
(A) The General Assembly finds that the protection of the environment rests
principally on the public's voluntary compliance with environmental laws; that
voluntary compliance is most effectively achieved through the implementation of
regular self-evaluative activities such as audits of compliance status and
management systems to assure compliance; and that it is in the public's interest
to encourage these activities by assuring limited protection of audit findings
and of fair treatment of those who report an environmental compliance violation
or audit findings to regulatory authorities in accordance with Section
48-57-100. In order to encourage owners and operators of facilities and persons
conducting other activities regulated under federal, state, regional, or local
laws to conduct voluntary internal environmental audits of compliance programs
or management systems and to assess and improve compliance with these laws, an
environmental audit privilege is established and recognized to protect the
confidentiality of communications relating to voluntary internal environmental
audits and a limited protection from penalties is established for those who
disclose an environmental compliance violation or audit findings to regulatory
authorities.
(B) Notwithstanding any other provisions of law, nothing in this chapter
shall be construed to protect individuals, entities, or facilities from a
criminal investigation or prosecution carried out by any appropriate
governmental entity.
(C) Notwithstanding any other provision of law, any privilege granted by this
chapter shall apply only to those communications, oral or written, pertaining to
and made in connection with the self-audit and shall not apply to the facts
relating to the violation itself.
As used in this chapter:
(1) "Department" means the South Carolina Department of Health and
Environmental Control.
(2) "Environmental audit" means a voluntary, internal evaluation or review of
one or more facilities or an activity at one or more facilities regulated under
federal, state, regional, or local environmental law, or of compliance programs,
or management systems related to the facility or activity if designed to
identify and prevent noncompliance and to improve compliance with these laws.
For the purposes of this act, an environmental audit does not include an
environmental site assessment of a facility conducted solely in anticipation of
the purchase, sale, or transfer of the business or facility. An environmental
audit may be conducted by the owner or operator, the parent corporation of the
owner or operator or by their officers or employees, or by independent
contractors. An environmental audit must be a discrete activity with a specified
beginning date and scheduled ending date reflecting the auditor's bona fide
intended completion schedule.
(3) "Environmental audit report" means a document marked or identified as
such with a completion date existing either individually or as a compilation
prepared in connection with an environmental audit. An environmental audit
report may include, but is not limited to, field notes and records of
observations, findings, opinions, suggestions, recommendations, conclusions,
drafts, memoranda, drawings, photographs, computer-generated or
electronically-recorded information, maps, charts, graphs, and surveys, provided
the supporting information is collected or developed for the primary purpose and
in the course of an environmental audit. An environmental audit report, when
completed, may have these components:
(a) an audit report prepared by an auditor, which may include the scope and
date of the audit and the information gained in the audit, together with
exhibits and appendices and may include conclusions and recommendations;
(b) memoranda and documents analyzing the report and discussing
implementation issues;
(c) an audit implementation plan that addresses correcting past
noncompliance, improving current compliance, and preventing future
noncompliance.
(4) "Environmental laws" means all provisions of federal, state, regional,
and local laws, regulations, and ordinances pertaining to environmental matters.
(A) An environmental audit report or any part of an environmental audit
report is privileged and, therefore, immune from discovery and is not admissible
as evidence in a civil or administrative penalty action, except as provided in
Sections 48-57-40 and 48-57-50. These documents are not entitled to the
privilege:
(1) information obtained by observation by a regulatory agency;
(2) information obtained from a source independent of the environmental
audit;
(3) documents, communication, data, reports, or other information required to
be collected, maintained, otherwise made available, or reported to a regulatory
agency or any other persons by statute, regulation, ordinance, permit, order,
consent agreement, or as otherwise provided by law;
(4) documents prepared either prior to the beginning of the environmental
audit or subsequent to the completion date of the audit report, and in all
cases, any documents prepared independent of the audit or audit report;
(5) documents prepared as a result of multiple or continuous self-auditing
conducted in an effort to intentionally avoid liability for violations;
(6) information which is knowingly misrepresented or misstated or which is
knowingly deleted or withheld from an environmental audit report, whether or not
included in a subsequent environmental audit report;
(7) information in instances where the material shows evidence of
noncompliance with state, federal, regional, or local environmental laws,
permits, consent agreements, regulations, ordinances, or orders and the owner or
operator failed to either promptly take corrective action or eliminate any
violation of law identified during the environmental audit within a reasonable
period of time, but not exceeding three years after discovery of the
noncompliance or violation unless a longer period of time is set forth in a
schedule of compliance in an order issued by the department, after notice in the
State Register and following the department's determination that acceptable
progress is being made.
