a qualified professional, agency with jurisdiction, or wildlife biologist. The plan shall be reviewed and approved by DCD; (d) Dive survey. If the proposed use, development, or activity occurs in marine water, a dive survey shall be required to determine if any FWHCA is present in the project area and if any FWHCA has the potential to be affected by the proposal. The results of the survey shall be described in a special report and supported by photos taken underwater; or (e) Use of best available information. If the potential FWHCA is located off of the property involved and is inaccessible, the best available information shall be used to determine the FWHCA boundary and any buffer.Drainage and Erosion Control. in addition to complying with the stom+water requirements of Chapter 19.30 jGG, the applieaM midst elear-ly show that stafmwa4er qtta-atit�,, "a4y, a -ad Pow pa4h post eonstftletion will be (3) Grading. An applieant submitting a pr-ejeet applieation shall also submit, and have approved, a grading plan, as specified i Chapter 18.30 TG!-' (Q) Vegetation #retention required within a FWHCA or its buffer. Compliance with all of Tthe following- pr-evisions regarding vegetation retention is required: (a) Vegetation within a FHWCAs or its associated buffers shall be retained to the extent practicable. Unless exempt under this chapter, vegetation removal or alteration of a FWHCA or an associated buffer shall be approved by DCD o ,,: o ,,,1 ^ ^, b! the,10,.aAmen. Pr (b) Altering the habitat conditions (existing functions and values) of a FWHCAs or its associated buffers without prior approval by the depaftmentDCD is prohibited. (c) During maintenance clearing of rights -of -way and easements for established roadways and existing utilities, all trees (except for hazard trees) and understory vegetation within a FWHCA or its associated buffer lying outside of road rights -of -way and utility easements shall be retained. Retained vegetation may be pruned to the right-of-way or easement limits. t4i4y easements shall be retained (&Eeept for- hazafd t+ees) dur-ing maintefianee eleafing of rights e� way fer (d) Damage to a FWHCAs and its associated buffer from land disturbing activi initial ^lean g activities shall be minimized by installing temporary construction fencing before grading near the buffers, and theair^ ;-_felling of trees away from these areas*^ avoid oritieal afeas and getatie to be r-etaine . (54) Buffer marking. To ensure that buffers are not impacted by proposed adjacent development, land disturbing_ activity or use and to provide notice of the location of buffers, DCD may require any of the following_ Appendix B - 36 (a) Showing the location of the critical area and buffer on all approved site plans adjacent to development or land disturbing activity; (b) Adding permanent fencing, berms, barriers, or native vegetation plantings. This is intended to ensure that development or land disturbing activity does not encroach upon buffers; (c) Posting signs along the buffer edge adjacent to the development or land disturbingay for commercial, industrial development or uses, or for development or uses on public lands. This is intended to ensure that the public knows the location of the buffers. ( Record a notice to title on the property with the Jefferson County Auditor prior to approval of the application, if the FWHCA is not identified in the development application or on the County's GIS mapping system. This is intended to disclose to future buyers the existence of critical areas and their potential associated buffers. aBuffers Sta-na,.,.a Requirements. The administrator shall have the authority to require buffers from the edges of all FWHCAs in accordance with the fellewingLhis chapter based on all of the following requirements: (a) GeneralBtiF fs Goner l4y (i) Buffers shall be established for activities adjacent to FWHCAs as necessary to protect the integrity, functions, and values of the resource, consistent with the requirements in Tables 18.22.630(1) and JCC 18.22.630(2) of this section. (ii) A building setback line of five feet is required from the edge of any buffer area; however, nonstructural improvements such as septic drain fields may be located within setback areas ^ram. (ii,ii) Buffers shall be retained in their natural condition; however, minor pruning of vegetation as outlined in JCC 18.22.230(3)(g)) to enhance views or provide access may be permitted as long as the function and character of the buffer are not diminished. (iv) Lighting shall be directed away from the FWHCA. (b) Standard buffers for FWHCAsBii�r-s. (i) The standard buffer widths required by this article are considered to be the minimum required to protect the FWHCA functions and values at the time of the proposed development, land disturbing activity_ or use. When a buffer lacks adequate vegetation to protect critical area functions, the administrator may require additional documentation before allowing a proposal for buffer reduction or buffer averaging. (ii) The standard buffer shall be measured landward horizontally en beth sides e f the stfe,,,,, from the ordinary high water mark (OHWM). Channel migration zone (CMZ), or from the outer edge of the FWHCA as identified in the field. wetla-ad(s), !a-adslide hazard afeas of erosion hazafd areas and r-e"ired bti�r-s bu4 shall not be &Aend aer-ess paved r-eads E)f ethef lawfully established s4uetffes of hardened stiffaees. The following standard buffer width requirements are established for streams; provided, portions of streams that flow underground may be exempt from these buffer standards at the administrator's discretion when it can be demonstrated that no adverse effects on aquatic species will occur. Appendix B - 37 Table 18.22.630(1): Stream Buffers* Buffer Stream Type RequirementWidth feet Type "S" — Shoreline Streams 44�Reguulated by JCC 18.25 (Shoreline Master Program Type "F" — Fish BearingHabitat Streams: Urban Growth Areas: 150 €get LAMIRDs: 150 Other (Rural) Areas: 200 Type "Np"— Non -Fish gearingHabitat :75 fee, 100 Perennial Streams Type "Ns" — Non -Fish BearingHabitat 75 feet100 Seasonal Streams greater than or e "al 24 Type "Ns" Neft Fish Bearing Seasenel� etfe,... s less than 200 ,.....de 50 feet *Note: (a) The buffers above shall apply to culverted streams. (b) The buffers above shall not apply to lawfully established piped streams. The burden of proof is on the applicant to show that the pipe was lawfully established; failure to demonstrate compliance with this requirement shall result in buffers being required. (c) Stream type shall be determined using the criteria in *AkGWAC 222-16-030, or as amend Moutlined in JCC 18.22.620(3). d SMP standard buffers are found in JCC 18.25.270 4 e . (iii) Buffers for 9thernon-stream FWHCAs. The administrator shall determine appropriate buffer widths for edwmon-stream FWHCAs based on the best available information. Buffer widths for non-stream- FWHCAs h-Ah- 4n4 , 4flse =vn ien areas- shall be as follows in Table 18.22.630(2): Table 18.22.630(2): BRequired buffers for Athernon-stream FWHCAs FWHCA Type Buffer RequirementWidth (feet)' Areas where federally listed (endangered and threatened) species or state -listed (endangered, threatened, and sensitive) species have a primary association P,.UP rs hall No 150 Pet. level . fa Gte«,. and site speeif4 provided, shall lip, *,.UP" int and t",, hu ffi «.-,;,,th ,..,g,.d ,.., thp, hest . ailahle ;nPsoneeMing the . es/ha it..t(s) in « endation., efa e « the e question and ali4ied professional with appropriatee 150 from edge of FWHCA Commercial and Recreational Shellfish Areas er4 o4hp, .....«:ne ..l.e«e.150 Native Kelp and Native Eelgrass Beds (No buffer for non-native kelp and non-native eelgrass beds) Buffers to kelp eel,...ass apply areas where native and e hu ffi« F «nenn,.tie kelp and eelgrass led 25 from each patch Surf Smelt, Pacific Herring, and Pacific Sand Lance Spawning Areas u,.rP..s extend 150 Pet landward from e«dinafy high shall water n,.._l_ of the ...a fine shw-e. 150 Non -Shoreline Natural Ponds and Lakes (Under 20 Acres)' (along— .,.. ., a beds fish habitat) Ponds 20 ..e«e.. blI ff «....r...11 e.,tend 50 Pet r e.n a,e under ordinary high water afk y ,.lie 2 d l F end— 4 00 c fre buffers merged with my servings or wildlife Lakes and ponds that have a direct surface connection to a fish- ha itat stream segment sz9-;gyres-anger shall get-�rthe dinary high te« .... „fayided .. he«e , a w afk; wetlands a fe sseeiated Appendix B - 38 FWHCA Type Buffer RequiremeMEidth (feet)' Lakes and ponds that have a direct surface connection to a non- ml,ith the she«el:ne the wetland buffer «equifinents shall . lgR fish -habitat stream segment Other lakes and ponds app45-200 100 50 Shoreline Natural Ponds and Lakes (20 Acres and Larger) (along_ Regulated by JCC 18.25 (Shoreline Master Program) with any submerged aquatic beds serving as fish or wildlife habitat) Natural Area Preserves Natural Resource Conservation Areas3 Buffer-,,; A ll net he to the..e ..«e... The..e ,.«e,... required adjaee..t F .. the land .....ed to are eneempass required s peeies preservtieff-.Not applicable !'_oyemment..l Rr Tribal 4 ..en..., (lake.., Game Pis]; Planted by P..n d....nde« 7!1 ., h.. fF «s- e end 50 f et F OM the a ponds,and rivers) ' shall .. .. ardinary high «L Lakes 20 l£ifg'B« 1�. CC «�ihall 100 feet from the arres-ai?dextend «d:nafy high .,«l..provided, iyhe«e water wetl..nds are assesiated with the the n.edand buffe« «equifemen4s she«elin,. shall also apply. Streamsand fivefs see Table 1822.630(). Designated Habitats of Local Importance4 The need C «..nd d-imensions o h..ff rs C «..the« loyally impoAant speeies r habitats shall he dete,....:ned , eCase-by-case basis. Footnote 1: Measured landward of OHWM unless specified. Footnote 2: Includes any submerged aquatic beds serving as fish or wildlife habitat. Footnote 3: Buffers shall not be required adjacent to these areas. These areas are assumed to encompass the land required for species preservation. Footnote 4: The need for and dimensions of buffers for other locally importance species or habitats shall be determined on a case -by -case basis. (6) When buffer averaging may be allowed. (a) The administrator shall have the authority to average buffer widths adjacent to a FWHCA area up to 25 percent when all of the following criteria are met: (i) The specific standards for mitigation sequencing in JCC 18.22.640 have been applied during the siting_ and design of the proposed project. To the extent practicable, that may include consideration all of the following avoidance and minimization measures: (A) Trees and other existing native vegetation are avoided, and development, land disturbing activities, and uses are placed on existingroad oad grades, utility corridors, or other developed lands if present; or (B)The buffer is increased adjacent to the higher -functioning area or more -sensitive portion of the buffer or FWHCA and decreased adjacent to the lower functioning or less -sensitive portion; and (ii) Lower intensity land uses are located in the reduced buffer area if feasible; iii) The development is designed to separate and screen impacts such as noise. Blare. and vegetation trampling of adjacent land uses from the critical area. The site design shall consider the varying degrees of impacts of different land uses. For example, parking lots, store entrances, and roads generally have him noise and glare impacts than the rear of the store. Site screening should take advantage of natural topography or existing vegetation, wherever possible. Where natural screening is not available, berms, landscaping, and structural screens should be implemented (e.g., orient buildings to screen parking lots and store entrances from critical area). Landscaping shall be consistent with JCC 18.30.130; Appendix B - 39 (iv) The total area contained in the buffer after averaging is no less than that which would be contained within the standard buffer area and all increases in buffer dimension are parallel to the FWHCA; (v) The buffer averaging does not reduce the functions or values of the FWHCA or riparian habitat, or the buffer averaging, in conjunction with vegetation enhancement, increases the habitat function; (vi) The buffer averaging is necessary due to site constraints caused by existing physical characteristics such as slope, soils, vegetation, or permitted development that is as subject to a legal non -conforming use; (vii) The slopes adjacent to the FWHCA within the buffer area are stable; (viii) Buffer averaging of reduced buffers shall not be allowed; and (ix) The modified buffer shall meet the well vegetated buffer standard, which is comprised of at least 40 percent aerial cover of native trees and shrubs in its existing or proposed enhanced condition at maturity. This shall also include the removal of invasive non-native plants (e.g., Himalayan blackberry, English ivy - Scotch broom, etc.) or noxious weeds and replacement with native vegetation. An enhancement plan or habitat managementplan shall be required to achieve this standard, which shall include a 5-year monitoring plan to ensure that standards are met. (b) The administrator shall have the authoritv to averaee buffer widths adiacent to a FWHCA area uD to 50 ercent when all of the following requirements are met: (i) A habitat management plan shall be submitted; (ii) The modified buffer shall meet the definition of a fully vegetated buffer, which shall contain at least 80 percent aerial cover of native trees and shrubs in its existing or proposed enhanced condition at maturity. This shall also include the removal of invasive non-native plants (e.g., Himalayan blackberry, English ivy, Scotch broom etc) or noxious weeds and replacement with native vegetation. An enhancement plan or habitat management plan shall be required to achieve this standard, which shall include a 5-year monitoring plan to ensure that standards are met; (iii) Allows for the natural movement of a stream within its floodplain or channel migration zone; (iv) Separates development from potential flooding impacts taking climate resilience measures into consideration; (v) Limits visual, auditory, and direct intrusion between critical areas and developed environments; (vi) The buffer averaging does not reduce the functions or values of the FWHCA or riparian habitat and protects important wildlife habitat components for species dependent on or associated with wetland, marine, and riverine environments; (vii) Protects wildlife movement corridors; and (viii) Does not significantly impact erosion and landslide hazard areas adjacent to the critical area. (7) When buffer reduction may be allowed. The administrator has the authority to reduce standard buffer widths outlined in Table 18.22.6300) and Table 18.22.630(2) at the location of a proposed development on a case -by -case basis up to 25 percent. The decision to reduce standard buffer widths of uD to 25 Dercent shall be Drocessed as a Tvne I land use decision under JCC 18.40.040. Table 18.22.630(3): Reduced Buffers for FWHCAs Appendix B - 40 FWHCA Tyne Reduced Buffer Width (feet)' Type "F" — Fish Habitat Streams Other (Rural) County Areas: 150 Type "Np"— Non -Fish Habitat Perennial Streams Type "Ns" — Non -Fish Habitat Seasonal Streams 75 Non -Shoreline Natural Ponds and Lakes (Under 20 Acres) 150 75 Lakes and ponds that have a direct surface connection to a fish - habitat stream segment: Lakes and ponds that have only a direct surface connection to a non - fish -habitat stream segment: Footnote 1: Measured landward from the OHWM. Applicants for a reduced buffer shall demonstrate in an enhancement plan or a habitat management ment plan to the satisfaction of the administrator that all of the following criteria are met: (a) Buffer averaging is not feasible; (b) The specific standards for mitigation sequencing in JCC 18.22.640 have been applied during the siting and design of the proposed development, which may include consideration of all or the following avoidance and minimization measures: (i) Trees and other existing native vegetation are avoided, and alterations are placed on existingroad oad grades, utility corridors, or other developed lands if present, ii) The buffer is reduced adjacent to the lower functioning or less -sensitive portion of the buffer or FWHCA; iii) Lower intensitv land uses are located in the reduced buffer area if feasible: (iv) The development is designed to separate and screen impacts such as noise, glare, vegetation trampling, etc. of adjacent land uses from the critical area. The site design shall consider the vWing degrees of impacts of different land uses. For example, parking lots, store entrances, and roads generally have higher noise and glare impacts than the rear of the store. Site screening should take advantage of natural topography or existing vegetation, wherever possible. Where natural screening is not available, berms, landscaping, and structural screens should be implemented (e.g.. orient buildings to screen parking lots and store entrances from critical area). Landscaping shall be consistent with JCC 18.30.130; (c) The buffer reduction shall not adversely affect the habitat functions and values of the adjacent FWHCA or other critical area; (d) The buffer shall not be reduced to less than 75 percent of the standard buffer; (e) The slopes adjacent to the FWHCA within the buffer area are stable; The reduced buffer shall be fullv vegetated. A fullv vegetated buffer is one that contains or will mature into a dense, multi -storied, diverse native vegetation community that provides riparian functions adequate to protect the adjacent waterbody. A fully vegetated buffer contains at least 80 percent aerial cover of trees and shrubs in its existing or proposed enhanced condition at maturity. This shall also include the removal of invasive non-native plants (e.a. Himalayan blackberry, English ivy, Scotch broom, etc.) or noxious weeds and replacement with native vegetation. Based on the condition of the buffer the administrator may require an enhancement plan or habitat Appendix B - 41 management plan to achieve the fully vegetated standard in its existing or proposed enhanced condition at maturity. These plans shall include a 5-year monitoring plan to ensure that standards are met; and (g) For overwater development or uses, a reduction of the buffers shall be based on the review of reports, established criteria or through consultation with federal and state agencies. (8) Buffer reduction process and criteria. Table 18.22.630(4): Buffer Averaging, Reduction, Permit Process and Criteria Buffer Averaging Permit Process Up to 25% Type I per JCC 18.22.630(6)(a) Up to 50% Type IJ per JCC 18.22.630(6)(b) Variances' Buffer Reduction Permit Process Up to 25% Administrative Type I Variance per JCC 18.22.630(7) Over 25% to 75% Type III Critical Area Variance per JCC 18.22.250 Over 75% Type III Reasonable Use Exception per JCC 18.22.260 Footnote 1: A Critical area stewardship plan (CASP,) meeting the provisions of JCC 18.22.965 may be utilized instead of critical area variances or Reasonable Use Exception. Footnote 2: Buffer reduction not allowed if buffer averaging is feasible. (9) Increasing buffer widths. Buffer widths may be increased on a case -by -case basis, as determined by the administrator, to protect the functions and values of a FWHCA. Supporting documents that may be used to support this determination include but are not limited to: (a) The FWHCA is used by, or has habitat features that could be used by, state or federally listed threatened or endangered species; (b) The FWHCA serves as nestin or r foraging habitat for raptors or great blue herons; (c) The area adjacent to the FWHCA is susceptible to erosion or landslide; or (d) The area adjacent to the FWHCA has minimal deep rooting, native vegetation or the slopes are greater than 30 percent. (10) Voluntary restoration. FWHCAs and their associated buffers that have been previously altered such that the functions, values, and natural processes have been diminished are encouraged to be restored to conditions that existed historically or prior to the alteration. Voluntary restoration requires the submission of an enhancement plan or habitat management plan to DCD for review and approval prior to issuance of a County permit to restore a FWHCA or its associated buffer. DCD shall provide information or technical expertise, where possible, in facilitating restoration of a FWHCA or its associated buffer to previously existing conditions. This could include, but is not limited to, referring interested property owners to restoration information, efforts, and funds. (11) Stream crossings. Stream crossing may be permitted within a FWHCA or its associated buffer only when no practicable or reasonable alternative location is available. Any private or public road expansion or construction Appendix B - 42 which is proposed and shall cross streams classified within this article shall comply with all of the following minimum development standards: (a) There are no practicable or reasonable alternative location is available; (b) A habitat managementplan and site plan shall be submitted that show the impacts to the FWHCA and its buffer are minimized, that any disturbed areas shall be immediately restored, and that restoration shall be through the establishment of native vegetation; (c) The design of stream crossings shall meet the requirements of the Washington State Department of Fish and Wildlife Water Crossing Design Guidelines, as amended. Fish passage shall be restored if necessary to address manmade obstructions on site. Other alternatives may be allowed upon a showing that, for the site under review, the alternatives would be less disruptive to the habitat or that the necessary building foundations were not feasible; (d) Crossings shall not occur in salmonid spawning areas unless no other reasonable crossing site exists; (e) Bridge piers or abutments may be allowed either within the floodway or between the ordinary high-water marks, provided no other reasonable alternative placement exists; (fl Crossings shall serve multiple properties whenever possible; and, (g) Where there is no reasonable alternative to providing a culvert, the culvert shall be the minimum size (diameter) and length necessary to accommodate the permitted activity. (12) Utilities. Utilities including sewer lines, on -site sewage systems and stormwater facilities (serving one parcel, development or legal lot of record) y be permitted in critical area buffers only when no practicable or reasonable alternative location is available. Placement of utilities within FWHCA may be allowed pursuant to all of the following requirements: (a) A habitat management plan or enhancement plan and site plan shall be submitted that show the impacts to the FWHCA and its buffer are minimized, that any disturbed areas shall be immediately restored, and the restoration of the site through the establishment of native vegetation; (b) Construction of utilities may be permitted in FWHCAs when no practicable or reasonable alternative location is available and the utility corridor does not cause or increase habitat fragmentation for state or federally listed species and meets the requirements for installation, replacement of vegetation and maintenance outlined below. Utilities are encouraged to follow existing or permitted roads where possible; (c) Construction of sewer lines or on -site sewage systems may be permitted in FWHCA buffers when it can be demonstrated that it is necessary to meet state or local health code requirements, that there are no other practicable alternatives available, and construction meets the requirements of this article. Joint use of the sewer utility corridor by other utilities may be allowed; (d) New utility corridors shall not be allowed in FWHCAs with known locations of federal- or state -listed endangered, threatened, or sensitive species, except in those circumstances where an approved habitat management plan is in place; (ee,) Utility corridor. In addition to meeting the utilities standards above, new utility corridors (serving more than one property) proposed within a FWHCA or its associated buffer shall require a Type III Variance under JCC 18.22.250. The construction of new utility corridors shall protect the FWHCA and its associated buffer as follows: (i) New utility corridors shall be aligned when possible, to avoid cutting trees greater than 12 inches in diameter at breast height (four and one-half feet) measured on the uphill side; and, Appendix B - 43 (ii) New utility corridors shall be revegetated with appropriate native vegetation at not less than preconstruction vegetation densities or greater, immediately upon completion of construction or as soon thereafter as possible due to seasonal growing constraints. The utility shall ensure that such vegetation survives for a three -,period; and, (f) Utility towers should be painted with brush, pad or roller and should not be sandblasted or spray -painted, nor shall lead -based paints be used; and, (a) Utilities should follow best management practices for avian protection. (13) Bank stabilization. Bank stabilization within designated FWHCA may be allowed pursuant to all of the following criteria: (a) No practicable or reasonable alternative location is available; (b) A habitat management plan and site plan shall be submitted that show the impacts to the FWHCA and its buffer are minimized, that any disturbed areas shall be immediately restored, and that restoration shall be through the establishment of native vegetation; (c) A stream channel and bank, bluff, and shoreline may be stabilized when naturally occurring earth movement threatens existing legal structures, public improvements, unique natural resources, public health, safe , or welfare, or the only feasible access to property, and, in the case of streams, when such stabilization results in maintenance of fish habitat or improved water quality, as demonstrated through a habitat management plan or equivalent study or assessment; and, (d) Bluff, bank and shoreline stabilization shall follow the standards of the geologically hazardous areas provision in this chapter, and chapter 15.15 JCC (Flood Damage Prevention). Bluff, bank and shoreline stabilization within shoreline jurisdiction shall follow the standards of chapter 18.25 JCC (Shoreline Master Program). (14) Road and street expansion. The expansion of legally established private or public road may be allowed in a FWHCA or its associated buffer; provided it complies with all of following minimum criteria: (a) No other reasonable or practicable alternative exists and the proposed road or street serves multiple properties whenever possible; (b) A habitat management plan or enhancement plan shall be submitted with a site plan addressingthe he impacts to the FWHCA and its associated buffer are minimized, that any disturbed areas shall be immediately_ restored, and that restoration shall be through the establishment of native vegetation; (c) Public and private roads are encouraged to provide for other purposes, such as utility crossings, pedestrian or bicycle easements, viewing, points, etc.; and ( The road or street construction is the minimum necessary, as required by the department of public works' guidelines, where minimum necessaa provisions may include projected level of service requirements. (15,) New public or private roads. In addition to meeting, t�quirements for road and street expansion above, the establishment of a new public or private road is subject to the requirement of a variance under JCC 18.22.250. (16) Outdoor recreation, Education, and Trails Construction. Improvements that do not significantly affect the function of the FWHCA or its associated buffer (including viewing structures, outdoor scientific or interpretive facilities, trails, hunting blinds, etc.) are permitted in a FWHCA and its associated buffer provided they comply all of the following minimum criteria: (a) A habitat management plan or enhancement plan shall be submitted with a site plan addressing the impacts to the FWHCA and its buffer are minimized, that any disturbed areas shall be immediately restored, and that restoration shall be with through the establishment of native vegetation; Appendix B - 44 (b) Trails and other facilities shall, to the extent feasible, shall be placed on existingroad oad grades, utility - corridors, or other previously disturbed areas; (c) Trails and other facilities shall be planned to minimize removal of trees, shrubs, snags, and important wildlife habitat; (d) Viewing platforms, interpretive centers, benches, and access to them, shall be designed and located to minimize impacts to wildlife, fish, or their habitat; (e) Private trails, serving one parcel or legal lot of record, may be permitted within the buffer provided that they do not exceed three feet in width and are designed to minimize the impact to FWHCA and their associated buffers. Trails serving multiple parcels or subdivision shall not exceed six 6 feet in width in the buffer. Trails shall be constructed with pervious surfaces or boardwalks and shall not be utilized by motorized vehicles; (fl The size, configuration and surfacing of regional and public trails within a buffer shall be determined through a Type II variance permit. Regional trails shall be limited to a maximum of 12-foot-wide paved surface and with a total width of 6-foot-wide gravel shoulders for non -motorized public access. This shall also include the submission of a mitigation plan prepared by qualified professional addressingthe he impacts to the FWHCA and its buffer are minimized, so that any disturbed areas shall be immediately restored, and that restoration shall be through the establishment of native vegetation. 17) Stream relocation. (a) In addition to the submission of a habitat management plan, the relocation of streams, or portions of streams requires a variance under JCC 18.22.250. (b) Relocation of a stream may be allowed when there is no other feasible alternative and when the relocation will result in equal or better habitat and water quality and quantity, and will not diminish the flow capacity of the stream or other natural stream processes; provided, the relocation meets state hydraulic project approval requirements, the relocation will not impact the based flood elevation of existing development evelopment areas (outside of the project area) within the frequently flooded area, and that relocation of shoreline streams shall be prohibited unless the relocation has been identified formally by the Washington State Department of Fish and Wildlife as essential for fish and wildlife habitat enhancement or identified in watershed planning documents prepared and adopted pursuant to chapter 90.82 RCW. 18.22.640 Impact assessment and mitigationBuffer- reductions and aveir (1) The admifiistr-a�ef shall ha-ve the atAar-ity to r-e"ee buffef widths on a ease by ease basis; provided, the speeifie (a) The buff-er- reduetion shall net adversely aff-eet the habitat ffinetiens and values ofthe adjaeent FIA114CA er ether— r; ti eal Values.(b) The bii�r- shall fiet be r-e"eed to less than 75 pefeent of the sta-adp d buffer, iialess it ea-H be defnefistr-a4ed ffifough a speeial r-epeft pr-epafed by a qualified pr-efessional that there will be no net lass of FW14CA funetions E)f (e) The slopes adjaeent to the FIA114CA within the biiffer area are stable and the gradient does net exeeed 30 per-eent. (2) The admiaistr-4ef shall ha-ve the atithar-it-y to aver -age bufferwidths on a ease by ease basis; pr-evided, the speei-f4e standafds faf aveidanee and minimization in jCC 18.22.660 shall apply, and when the applieant demenstfates te the (a) The tetal area eentaifted in the buffer- area after a-veragi "g is ne less Omn dia4 whieh wetild be eefftained withi" (b) The buffer- aver -aging dees not reduee the fimetiens er- values of the PA114CA of r-ipar-ian habitat, E)r- the buffef Appendix B - 45 b-SIMA . ... . ....... I. �.... IN I• Wft So 1119. WA • Appendix B - 46 18.22.660 A41tigatien. (1) When Re"ired. Mitiga4ien is r-eqttifed for- FWI4GA btt�f r-eduetions gfea�er- than 25 pereent bu4 less than 50 piar-sue a finaneially beaded er-itieal areas stewardship plan or- be appFeved fef buffer- re&etiafis greater- Own 50 The overall goal of mitigation shall be no net loss of ecological functions or values, and no degradation of natural processes within a FWHCA or its associated buffer. All unavoidable impacts to FWHCA require mitigation. (21) FWHCA Mmitigation Ssequencing. Mitigation includes avoiding, minimizing, or compensating for adverse impacts to a FWHCA or its associated buffer. When a proposed development, land disturbingactivity, ctivity, or use poses adverse impacts to a FWHCA or its associated buffer, the preferred sequence of mitigation as defined below shall be followed unless the applicant demonstrates that an overriding public benefit would warrant an exception to this preferred sequence.The evefall goal shall be no net less E)f ftmefiens, natufal pfeeesses, of afea within a FW14CA of a F)AT14CA btiffef. All fegulated development, uses, and aetivities in a FAT14CA E)f an asseeiated buffer- shall be mitigated in the following e.def: (a) Avoiding the impact altogether by not taking a certain action or parts of an action; (b) Minimizing adverse impacts by limiting the degree or magnitude of the action and its implementation; (c) Rectifying the adverse impact by repairing, rehabilitating, or restoring the affected environment to the historical condition or the condition existing at the time of the initiation of a project; (d) Reducing or eliminating the adverse impact over time by preservation and maintenance operation during the life of the action; (e) Compensating for the adverse impact by replacing, enhancing, or providing substitute resources or environments; (f) Monitoring the required compensation and taking appropriate corrective measures when necessary. (2) Impact assessment. All potential impacts to a FWHCA and its associated buffer shall be identified and described in the habitat management plan. Impact assessments shall be made based on requirements in Article IX (Special reports). (3) Mitigation — Mminimum Rrequirements and Ttypes of Mmitigation. (a) Minimum mitigation requirements are as follows: (i) Unavoidable impacts to a FWHCA-area or its associated buffer shall be mitigated with at least a 1:1 mitigation ratio. The administrator has the authority to require buffer mitigation at a higher ratio if the area to be adversely affected consists of intact native habitat or the risk of failure is judged unacceptable. (ii) Unavoidable impacts to a FWHCA shall require mitigation that fully compensates for all adverse effects to FWHCA functions and values, natuf ' pFeeesses, and are (b) FWHCAs mitigation shall include the following options: (i) On-,Ssite Mmitigation. The applicant may propose on -site mitigation if the mitigation proposal compensates for the loss or degradation to existing habitat. (ii) Off-Ssite Mmitigation. The applicant may propose off -site mitigation if: (A) On -site mitigation is not feasible and the mitigation proposal compensates for the loss of functions and values,.,. degradation of existing habitats and speeies;or (B) Off -site mitigation occurs within the same watershed or a connected habitat of a similar nature to the maximum extent practicable and provides better or better protection of the FWHCA and Appendix B - 47 compensates for the loss of functions and values improvement to the FW14G n ; and (C) There is a willing landowner that accepts the proposed mitigation; and (D) A mitigation agreement/ or easement is recorded that specifies the individuals or parties responsible for implementing, maintaining, and monitoring the mitigation -area. (c) In-Llieu Ffee Mmitigation (ILF). As an alternative to permittee-responsible mitigation, an in -lieu fee program may be used to compensate for impacts or alterations to a fisi, and wildlife habitat , 0f[so -VatiO areaFWHCA or aits associated buffer, if an established in -lieu fee program is available for the project area. Use of the in -lieu fee program to address impacts to fish and wildlife habitat eonse vation^rea FWHCAs or their associated buffers shall adhere to the in -lieu mitigation requirements in JCEJCC 18.22.740(4). [r'.-a 5 20 § 2 (Appx. A)] Article VIL Wetlands 18.22.700 Purpose. The purposes of this article are to: (1) Recognize and protect the beneficial functions, values, and services performed by wetlands, which include, but are not limited to, providing food, breeding, nesting or rearing habitat for fish and wildlife; recharging and discharging groundwater; contributing to stream flow during low flow periods; stabilizing stream banks and shorelines; storing storm and flood waters to reduce flooding and erosion; and improving water quality through biofiltration, adsorption, retention and transformation of sediments, nutrients, and toxicants. (2) Regulate land use to avoid adverse effects on wetlands and maintain the functions, services, and values of freshwater and estuarine wetlands throughout Jefferson County. (4) Establish mmirniim standards for identifying and delineating wetlands. [Ord. 5 20 § 2 (Appx. A)I 18.22.710 Classification/ and designation. Wetlands have the same definition as in JCC 18.10.230 W definitions. Wetlands are those areas that are inundated or saturated by surface water or groundwater at a frequency and duration sufficient to support, and that under normal circumstances do support, a prevalence of vegetation typically adapted for life in saturated soil conditions. Wetlands generally include swamps, marshes, bogs, and similar areas. Wetlands may include those artificial wetlands intentionally created from nonwetland areas to mitigate conversion of wetlands. Wetlands do not include those artificial wetlands intentionally created from non -wetland sites, including, but not limited to, irrigation and drainage ditches, grass -lined swales, canals, detention facilities, wastewater treatment facilities, farm -ponds for agricultural activities, and -landscape amenities, farmed wetlands, or those wetlands created after July 1, 1990, that were unintentionally created as a result of the construction of a road, street, or highway. (1) Wetland Ddelineation. Wetlands shall be delineated in accordance with the requirements of RCWRW 36.70A.175. Unless otherwise provided for in this chapter, all areas within the county determined to be wetlands in accordance with the U.S. Army Corps of Engineers Wetlands Delineation Manual, 1987 Edition, and the Western Mountains, Valleys, and Coast Region Supplement (Version 2.0), 2010 or as revised, are hereby designated critical areas and are subject to the provisions of this article. (2) Wetland Rrating. Wetlands shall be rated based on categories that reflect the functions and values of each wetland. Wetland categories shall be based on the criteria provided in the Washington State Wetland Rating System for Western Washington, revised 2014, and as amended thereafter, as determined using the appropriate rating forms and associated figures contained in that publication. These categories are generally defined as follows: (a) Category L These wetlands are: (i) relatively undisturbed estuarine wetlands larger than one acre; (ii) wetlands of high conservation value that are identified by seienAists-ef the State of Washington Natural Heritage Program ashington Department of Natural Resources; (iii) bogs; (iv) mature and old -growth Appendix B - 48 forested wetlands larger than one acre; (v) wetlands in coastal lagoons; or (vi) wetlands that perform many functions well (scoring a total of 23 or more points). These wetlands: (i) represent unique or rare wetland types; (ii) are more sensitive to disturbance than most wetlands; (iii) are relatively undisturbed and contain ecological attributes that are impossible to replace within a human lifetime; or (iv) provide a high level of functions. (b) Category II. These wetlands are: (i) undisturbed estuarine wetlands smaller than one acre or disturbed estuarine wetlands larger than one acre or (ii) wetlands with a moderately high level of functions (scoring between 20 and 22 points total). (c) Category III. These wetlands are (i) those with moderate level of functions (scoring between 16 and 19 points total) or (ii) those that can often be adequately replaced with a well -planned mitigation project. Wetlands scoring between 16 and 19 points generally have been disturbed in some ways and are often less diverse or more isolated from other natural resources in the landscape than Category II wetlands. (d) Category IV. These wetlands have the lowest levels of functions (scoring 15 or fewer total points) and are often heavily disturbed. These wetlands likely could be replaced or improved in some cases. Replacement cannot be guaranteed in any specific case. These wetlands may provide some important functions should be pr-eteeted to same degree. (3) Category IV wetlands that are non -federally regulated and not associated with a riparian area and less than one - tenth acre (4,356 square feet) shall be exempt from the requirements of this article when all of the following criteria are met: (a) The wetland does not provide significant breeding habitat for native amphibian species. Breeding habitat is indicated by adequate and stable seasonal inundation, presence of thin -stemmed emergent vegetation, and clean water; (b) The wetland does not have unique characteristics that would be difficult to replace through standard compensatory mitigation practices; (c) The wetland is not located within a fish and • ildl f habitat eanset=vatien ae "FWHCA' o eFW14C n buffer or its associated buffer as defined in Article VI of this chapter, and is not integral to the maintenance of habitat functions of an FWHCA; (d) The wetland is not located within a floodplain; (e) The wetland is not within the jurisdiction of the county shoreline master program; (f) The wetland is not part of a mosaic of wetlands and uplands, as determined using the guidance provided in the wetland rating system; and (g) The wetland does not score five or more points for habitat functions (based on the 2014 version of the Washington Department of Ecology Wetland Rating System, or as amended by Washington Department of Ecology). Wetlands less than one -tenth acre that meet the above criteria shall not be filled or otherwise altered, unless approval is obtained from Washington State Department of Ecology or the U.S. Army Corp of Engineers. This exemption does not allow for unmitigated alteration of wetland area or functions. Alteration of any wetland, including wetlands less than one -tenth of an acre, shall require mitigation. (4) Sources for identification. The following sources should be used to identify potential wetland locations. These maps are informational only and site evaluations by a qualified professional or wetlands specialist shall be used to determine compliance with this article. Sources include. but are not limited to: a) Jefferson County Critical Areas Mapping; Appendix B - 49 (b) United States Department of the Interior, Fish and Wildlife Service, National Wetlands Inventory; (c) United States Department of Agriculture, Natural Resources Conservation Service, Soil Survey for Jefferson County Areas, Washington; (d) United States Department of Agriculture, Natural Resource Conservation Service, Hydric Soils List; and (e) Washington State Department of Ecology, Coastal Atlas MM.Ge efal. ^ rrlie do f f a ' of feal pFE)p a designated wetland shall adhefe te the r-equifements in this seetion. lands detefmined te be wedand shall alse submit, and have appr-eved, a wetland evaltiatien prepared based en fes- of an on site field kwestigafien eendueted by a qttalified wedand professional using wedand delineation manuals speeified in this seefien. The wedand evaluation shall be eempleted based eft the felle i - (i) Wetla-ad Reeefinaissanee. This type of wetia-ad assessment does fiet r-e"ife f4agging of wetland boundar-ies E)r- eampleting a wetland fating feffa. it shall be used if fie fegula4ed wetland is pr-esent within 300 f�et of the pr-ajeet within the limits of eenstraefien. The wetland feeennaissanee r-equifes the wedand speeialist te assess all afeas „within 300 feet of any proposed p eet e nt (ii) Wedand Delineation. This t�Te of wedand assessment shall be used if any peftien of the pr-epesed pfejeet is within 300 feet ef a regulated wetiand, ineluding these areas that may be temper-ar-ily affeeted by eanst-Fuetion Felated aetivities er- are within the pr-epesed limits ef elear-ing. The en site wedand beandar-y shall be flagged in the field and flags shall be ntmiber-ed sequentially, and a wedand rating f6fm shall be eempleted, as r-equired by subseefien (2) ef this seetion, for each wetland identified. A wedand deliffeafien repei4 shall be prepared by the available ififefmatien shall be used to detefmiae the wetland betmdai=y and emegar-y. [Qfd. 5 20 § 2 (App*. A)] 18.22.720 Regulated aetivifiesApplicability. All development, land disturbing activities and uses in a wetland or its associated buffer shall be subject to the provisions of this article, inel.,, ing, but not limited to, .l o unless specially exempted under JC-Cin JCC 18.22.230.: table;(a) The r-eme,-,�al, excavation, grading, or dredging of material of any kind, ineluding the eonstmetien ef ponds a -ad pilings;(d) The dr-iving of flow,(e) The plaeing of an�4hing that abs4uets water- movement, ineluding but not limited to sur-faee watef suffaee r-eeonstmetion,o expansion (g) The destfuetion or- alteFation of wetland vegetation thfough elear-ing, haFvesting, shading, intentional , of wetland > etation that would alter- > by the administrator for constmetion E)f a single family r-esidenee on an eidsting lot of r-eeer-d if depaFtment staff e (b) The single family fesidenee and all aeeessofy stftte�wes a -ad uses are not pfoposed to be laea4ed within the distanees identified in Table 18.22.730(i)(a) ffom the estimated wedand boundafy. [Ord. 5 20 § 2 (Appx. A)] 18.22.730 Protection standards. pFepared by a qualified wetland speeialist. Cofnpensatei=y mitigation is r-equired for- all adverse impaets to wetlands Appendix B - 50 that eannot be avoided. Te the maximum e*teftt pr-aefieable, impaets to btiffer-s shall be minimized and any disturb (1) General. Application for a project or use on a parcel of real property containing designated wetland or its associated buffer shall adhere to the requirements set forth below. (2) Types of wetland evaluations. An applicant shall submit, and have approved, a wetland report prepared based on results of an on -site field investigation conducted by a qualified professional or wetland specialist using wetland delineation manuals specified in JCC 18.22.7100). The wetland report shall be completed based on the following: (a) Wetland reconnaissance. This type of wetland assessment does not require flagging of wetland boundaries or completing a wetland rating form. It shall be used only if no regulated wetland is present within 300 feet of the project area, which includes those areas that may be temporarily affected by construction -related activities or would be within the limits of construction. The wetland reconnaissance requires the wetland specialist to assess all areas within 300 feet of any proposed project component. (b) Wetland delineation. This type of wetland assessment shall be used if any portion of the proposed project is within 300 feet of a regulated wetland, including those areas that may be temporarily affected by construction - related activities or are within the proposed limits of land disturbingactivity. ctivity. The on -site wetland boundary shall be flagged in the field and flags shall be numbered sequentially, and a wetland rating form shall be completed, as required by JCC 18.22.710(2) and (3), for each wetland identified. A wetland delineation report shall be prepared by the wetland specialist based on report requirements presented in Article IX (Special Reports) of this chapter. (c) If the wetland is located off of the property involved in the project application and is inaccessible, the best available information shall be used to determine the wetland boundary and category. (d) The requirement for a wetland evaluation may be waived by the administrator for construction of a single- family residence on an existing legal lot of record if department staff, qualified professional, or a wetlands specialist determines that: (i) Sufficient information exists for staff to estimate the boundaries of a wetland without a delineation; and, ii The single-family residence and all accessory structures and uses are not proposed to be located within the distances identified in Table 18.22.730(l)(a) from the estimated wetland boundar. (3) Vegetation retention required within a wetland or its associated buffer. All of the following provisions regarding vegetation retention shall apply: (a) Vegetation within a wetland or its associated buffer shall be retained to the extent practicable. Unless exempt under this chapter, vegetation removal or alteration of a wetland or its associated buffer shall require review and approval by the department; (b) Altering the habitat conditions of a wetland or its associated buffer without prior review and approval by the department is prohibited; (c) During maintenance clearing of rights -of -way and easements for established roadways and existing utilities, all trees (except for hazard trees) and understory vegetation within wetlands or its associated buffer lying outside of road rights -of -way and utility easements shall be retained. Retained vegetation may be pruned to the right-of-way or easement limits; and ( Damage to a wetland or its associated buffer from land disturbingactivity ctivity shall be minimized by installing temporary construction fencing before grading near the buffers, and the falling of trees away from these areas. (4) Wetland ratings to establish buffer requirements. Wetland ratings and categories shall be prepared byqualified professional or wetlands specialist, be based on the Washington State Wetland Rating System for Western Washin tg on (2014 version, or as amended), and be submitted to the department for review and approval. Buffers for Appendix B - 51 wetlands are based on wetland category, habitat function score, and land use intensity as shown in Table 18.22.730(l)(a) or based on special characteristics as shown in Table 18.22.730(1)( (5) Buffer marking. To ensure that a buffer is not impacted by proposed adjacent development, land disturbing_ activity, or use DCD may require one or more of the following; (a) The markingor r flagging of the edge of the wetland or its associated buffer; (b) A 5-foot building setback shall be required from the edge of any buffer area, except for nonstructural improvements such as septic drain fields may be located within a setback; (c) Showing the location of the critical area and its associated buffer on all approved site plans adjacent to development or land disturbing activity_ proposed. (d) Require permanent fencing, berms, barriers, or native vegetation plantings adjacent to new development or new land disturbin ag ctivity to ensure that it does not encroach upon buffers; (e) Require that signs be posted along the buffer edge adjacent to the development, land disturbingactivity ctivi . or use to ensure that the public knows the location of the buffers for (i) Permitted commercial or industrial development or uses; or, ii) Development, land disturbing activities or uses on public lands. (fl Require a notice to title be recorded on the property by the permittee prior to the approval being issued, if the location of the wetland or its associated buffer is not identified in the development permit or on the County's GIS mappingsystem to disclose to future buyers the existence of critical areas and their associated buffers. ._ in dia4 -.*t-.*es do st mmiagement pfaetiees are used maintaining said t4ilit-y eoffider-s stieh maintenanee aet-i-A me .. Appendix B - 52 .. - - - .• ._ .. EMT lit .11 Appendix B - 53 46) Buffers — Standard requirements for wetlands. (a) The administrator shall have the authority to require buffers from the boundaries of all wetlands as established by this article and in accordance with the following criteria. (b) Buffers for wetlands shall be measured as a horizontal line perpendicular to the boundary of the wetland. (c) The standard buffer width for a wetland shall be determined based on the following: (i) The wetland category shall be based on the total score and the habitat functions from the wetland rating_ form and the land use intensity described in subsection (6)(c) below. Buffer widths for wetlands are shown in Table 18.22.730(1)(a); or ii) The wetland category is based on the special characteristics of the wetland from the wetland rating form. The buffer widths for wetlands with special characteristics are shown in Table 18.22.730(1)(b). (d) Land use intensity for wetland ratings is based on the following,: (i) High land use intensity means development and uses that are commercial, industrial, institutional, urban, high intensity new agriculture (dairies, nurseries, hard side greenhouses, annual tilling), high intensity recreation (golf courses, ball fields), or solar farms. Residential development proposed on a parcel that is less than one acre in size. (ii) Moderate land use intensity means development and uses that are open space parks, moderate intensity new agriculture (orchards, hay fields, animal pastures, soft sided greenhouses, etc.), or utility corridors within rights -of -way that are shared. Residential development on a parcel one to five acres in size. (iii) Low land use intensity means low impact development and uses such as unpaved trails or passive recreation (when not exempt in JCC 18.22.230), regional trails with a maximum of 12-foot-wide paved surface and with a total width of 6-foot-wide gravel shoulders for non -motorized public access, public utility corridors not requiring a maintenance road or a vegetation managementplan, landscaping or lawns. Residential development on parcels over five acres in size. Table 18.22.730(1)(a). Standard buffer • 41 flared Ru ff r ` midths for wetlands based on points Land Use Intensity Wetland Category Habitat Function Score High Impact Buffer Width (feet) Moderate Impact Buffer Width (feet) Low Impact Buffer Width (feet) Category I Total score is 23- 8 — 9 6-7 <3 — 5 300 150 100 225 110 75 150 75 50 27 points Category II Appendix B - 54 Land Use Intensity Wetland Category Habitat Function Score High Impact Buffer Width (feet) Moderate Impact Buffer Width (feet) Low Impact Buffer Width (feet) Total score is 20- 8-9 6-7 <3 — 5 300 150 1100 225 110 75 150 75 50 22 points Category III Total score is 16- 8 — 9 6-7 <3 — 5 300 150 80 225 110 60 150 75 50 19 points Category IV Total score is 15 All 50 40 25 points or less Table 18.22.730(1)(b). Standard buffer widths based on special characteristics Category I Buffer width (feet) Bog 250 Coastal Lagoon 200 Estuarine 200 Forested Based on habitat score Wetland of high conservation value 250 Category II Buffer width (feet) Lagoon 150 Estuarine 150 (7) Land Use Intensitypact Reductions: Applicants have the option to meet the following performance standards found in Table 18.22.730(c) to reduce the buffers outlined in Table 18.22.730(1)(a) above from high to moderate impact. Table 18.22.730(1)(c) Required Mmeasures to Mminimize Iimpacts to Wwetlands (All measures are required for land use intensity reduction' ) Disturbance I Required Mmeasures for land use intensity reduction Lights Lights shall be shielded to avoid being directed off the developed area, and should include timers or motion detection.Pireet lights away F pm wetland Noise Locate activity that generates noise away from wetland; • If warranted, enhance existing buffer with native vegetation plantings adjacent to noise source; Appendix B - 55 Disturbance Required Mmeasures for land use intensity reduction For activities that generate relatively continuous, potentially disruptive noise, such as certain heavy industry or mining, establish an additional 10 feet heavily vegetated buffer strip immediately adjacent to the outer wetland buffer. Toxic runoff Route all new, untreated runoff away from wetland while ensuring wetland is not dewatered; Establish eavenant Utilize native vegetation that does not require as much fertilizer or pesticides as non-native vegetation, or require a statement on all approved site plans for development, land disturbing activities or use by limiting use of pesticides within 150 feet of wetland Apply integrated pest management Stormwatcr runoff Roads and development areas (includinglawns) awns) that discharge to buffers are required to utilize best management practices to treat stormwatem Prevent channelized flow from lawns that directly enters the buffer; Use low irtensityimpact development (LID) techniques (for more information visit Washington State Department of Ecology's websiteref r to the drainage ordin nee and manual) Change in water regime Infiltrate or treat, detain, and disperse into buffer new runoff from impervious surfaces and new lawns Pets and human disturbance Use privacy fencing or plant dense vegetation to delineate buffer edge and to discourage disturbance using vegetation appropriate for the ecoregion NeeeFor non-residential development, DCD may require wetland and its associated buffer in a separate tract or protect with a conservation easement Dust Use best management practices to control dust (8) When buffer averaging may be allowed. (a) The administrator shall have the authority to average buffer widths adjacent to a wetland area up to 25 percent when all of the following criteria are met. (i) The specific standards for mitigation sequencing in JCC 18.22.740 have been applied during the siting and design of the proposed project. To the extent practicable, that may include consideration of the following avoidance and minimization measures: (A) Trees and other existing native vegetation are avoided, and development, land disturbing ag ctivity and uses are placed on existing , road oad ,grades, utility corridors, or other developed areas if present; (B) The buffer width is increased to match the adjacent to the higher -functioning or more -sensitive portion of the wetland and decreased to match the adjacent to the lower functioning or less -sensitive wetland areas; (C) Lower intensity land uses are located in the reduced buffer area if feasible; D) The development is designed to separate and screen impacts such as noise. glare. vegetation trampling, etc. of adjacent land uses from the critical area. The site design shall consider the varying degrees of impacts of different land uses. For example, parking lots, store entrances, and roads generally have higher noise and glare impacts than the rear of the store. Site screening should take advantage of natural topography or existing vegetation, wherever possible. Where natural screening is not available, berms, landscaping, and structural screens should be implemented (e.g., orient buildings to screen parking lots and store entrances from critical area). Landscaping shall be consistent with JCC 18.30.130: (ii) The total area contained in the buffer after averaging is no less than that which would be contained within the standard buffer and all increases in buffer dimension are parallel to the wetland; Appendix B - 56 (iii) The buffer averaging does not reduce the functions or values of the wetland, or the buffer averaging, in conjunction with vegetation enhancement, increases the habitat function or value; (iv) The buffer averaging is necessary due to parcel size, existingdevelopment evelopment or other critical area requirements, or other site constraints such as slope, soils, or protecting existing native vegetation (e.gg mature conifers), (v) The slopes adjacent to the wetland within the buffer area are stable; (vi) Buffer averaging of buffer reductions addressed in JCC 18.22.730(9) are not allowed; and (vii) The modified buffer shall meet the well vegetated buffer standard, which is comprised of at least 40 percent aerial cover of native trees and shrubs in its existing or proposed enhanced condition at maturity. This shall also include the removal of invasive non-native plants (e.g. Himalayan blackberry, English ivy, Scotch broom, etc.) or noxious weeds and replacement with native vegetation. An enhancement plan or habitat management plan shall be required to achieve this standard, which shall include a 5-year monitoring plan to ensure that standards are met. (b) The administrator shall have the authority to average buffer widths adjacent to a wetland area up to 50 percent when all of the following requirements are met: (i) A habitat managementplan shall be submitted; ii) The modified buffer shall meet the definition of a fully vegetated buffer, which shall contain at least 80 percent aerial cover of native trees and shrubs in its existing or proposed enhanced condition at maturity. This shall also include the removal of invasive non-native plants (e.g. Himalayan blackberry, English, Scotch broom, etc.) or noxious weeds and replacement with native vegetation. An enhancement plan or habitat managementplan shall be required to achieve this standard, which shall include a 5-year monitoring plan to ensure that standards are met; (iii) Allows for the natural movement of a stream within its floodplain or channel migration zone; iv) Separates development from potential flooding impacts; (v) Limits visual, auditory, and direct intrusion between critical areas and developed environments; (vi) Protects important wildlife habitat components for species dependent or associated with wetland, marine, and riverine environments; (vii) Enables wildlife movement; and (viii) Does not accelerate erosion and landslide hazard areas adjacent to the critical area. (9) Process and criteria for wetlands reduction. The administrator may reduce wetland buffers up to 25% administrativelv through a Tvne I Variance for moderate land uses provided a wetland delineation shall be submitted to DCD for review and approval establishing all of the following criteria are met: (a) Buffer averaging is not feasible; (b) The specific standards for mitigation sequencing in JCC 18.22.640 have been applied during the siting and design of the proposed development, which may include consideration of all or the following avoidance and minimization measures: (i) Trees and other existing native vegetation are avoided, and development, land disturbingactivity, ctivity, and uses are placed on existingroad oad grades, utility corridors, or other developed lands if present; (ii) The buffer is reduced adjacent to the lower functioning or less -sensitive portion of the wetland; Appendix B - 57 (iii) Lower intensity land uses are located adjacent to the reduced buffer area if feasible; (iv) The development is designed to separate and screen impacts such as noise, glare, vegetation trampling, etc. of adjacent land uses from the critical area. The site design shall consider the varying degrees of impacts of different land uses. For example, parking lots, store entrances, and roads generally have higher noise and glare impacts than the rear of the store. Site screening should take advantage of natural topography or existing vegetation, wherever possible. Where natural screening is not available, berms, landscaping, and structural screens should be implemented (e.g., orient buildings to screen parking lots and store entrances from critical area). Landscaping shall be consistent with JCC 18.30.130; (c) The buffer reduction shall not adversely affect the habitat functions and values of the adjacent wetland or other critical area; (d) The buffer shall not be reduced to less than 75 percent of the standard buffer; (e) The slopes adjacent to the FWHCA within the buffer area are stable; (f) The reduced buffer shall be fully vegetated. A fully vegetated buffer is one that currently contains or will mature into a dense, multi -storied, diverse native vegetation communityprovides ecological functions adequate to protect the adjacent waterbody. A fully vegetated buffer contains at least 80 percent aerial cover of trees and shrubs in its existing or proposed enhanced condition at maturity. This shall also include the removal of invasive non-native plants (e.g. Himalayan blackberry, English iw, Scotch broom, etc.) or noxious weeds and replacement with native vegetation. Based on the condition of the buffer the administrator may require an enhancement plan or habitat management plan to achieve the fully vegetated standard in its existing or proposed enhanced condition at maturity, which shall include a 5-year monitoring plan to ensure that standards are met; and Table 18.22.730(l)(d). Buffer Averaging, Reduction, Permit Process and Criteria Buffer Averaging Permit Process Up to 25% Type I per JCC 18.22.730(8)(a) Up to 50% Type 11 per JCC 18.22.730(8)(b) Variances' Buffer Reduction Permit Process Land use intensity from high to moderate JCC 18.22.730(7) Up to 25% Type I moderate land uses per JCC 18.22.730(9) Over 25% to 75°/u Type III Critical area variance per JCC 18.22.250 Over 75% Type III Reasonable use exception per JCC 18.22.260 Footnote 1: A Critical area stewardship plan (CASP) meeting the provisions of JCC 18.22.965 may be utilized instead of critical area variances or reasonable use exception. Footnote 2: Buffer reduction is not allowed if buffer averaging is feasible. (10) When increasing buffers for wetlands may be required. The administrator shall have the authority to increase buffers adjacent to a wetland to protect the functions and values of a wetland. Factors that may be used to support this determination include but are not limited to: (a) The wetland is used by, or has habitat features that could be used by, state or federally listed threatened or endangered species; Appendix B - 58 (b) The wetland serves as nestingor r foraging habitat for raptors or great blue herons; (c) The area adjacent to the wetland is susceptible to erosion or landslide; or (d) The area adjacent to the wetland has minimal deep rooting, native vegetation or the slopes are greater than 30 percent. 01) Voluntary restoration. A wetland and its associated buffer that has been previously altered such that the functions, values, and natural processes have been diminished are encouraged to be restored to conditions that existed historically or prior to the alteration. Voluntary restoration requires the submission of an enhancement plan or habitat management plan to DCD for review and approval prior to issuance of a permit to restore a wetlands or buffer. DCD shall provide information or technical expertise, where possible, in facilitating restoration of a wetland or buffer to previously existing conditions. This could include, but is not limited to, referring interested property owners to restoration information, efforts, and funds. (12) Utilities. Placement of utilities (serving one parcel, development or legal lot of record) within a wetland and its associated buffer may be allowed pursuant to the following standards: (a) A habitat management plan or enhancement plan shall be submitted with a site plan demonstrating how the impacts to a wetland and its associated buffer are minimized, that any disturbed areas shall be immediately restored, and that the restoration shall be through the establishment of native vegetation. (b) Construction of utilities, including stormwater BMP's, may be permitted in a wetland and its associated buffer when no practicable or reasonable alternative location is available and the utility does not cause or increase habitat fragmentation for state or federally listed species and meets the requirements for installation, replacement of vegetation and maintenance outlined below. Utilities are encouraged to follow existing or permitted roads where possible. (c) New utilities shall be aligned when possible, to avoid cutting trees greater than 12 inches in diameter at breast height_(four and one-half feet) measured on the uphill side. ( New utilities shall be revegetated with appropriate native vegetation at pre -construction vegetation densities or greater, immediatelyupon completion of construction or as soon thereafter as possible due to seasonal -rowing constraints. The utility shall ensure that such vegetation survives for a three -.period. (e) Construction of sewer lines or on -site sewage systems may be permitted in a wetland or its associated buffer when it can be demonstrated that it is necessary to meet state or local health code requirements, that there are no other practicable alternatives available, and construction meets the requirements of this article. Joint use of the sewer utility by other utilities may be allowed. (f) In addition to meeting the utilities standards above, new utility corridors (serving more than one propem) proposed within a wetland or its associated buffer shall require a variance under JCC 18.22.250. (g) Utility corridors for towers should be painted with brush, pad or roller and should not be sandblasted or spray -painted, nor shall lead -based paints be used. (f) Utilities corridors for towers should follow best managementpractices for avian protection. 03) Road and street expansion. The expansion of a legally established private or public road may be allowed in a wetland or its associated buffers provided it complies with the following minimum development requirements: (a) A habitat management plan or enhancement plan shall be submitted with a site plan demonstrating that the impacts to a wetland and its associated buffer are minimized, that any disturbed areas shall be immediately restored, and that restoration shall be through the establishment of native vegetation. (b) No other reasonable or practicable alternative exists and the proposed road or street serves multiple properties whenever possible; Appendix B - 59 (c) Public and private roads are encouraged to provide for other purposes, such as utility crossings, pedestrian or bicycle easements, viewing points, etc.; and ( The road or street construction is the minimum necessary, as required by the department of public works' guidelines. Minimum necessaa provisions may include projected level of service requirements. (14) New public or private roads. In addition to meeting the development standards for road and street expansion above, the establishment of a new public or private road within a wetland or its associated buffer is subject to variance under JCC 18.22.250. (15) Outdoor recreation, education, and trails construction. Uses and improvements that do not significantly affect the function of a wetland and its associated buffers (including viewing structures, outdoor scientific or interpretive facilities, trails, hunting blinds, etc.) maypermitted in a wetland and its associated buffer provided they comply with all of the following minimum development standards: (a) A habitat management plan or enhancement plan shall be submitted with a site plan addressing the impacts to the wetland and its associated buffer are minimized, that any disturbed areas shall be immediately restored, and the enhanced with through the establishment of native vegetation; (b)Trails and other facilities shall, to the extent feasible, be placed on existing road oad grades, utility corridors, or other previously disturbed areas; (c) Trails and other facilities shall be planned to minimize removal of trees, shrubs, snags, and important wildlife habitat; ( Viewing platforms, interpretive centers, benches, and access to them, shall be designed and located within the buffer to minimize impacts to wildlife, fish, or their habitat; (e) Private trails, serving one parcel or legal lot of record, may be permitted within the buffer provided that they do not exceed three feet in width and are designed to minimize the impact to a wetland and its associated buffer. Trails serving multiple parcels or subdivision shall not exceed six feet in width in the buffer. Trails shall be constructed with pervious surfaces or boardwalks and shall not be utilized by motorized vehicles: (f) The size, configuration and surfacing of regional and public trails within a buffer shall be determined through a Type II Variance. Regional trails shall be limited to a maximum of 12-foot-wide paved surface and with a total width of 6-foot-wide gravel shoulders for non -motorized public access. This shall also include the submission of a mitieation nlan nrenared by wetland bioloeist or aualified professional: and (g)The impacts to the wetland and its buffer are minimized, so that any disturbed areas shall be immediately restored, and that restoration shall be through the establishment of native vegetation. plat,buffef shall be identified as fellews: (a) The etiter- eXtent E)f the wetland biiffer- shall be flagged an site. (b) in the ease of shai4 lang plat,binding site plan, (e) For all other appr-evals, the adyninist-r-ater shall have the auther-ity te r-equir-e a netiee te title be reeer-ded en (d) The administfater- shall fe"ire signs be posted a4 the buffer- edge if the proposed aetivit-y is eammefeial or ia"stfial, E)r- if the aetivity is proposed an ptiblie !a -ads. (4�ier-s StandardRequirements. Appendix B - 60 (a) The adfaifiistf4or- shall have the auther-ity to r-eqttir-e btiffer-s frem the boundaries of all wetlands as established by this ar-tiele, and in aceor-dance with the following criter-ia: Wetland C8%gor Habitat i'unetion High impaet Buffer Width 1 272-5 6-7 4--W 43 3 75 $ 2-15 6-7 4-A 43 3 75 Appendix B - 61 Mledand Habitat High impnet Width 6-- 4-W � T�`�'/ YP � Atl0 n 40 18.22.740 Impact Assessment and Mmitigation. The overall goal of mitigation shall be no net loss of wetland functions or values, valt e, ara area. Appendix B - 62 (1) Mitigation Ssequence. Mitigation includes avoiding, minimizing, rectifying, or compensating for adverse impacts to regulated wetlands. When development, land disturbingactivity ctivi , or a-pfepeaed use or ae- elopment aetiv4t}-poses potentially significant adverse impacts to a regulated wetland, the preferred sequence of mitigation as defined below shall be followed unless the applicant demonstrates that an overriding public benefit would warrant an exception to this preferred sequence. (a) Avoiding the impact altogether by not taking a certain action or parts of an action; (b) Minimizing adverse impacts by limiting the degree or magnitude of the action and its implementation; (c) Rectifying the adverse impact by repairing, rehabilitating, or restoring the affected environment to the historical condition or the condition existing at the time of the initiation of a project; (d) Reducing or eliminating the adverse impact over time by preservation and maintenance operation during the life of the action; (e) Compensating for the adverse impact by replacing, enhancing, or providing substitute resources or environments; (f) Monitoring the required compensation and taking appropriate corrective measures when necessary. (2) Impact assessment. All potential impacts to wetlands and buffers shall be identified and described in the wetland report. Impact assessments shall be made based on requirements in Article IX (special reports). (_3) Compensatory Wwetland Mmitigation — Fgeneral #requirements. As a condition of any permit or other approval allowing alteration which results in the unavoidable loss or degradation of regulated wetlands, or as an enforcement action pursuant to JC�'Ftitle 19 JCC; compensatory mitigation, shall be required to offset impacts resulting from the actions of the applicant or any code violator. (a) Except persons exempt under this article, any person who alters or proposes to alter regulated wetlands shall provide wetland mitigation that is equivalent to or larger rg eater than those tereaimpacts in order to compensate for wetland losses. Table 18.22.740(1) specifies the mitigation ratios by category and type of mitigation that must be used for compensatory wetland mitigation: Table 18.22.740(1) Required Replacement Ratios for Compensatory Wetland Mitigation Category and Type Reestablishment or Rehabilitation Only' Reestablishment or Reestablishment or Enhancement Only' of Wetland Impacts Creation Creation (R/C) and Creation (R/C) and Rehabilitation (RH)' Enhancement (E)' All Category IV 1.5:1 3:1 1:1 R/C and 1:1 RH 1:1 R/C and 2:1 E 6:1 All Category III 2:1 4:1 1:1 R/C and 2:1 RH 1:1 R/C and 4:1 E 8:1 Category II Estuarine Case -by -case 4:1 Case -by -case Case -by -case Case -by -case Rehabilitation of an estuarine wetland All Other Category II 3:1 6:1 1:1 R/C and 4:1 RH 1:1 R/C and 8:1 E 12:1 Category I Forested 6:1 12:1 1:1 R/C and 10:1 RH 1:1 R/C and 20:1 E 24:1 Category I Based on 4:1 8:1 1:1 R/C and 6:1 RH 1:1 R/C and 12:1 E 16:1 Score for Functions Appendix B - 63 Category and Type Reestablishment or Rehabilitation Only' Reestablishment or Reestablishment or Enhancement Only' of Wetland Impacts Creation Creation (R/C) and Creation (R/C) and Rehabilitation (RH)' Enhancement (E)' Category I Wetlands Not considered 6:1 R/C not considered R/C not considered Case -by -case with High possible' Rehabilitation of a possible' possible' Conservation Value wetland with high conservation value Category I Coastal Not considered 6:1 R/C not considered R/C not considered Case -by -case Lagoon possible' Rehabilitation of a possible' possible' coastal lagoon Category I Bog Not considered 6:1 R/C not considered R/C not considered Case -by -case possible' Rehabilitation of a possible' possible' bog Category I Estuarine Case -by -case 6:1 Case -by -case Case -by -case Case -by -case Rehabilitation of an estuarine wetland These ratios assume that the rehabilitation or enhancement actions implemented represent the average degree of improvement possible for the site. Proposals to implement more effective rehabilitation or enhancement actions may result in a lower ratio, while less effective actions may result in higher ratio. The distinction between rehabilitation and enhancement is not clear-cut. Instead, rehabilitation and enhancement actions span a continuum. l?Mitigationgroposals that fall within the gray area between rehabilitation and enhancement will result in a ratio that lies between the ratios for rehabilitation and the ratios for enhancement. ' Wetlands with high conservation value, coastal lagoons, and bogs are considered irreplaceable wetlands because they perform some functions that cannot be replaced through compensatory mitigation. Impacts to such wetlands would therefore result in a net loss of some functions no matter what kind of compensation is proposed. Note: Each type of mitigation is defined in subsection (3) of this section under mitigation types. Note: Wetland preservation may be approved by the administrator under limited circumstances on a case -by -case basis if preservation requirements are met, as specified in Wetland Mitigation in Washington State, Part 1: Agency Policies and Guidance, or as amended. (b) Compensatory mitigation may also be determined using methods described in Calculating Credits and Debits for Compensatory Mitigation in Wetlands of Western Washington: Final Report (Washington Department of Ecology Publication No. 10-06-011, or as amended); provided, the mitigation is consistent with Table 18.22.740(1). (c) Compensatory mitigation must follow an approved compensatory mitigation plan pursuant to this article, with the replacement ratios as specified above. (d) Compensatory mitigation must be conducted on property that will be protected and managed to avoid further development or degradation. The applicant or code violator must provide for long-term preservation of the compensation area. The administrator has the authority to require the applicant record a notice to title to ensure protection. (e) Compensatory wetland mitigation shall be designed to mimic natural wetland hydrologic conditions, and shall not be used as a stormwater system to comply with C-chapter 18.30 JCC. (f) The applicant may be required to post a mitigation performance bond to ensure monitoring the site occurs and contingency plans are implemented if the project fails to meet projected goals. Corrective actions must be coordinated and approved by department of community development. (4) Compensatory buffer mitigation general requirements. (a) Buffers adversely affected by proposed development, land disturbingactivity, or use shall be compensated at a mitigation ratio of at least 1:1. ( Impacts to buffers that are well -developed, well -established, or have unique natural habitats consisting primarily of native plant species shall require a mitigation ratio greater than 1:1. This could include, but is not limited to, buffers consisting of tall trees, areas dominated by native species; areas considered a priority habitat by WDFW, or, habitat conditions that could support rare plants or plant communities. Appendix B - 64 (c) The permittee shall install a highly visible and durable protective fencing as a barrier between the limits of construction and the retained buffer vegetation. The fencing shall be installed prior to any land disturbing_ activity, including but not limited to clearing or grading , and shall be maintained during construction to prevent access and protect the wetland and retained buffer. This requirement may be waived if an alternative to fencing that achieves the same objective is proposed b, t�pplicant and approved by the administrator. (35) Compensatory Wwetland and buffer Mmitigation — Ttype, Elocation, and Ttiming. (a) Mitigation is to be provided in the preferred order listed below. A lower order preference shall not be approved unless a wetlands evaluation prepared by a wetlands specialist documents to the satisfaction of the administrator that a higher preferred option is not ecologically viable. (i) Restoration (reestablishment or rehabilitation) is the preferred mitigation option; (ii) Creation (also referred to as establishment) may be approved if restoration is not an ecologically viable option; (iii) Preservation (also referred to as protection or maintenance) is the least preferred mitigation option and shall be permitted only under limited circumstances when, based on a report prepared by a wetlands specialist, the administrator determines that no other option is ecologically viableEnhancement ma-y be appr-ep��ed if r-ester-atien er- er-eafien are net eeelegieally viable options or may be r-e"ired in the same buff -or area when a use er- sti%ePdfe is peEmitted and enereaehes inte the same btiffer-I (iv) Enhancement may be approved if restoration or creation are not ecologically viable options or may be required in the same buffer area when a use or structure is permitted and encroaches into the same buffer- Preservation (also refeffed to as prateetion or- Fnaintenanee) is the least pr-efefred mitigation option and shall be permitted only under- lifnited eireumstanees when, based an a Fepeft prepared by a wetlands speeialist, the administfater- deteFmines that no other- option is eeelegieally viable. (b) On -site compensation within the same subdrainage basin is preferred. The administrator may approve off - site compensation only if- (i) A wetlands specialist documents that on -site mitigation is not feasible and that off -site mitigation is ecologically preferable; (ii) No reasonable opportunities exist on -site and within the same subdrainage basin; (iii) On -site mitigation would result in the loss of high -quality upland habitats; (iv) Off -site mitigation has a greater likelihood of compensating for project -related impact; (v) On -site compensation is not feasible due to hydrology, soils, waves, or other factors; (vi) On -site compensation is not practical due to probable adverse impacts from surrounding land uses; and (vii) Potential functions and values at the site of the proposed restoration are significantly greater than the lost wetland functionsal and values. (c) Compensation outside of the subdrainage basin may be approved by the administrator if an authorized in - lieu fee program is used. (d) Construction of rectification and compensation projects must be timed to reduce impacts to existing wildlife and flora. Construction must be timed to assure that grading and soil movement occurs during the dry season. Planting of vegetation must be specifically timed to the needs of the target species. (e) Compensation mustshall be completed prior to wetland destruction, where feasible. Appendix B - 65 (46) In-Llieu Ffee program (ILF) Pregrat . An applicant may opt to use an ILF to compensate for impacts to wetlands or their associateda"atie feso....ees (e fitieal areas) -of buffers based on criteria listed below. Use of an ILF program transfers the responsibility of providing compensatory mitigation from the applicant to an ILF program sponsor. The sponsoring organization is required to provide mitigation that complies with all mitigation requirements of this chapter. (a) The ILF program may be used by an applicant as a way to mitigate for project impacts if the impacts to the critical area or its associated buffer occur within an ILF program service area. If an impact occurs outside of an ILF program service area, an applicant may request that jefferson GotH#yDCD investigate the possibility of using the ILF program as mitigation. The ILF program sponsor is under no obligation to accept mitigation responsibilities for impacts outside an ILF program service area. (b) The applicant shall determine if there is a preference for using the ILF program over permittee-responsible mitigation to compensate for unavoidable impacts. The eomtyDCD may encourage an applicant to use the ILF program, but shall not require an applicant to use ILF for mitigation. (c) The administrator may approve an application using an ILF program for mitigation if the ILF program sponsor accepts the mitigation responsibility. The sponsoring organization has the right to deny the request if the sponsoring organization cannot fulfill all ILF program mitigation requirements. If the sponsoring organization does not accept the mitigation responsibility, the applicant shall be responsible for providing mitigation that complies with this chapter. The administrator shall not approve a permit involving ILF mitigation until (i) the applicant has purchased the appropriate number of credits from the sponsoring organization and (ii) the sponsoring organization has completed a statement of sale. Once the ILF program sponsor completes the financial transaction with the applicant, the sponsor becomes responsible for completing the mitigation effort to comply with jeffersen Gettn4y Cede efifieal afeasthe requirements of this chapter and the applicable approved in -lieu fee program instrument. } Article VIII. Agriculture 18.22.800 Purpose and intent. (1) Jefferson Countyencourages the conservation of productive agricultural lands and tothe implementation of alternative means of protecting critical areas using conservation practices in this article. As allowed under _�4FWAC 365-196-830 (Protection of C-critical Aareas), both regulatory and voluntary measures may be developed and used to prevent degradation of critical areas. (2) The well-being of agricultural activities in Jefferson County depends in part on good quality soil, water, air, and other natural resources. Agricultural operations that incorporate protection of the environment, including critical areas and their associated buffers as defined by this titlechapter, are essential to achieving this goal. (3) Jefferson County offersagfiett4ufal producers of agricultural products or commodities (agricultural activities as defined in JCC 18.10.010) two paths to achieve no net loss of critical area functions and values while supporting the viability of agriculture. These two paths are: (a) A "prescriptive" approach utilizes the FWHCA protection standards (Article VI) and the wetland protection standards (Article VII). The prescriptive approach utilizes theis one in whieh standard buffer widths from streams, wetlands, and ponds are established, which may offer a simpler yet stricter set of standards; or (b) A "performance" based approach where the producer of agricultural products or commodities works independently or with farm assistance agencies to identify the resource concerns that are unique to the farm operation and to implement practices best suited to address those concerns. (4) jefferson Goti tyDCD shall ensure monitoring and adaptive management processes are in place to evaluate whether the application of performance -based approaches address resource concerns identified in this article to the extent related to agricultural activities. [Ord. 5 20 § 2 ( pp*. n„ Appendix B - 66 18.22.810 Resource concerns. The continuation of existing Aagricultural activities meeting the provisions of JCC 18.22.230(3)(a) is exempt from critical area reauirements and the reauirements of this chanter. Agricultural activities are defined in JCC 18.10.010. Except as noted above, new or expanded agricultural activities are subject to the provisions of this chapter. New or expanded agricultural activities have the potential to create adverse impacts to critical areas. It is the policy goal of this chapter to minimize the impacts of: (1) Potential water polluting activities'`T tfient Pe!Wian fAla. e . Agricultural activities, such as livestock management and tillage, without proper conservation practices may contribute wastes or sediments into a natural or modified natural stream or wetlands;.. (2)'`TtAfiea' and Farm Ghemiea Management of manure and chemicals used for agricultural activities. Without proper conservation practices, manure could be carried into a stream, wetlands, or other waters of the state by any means. Fafm eChemicals used for agricultural activities tstshall be applied consistent with chemical container labels and all applicable federal and state laws and regulations to avoid harm to streams, wetlands, and other fish and wildlife habitat conservation areas. (3) Soil Eerosion and Sediment CepAfel r,r.,....geme. * Construction of roads used for agricultural purposes, agricultural equipment operation, and ditch construction and maintenance should be undertaken in such a manner as to avoid sediment contribution to streams..-; (4) Drainage Infrastructure. Maintenance and operation of ditches should be designed to prevent maintenance problems, avoid blocking water flow, ensure control of erosion, avoid sedimentation, protect water quality, and ensure stream bank vegetation is protected or replanted -.Land (5) Unnecessary removal of Rriparian ve et�-NCanageffwaC Dense riparian vegetation along the water's edge will slow and protect against flood flows; provide infiltration and filtering of pollutants; secure food and cover for fish, birds, and wildlife; and keep water cooler in summer. Existing riparian vegetation should be managed to continue to provide soil and streambank stability, shade, filtration, and habitat for fish and wildlife, and control noxious weeds. 18.22.820 Alternative performance -based approach for agriculture in F"CAs or wetlandsAppfieability and elassification. (1) Applicability. An owner or a producer of agricultural products or commodities may apply to use the performance requirements of this chapter instead of the prescriptive standards. This shall include the submission of an application on a form approved by the administrator and approval by DCD based on requirements of this article for the following agricultural activities within a FWHCA or a wetland or its associated buffer: aefivities within fish and wildlife eeasefva4iefi afeas or- wetlands or- their buffer-s shall eemply with eithef the (a) New or expanded areas of agricultural activities; and: (b) Producers of agricultural products or commodities conducting one or more of the following agricultural activities within the footprint of Mean agricultural activity as of the effective date of thins-e�March 10, 2020), the date agriculture was first regulated under this article: (i) Adding or expanding temporary or permanent structures; (ii) Adding or expanding compacted areas such as for parking, roads, or access; (iii) Adding or expanding impervious areas; (iv) Adding or replacing wells or septic systems; (v) Constructing or altering ditches or drainage systems; Appendix B - 67 (vi) Constructing or altering farm a -ad ...,.,a_ ponds for agricultural use; (vii) Expanding or altering manure or compost management structures or practices; (viii) Expanding or haltering the application of fertilizers or agricultural chemical management aetivities in proximity to wetlands or water bodies; (ix) Adding or altering irrigation practices; or (x) Other similar agricultural activities as determined by the administrator. (2) This article does not apply to: (a) Exempt agricultural ahctivities per JCCJCC 18.22.230 3 a . (Agricultural activities occurring within the footprint of use as of the effective date of d s-�March 10, 2020, the date agriculture was first regulated under this article} are exempt from compliance with this chapter unless listed in JCCJCG 18.22.720;--. (c) Agricultural activities that meet the FWHCA and wetland nrescrintive standards: or (bd) Agricultural activities that do not lie within FWHCAfish a -a - ildlif ,.ensep,,4".f areas or wetland_ prescriptive standards. (3) Agricultural Cchecklist and Cclassification. The departmen CD shall develop, adopt and maintain an agricultural checklist in consultation with farm assistance agencies for completion by producers of agricultural products or commodities. The agricultural checklist shall identify agricultural activities and the conservation practice(s) necessary to achieve the performance standards in JCC JC�18.22.830 and avoid potential negative impacts described under resource concerns in JCC 18.22.810. Based en the aehievement of performance standards as deeumen4ed inin the following classifications shall be used on the agricultural checklist, pr-epes is shall be *.. e as follows: (a) Type 1 Cconservation P-practices Ccompliant. A Type 1 classification applies to producers of agricultural products or commodities that have a farm plan developed by state ^r fedefal.farm assistance agencies, or have completed the agricultural checklist, demonstrating that a development application*mil addresses performance standards in JCC JC&18.22.830-_due to the nature of the proposals and conservation practices in place that avoid potential negative impacts described under resource concerns in JCCJCC 18.22.810. (b) Type 2 Econservation P-practices Sscheduled. A Type 2 classification applies to pr-epesalsdevelopment that does not meet one or more performance standards in JCC 7tT18.22.830 and identifies conservation practices that will adequately address resource concerns created by the agricultural activities. The conservation practices shall be implemented based on a schedule developed in consultation with farm assistance agencies or a report by a natural resource conservation professional. Such scheduled conservation practices shall avoid resource concerns identified in JCCJCC 18.22.810 and meet performance standards in JCC-JCC 18.22.830. (c) Conservation practices unable to be met applies when the checklist criteria and cannot document that appropriate conservation practices have been implemented or scheduled that will adequately address resource concerns created by the agricultural praetieesactivities. T-keA producer of agricultural products or commodities shall complete an agricultural checklist and provide a report prepared by a state of fedefal farm assistance agency or a natural resourcetion professional to demonstrate how the proposal meets the performance standards in JC&JCC 18.22.830 and avoids potential negative impacts described under resource concerns in4C-C JCC 18.22.810. If performance standards cannot be met with adequate conservation practices scheduled, the proponent shall be subject to the prescriptive standards of this chapter and may apply for variances or reasonable eeeHemie use exceptions as applicable under JCC JCC- 18.22.250 and JCC 18.22.260, where appropriate, or may pursue a financially bonded critical area Appendix B - 68 stewardship plan (CASP) as applicable under JCC JG&18.22.965; provided, the proposal can meet all CASP financial and other provisions. 18.22.830 Protection standards. (1) Performance Standards. Producers of agricultural products or commodities shall submit an agricultural checklist and supporting documentation to the satisfaction of the administrator to demonstrate all of the following performance standards are met due to the nature of the proposal as well as installed or scheduled conservation practices: (a) Structures and impervious surfaces are sited to prevent manure, pathogens, sediment, and other contaminants from entering fish and wildlife habitat conservation areas and wetlands..-; (b) Roof runoff is managed so that it does not result in ponding or channeling in confinement areas, or contribute to the discharge of manure, pathogens, sediment, pesticides, and other contaminants to fish and wildlife habitat ^ ^ atia ^ ^^FWHCAs and wetlands..-; (c) Aare managed to prevent stormwater from carrying manure, pathogens, sediment, pesticides, and other contaminants from entering all fish and wildlife habitat ^^„s^=atie areaFWHCAs and wetlands..-; (d) Catch basins, drains, tiles, pipes and other conveyances of surface and ground water that outlet to streams and ditches installed and maintained in a manner that prevents the entry of manure, pathogens, sediment, pesticides, and other contaminants..-; (e) Livestock are excluded from fish and wildlife habitat eense .,^�^^FWHCAs and wetlands by means of fencing, gates or other controls that are consistent with the practices recommended by farm assistance agencies..-; (f) Buffers are established that either: (i) are consistent with either the prescriptive standards in this chapter applicable to fish ^„a wildlife habitm eensefvatie„ ar^-OWHCAs or wetlands or (ii) consistent with farm assistance agency -designed conservation practices that provide for buffers around fish ^„a wildlife habita4 eefisep�^ ia„ ar-e FWHCAs or wetlands within areas where livestock are kept.-, (g) Manure is handled and stored in a way that prevents nutrients, pathogens, sediment, and other contaminants from entering Fist. and wildlife habitat ^ r-�^^FWHCAs and wetlands..-; (h) Manure is applied in a manner ^„a its appNeatien .:„,^a to prevent pollution offish and wildlife habitat eefiseFva4iafi ^ e FWHCAs and wetlands..-; (i) Compost production is handled and stored in a way that prevents stormwater from carrying nutrients, pathogens, sediment and other contaminants into fish and wildlife habitat ^ „se ,^.:^„ ^r^^FWHCAs and wetlands.-; 0) Appheation of fEertilizers or agricultural chemicals for weed and pest control are eendttc4Wplied in a manner that prevents them from entering any fish and wildlife habitat eenset=vati,.„ afeasFWHCAs and wetlands on agricultural landthe-€arm either by aerial drift or by stormwater run-off-; (k) The proposaldevelopment avoids adverse alteration of wetland hydrology.-; (1) The prepesaldevelopment protects riparian vegetation or tree cover after drainage maintenance or construction..., (m) The proposal maintains surface and groundwater flow, discharge, and recharge, through such means including but not limited to maintaining soil permeability, avoiding net increases in impervious areas, avoiding compaction, or avoiding changing discharge to streams-; Appendix B - 69 (n) Existing native woody vegetation is retained along streams, lakes, ponds, and wetlands consistent with the practices recommended by farm assistance agencies...; (o) The site has not been cleared under a forest practices permit or altered tree cover by more than 10,000 square feet.., (p) If in a flood hazard area, all fill or excavation or additional permanent impervious areas as proposed are in conformity with county flood hazard regulations in chapter 15.15 JCC and the practices recommended by farm assistance agencies..-: and (q) AThe proposed agricultural activity is consistent with locational allowances in subsection (2) of this section. (2) Locational 9standards. Table 18.22.830(1) identifies agricultural activities that are allowed in or near wetlands and stF,e FWHCAs and their associated buffers. (a) Cultivation and production and agricultural structures, buildings, impervious areas shall meet the locational allowances and associated performance standards. Table 18.22.830(1) Agricultural Activities Allowances in Wetland and ` letland/St_,....-�� n FWHCA Buffers Activity Allowed in Wwetlands Allowed in associated Wetland and_ FWHCA-Stream Buffers Cultivation and production Yes, existing agricultural activities lawfully established Yes, existing agricultural activities lawfully established as of March 10, 2020, the a ff�eti .e date regulation of as of March 10, 2020, the e ffeeti e. date regulation of agriculture was first adopted inef this chapter,'*� 1 agriculture was first adopted in -of this chapter_ ( aFeh-- 0,� Yes, new or expanded agricultural activities',2 -9,2820) Yes, new or expanded agricultural activities' Z Agricultural structures, Limited to activities addressed by farm assistance Yes, existing agricultural activities lawfully established buildings, impervious areas agency practices on farmed wetlands, including but not as of March 10, 20204 the af€estive date regulation of limited to high tunnel systems, where consistent with agriculture was first adopted min -of this (Mareh federal and state law',Z,3 1 n ,2020) Yes, new or expanded agricultural activities',z Notes: Subject to performance standards in subsection (1) of this section and determined to be a Type 1 or Type 2 proposal per JCC JC-&18.22.820. Z Conditions or performance standards applied by the administrator may include but are not limited to wetland/riparian or buffer enhancement in limited circumstances and as determined in consultation with a farm assistance agency or qualified professional, or wetland specialist, provided proposed actions for compensation are conducted in advance of the impact and are shown to be successful and provided enhancement is part of ongoing monitoring. ' Producers of agricultural products or commodities shall demonstrate they have received a NRCS Certified Wetlands Determination or equivalent determination b another farm assistance agency, state oversight agency official, qualified professional, or DMieff . sen Gein. , q Y g Y> g g Y q p �. (3) Structures. Structures shall be determined to achieve no -net -loss of critical area functions and values when following NRCS Field Office Technical Guides (FOTGs). Documentation supports the administrator making a written decision finding that the landowner's compliance with other state or federal regulations or permits provides sufficient protection on the site to satisfy related critical areas requirements of this chapter. (a) The administrator may condition the proposed agricultural activities to avoid resource concerns in JC-GJCC 18.22.810 y requiring conservation practices recommended by farm assistance agencies, a natural resources conservation professional or a qualified professional. (b) If the agricultural activity has conservation practices unable to be metis ^ Type 3 er-itio ' area „na,.,.,,mentoa or does not demonstrably meet the performance standards in subsection (1) of this section, or does not meet locational requirements of Table 18.22.830(1), the administrator shall deny proposal. The proponent may seek use of the prescriptive path offered in this chapter. Appendix B - 70 (4) Conservation Ppractices. Owners of A49ricultural landownm and eperater�producers of agricultural products or commodities are encouraged to design conservation practices through use of the following resources: (a) Section 4 of the USDA Natural Resources Conservation Service (MRCS) "Field Office Technical Guide" (FOTG) contains a nonexclusive list of conservation practices to guide implementation of the expectations of this article. (b) The Jefferson County conservation district is available to assist with completion of an agricultural checklist and in the development of conservation plans approved by DC -)thr-eugh the N A producer of agricultural products or commodities may also work with other farm assistance agencies. (5) Scheduled Econservation Ppractices. For a -Type 2 conservation practices not satisfied scheduled proposal, the pwpenentApplicant shall identify the standards by which the practice will be designed and the scheduled date of implementation. The proponent shall provide documentation the scheduled conservation practice has been established in accordance with the design specifications following implementation. 18.22.840 Monitoring and adaptive management. Monitoring provides information used by tuff fse Ceun'"DCD to assist in determining the effectiveness of the county's critical area regulations and conservation practices applicable to agricultural activities. jefferson CeuntyDCD shall develop a cooperative monitoring program with producers of agricultural products or commodities , conservation district staff and farm assistance agency staff based on the conservation practices and performance standards of approved critical areas permits in agricultural ar-easland. The monitoring program shall identify existing functions and values per subsection (1) of this section, the thresholds of no harm or degradation in subsection (2) of this section, and the benchmarks and outcomes in subsection (3) of this section. The monitoring and adaptive management report shall be prepared periodically in accordance with subsection (4) of this section. (1) "Existing functions and values" meanrelate4e the following categories as compared to conditions as of the- e ff etive date of this ehapter'March 10, 2020), the date regulation of agriculture was first adopted in this chapter: (a) Water quality, as documented in a given watershed by the Jefferson County conservation district or other managemea farm assistance agency. (b) The existence or absence of large woody debris within a stFeamFWHCA, as documented in the analyses completed by the Washington State Department of Fish and Wildlife for the Water Resource Inventory Areas (WRIAs) 16, 17, 20, and 21, or other relevant studies. (c) The existing riparian buffer characteristics and width, including, but not limited to, the existing amount of shade provided by the existing riparian buffer, as documented in analyses completed for the Water Resource Inventory Areas (WRIAs) 16, 17, 20, and 21, or other relevant studies. (d) The existing channel morphology as documented with Washington State Department of Natural Resources Aerial Photography. (e) Location and functions of wetlands if present and determined by a wetland rating or as depicted by National Wetlands Inventory, Jefferson County GIS critical areas mapper or other mapped documentation and described by a wetland rating (when available). (2) "No harm or degradation" means the following: (a) Maintaining or improving documented water quality levels, if available. (b) Meeting, or working towards meeting, the requirements of any total maximum daily load (TMDL) requirements established by the Washington State Department of Ecology pursuant to Echapter 90.48 RCW. (c) Meeting all applicable requirements of Echapter 77.55 RCW and Echapter 220-660 WAC (Hydraulics Code). Appendix B - 71 (d) No evidence of degradation to the existing fish and wildlife habitat characteristics of the FWHCAstr or wetland that can be reasonably attributed to adjacent agricultural activities. (e) The references above to Echapters 77.55 and 90.48 RCW and Echapters 173-201A and 220-660 WAC shall not be interpreted to replace Washington State Department of Ecology and Washington State Department of Fish and Wildlife authority to implement and enforce these state programs. (3) Monitoring Pprogram-Bbenchmarks and Goutcomes. (a) Water quality monitoring results shall be based on sampling data collected and analyzed in accordance with the most recent version of the Washington State Department of Ecology Guidelines for Project Quality Plans for Environmental Studies and reviewed by Jefferson County dDepartment of Environmental pPublic hHealth or another designated pator:nT agency with jurisdiction. To comply with the no harm requirement for water quality, all parameters evaluated must remain comparable (or improve) relative to established state standards. If any water quality parameter shows a decline, DCD and environmental public health may require on -site sampling of upstream and downstream water quality conditions to determine if permitted activities that have been implemented have since affected water quality. (b) Habitat ecology should remain comparable to the watershed conditions as documented by agencies with expertise with no net loss of critical area functions and values compared to a baseline as of the effective date of this ordinanee March 10, 2020), the date regulation of agriculture was first adopted in this chapter. Additionally, indicators of habitat conditions, such as (i) the percent cover of woody vegetation (native trees and shrubs) shall not result in a net decrease; (ii) the amount of habitat features such as snags, downed woody debris, and open water habitats shall not result in a net decrease. (c) In -stream fish habitat, wetland and riparian vegetation conditions should remain stable or improve (based on assessments, reports, and online information published the Washington State Department of Fish and Wildlife or another state or federal agency with jurisdictioneenipa abk ex.ergs°). Critical area restoration and habitat improvement projects when required as part of approved conservation practices or performance standards shall meet specific benchmarks to ensure success. The applicant shall propose specific benchmarks for approval by the director. The benchmarks shall reference indicators of habitat conditions per subsection (3)(b) of this section or other relevant habitat ecology indicators based on site specific conditions, advice from farm assistance agencies, advice from agencies with expertise, or applicable areawide studies by qualified professionals or agencies with expertise that are relevant to the site. At a site -specific level, any activity that negatively affects salmonids shall be considered a negative benchmark. This could include, but is not limited to, installation of in -stream barriers to fish passage, removing woody debris from a stream, altering spawning gravel, altering pool/riffle instream conditions, or introduction of chemicals into the water column. (d) Wetland area and function should remain stable or improve, as documented by monitoring or periodic site inspection of plan implementation or aerial photo analysis of mapped wetlands within areas of new or expanded agricultural intersects. (4) Reporting. The administrator shall periodically review the monitoring and adaptive management report of applicant conservation practices programs' implementation and compliance beginning one year after the effective date of this article and every two years thereafter, through the life of the monitoring and adaptive management report, or more frequently at the administrator's discretion. The review may include periodic site inspections, a certification of compliance by the producer, or other appropriate actions. A subset of properties may be monitored on a rotating basis. (a) Self -certification is allowed for approved Type ape conservation practices satisfied and not satisfied classifications. A sufficient self -certification monitoring report shall include photos and implemented conservation practices or documentation from farm assistance agencies, a natural resources management professional or a qualified professional. Self -certifications shall be submitted within 45 days of request; county staff may make a site visit. Site visits will be coordinated with the landowner /or producer of agricultural products or commodities. Prior to carrying out a site inspection, the administrator shall provide reasonable notice to the owner or manager of the property as to the purpose or need for the entry, receive confirmation, and afford at least two weeks in selecting a date and time for the visit. At the lanlowner's or or of Appendix B - 72 agricultural products or commodities' discretion, the Jefferson conservation district staff or other farm assistance agency staff may accompany DCD4* f. (b) The county will, in cooperation with producers of agricultural products or commodities or farm assistance agency staff, publish the results of its periodic reviews and make them available to the public and state agencies. These results will include all baseline monitoring data, summary statistics, an assessment of the accuracy and completeness of the data, and a description of data collection issues if any, identified during the reporting period as well as the following additional information: (i) A description of all compliance assessments and source identification actions taken during the reporting period; (ii) A description of educational outreach actions as well as enforcement actions taken during the reporting period; (iii) A description of any actions taken to modify conservation practices on a site or area specific basis; (iv) A discussion of monitoring priorities for the next reporting period; and (v) Potential adaptive management measures applicable on an areawide or countywide basis when monitoring indicates: that standards or thresholds are being exceeded; the exceedance is adversely affecting designated critical areas; and a change in regulations that are applicable areawide or countywide is needed to address the exceedance. Modifications may also be made if monitoring indicates that less stringent standards are appropriate based on best available science. rn .,a c 20 § 2 (Appx. n n 18.22.850 Compliance. (1) Critical area protection is required for existing and ongoing agriculture as well as new agriculture. All agricultural activities shall be conducted so as not to cause harm or degrade the existing functions of critical areas and associated buffers. (2) Agricultural activities are expected to meet the objectives and standards of this article through voluntary compliance. Agricultural operations shall cease to be in compliance with this article, and a new or revised agricultural checklist and supporting documentation will be required consistent with JCCJCC 18.22.820, when the administrator determines that any of the following has occurred: (a) When a producer of agricultural products or commodities fails to implement and maintain their conservation practices determined to exist or be scheduled in per JCCJC-C 18.22.820 pfepefly and may. (b) When implementation of the conservation practices fails to protect critical areas. If so, a new or revised agricultural checklist and schedule of conservation practices shall be required per JCCJCG 18.22.820 to protect the values and functions of critical areas at the benchmark condition described in JCGJCC 18.22.840 or a baseline established by the producer of agricultural products or commodities in consultation with a farm assistance agency, natural resources management professional or qualified professional. (c) When substantial changes in the agricultural activities of the farm or livestock operation have occurred that render the current agricultural checklist and associated conservation practices ineffective. Substantial changes that render an agricultural checklist and associated conservation practices ineffective are those that: (i) Degrade baseline critical area conditions for riparian and wetland areas that existed when the plan was approved; (ii) Result either in a direct discharge or substantial potential discharge of pollution to surface or ground water; or (iii) The type of agricultural practices changes . Appendix B - 73 (d) When a new or revised agricultural checklist and supporting documentation is required, and the producer of agricultural products or commodities has been so advised in writing and a reasonable amount of time has passed without significant progress being made to develop said plan. Refusal or inability to provide a new agricultural checklist within a reasonable period of time shall be sufficient grounds to revoke the approved agricultural activity and require compliance with the standard provisions of this chapter. (3) When a producer of agricultural products or commodities denies the administrator reasonable access to the property for technical assistance, monitoring, or compliance purposes, then the administrator shall document such refusal of access and notify the producer of agricultural products or commodities of hisAier-the findings. The producer of agricultural products or commodities shall be given an opportunity to respond in writing to the findings of the administrator, propose a prompt alternative access schedule, and to state any other issues that need to be addressed. Refusal or inability to comply with an approved agricultural checklist and schedule of conservation practices within a reasonable period of time shall be sufficient grounds to revoke said plan and require compliance with the standard provisions of this chapter. (4) If agricultural activities result in degradation of a critical area, the producer of agricultural products or commodities shall be required to either cease the agricultural activity that results in critical area degradation or prepare an agricultural checklist and supporting documentation that demonstrates how €ai:fningagricultural activities will be brought into compliance with critical area protection requirements. The agricultural checklist shall be submitted to depaftment of eemmttaity developm CD for review and approval. If the administrator determines the proposed activities and conservation practices do not sufficiently address critical areas degradation, a farm assistance agency, natural resources management professional or qualified professional shall prepare a schedule of conservation practices. The pr-epexentapplicant shall allow the county or farm agency with expertise reasonable access to the parcel to determine that the scheduled conservation practices are installed, and critical areas functions are not being degraded. If compliance cannot be achieved, other enforcement action based on JGC—Ttitle 19 JCC shall be required. (5) A producer of agricultural products or commodities is responsible only for those conditions caused by agricultural activities conducted by the producer of agricultural products or commodities and is not responsible for conditions that do not meet the standards of this article resulting from actions of others or from natural conditions not related to the on -site agricultural operations. Conditions resulting from unusual weather events (such as storm in excess of a 25-year, 24-hour storm) or other exceptional circumstances that are not the product of obvious neglect are not the responsibility of the owner or producer of agricultural products or commoditieseperater. rn -a 5 20 § 2 18.22.860 Limited public disclosure. (1) Producers of agricultural products or commodities that have a farm plan developed by s.�a farm assistance agencies will not be subject to public disclosure unless required by law or a court of competent jurisdiction. (2) Provided, that the county will collect summary information related to the general location of a farming enterprise, the nature of the farming activity, and the specific conservation management practices to be implemented such as through an agricultural checklist per JCC3CG 18.22.820. The summary information shall be provided by the producer of agricultural products or commodities or- hi"efWproved designee and shall be used to document the basis for the county's approval of the proposal. (3) The county will provide to the public via its website information regarding which fafms havve approved Type , ei Type 2-agricultural land has approved conservation practices per JCC3CG 18.22.820 and the date of their approval. (4) Upon request, the county may provide a sample agricultural checklist, exclusive of site- or property —specific information, to give general guidance on the development of a conservation farm plan. Article IX. Special Reports 18.22.900 Purpose. (1) Purpose. Special reports may be required to provide environmental information and to present proposed strategies for maintaining, protecting, or mitigating impacts to critical areas: Appendix B - 74 (a) Demonstrate that the submitted prepesaldevelopment, land disturbingactivity ctivi . or use is consistent with the purposes and specific standards of this chapter; (b) Describe all relevant aspects of the development proposedal and critical areas adversely affected by the prepesal development and assess impacts on the critical area from activities and uses proposed; (c) Where impacts are unavoidable, demonstrate through an alternatives analysis that no other feasible alternative exists; and (d) Consider the cumulative impacts of the proposed action that includes past, present, and reasonably foreseeable future actions to facilitate the goal of no net loss of critical areas. Such impacts shall include those to wildlife, habitat, and migration corridors; water quality and quantity; and other geologic or watershed processes that relate to critical area condition, process, or service. [Ord. 5 20 § 2 (Appx. n )l 18.22.905 General requirements. (1) When especial Rreports Aare Rrequired. The administrator fftayshall require a special report or reports if any portion of a proposes development, land disturbingactivity or use has the potential to negatively impact a critical area or encroach upon a buffer, and that impact or encroachment requires mitigation, consistent with the standards found in this chapter. (2) The administrator shall determine the requirements for qualified professional and verify the qualifications of Drofessionals submitting special reports. A habitat reconnaissance letter is intended to document the existence of critical areas and their associated buffers. This letter shall be prepared by a qualified professional in the field of the critical area. The administrator will determine if they agree with the assessment of the habitat assessment letter. (23) Standard #requirements. Special reports shall be prepared for review and approval by the administrator. In addition to specific requirements of particular special reports described in this article, each special report shall describe narratively and show graphically, if applicable, the following: (a) The proposed development, land disturbing activityor use, and its location and dimensions; (b) Provide a scaled site plan that includes a north arrow, property boundaries, existing structures and features on the subject site, and the limits of clearing_ needed during construction ; (c) Describe existing conditions and Aall critical areas and their buffers occurring on the pro ei ; (d) Assess potential impacts to all critical areas and their associated buffers 4tnetien ara ..hies per the specific requirements described in this article for each critical area type; (e) Propose mitigation for unavoidable losses and impacts to critical areas and their associated buffers; (f) Identify amount of and limits of clearing, grading, and impervious surface on a stormwater calculation worksheet, if applicable; and (g) Present photographs of the project site. (34) Special reports shall be valid for five years from the date the report was prepared and report validity may be extended by the administrator; provided, critical area conditions, including buffer conditions, have not changed since the special report was written. The administrator shall have the authority to require a revised special report, as needed, to satisfy all the provisions of this chapter. [Or 5 20 § 2 ( pp A)] (5) The administrator may require a special report to be recorded at the auditor's office. Appendix B - 75 18.22.910 Waivers. The administrator may waive the requirement for a special report in limited circumstances when an applicant demonstrates all of the following: (1) The proposal involved will not affect the critical area in a manner contrary to the goals, purposes, and objectives of this code; and (2) The minimum protection standards required by this chapter are satisfied. 18.22.915 Retaining consultants. Jefferson County may retain consultants to assist in the review of special reports outside the range of staff expertise. The applicant shall pay for the costs of retaining said consultants. rn .a 5 20 § 2 (Appx. A)] 18.22.920 Acceptance of special reports. (1) The administrator shall verify the accuracy and sufficiency of all special reports. (2) If the administrator finds that a special report does not accurately reflect site conditions, or does not incorporate appropriate protections mechanisms, the administrator shall cite evidence that demonstrates where the special report is insufficient or in error. The applicant may then revise and resubmit the special report. rn .,a 5 20 § 2 (Appx. A)] 18.22.930 Critical aquifer recharge area reports. (1) General. Critical aquifer recharge area reports serve as the primary means for Jefferson County to verify the accuracy of its critical aquifer recharge area map and to determine specific aquifer protection measures to be applied to prevent significant adverse impacts to groundwater quality, and in some cases water quantity. A critical aquifer recharge area report shall be prepared by a hydrogeologist when required in Article III (Critical Aquifer Recharge Areas) of this chapter. (2) Standards for C-critical Aaquifer #recharge Aarea Rreport or Rhydrogeologic Revaluation. A critical aquifer recharge area report or a hydrogeologic evaluation shall be made by a hydrogeologist. The critical aquifer recharge area report shall include: (a) A detailed description of how the project, including all processes and other activities, has the potential to impact groundwater recharge or for contaminating groundwater; (b) A hydrogeologic evaluation that includes, at a minimum: (i) A description of the hydrogeologic setting of the aquifer region; (ii) Site location, topography, drainage, and surface water bodies; (iii) Soils and geologic units underlying the site; (iv) Groundwater characteristics of the area, including flow direction and gradient, and existing groundwater quality; (v) The location and characteristics of wells and springs within 1,000 feet of the site; and (vi) An evaluation of existing groundwater recharge; and (vii) A discussion and evaluation of the potential impact of the proposal on groundwater recharge. (c) A contaminant transport analysis for the uppermost groundwater supply aquifer assuming an accidental spill or release of project -specific contaminants or on -site sewage discharge, or both if applicable; (d) A discussion and evaluation that details available on -site spill response and containment equipment, employee spill response training, and emergency service coordination measures; Appendix B - 76 (e) Best management practices to minimize exposure of permeable surfaces to potential pollutants and to prevent degradation of groundwater quality; (fPollution prevention measures to be implemented, including but not limited to, secondary containment for chemical storage areas, spill prevention measures, and contingency plans for emergencies; (€g) Demonstrate compliance with applicable protection standards in JGGJCC 18.22.330; and (gh) will be implements If performance standards cannot be met with adequate conservation practices scheduled, the applicant shall be subject to the prescriptive standards of this chapter and may for a variance under JCC 18.22.250 or a reasonable use exception under JCC 18.22.260. (3) County #review. Critical aquifer recharge area report or hydrogeologic evaluation shall be forwarded to the Jefferson County department of environmental public health for technical review. The county may request additional information in order to determine the adequacy of the reports and may rely on input from Washington State -- Department of Ecology or Washington State Department of Health. (4) Conditions for Mmitigation (identified in the Ecritical Aaquifer Rrecharge Aarea Rreport or Flhydrogeologic Eevaluation. The administrator shall determine appropriate permit conditions as identified in the critical aquifer recharge area report or hydrogeologic evaluation to mitigate the impacts of proposed activities to critical aquifer recharge areas. 18.22.940 Frequently flooded area reports. (1) Habitat Aassessment Rrequired. A habitat assessment mayshall be requireds if any portion of the proposed project occurs within a special flood hazard area (floodplain), as mapped by the Federal Emergency Management Agency (FEMA). (2) Standards for 14habitat Aassessment. (a) In addition to the general requirements found at JCGJCC 18.22.905, frequently flooded area reports shall be based on 2013 FEMA Region 10 guidance document entitled Regional Guidance for Floodplain Habitat Assessment and Mitigation in the Puget Sound Basin (or as amended by FEMA). (b) Habitat assessments also shall be prepared to comply with Article IV of this chapter and the flood damage prevention ordinance, as codified in Chapter 15.15 JCC. [n -,l 5 20 § 2 (App*. )] 18.22.945 Geologically hazardous area reports. (1) General. When required in Article V, a ,geological professional (state -licensed geotechnical engineer, a geologist, or a professional engineer knowledgeable in regional geologic conditions with professional experience assessing geologically hazardous areas) shall make a site visit to determine if a geologically hazardous area or its associated buffer is present. Based on the site visit, a geotechnical letter or a geotechnical report shall be prepared based on requirements in Article V (geologically hazardous areas), the general report requirements of JCC 18.22.905, and report requirements in sections (2) through (4) below. (2) Qualifications of the preparer. Geotechnical letters and reports shall be prepared by a geotechnical professional (licensed geotechnical engineer, a geologist, or a professional engineer) knowledgeable in regional geologic conditions with professional experience assessing geologically hazardous areas. Geologically hazardous letters, reports, and drawings shall be stamped and signed by he geotechnical professional preparing the documents. (3) Geotechnical letter. A geotechnical letter shall be prepared and submitted only. i�project components, including areas of temporM iMpact and the limits of clearing, are outside of all geologically hazardous areas or their associated buffers, as described in JCC 18.22.530(2); provided the geotechnical professional is not proposing a buffer reduction. A geotechnical letter shall address the following (a) Describe site location and existing conditions; (b) Describe proposed activity and all geologically hazardous areas and buffers that occur on the property; Appendix B - 77 (c) Show the distance of the geologically hazardous area buffers and setbacks from the limits of clearing on a site plan, which should be included with the geotechnical letter; and (d) Provide recommendations, as appropriate, to minimize the risk of erosion or landslide. (4) Geotechnical report. A geotechnical report shall be prepared and submitted if any part of the development, land disturbingactivity ctivity or use, including areas of temporarmpact and areas within the limits of clearing, are within a geologically hazardous area or an associated buffer, as described in JCC 18.22.530(2), (3) or (4), or if a buffer reduction is proposed. (a) A geotechnical report shall contain the following information: (i) Site location, including parcel number; (ii) Detailed description of development, land disturbingactivity or use; (iii) Date on -site geologic assessment was conducted and date report was completed; (iv) Summary of geologic information reviewed and analyzed (such as maps and reports) to determine the potential for geologically hazardous areas to be present. Based on this review, identify the types of geologically hazardous areas and buffers that have the potential to occur in the development, land disturbingactivity or use; (v) Detailed description of the site, geologically hazardous areas and their associated buffers, including but not limited to, surface and subsurface geology, hydrology, soils, and vegetation; (vi) Detailed description of the results of the field investigation, including all geologically hazardous areas occurring on the property. The description shall also address the stability of the geologically hazardous areas and buffers and shall describe any past activity in the vicinity of the property; (vii) Assessment of the potential for the proposed activity to affect the geologically , hazardous area or the stability of the area. (viii) Drainage and erosion control plan that addresses provisions in 18.22.530(1)(f) and presents physical, structural, or managerial best management practices that prevent or reduce pollution of water; (ix) Description of potential effects of the proposed activity on stormwater quality, quantity, and runoff patterns post -construction. The report shall clearly indicate if the development, land disturbingay or use has the potential to affect or alter water movement to the geologically hazardous and buffer if the Droposal is implemented and identifv measures to avoid or minimize alteration of stormwater: (x) If a development, land disturbing activity or use is proposed within a geologically hazardous area as addressed in JCC 18.22.530(2), (3) and (4), the report shall state if the development, land disturbing activity or use can be safely constructed, occupied, or used and shall include any engineering,design construction to protect public health and safety; (xi) Conclusions and recommendations relevant to the development, land disturbingactivity or use and existing site conditions; (xii.) Site plan showing the location and extent of development, land disturbingactivity ctivi . or use proposed during the site visit; and (xiii) Figure showing geologically hazardous areas and their associated buffers relative to property boundaries, the development, land disturbing activity and uses and clearing limits, existing structures and other site features, existing and proposed contours, and stakes placed onsite. Appendix B - 78 (b The administrator may request that the project geologist or project engineer to review reports and plans prepared by others for consistency with the conclusions and recommendations in the geotechnical report. (a) N%st be Based an Site Conditions. Reeemmendations for- eartl+werk, elear-ing or siting stfiueWres in — geologically hazardaus areas shall be based en existing site eanditions Father than fneasiires that h enotyet been stweessfully appr-eved, designed, or- eanstf:ueted (e.g., slope reeantotifing, slope r-etaining wall ..tbulkheads, ete \ 0 0 om u (b) Limits on Sher-eline Btilkheads and Retaining Walls. Shor-elifie btilkheads and r-etainifig walls May Only be (i) An existing residential stmeWFe of other- permitted existing pttblie or- private stmewFes eF publie f4eili stieh as reads or highways eannot be safely maintained without sueh fneasuFes; (ii) Other fienst=le�ufal metheds of beaeh stabilization ha-ve been eansidefed a -ad detem:nined infeasible; a+,A (iii) The r-estilting stabilization stmetufe is the minimum necessary to provide stability fer the existing stmetur-e , and appu..to drainage,stfuetufes (i.e., these that do net involve design modifieations, ehanges in stfuetufe leeation, of demolition or- (2) Pr-ejeet Submittal Standards for Geological Reports. A geelogioal report is required for site development proposals that involve development aetivity or- the installation of stmetwes within a geologieally hazardous following minimum infofmation is r-e"ire& (a) Site infeftna ion fegafding the er-itieal afeas designations that afket site feattifes; (b) Deseription of sufface and subsurfaee conditions, including gre und materials, vegetation, stir-faee (e) Review „Favailable site inf ,-.v..,tio liter..ttife ,,.,] fn Rppl-9; avoid andler- feduee slope and shor-e impaets. Minimum feeommendations should inelude upland and slope- (d) Detailed deseriptien of slope and other- topographic feattifes; eanmot,-. et; r (h) A elear statement whether- of not the proposal will affeet of alter -water- movement to the geolegieall��- (i) identify measures to avoid er- minifnize alteration of steftnwatef funaff patterns post eonstmetion. depa4ment or a geologieal fepoi4 deteffaines tha4 a proposal re"ir-es additional site ififofm4ion stiek as - Appendix B - 79 . design testing, - !ring recommendations, slope stability analysis, subsurface exploration Depending the level and coastal the pr-oeess analyses, or eonstatetion feeommendations. be limited on of aetivity proposed, 441 geoteehnieal fepof4 will either- a fnor-e geoteehnieal Geeteehnieal Slope Evaluation RepeFt. A slope evaittation r-epoi4 of a geoteehn' is (a) geeteehnieal to slope evaluatien r-epoi4 drainage r-equir-ed when slope - ineluding-the- stability analyses are eonfined addressing only existing sur-faee andler eenditions, drainage, The . . foil i information is vegetation removal and slope geeme4y. - ft Repefts); SubsuFfaee data, logs, testing data, by the (ii) expleFation and hstifna4ed when requir-ed t�'Pieal geoteehnieal ; (iii) (or- stwveyed) site plan with gr-ound stirfaee Relative leeation high pfofiles and the er-oss seetion-s-, (W) of ordinary water- (0143AI) ap (v) Soil strength par-afnetefs; (yi) Stability analysis of'existing site; , (vii) Analysis ef the r-elatioffship of vegeta4ion and (yiii) !'.,nee,.tu l site development ..laps and er-oss Geoteehnieal Design investigation Report. A an suFfaee pr-efile and slope stability; an eetions design ifwestigation er-ass seetiens, where is for (b) geotechnical development that design the report required site face toe. if aetivities propose and construction designed does impaet measures at the slope orest, anEVor- a be to stfuetufe not slope stability or- items listed this long eoastal pr-oeesses, r-epof4 item is will not r-equifed the details perfofva all tinder- seetion, as as item does The inelude eaeh addressed items a -ad repoft why -a- by the to "15, pai4iettlaf not apply. repoft shall the design the all eonsider-ed The following fieeessafy efigineef: infofma4ion is addfess engineering fe"ir-ements of All the infennatien site. minifflum this fe"ir-ed: Slope Evaluation Repeft); (i) r-equir-ed undeF subseetion (!)(a) (ii) r_eote,.l.rkal ev e nts a -a measures ,l,.to-eee Geeteohnieal for designs ineluding of section (Geateehnieal risk, dimensions, later (iii) er-iteria used any leeation, limits all er-itieal the -a! eaAh , timueted pr-esstifes, and of stFuetufes an ef near- slope, angles,bear-ing slope T-emporat-f , fifial (i-,,) eonstatetion slope stability r-eeommeadations des; Evaluation and analysis of for- proposed site stability - (vii) of erasion potential, r-ecommendations measures; eresien aveidanee and any proposed fnitigati infaffnation in the design investigation ; in (ix) outlined geeteehnieal „bseet e.. (3)( 1) of this seetio r-epoft site evaluation eheeklist r-equired Appendix B - 80 Appendix B - 81 Gonstfuetion inspection. A final inspection be by the (vii) report shall provided geotechnioal engineer stating - evaluating any devia4ian ffofn Geeteehnieal Design investigation the design feeafnmenda4ions. RepeFt Site Evaluation Cheeklist. The following (d) f r geeteehnie..l design investigatien (A) citeowner-name; (B) Project proponent name; (D) Cr- tie.,l areas designations e afe report guidelines r ,torts. „ f feeling site F aWres fnethads; an (B) T oea4ion and total afea of The inf6mation the ,. nstr..etion zone. be ineWded the design investigati site evaluation eheeklist All iteins listed shall as pat4 of geoteehnieal be in the the intended r-epeft. abeve to be ineWsive. it is the tniist addressed repet4.14ewever, above guidelines are net the te faeteFs in th all responsibility design investigation of geoteehnieal engineer- address all w-hieh is te the For items in the geoteehnieal thM to r-epeA r-elevant prejeet. any site evaltta4ion eheeklist infefmafien be to demonstrate the afe not relevant a pr-ejeet, items a not relevant to ., Results Depaftment's Review. shall provided why site evaltia4ion eheeklist et The department the (4) of (a) A eeept the ..eleegio l assessment shall Feview geeiegieal assessment and eithef= and appr-ave the „ .. p etion; e 18.22.950 Habitat management reports. (1) General. When required in Article VI of this chapter, a site visit conducted by a wildlife biologist is required to determine if a fish and wildlife ,,ab ta4 eensery do area FFWHCA) or its associated buffer is present. Based on the site visit, the biologist shall prepare a habitat reconnaissance letter or a habitat management plan and include all of the required information described in JC�JCC-_18.22.905. Habitat reconnaissance letters and habitat management plans shall be prepared based on requirements in Article VI (Fish and Wildlife Habitat Conservation Areas), the general report requirements of J49GJCC 18.22.905, and the criteria specified in subsections (2) and (3) of this section. (2) Habitat Reconnaissance Letter. A habitat reconnaissance letter shall be prepared and submitted only if all project components, including areas of temporary impact and the limits of construction, are outside of all FWHCA and its associated buffers, . A habitat reconnaissance letter shall document that proposed projects because of their location will not impact FWHCA and will include the following: (a) Site location and A -description of existing site conditionsell > W14 A s l (b) A description of the proposed development, land disturbine activity or use: (c) The buffer width used: Appendix B - 82 (d) A description of every FWHCA and its associated buffer on the property; (be) Narratively and graphically present the distance of all FWHCAs from the limits of clearing, as shown on a site plan. The site plan used during the site visit shall be included in the habitat review letter; and (fe) Photographs of the site_—and4keevery FWHCAs and its associated buffer. (3) Habitat Management Plan. A habitat management plan shall be prepared and submitted if any portion of the prepeseddevelopment, land disturbing activityor use, including areas of temporary impact and areas within the limits of clearing, are within a FWHCA, as described in this chapter, or if a critical areas or its associated buffer reduction is proposed. A habitat management plan shall address the following: (a) Detailed description of all proposed project components relative to en-siteevery FWHCAs, other en site development -proposed, and limits of clearing; (b) State whether or not in -water work is proposed, and if so, describe timing and methods of construction; (c) Date site visits were made and date report was completed; (d) A summary of information reviewed prior to the site visit to determine the potential presence of a FWHCA or its associated buffer; (de) Detailed description of the field investigation results, including habitat types present on the property, habitat conditions with a FWHCAs, location of native vegetation on the property, and location of nonnative or invasive vegetation on the property. The habitat management report should indicate if the critical areas extend off site; (ef) If the project area is identified as potential habitat for threatened or endangered species, methods used to determine presence or absence of listed species, methods used to determine if appropriate habitat occurs on site or in the vicinity of the site, and results of the field investigation; (€g) In addition to complying with the clearing, grading, excavation, and stormwater requirements in J49GJCC 18.30.060 and JCC 18.30.070, and the current Stormwater Management Manual for Western Washington, describe any potential effects of the prepeseddevelopment, land disturbing activityor use on stormwater quantity, quality, and runoff patterns post -construction. The report must eleaf y indi at 4Fshall state whether the proposal will affect or alter water movement to the FWHCA and its associated buffer if the prepesaldevelopment, land disturbing activity or use is implemented and identify measures to avoid or minimize alteration of stormwater runoff patterns post -construction; (gh) Identify all potential impacts of the pr-spes-ddevelgpment, land use activity or use on every FWHCAs and its associated buffer. The habitat management report shall include: (i) Mitigation Ssequencing. Describe measures to avoid and minimize impacts to ev�FWHCAs. For any unavoidable impacts, describe and justify all project components that cannot avoid impacting the FWHCA. For unavoidable impacts, mitigation plans must be prepared in accordance with subsection (3)(13i) of this section. (ii) Types of Iimpacts. All potential impacts to e FWHCAs and theirits functions and values shall be identified and described in the habitat management report. Habitat management reports shall consider direct impacts, indirect impacts, permanent impacts, temporary (long-term and short-term) impacts, and cumulative impacts. (iii) Impact Aarea. The area (square footage) of potential impact shall be quantified for eaehevery FWHCA and its associated buffer. At a minimum, impact area shall include FWHCA that occurs within the limits of clearing, as shown on the site plan; and (iv) Functional assessment. The impact assessment shall describe how the FWHCA and its associated buffer functions and values will be affected by the development, land use activity or use proposed. Appendix B - 83 (hi) Provide a detailed mitigation plan for any unavoidable impacts. Mitigation plans shall include: (i) Description and scaled, graphic rendering of the mitigation proposal and of the area, suitability, and objectives of the area to compensate for impact area and functions. (ii) A table identifying impact areas (in square feet) and functions affected for each FWHCA and its associated buffer that also identifies mitigation areas (in square feet) and functions. The table shall clearly show a link between potential impacts (area and function) and proposed mitigation (area and function). (iii) Mitigation plans shall include performance standards that are applicable to the goals and objectives of the mitigation effort. Monitoring shall be required annually for five years and quantifiable performance standards shall be specified in the plan for each of the five years of monitoring. (iv) A planting plan, when appropriate, that lists the species to be planted, including quantity and planting density of each species to be installed. (v) Monitoring schedule, monitoring methods, and monitoring data to be collected shall be described. (vi) Contingency measures shall be described. If any performance standard is not met, the administrator shall require contingency measures be implemented and may extend the monitoring period beyond five years to ensure FWHCAs are adequately mitigated and protected. (vii) A site map showing existing conditions, including property boundaries, the location of the development, land disturbing activity or use and limits of clearing, existing structures and other physical features on the property, the location of every on -site FWHCA and associated buffer potentially affected by the nronosal. (viii) A site map showing impact areas on the property. Figure shall show every FWHCA and its associated buffer potentially affected by the proposal relative to clearing limits, property boundaries, and existing site features. (ix) A site map showing mitigation areas on the property. The site map shall all proposed mitigation areas on the property. If buffer averaging is proposed, the area of increase shall be shown relative to the area of decrease on the fieure. (v4ix) Photographs of the site and the FWHCAs. (4) HabitM management plans prepared for at+y unavoidable develepmef4 aefivity within a FlAq4GA er- the inner 75 per-eent of a standard buffer- shall aeeempmty either- a finaneially bended er-ifieal area stewardship plan or- erifieal (S}In-Llieu 11fee ILF P-program. A mitigation plan shall not be required if an aefively ma-nagedW2roved ILF pregraprogram, as specified in JCC 18.22.660(3),rn is used to mitigate project impacts.; .,,-oyidea, that the 18.22.955 Process and requirements for designating habitats of local importance as critical areas. (1) Purpose. WAC 360-190-130(4)(a) requires the county to consult current information on priority habitats and species identified by the Washington state department of fish and wildlife. WAC 360-190-130(4)(b) states the county should identify, classify and designate locally important habitats and species. This section describes the process and requirements and state sensi6ve, threatened, or- endangered speeies regulations. AeeeFdingly, this seetion details the r-equir-emen for designating—an&monitoring, and removing species and habitats of local importance that are not covered by the State Priority Species and Habitats List., as el as eh speeies andhabitats f afn designation if Faz:i>a Appendix B - 84 (32) Procedure for Ddesignation--Gtnerahy. An application to designate a habitat of local importance as a critical area shall be processed according to the procedures for Type V land use decisions established in Gunder chapter 18.40 JCC. (Q) Applications. --Any ny organization, or TeFF Catuit , ageney may nominate and ply for designation of a species or habitat of local importance. ^ nominating „ezatio must be a resident of, Any person residing or headquartered in, Jefferson County or an, coty department may pply for designation of a species or habit of local importance. (54) NE)f iaa4".f' ^ ppli a4ier c ies or habitat of local significance. (a) The applicant shall provide information demonstrating that the species or habitat is native to Jefferson County, existing on or before the date of adoption of the regulations codified in this chapter. (b) The application shall include all of the following: (i) Identification of the species including its scientific and locally common name(s); (ii) Identification of the geographic location, including Jefferson County parcel numbers, and extent of the habitat associated with man applied for species or the neminatedapplied for habitat itself if not associated with an applied forte species; a map E)f an ate Seale to „ er4y doseribv the leeation and ex4ent of the habitat will aeeempany the neminatien, as well as gee Fefefeneing infefmmien suffieient te aliew mapping of the habitat site in the eettnty GIS mapping system; (iii) Identification of the specific habitat features to be protected (e.g., nest sites, breeding areas, nurseries, etc.). (iv) For a proposed wildlife corridor, the features that are required for the corridor to remain viable to support and protect the applied for species. (v) A map of an appropriate scale to properly describe the location and extent of the habitat, NO Geo-referencing information sufficient to allow mapping of the applied for habitat in the count mappingsystem; vii The status of the species or the occurrence of the type of habitat in surrounding counties and in the rest of the state has been considered in making this application_ (c) (iv}The application shall include Aa management plan strategy for protection of the species or habitat that includes all of the following;_ (14) i,.dieations as t -- Whether the proposed management planstrategy has been peer reviewed, and if so, how this was done and by whom; (Nii) Ian,o esto -a4i ... e f habitat is proposed, a speeifie plan, ek d ng- How the restoration will be funded, must be provided . ,.a# f the n atie; (viii) Recommendations for allowed, exempt, and regulated development, land disturbing activities or uses within the area; (ivi4) Recommended buffer and setback requirements and their justification; (ikv_) Any Swseasonal requirements; (yix) A monitoring plan ffwstaethat is practical and achievable and includes all of the following: Appendix B - 85 (A) Baseline data and a description of what measurements will be used to determine the success of the proj ect. The plan shall m^lude the efitefi^requirements and time period required to evaluate the success of the plan; (RC) A contingency plan for failure; and (GD) A list of all parcels not included in the nomination but affected by the monitoring process; (xiyii) The nomination must also melude ^An economic impact, cost, and benefits analysis, and viii . Th *�*+ ^' m^' a^ ^ An analysis of alternative solutions to formal designation of the species or habitat of local importance as a regulated critical area under this chapter. (ed) The applicant shall be responsible for paying all fees and all expenses incurred by Jefferson County to process the application for designation of a species or habitat of local significance. (65) Review and i approval Gcriteria. (a) Species nommatedihe application for designatieng a species of local importance under this section mustshall satisfy all of the following or-it€r-iarequirements: (i) Local populations that are in danger of extirpation based on documented trends since the adoption of the Growth Management Act, chapter 36.70A RCW; (ii) The species is sensitive to habitat manipulation; (iii) The species or habitat has commercial, game, or other special value such as it is locally rarespeeies; (iv) The application shall nomination includes an analysis of the proposal using best available science; and (v) The application neminatiespecifies why protection by other county, state or federal policies, laws, regulations or nonregulatory tools is inadequate to prevent degradation of the species or habitat and for which management strategies are practicable, and describes why, without designation and protection, there is a likelihood that the species will not maintain and reproduce over the long term, or that a unique habitat will be lost. (b) Applications for 14habitats of nominated for designation under this section mustshall satisfy all of the following criteria: (i) Where the application for a habitat is nominated tofor protection of a species, the use of the habitat by that species mustshall be documented or be highly likely or the habitat is proposed to be restored with the consent of the affected property owner so that it will be suitable for use by the species; and long-term persistence of the species in Jefferson County and adjoining counties is dependent on the protection, maintenance or restoration of the habitat; (ii) The applied for Aareas fiaminate to protect a particular habitat shall represent either high quality native habitat or habitat that has an excellent potential to recover to a high -quality condition and which is either of limited availability or highly vulnerable to alteration; and (iii) The application mien specifies the specific habitat features to be protected (e.g., nest sites, breeding areas, nurseries, etc.). In the case of proposed wildlife corridors, the nommatienapplication shall specify those features that are required for the corridor to remain viable to support and protect the nominitedapplied for species. (76) Review and Aapproval gprocess. Appendix B - 86 (a) The aer^te^* of ^^w,^,unit , deve opmen*DCD shall determine whether the application submittal is complete. If deemed complete, *'��DCD shall evaluate the proposal for compliance with the approval criteria in this section and make a recommendation to the planning commission based on those criteria. The depa44me CD shall also notify all parcel owners affected of the terms and contents of the proposal. (b) Upon receipt of a staff report and recommendation from *'��DCD, the planning commission shall hold a public hearing, and make a recommendation to the Jefferson County board of commissioners based upon the approval criteria in this section. (c) The e ff -see r,., nt. board of commissioners shall consider the recommendation transmitted by the planning commission at a regularly scheduled public meeting, and may then adopt an ordinance formally approving the designation. Should the board wish to vary from the planning commission recommendation and alter or reject the application, such action may only occur following a separate public hearing conducted by the board. (d) Upon approval, the ordinance designating and regulating the species or habitat of local importance shall be codified in this article for public information and implementation by the departmentDCD, and a notice to title shall be placed upon all parcels affected by the designation. (e) Each ordinance creating a species or habitat of local importance shall include periodic review or reassessment of the initial designation. The length of the periodic review may be dependent on the characteristics of the species or habitat. (87) Removal from Ddesignation. Species or habitats of local significance may be removed at any time; provided, they no longer meet the criteria in subsection (65) of this section (e.g., as a result of a natural catastrophe or climatic change event); and .,.,.idea fth-theP,4hftt4hea1l procedural requirements of this section and the procedural requirements established for Type V land use decisions within Echapter 18.40 JCC are met, [Ord. 5 20 § 2 (Appx. 18.22.960 Wetland reports. (1) General. When required by Article VII of this chapter, a site visit conducted by a wetland specialist or qualified wetland professional Ito determine if a wetland is present. Based on the site visit, a wetland reconnaissance letter or a wetland delineation report shall be prepared. Wetland reconnaissance letters and wetland delineation reports shall be prepared based on requirements in Article VII (Wetlands) of this chapter, the general report requirements of JMCC-18.22.905, and the criteria specified in subsections (2) and (3) of this section. (2) Wetland Reconnaissance Letter. A wetland reconnaissance letter shall be prepared and submitted only if all the projeecomponents of the development, land disturbing activity or use are at least 300 feet from areas of temporary impact and the limits of clearing; provided, no buffer reduction is proposed. A wetland reconnaissance letter shall document that ptepesed prejeetsdevelopment, land disturbingactivity ctivi . or use, because of their location will not impact wetlands and will include all of the following: (a) Describe all wetlands and their associated buffers on the property; (b) Narratively and graphically describe the distance of all wetlands from the limits of clearing, as shown on the site plan. The site plan used during the site visit shall be included in the wetland reconnaissance letter; (c) Provide a wetland delineation field data form for all potential wetland areas assessed; (e) Plot locations shall be shown on the site plan that is attached to the wetland reconnaissance letter; and (f) Photographs of the site and the wetlands. Appendix B - 87 (3) Wetland Delineation Report. A wetland delineation report shall be prepared and submitted if any portion of the prepeseddevelopment, land disturbing activityor use is within 300 feet of areas of temporary impact and areas within the limits of clearing, or if a buffer reduction is proposed. A wetland delineation report shall address all of the following: (a) Date site visits were made and date report was completed. (b) Summary of information reviewed (such as maps and reports) to determine the potential for wetlands to be present. Based on this review, describe wetlands and associated buffers within 300 feet of the pr-epeseddevelopment, land disturbing activity or use. (c) Detailed description of the field evaluation results, location and types of wetlands identified, and buffer conditions. Discuss all on -site wetlands identified, potential off -site wetlands, and wetland ratings and associated buffer widths. Indicate locations of wetland boundary flagging and plot flagging, including flag color, type, and number. (d) Wetland Determination Field Data Forms for all wetland and upland plots shall be included in the report. (e) Wetland Rating Forms for all wetlands identified shall be included in the report. (d fl In addition to complying with the clearing, grading, excavation, and stormwater requirements in JCC3EC 18.30.060 and JCC 18.30.070, and the 2%4most current version of the Stormwater Management Manual for Western Washington (of as amended), describe any potential effects of the propeseddevelopment, land disturbing activity or use on stormwater quantity, quality, and runoff patterns post -construction. The report mustshall eleaf y indicate if the „repos 'state whether the development, land disturbingactivity ctivity or use will affect or alter water movement to the wetland if the prepesa47development, land disturbingactivity ctivi _ or use is implemented and identify measures to avoid or minimize alteration of stormwater runoff patterns post - construction. (f) Alefland rating form for- eaeh wetland identified shall be ineluded in the wetland report. (g) Figtife sh&y�,iag mitigatien areas en the pr-apei4y. S"afe footage of eaeh mitiga4ion area shall be shav�qj Ofj the figtife. if bid�r- aver -aging is pfopesed, the area e�iaer-ease shall be shown r-elative to t4e afea of deerease an the All potential impacts shall be identified. The impact assessment shall include: (i) Mitigation sequencing. Describe measures to avoid impacts to wetlands and buffers. For any unavoidable impacts, describe measures to minimize impacts. (ii) Types of impacts. All potential impact to wetlands and buffers shall be identified and described in the report. Impact assessments shall consider direct impacts, indirect impacts, permanent impacts, temporary (long-term and short-term) impacts, and cumulative impacts. (iii) Impact area. The area (square footage) of potential impacts shall be quantified for each wetland and buffer. The impact area shall include the wetland and buffer areas that occur within the limits of clearing, as shown on the site plan. (iv) Functional impact. The impact assessment shall describe how wetland and buffer functions and natural processes will be affected by proposed development or use. (v) Figures. The impacts described above shall be shown a figure. NO Photos. Photos of areas to be impacted shall be included in a report. (h) Prepare a mitigation plan for any unavoidable impacts to wetlands and buffers. Mitigation plans shall include: Appendix B - 88 (i) Description of the mitigation area and suitability of the area to compensate for impacts to area and functions. GO Detailed description of the mitigation proposal. (iii) Goals and objectives of the mitigation proposal, including a detailed description of how the proposal will compensate for impacts. (iv) Table identifying impact areas (square feet) and functions affected for each wetland and buffer. The table shall clearly show a link between potential impacts (area and function) and proposed mitigation (area and functions). (v) Mitigation plans shall include performance standards that are applicable to the ,goals and policies of the mitigation effort. Monitoring shall be required annually for five years and quantifiable performance standards shall be specified in the plan for each of the five (vi) A planting plan that lists the native species to be installed, including quantity and density of each species. (vii) Monitoring schedule, monitoring methods, and monitoring data to be collected shall be described. (viii) Contingency measures shall be described. If my performance standard is not met, the administrator shall require contingency measures be implemented and may extend the monitoring period beyond five years to ensure wetlands and buffers are adequatelygated and protected. (ix) Figure showing existing conditions, including property boundaries, location of the proposed activity - and limits of clearing, existing structures and other physical features on the property, location of all on -site wetlands and buffers, location of wetland boundary flagging and numbering and plot locations. (x) Figure showing impact areas on the property. Figure shall show all wetlands and buffers potentially affected by proposal relative to the limits of clearing, property boundaries, and existing site features. (xi) Figure showing mitigation areas on the property. Figure shall show location and square footage of each mitigation area. If buffer averaging is proposed, the area of increase shall be shown relative to the area of decrease. Qh) Photographs of the site and the wetlands or buffer. (4) A mitigation plan shall not be required if an actively managed ILF program is approved by the administrator and used to mitigate project impacts. rn -a 5 20 § 2 (Appx. A)] 18.22.965 Critical area stewardship plans. (1) General. Property owners may elect to develop site -specific critical area stewardship plans (CASPs) as an alternative to the prescriptive requirements of Article VI (Fish and Wildlife f Habit, Geasef-,. fia Areas (FWHCAs)} and Article VII (Wetlands) of this chapter. The overall goal of the CASP is to maintain existing functions and values of the watershed and sub -basin, while addressing the needs and desires of the property owner. CASPs are an option if My portion of a development is proposed within a FWHCA, wetland, or require a critical area variance per JCC 18.22.250, or a reasonable use exception per JCC 18.22.260. (2) Authority. The administrator may approve CASPs as an alternative to a variance pursuant to JCC 18.22.250 or for er-ifieal area buffer- r-eduefiens gr-eeAer- than 25 pereefA; provided, the pr-ejeet does not rv"ir-e a reasonable eeeeeffk-use varia-neeexception pursuant to JCC 18.22.260. (3) Review of CASPs reports and Aapproval of CASPs permits. The administrator shall be responsible for reviewing and approving submitted CASPs reports and issuing CASPs permits. The administrator may, at the administrator's discretion, seek technical assistance from the Jefferson County conservation district, Washington State Department of Fish and Wildlife or the Washington State Department of Ecology when reviewing CASPs. Appendix B - 89 (4) Applicability and blimitations. CASPs may be used in any land use district, provided all of the following requirements are met: (a) CASPs shall not be used where rural transitional zoning applies pursuant to chapter 18.19 JCC in the „r-ban growth ^r^^ if a buffer reduction implemented while using transitional zoning (i.e., Fufal zening designation prior- to eanneetion with ^ sewer sy4eni' has the potential to preclude future urban growth area density requirements in chapter 18.18 JCC-; The over-all goal ef the GASP is te maintain existing funefiens andvalues ef the wa4er-shed and subbasine while addressing the needs and desir-es of the pr-epefty owner, (b) CASPs ^^" be applied t on properties one -quarter acre or larger;-. (c) CASPs are only allow for development, land disturbing activities or uses proposed in FWHCAsare-an .heable t fish and wildlife habitat e ation afeas and their associated buffers (Article VIA) or wetlands and their associated buffers (Article VII ^�'�)-i (d) CASPs mttstshall provide equal or greater protection of critical area functions and values than the prescriptive standards of buffers and setbacks..-; (e) Permits for a CASP not in shoreline jurisdiction as determined by pter 18.25 JCC shall be processedr ^ SPs will be administered as a Type I land use decision under der Echapter 18.40 JCC-.;and M Permits for a CASP in shoreline jurisdiction shall be processed as specified in chapter 18.25 JCC. (5) Implementation and time limits for a CASP. (a) The maximum period of CASP permits shall be five years from the date the CASP permit is issued. Once a CASP permit has expired, it shall not be renewed. LbJA CASP permit :svalid for- the same timef ^me ^^shall be limited to the same period as the underlying permit (e.g., building permit, septic permit, shoreline permit). However, Iif the underlying permit does not have a specified expiration date or if the CASP application is a standalone application, the CASP permit shall be limited tov l:,l for three five years from the date the CASP permit is issued. A GASP Pef ffl t shall f t be eensidered valid beyond five yeai-7s ffam the date the GASP pefmit is issued. if the tmder-lyiag pefmit remains valid beyand Ave yeafs, the GASP pefmit shall be eensidefed mull and void. Onee the pefmit has &Epir-ed-,4- shall Piet be ro a ,o,l (hc) The application for a CASP shall be made on a form approved by DCD. The applicant shall record a notice title for the CASP any approved mitigation with at the Jefferson County auditor's office and shall post a mitigation performance bond in an amount determined by the administrator to be sufficient to ensure compliance with the CASP, including the estimated cost of monitoring by staff or a qualified professional or natural resources conservation professional to ensure that maintenance and monitoring are completed as required by this section. Any amount remaining shall be refunded to the applicant at the end of the specified monitoring period or when all performance standards are met, whichever is later. w th tho , epaA.*e Tho administrator- shall pr-evide the neeessary paperwork to the appheants. Assuming the administrator- does not need to designate staff (of eentfaet with othef qualified professionals) to enstife that maintenanee and the end of the speeified monitoring peFied or- when all perfefmanee standards are fnet, whiehever- is gr-eaten The CASP prit : a ndit:. pal ., ,.,1 ..n LLrtNo other permits (such as building, shoreline, septic) shall be approved until the applicant has recorded the notice to title and posted the performance bond required by this section, unless approved by the administrator. (6) Report requirements. (a) CASP reports shall be prepared by a qualified professional, wildlife biologist, a wetlands specialist, or both, as the administrator may require and shall show compliance with JCC 18.22.905 (general requirements) and JCC 18.22.950 (habitat management reports) or JCC 18.22.960 (wetland reports). Appendix B - 90 ( The CASP report shall be consistent with protection standards in Article VI (FWHCA) and Article VII (wetlands), (c) It is the burden of the applicant to demonstrate to the satisfaction of the administrator that the miti atg ion proposal in the CASP report is sufficiently detailed to justify the impact to the critical area and or its associated buffer. CASPs that cannot demonstrate protection of the critical area and its associated buffer shall not be approved. (aAs-Bbuilt P-plan #requirement. An as -built plan shall be prepared by a wetland specialist describing the action taken to implement the GASP. This as -built plan shall include: (a) A contour map describing final contours if grading is required; (b) A quantitative description of the vegetation planteawork completed to show compliance with the approved mitigation plan and CASP permit conditions; (c) Establishment of two or more permanent photo documentation stations with established bearings and monuments to ensure that subsequent photographs depict the same landscape for comparative purposes; (d) Additional photographic documentation that shows the condition of mitigation area(s) once CASP mitigation has been implemented; (e) A site plan showing the location of the mitigation areas relative to the mitigation proposal as presented in the approved CASP report and to the CASP permit conditions; and (f) Building final certificate of occupancy or septic final shall not be issued until the applicant has submitted an as -built showing compliance with this article, the approved CASP report, and all CASP permit conditions. (78) Contingency Pplan Rrequirement. A contingency plan is required describing how the CASP might be modified if monitoring indicates a failure to meet the stated goals, or a need to modify the goals because of events outside the I-wilowner's control (e.g., damage associated with wildlife). For instance, if one of the planted species of vegetation proves ill adapted to the environment and fails to survive or thrive to the extent needed to provide the intended function then alternative species should be identified. In general, plans should initially plant at greater than 120 percent of the specified final density of shrubs and trees. The contingency plan should call for either supplemental planting when the density falls below the prescribed final density or it could call for the planting of alternate specie(s). (89) Failure to Ssubmit Rrequired Rreports. Failure to submit a report required under this article shall constitute a failure to comply with the terms of the permit. (110) Performance Rbond. The administrator shall authorize the use of the performance bond to ensure maintenance and monitoring are completed to comply with permit conditions. In the event the performance bond amount is insufficient to ensure compliance with the permit (or if development, land disturbing activities or uses on the site have negatively affected the mitigation area(s), the failure to comply with CASP permit conditions shall be processed by the administrator pursuant to JC�Ttitle 19 JCC (Code Compliance). (10) Waiver. The administrator may waive portions of a critical area stewardship plan (CASP) if, in the administrator's opinion, critical area functions and values will not be adversely affected by a proposes development, land disturbing activity or use. (11) Recording of Aapproved CASP Rrequired. An approved CASP must be recorded on the property deed (recorded with the Jefferson County auditor) and must remain in effect unless replaced by a new or updated CASP approved by the county. [Ord. c 20 § 2 (Appx. A)] L-Milmil.. mill- . Appendix B - 91 APPENDIX C Chapter 17.05 JCC 17.05.050 Additional requirements. The following ordinances and requirements may qualify or supplement the regulations presented in this division. Where the regulations of this division, those set forth below, or any other local, state, or federal regulations overlap, the most restrictive and/or protective standards shall apply. (1) Arti^'�et seq. of Chapter- 18.15 XC, env-ironmentally sensitive are-asChapter 18.22 JCC (Critical Areas) (2) JCC 18.30.070, Stormwater management standards; (3) Chapter 18.35 JCC, Land Divisions, as amended by this division; (4) Chapter 246-272 WAC, On -Site Sewage Systems; (5) Chapter 18.25 JCC, Shoreline Management Master Program; (6) Ordinance No. 01-0121-97, Forest Lands Ordinance, as amended by this division (see JCC 17.10.060) to limit agreements pursuant to section 7.20(1) of the Forest Lands Ordinance so that when a new structure is proposed on land adjacent to land designated as commercial forest land, in no case shall an agreement be made which allows the setback to be reduced to less than 150 feet and, further, a minimum average setback of 200 feet shall be maintained, exclusive of critical areas and their associated setbacks; (7) All local and state monitoring, operational, and management requirements for sewer, water, and stormwater utilities, updated as may be required by the local or state agency with jurisdiction; (8) Land use procedures of JCC Title 18, Unified Development Code. Appendix C - 1 APPENDIX D Chapter 18.10 18.10.020 B definitions. "Buffer" means an area that is intended to protect the functions and values of a critical areas or a shoreline. Protecting these functions and values may includes the preservation of existing native and nonnative vegetation where it exists, unless otherwise required to be replaced with native vegetation through mitigation or voluntarily enhanced or restored. 18.10.060 F definitions. "Fish habitat" has the same meaning as in WAC 222-16-010. 18.10.160 P definitions. "Practicable alternative" means an alternative that is available and capable of being carried out after taking into consideration cost, existing technology, and logistics in light of overall project purposes, and having less impact to critical areas. It may include an area not owned b, thepplicant which could reasonably have been or be obtained, utilized, expanded, or managed in order to fulfill the basic purpose of the proposed activity- 18.10.170 Q definitions. "Qualified professional or individual" means an agency or individual based on schooling, certifications, or experience has demonstrated to the administrator's satisfaction that they are qualified to perform simple activities including but not limited to restoration or enhancement plans. 18.10.180 R definitions. "Reasonable alternative" means an activity that could feasibly attain or approximate a proposal's objectives, but at a lower environmental cost or decreased level of environmental degradation. Reasonable alternatives may be those over which the regulatory authority has authority to control impacts. 18.10.190 S definitions. "Shoreline buffer" means anv buffer reauired by chanter 18.25 JCC. "Standard buffer" means a buffer that has a standard width reauired by chanter 18.22 JCC or chanter 18.25 JCC. 18.10.210 U definitions. "Utilities, un blic" means facilities serving the public through a network of wires or pipes, and ancillary structures thereto, including systems for the delivery of natural gas, electricity, and telecommunications services. "Utilities, private" means utilities including but not limited to gas, electric, water, sewer, stormwater and telecommunication service lines that are not public utilities is owned and maintained by a property owner or a private company, These utilities often extend beyond service meters or public lines, including lines to specific buildings, facilities, or Drivate infrastructure. "Utility distribution lines" means pipes, wires, and associated structural supports serving more than one parcel. 18.10.230 W definitions. "Wetland" or "wetlands" means those areas that are inundated or saturated by surface or ,ground water at a frequency and duration sufficient to support, and that under normal circumstances do support, a prevalence of vegetation adapted for life in saturated soil conditions. Wetlands generally include swamps, marshes, bogs, and similar areas. Wetlands do not include those artificial wetlands intentionally created from non -wetland sites, including, but not limited to, irrigation and drainage ditches, grass -lined swales, canals, detention facilities, wastewater treatment facilities, farm ponds, and landscape amenities, or those wetlands created after July 1, 1990, that were unintentionally created as a result of the construction of a road, street, or highway. Wetlands may include those artificial wetlands intentionally created from non -wetland areas to mitigate Appendix D - 1 the conversion of wetlands. "WASHD" means the Washington State Department of Ecology's Washington State Hydrography Dataset Program (WASHD). Appendix D - 2 APPENDIX E Chapter 18.30 JCC 18.30.080 Roads. (1) General. The following shall apply to all public and private roads, including any road in a development subject to Chapter 18.35 JCC, Land Divisions: (a) Transportation facilities shall be designed and constructed in conformance with the following reference manuals and standards of the Jefferson County department of public works which are hereby adopted by reference in this code, including: (i) American Association of State Highway and Transportation Officials (AASHTO), A Policy on Geometric Design of Highways and Streets, Standard Specifications for Highway Bridges, and Roadside Design Guide; (ii) Washington State Department of Transportation (WSDOT) Local Agency Guidelines, Highway Design Manual, Bridge Manual, Construction Manual, Highway Runoff Manual, Hydraulics Manual, Plans Preparation Manual, Standard Specifications for Road, Bridge, and Municipal Construction, and Standard Plans for Road, Bridge, and Municipal Construction; (iii) Washington Department of Ecology Stormwater Management Manual; (iv) Federal Highway Administration Manual on Uniform Traffic Control Devices; (v) Institute of Transportation Engineers (ITE) Trip Generation Manual; and (vi) Transportation Research Board (TRB) Highway Capacity Manual, Special Report No. 209. (b) Bridges shall be designed and constructed in conformance with the standards of the department of public works identified by reference in this code. Bridge design and construction shall be certified by a licensed engineer. (c) Road signs and traffic signs shall be installed in conformance with the standards of the department of public works identified by reference in this title. (d) Drainage, erosion control, and stormwater management facilities shall comply with the requirements of the storm drainage standards contained in JCC 18.30.070 and the Washington Department of Ecology Stormwater Management Manual, and any other applicable Jefferson County standards. (e) The applicant shall submit plans for construction of roads, bridges, stormwater management facilities, and/or land disturbing activities regulated by this code to the department of public works for review and approval prior to commencing construction. (f) Clearing, grading, and construction of roads, bridges, utilities, and stormwater management facilities shall be inspected by the department of public works. In order to enable the department to conduct inspections in a timely manner, the applicant shall notify the department in a timely manner regarding the project construction schedule. The following road inspections are typically required: (i) Installation of temporary erosion and sediment control measures; (ii) Clearing and road subgrade preparation; (iii) Placing roadway gravel base; Appendix E - 1 (iv) Placing roadway crushed surfacing top course; (v) Placing improved roadway surface (chip seal or asphalt concrete); (vi) Construction of stormwater management facilities; and (vii) Final plat review. Additional inspections may be necessary based on site -specific conditions or the nature of the project. (g) The department of public works may require development applicants to submit a traffic analysis prepared by a licensed engineer in order to determine the potential off -site impacts to public and private transportation facilities from proposed subdivisions. (h) Subdivision road systems shall provide access to the public road system at two locations, when feasible. One access location may be allowed based on a finding by the department of public works that a single access location is adequate to protect the public health, safety, and welfare. (i) Access to subdivisions from arterial and collector roads shall be restricted. Lots shall be accessed from an internal access road system, unless the lots are accessed from a local access road. 0) Developments shall make appropriate provision to ensure safe walking conditions for pedestrians and for students who walk to and from school. Construction of road improvements, sidewalks, trails, or bicycle facilities may be required in order to meet this standard. (k) Subdivisions shall make appropriate provision for transit and school bus stops. (1) When a proposed subdivision is adjacent to a county road, a right-of-way 30 feet in width from the roadway centerline shall be conveyed to Jefferson County by either statutory warranty deed or dedication in fee simple on the plat, if such right-of-way has not been previously conveyed. (m) Easements for private roads providing access to and/or internal circulation within subdivisions shall be 60 feet in width. Easement width may be reduced on the recommendation of the department of public works based on a finding that the public health, safety, and welfare will be protected and that the easement width is adequate for the construction and maintenance of roads and utilities. Where reduced access easement widths are proposed, parallel utilities easements may be required. (n) Access easements from the county road system to the subdivision shall be provided consistent with the requirements of this code. Access from the public road system shall be depicted on the final plat. (o) Subdivision road names shall be approved by the board of county commissioners based on a recommendation by the department of public works and in compliance with Echapter 12.20 JCC, 911 Emergency Locator System. (p) Subdivisions shall establish an agreement for the continuing maintenance of private roads either by recording a separate instrument and referencing said instrument on the plat or by declaring a maintenance agreement on the plat. The applicant shall submit the maintenance agreement to the department of public works for review and approval prior to final plat approval. (q) All required construction of roads, bridges, utilities, and stormwater management facilities shall be inspected and approved by the department of public works prior to final development approval. (r) Developments proposing access to county collector roads and state highways shall make appropriate access improvements to ensure that mobility on these roadways is not degraded. The design of access improvements shall be reviewed and approved by the Jefferson County engineer for county roads and by the Washington Department of Transportation for state routes. (s) Subdivision applicants may post a surety guaranteeing completion of subdivision improvements within one year Appendix E - 2 of final plat approval. The surety shall be reviewed and approved by the department of public works. The surety shall be for 200 percent of the cost of constructing the improvements based on an estimate prepared by a licensed engineer. In the event that the applicant does not complete construction of improvements within one year, the department of public works shall be authorized to complete the construction and pay for the work from the surety account. Surety shall not be accepted for water supply development other than distribution facilities. (t) A maintenance bond guaranteeing any improvements required by this code for two years may be required by Jefferson County as a condition of final plat approval. Maintenance bonds shall be approved by the department of public works. (u) Applications requiring review by the department of public works to meet the requirements of this section shall be assessed hourly review fees in accordance with the Jefferson County fee schedule. By making application, the applicant agrees to reimburse the department for its expenses even if the proposal is denied by subsequent action of the county or the proposal is otherwise not completed. (v) Modifications to design and construction standards for a specific road project may be approved by the county engineer. (2) Public Roads. (a) General. (i) The Jefferson County engineer is responsible for the design and construction of all county roads. (ii) The standard right-of-way width is 60 feet for all public roads. (iii) Roadway monumentation shall be approved by the department of public works. (iv) Road access permits are required for access to county roads. Applications will be reviewed by the administrator for the requirements of the ^ entally sensi6ve areas overlay distr et (see n -tie e V! D of Chapter- 18. 15 G chapter 18.22 JCC (Critical Areas) and of the State Environmental Policy Act (Article X of Chapter 18.40 JCC) prior to being approved by the county engineer. Such permits shall be limited as follows: (A) The number of access points along roads shall be limited to one per parcel, except: • For agricultural access; • When the parcel topography makes a single access point impractical for the entire parcel; • When access is being provided for commercial uses with 20 or more parking spaces; or • When additional access points are required or approved by the county engineer. (B) New access points to arterial roads shall not be allowed if reasonable access from any other road is available. (C) Road access points shall have a clear and unobstructed sight distance in both directions adequate to ensure public safety. Appropriate site distances shall be determined by the county engineer, based on speed limit, roadway surface, and other pertinent factors. (D) Storm drainage and culvert sizing shall be based upon engineering analysis and the standards of JCC 18.30.060(2) and 18.30.070. Maximum length of surface drainage for roadside ditches before discharging onto adjacent property or into natural drainageway shall be 1,000 feet. (E) The permits shall be conditioned to address impacts to environmentally sensitive areas or as indicated by SEPA analysis, if applicable. (F) The county engineer shall have the authority to approve or deny all road access permits, which decision is final Appendix E - 3 and not subject to administrative appeal (b) Road and Right -of -Way Dedication. (i) Where any public road right-of-way abutting a property proposed for a development is subject to a conditional use permit or to Chapter 18.35 JCC, Land Divisions, and has insufficient width to conform to the county's adopted road standards for the class of road involved, the county engineer may: (A) Require the dedication of sufficient additional right-of-way to bring the abutting half of the right-of-way (measured from the existing county road centerline) into conformance with the adopted standards; and (B) Obtain additional easements to cut and fill on the subject property adjacent to the county road, and to provide for drainage of surface and stormwater runoff by directing the runoff along or into natural drainageways on lots adjacent to the county road. Such drainage should be designed and mitigated to avoid or minimize impacts to the environment and to the affected properties. (ii) The county may accept the dedication of new county roads and rights -of -way subject to the following standards: (A) Only if all of the following criteria are met: • The road right-of-way is at least 60 feet in width and is dedicated to Jefferson County in fee simple; • The road meets all other county standards; and • An evaluation by the county engineer deems the road to be of general public benefit. (B) When roads are proposed to be dedicated to Jefferson County, the county engineer shall make a report to the board of county commissioners regarding the practicality and necessity of accepting the dedication, the effect of the dedication on traffic circulation, and any other matters deemed to be material by the county engineer. (C) All road rights -of -way dedications shall be processed in accordance with final plat procedures contained in Chapter 18.35 JCC, Land Divisions. (c) Road Vacations. All applications to the board of county commissioners seeking vacation of a county road right- of-way or any portion of one shall be subject to the requirements of Chapter 12.10 JCC, Road Vacations. 18.30.180 On -site sewage disposal best management practices in critical aquifer recharge areas. All land uses identified in Article III of Echapter 18.22 JCC and special aquifer recharge protection areas that are also classified as susceptible aquifer recharge areas (as defined Echapter 18.22 JCC) shall adhere to be ao gna4ea areas of speeial eeneem ptffstiant to ALAG Title 246. Consistent with A"G Title 246, the jeffer-sen Cou", bear health . dete ..roes the best management practices (BMPs) established in chapter 8.15 JCC to meet minimum on -site sewage system design standards for sites that are within both a susceptible aquifer recharge area and a special aquifer recharge protection area (as identified in Article III of Echapter 18.22 JCC). The euffent BMPs, subjeet to develepment when an en site sewage dispesal system is installed. (a) Tables 1 and 2 shall be used to detefmine the t-�Te of an site sewage disposal system requifed and mininium lot size in diffefent soil (�Teswhefe publie wa4ef is available. Let size r-equifenients afe taken the Washingten State On Site Sewage Code, Chapter 246 272A WAC, Table X. Seil textural elassifiemiens Appendix E - 4 NO . HUM M-- n .�Krre!r �reesr�:•!�s�s!�rrenree�as�e�r�:mum ■_ ■. .._ •. ■ • ML INNOWN mill a • . _ Y_lPS7L�5T.!..S7A:T_!!lTFR7SlP.!!f. _11S77:!!!llSf!T'J9Slr:!!�L1T/:a�4S'i Appendix E - 5 Soil Type (as defined in Chapter 246 272A MIAC) Lot Siz 1 3 3 4 5 6 Level , B mien amity GF&V* Grwvity Fravit 22,nn� Treatmen Level B NO34MP Shallow Pr-essufe DistribiitiAn Shalle Pr-essttre Distfibutien Shalle Presswe Distfibuti@n Shallow Pr-esstife Distribtition or .hm is also list 3 �g 0.5 ae arc Level A R NO34�Mg Shallow Pfesstii- ibuti9n Shallow Pfesstife Distfibuti0n ShallEPA' Piesstife Distfibutien (21,780 sq. fr 1 �7 of thm is also list 3 2n,nn� NO3$MP Shallow Pr-essttre Shallow Eresstir-e Shallow Presstife 18,000 NO3-BMP Shallow n, csscrrc r-i Shallo r- n,ics3tiic sq. 15,000 NO3-BMg Shallew Pr-essufe motion 1 cn NO3 ._ . ._Mal A 1110 ff IM I. Not2�83BN4P" fefefs to the nitfogen feduetion best management pr-aetiees listed in subseetion (2)(d) ef this Soil Type (as defined in ri..,, teF 246 2 71 A tx7 A f') Minimu-m. I At e4 3 4 5 6 ;-!-A ae mr� Level ° PFessuFe Distiibttien EFessufe Mien Pfesstife Mien Pr-essttre Mien Pr-esstire men 2 nn� T -� Level ,mac r N0340" Pressufe- 1pfeSSufe Distributie Pressuf Distribution Pfessure Distfibution v el ary giat is alsoDistribut listed BN4g 0.5--ae arc Ne34�Ng Shallow Shallow Shallow Appendix E - 6 Soil Type (as defined in ChapteF 246 272A-VVA-C) Minimuffl- e4 -1 2 3 4 5 6 (21,780 sq. f+ �` I) Level , Pfesstire Eresstife Presstife t�.. o listed as NO3 ENIP 20,089 it-ft-- NA34�Mg Shallow Pr-essxre Pistribution Shallow Pfesstife Distribution 18,000 sq-.W NO34�Ng Shallow Efesstife mien Shallow Pfesstife mien 15,000 NO-34IMP Shallow Pfesstife Distribution 1,389 NO34Mg 'As s defined i A i4iele M of Chapter- 18.22 Trr ._ • _ • • �_ Appendix E - 7 APPENDIX F Chapter 18.40 JCC 18.40.010 Purpose. Articles I through VI of this chapter are a mechanism for implementing the provisions of Echapter 36.70B RCW (the Local Project Review Act) regarding compliance, conformity, and consistency of proposed projects with the Jefferson County Comprehensive Plan and development regulations. (1) Given the extensive investment that public agencies and a broad spectrum of the public have made and shall continue to make in Jefferson County's Comprehensive Plan and development regulations, it is essential that project review start from the fundamental land use planning choices made in the Comprehensive Plan and regulations. If the Comprehensive Plan or regulations identify the type of land use, specify density and identify and provide for the provision of public facilities needed to review the proposed development and site, these decisions, at a minimum, provide the foundation for further project review unless there is a question of code interpretation. The project review process, including the environmental review process under Echapter 43.21C RCW and the consideration of consistency, should start from this point and should not reanalyze these land use planning decisions in making a permit decision, unless the county finds that the Comprehensive Plan and regulations do not fully foresee site - specific issues and impacts identified through land use project application review. (2) Comprehensive plans and development regulations adopted by the county under Echapter 36.70A RCW (the Growth Management Act), sub -area plans, and environmental policies, laws and rules adopted by the county, the state, and the federal government address a wide range of environmental subjects and impacts. These provisions typically require environmental studies and contain specific standards to address various impacts associated with a proposed development (e.g., building size and location, drainage, transportation requirements, and protection of environmen4ally sensitive area critical areas). When the county applies these existing requirements to a proposed project, some or all of a project's potential environmental impacts may be avoided or otherwise mitigated. Through the integrated project review process described in Articles I through V of this chapter, the administrator shall determine whether existing requirements, including the applicable regulations or plans, adequately analyze and address a project's environmental impacts. Project review generally should not require additional studies and mitigation under Echapter 43.21C RCW where existing regulations adequately address a proposed project's probable significant adverse environmental impacts. Development regulations enable project review through the application of established scientific standards, required studies and standard mitigation measures. 18.40.620 Scope. This article shall apply to all applications for variances from the provisions of this code, except for reasonable economic use variances and environmentally sensitive area buffer width reductions, which shall be governed by the provisions of chapter 18.22 JCC (Critical Areas). 18.40.750 Categorically exempt actions — Use of existing documents and analyses. (1) Categorically Exempt Levels. (a) Except with the adoption of flexible threshold limits as set forth in subsections (1)(b) through (e) of this section, Jefferson County adopts and incorporates by reference the categorical exemption levels set forth in WAC 197-11- 800. (b) Pursuant to WAC 197-11-800(1)(c)(v), the maximum exempt level for any landfill or excavation activity in Jefferson County shall be 500 cubic yards. (c) Pursuant to WAC 197-11-800(1)(c)(ii), the maximum exempt level for the construction of a barn, loafing shed, farm equipment storage building, produce storage or packing structure, or similar agricultural structure, covering 30,000 square feet, and to be used only by the property owner or his or her agent in the conduct of farming the property. This exemption shall not apply to feed lots. Appendix F - 1 (d) Pursuant to WAC 197-11-800(1)(c)(iii), the maximum exempt level for the construction of an office, school, commercial, recreational, service or storage building with 12,000 square feet of gross floor area, and with associated parking facilities designed for up to 40 automobiles. (e) Pursuant to WAC 197-11-800(1)(c)(iv), the construction of a parking lot designed for 40 automobiles shall be exempt. (2) Categorically Exempt Actions. Actions categorically exempt under subsection (1) of this section do not require review under this article or the preparation of an environmental impact statement, and may not be conditioned or denied under SEPA, except as provided in WAC 197-11-305 and subsection (3) of this section. (3) Use of Exemptions. (a) The responsible official shall determine the applicability of a categorical exemption. The determination by the responsible official that a proposal is exempt from SEPA is final. None of the procedural requirements of this article (except as provided in WAC 197-11-305 and this subsection) apply to an exempt proposal. (b) If a proposal includes exempt and non-exempt actions, the responsible official shall determine the lead agency pursuant to WAC 197-11-050. (c) If a proposal includes exempt and non-exempt actions, the county may authorize exempt actions prior to compliance with procedural requirements of this article, except as provided in subsections (3)(d) through (3)(g) of this section. (d) Consistent with WAC 197-11-070, 197-11-305 and 197-11-800, the county may not authorize the use of exemptions for: (i) Actions that are not exempt; (ii) Any action that would have a probable significant adverse environmental impact; (iii) A series of exempt actions that are physically or functionally related which together would result in a probable significant adverse environmental impact for the overall project; or (iv) Any action that would limit choice of alternatives. (e) The county may withhold approval of an exempt action that would lead to modification of the physical environment when such modification would serve no purpose if nonexempt action(s) were not approved (see WAC 197-11-305(1)(b)(i)). (f) The county may withhold approval of exempt actions that would lead to substantial financial expenditures by a private applicant when the expenditures would serve no purpose if the non-exempt action(s) were not approved. (g) Actions identified as categorically exempt from SEPA under WAC 197-11-800 shall remain exempt under SEPA even when located in one or more of the un e, n ,bile V! „ f Chapte, , 4 , CC —Critical areas listed in chapter 18.22 JCC (Critical Areas). However, the categorical exemptions listed in WAC 197-11-800 shall not apply when undertaken wholly or partly on lands covered by water, regardless of whether or not such lands are mapped as ESAs. Proposals in areas subject to this subsection (3)(g) shall require environmental review and a threshold determination, and may be conditioned or denied under this article (see WAC 197-11-756, 197-11-800, and 197-11-908). (4) Use of Existing Documents and Analyses. Procedures for the use, adoption, or incorporation of existing documents and analyses are provided in WAC 197-11-600, 197-11-610, 197-11-630, and 197-11-635. (5) Planned Actions. Appendix F - 2 (a) The county may, as part of its planning processes, elect to perform or have performed for it in advance of any development proposal, the environmental review and analysis for certain actions and their probable impacts. These "planned actions" must be so designated by ordinance or resolution adopted by the county after the analysis of the actions and their impacts has been completed. (b) Planned actions must be located in an urban growth area, a master planned resort (MPR), or a fully contained community, and meet the additional requirements contained in RCW 43.21C.031(2). (c) The analysis must be sufficient to identify and analyze all probable significant impacts and most nonsignificant impacts of the actions, and to identify (and, optionally, provide) to a great extent the mitigation necessary (i.e., the significant impacts must be "adequately addressed" in an environmental impact statement). (d) As a result of the analysis in subsections (5)(a) and (5)(c) of this section, a development proposal being prepared under a planned action does not require a threshold determination or the preparation of an environmental impact statement, but is subject to a full environmental review of its impacts and full requirements for mitigation as identified and specified by the review for the planned action in subsection (5)(c) of this section. (e) If the environmental review identifies additional impacts not addressed by the planned action, a checklist and threshold determination shall be required. 18.40.760 Analysis of nonexempt project and nonproject actions. The procedures and requirements in this article apply equally to project and nonproject actions. (1) Submittal of Environmental Checklist. (a) A completed environmental checklist shall be submitted with any application for a permit or approval not specifically exempted as per JCC 18.40.750(1). However, a checklist is not required if the county and applicant agree that an EIS is required, if SEPA compliance has been completed, or if SEPA compliance has been initiated by another agency. The county shall use the checklist to determine lead agency and to make the threshold determination if the county is lead agency. (b) Applicants for private proposals shall complete the checklist, and the county shall provide assistance as appropriate. For county proposals, the department initiating the proposal shall complete the checklist. (2) Review of Project Impacts. The responsible official shall review the checklist, other information about a project, and the applicable regulations to review the environmental impacts of the project and make a threshold determination. In making this review the responsible official may determine: (a) All of the project's probable significant adverse environmental impacts have been adequately identified and analyzed. If not, additional studies and analyses may be required; (b) Some or all of the probable significant adverse environmental impacts have been adequately addressed and mitigated in this UDC and other development regulations adopted by Jefferson County, the Comprehensive Plan, or in other applicable local, state, or federal laws and rules by: (i) Avoiding or otherwise mitigating the impacts; or (ii) The county has designated as acceptable certain levels of service, land use designations, development standards, or other land use planning required or allowed by the Growth Management Act (Chapter 36.70A RCW). Where probable significant adverse environmental impacts have not been adequately mitigated, the responsible official may condition the project with additional mitigation measures or deny the permit; (c) To determine if the probable significant adverse environmental impacts have been addressed by an existing rule or law of another agency with jurisdiction, the county shall consult orally or in writing with that agency and may Appendix F - 3 expressly defer to that agency. In making this deferral, the county shall base or condition its project approval on compliance with that agency's rules or laws; (d) If the county bases or conditions its SEPA approval of the project wholly or in part on compliance with the requirements or mitigation measures identified in subsections (2)(b)(i) and (2)(b)(ii), during project review the county shall not impose additional mitigation under SEPA for those impacts so conditioned; (e) Nothing in this subsection limits the authority of the county in its review or mitigation of a project to adopt or otherwise rely on environmental analyses and requirements under other laws, as provided by SEPA. (3) Threshold Determination. The "threshold determination" is the decision regarding whether there is a reasonable likelihood that the project shall have a probable significant adverse environmental impact on an element of the environment. A threshold determination is required for any proposal that meets the definition of an "action" under WAC 197-11-704 and is not categorically exempt, a planned action, or subject to WAC 197-11-600(3). The responsible official shall make and publish the threshold determination for public comment as provided in JCC 18.40.780: (a) Determination of Significance (DS). If a project may have a probable significant adverse environmental impact, a DS shall be issued, and an EIS shall be required. In determining an impact's significance, the responsible official shall take into account the guidance in WAC 197-11-330 and 197-11-794, including: (i) Locational, quantitative, and cumulative effects, severity and likelihood of the effects, and effects on ertally se tivecritical or special areas; and (ii) Mitigation measures that will be implemented. The responsible official shall not balance whether beneficial aspects of a proposal outweigh its adverse environmental impacts in determining significance. (b) Determination of Nonsignificance (DNS). If a project will not have a significant adverse environmental impact, a DNS shall be issued. (c) Request for Early Indication of DS. Pursuant to WAC 197-11-350(2) and (6), submission of an environmental checklist and prior to the responsible official's threshold determination on a proposal, an applicant may ask the responsible official to indicate whether it is considering a DS. If the responsible official indicates a DS is likely, the applicant may clarify or change features of the proposal to mitigate the impacts that led the responsible official to consider a DS likely. The applicant shall revise the environmental checklist as may be necessary to describe the clarifications or changes. The responsible official shall make its threshold determination based upon the changed or clarified proposal. If a proposal continues to have one or more probable significant adverse environmental impacts, even with mitigation measures, an EIS shall be prepared. The county's indication under this section that a DS appears likely shall not be construed as a determination of significance. Likewise, the preliminary discussion of clarifications or changes to a proposal shall not bind the county to a mitigated DNS. (4) Mitigated Determination of Nonsignificance (MDNS). The responsible official may issue a MDNS as provided in this subsection and in WAC 197-11-350, based on conditions attached to the proposal by the responsible official or on changes to or clarifications of the proposal made by the applicant. (a) Mitigation measures that justify issuance of a MDNS shall be incorporated in the DNS shall be deemed conditions of approval of the permit decision, and may be enforced in the same manner as any term or condition of the permit. The county may incorporate implementation or enforcement provisions in the MDNS and require performance guarantees. (b) If the tentative county decision on a permit or approval does not include mitigation measures that were incorporated in a MDNS, the county shall evaluate the threshold determination to assure consistency with WAC 197-11-340(3)(a) (i.e., withdrawal of a DNS). (5) The responsible official shall provide for prompt and coordinated review by government agencies and the public on compliance with applicable environmental laws and plans, including mitigation for specific probable significant adverse impacts arising from the project that have not been considered and addressed at the plan or development Appendix F - 4 regulation level. The county may clarify or change features in their own proposal, and may specify mitigation measures in their DNSs, as a result of comments by other agencies or the public or as a result of additional agency planning (see WAC 197-11-350). (6) Durations of comment periods are as provided in JCC 18.40.780. At the end of the comment period the threshold determination becomes final unless retained, modified, or withdrawn, and the appeal period begins. (7) Preparation of EIS. (a) Preparation of the draft environmental impact statement (DEIS) and final environmental impact statement (FEIS) and supplemental environmental impact statement (SEIS) are the responsibility of the county under the direction of the responsible official. Before the county issues an EIS the responsible official must be satisfied that it complies with this article and with Chapter 197-11 WAC. When a DS is issued, an opportunity shall be provided to comment on the scope of the EIS that shall be developed. (b) The DEIS, FEIS or SEIS shall be prepared by the county or by a consultant in accordance with county procedures established for consultant selection. If the county requires an EIS for a proposal and the responsible official determines that a consultant shall prepare the EIS, the applicant shall be so notified immediately after completion of the threshold determination. (c) The county may require an applicant to conduct specific investigations and to provide information the county does not possess. The applicant is not required to supply information for the purpose of EIS preparation if such information is not required under this article. (d) If a consultant is preparing an EIS, the responsible official shall assure that the EIS is prepared in a responsible manner. The county shall: (i) Initiate and coordinate scoping and ensure that the consultant receives all substantive information submitted through the scoping process; (ii) Assist the consultant in obtaining information from applicants; and (iii) Direct the content and organization of the EIS. (e) The responsible official shall maintain procedures for preparation of EISs in accordance with the above. (8) The DNS and checklist, or FEIS, for non-exempt proposals shall accompany county staff recommendations to any appropriate decision -making body (e.g., the hearing examiner). (9) The county shall not take any action on the project permit application until the SEPA appeal period has lapsed. (10) Any appeal of the final SEPA determination shall be heard as provided in JCC 18.40.810. Appendix F - 5 APPENDIX G Chapter 18.42 JCC 18.42.050 Compliance with other regulations. (1) Compliance with Other Regulations. All construction of personal wireless service facilities shall also be subject to the requirements of the county building code, Gehapter 15.05 JCC, and all codes adopted by reference in JCC 15.05.030 including, but not limited to, the Uniform Building Code (UBC), the National Electrical Code (NEC), the requirements of the National Electronics Industries Association/Telecommunications Industries Association (EIA/TIA) 222 Revision F Standard entitled "Structural Standards for Steel Antenna Towers and Antenna Supporting Structures" and any additional applicable standards published by the Electronics Industries Association, the Uniform Fire Code; Afti^'V-Det seq. ter'Te�. iCC, eiwiFomnentally sensitive areas chapter 18.22 JCC (Critical Areas); and the Jefferson County Shoreline Management Master Program, Echapter 18.25 JCC. (2) Emergency Response System. All personal wireless facilities service providers shall be integrated into the local emergency response system. (3) Right -of -Way Facilities. All facilities located in any developed or undeveloped public road or right-of-way shall be governed by the applicable sections of this code and related policies governing the placement of utilities and other facilities in public rights -of -way including, but not limited to, Division III of JCC Title 13. [Or Appendix G - 1 APPENDIX H Jefferson County Critical Areas Ordinance Periodic Update Addendum to the 2008, 2009 and 2020 Record of Best Available Science Washington State Department of Fish and Wildlife. 2020. Riparian Ecosystems, Volume 1: Science Synthesis and Management Implications Shannon & Wilson. 2025. Technical Memo dated February 18, 2025 on BAS for Fish and Wildlife Habitat Conservation Areas (stream buffers) with WDFW comments. Shannon & Wilson. 2025. WDFW Best Available Science — Site Potential Tree Height. May 13, 2025 Snohomish County. 2024. Response to Planning Commission Questions. May 3, 2024 and June 11, 2024. DCG Watershed. 2023. Kitsap County Technical Memo on WDFW Riparian Management Guidance for Kitsap County Critical Area Code Update. December 8, 2023. Appendix H - 1