(B) If an environmental audit report or any part of an environmental audit
report is subject to the privilege provided for in subsection (A), no person who
conducted or participated in the audit or who significantly reviewed the audit
report may be compelled to testify regarding the audit report or a privileged
part of the audit report except as provided for in Section 48-57-30(E) or in
Sections 48-57-40 or 48-57-50.
(C) Nothing contained in this chapter may restrict a party in a proceeding
before the South Carolina Workers' Compensation Commission from obtaining or
discovering any evidence necessary or appropriate for the proof of any issue
pending in the case, regardless of whether evidence is privileged pursuant to
this chapter. Further, nothing contained in this chapter may prevent the
admissibility of evidence which is otherwise relevant and admissible in a
proceeding before the South Carolina Workers' Compensation Commission,
regardless of whether the evidence is privileged pursuant to this chapter.
However, the commission, upon motion made by a party to the proceeding, may
issue appropriate protective orders preventing disclosure of information outside
of the workers' compensation proceeding.
(D) The privilege created by this section does not apply to criminal
investigations or proceedings. Where an audit report is obtained, reviewed, or
used in a criminal proceeding, the privilege created by this section shall
continue to apply and is not waived in civil and administrative proceedings, and
is not discoverable or admissible in civil or administrative proceedings even if
disclosed during a criminal proceeding.
(E) Nothing in this chapter may be construed to circumvent the employee
protection provisions provided by federal or state law.
(A) The privilege provided for in Section 48-57-30 does not apply to the
extent that it is expressly waived in writing by the owner or operator of a
facility at which an environmental audit was conducted and who prepared or
caused to be prepared the audit report as a result of the audit.
(B) The audit report and information generated by the audit may be disclosed
without waiving the privilege in Section 48-57-30 to:
(1) a person employed by the owner or operator or the parent corporation of
the audited facility;
(2) a legal representative of the owner or operator or parent corporation; or
(3) an independent contractor retained by the owner or operator or parent
corporation to conduct an audit on or to address an issue or issues raised by
the audit.
(C) Disclosure of an audit report or information generated by the audit under
these circumstances does not waive the privilege in Section 48-57-30:
(1) disclosure made under the terms of a confidentiality agreement between
the owner or operator of the facility audited and a potential purchaser of the
business or facility audited;
(2) disclosure made under the terms of a confidentiality agreement between
governmental officials and the owner or operator of the facility audited;
(3) disclosure made under the terms of a confidentiality agreement between a
customer, lending institution, or insurance company with an existing or proposed
relationship with the facility.
In order to assert at any time in the future the privilege established in
Section 48-57-30, the facility conducting the environmental audit shall, upon
inspection by the department of the facility or no later than ten working days
after completion of the department's inspection, notify the department of the
existence of any audit relevant to the subject of the department's inspection as
well as the beginning date and completion date of that audit. A responsible
official from the facility or company shall certify by his or her signature in
writing on the cover of the audit report the beginning date, the anticipated
completion date, and the actual completion date of the audit.
In an administrative proceeding before an administrative law judge, the
department may seek by motion a declaratory ruling on the issue of whether an
environmental audit report is privileged. The administrative law judge shall
revoke the privilege granted in Section 48-57-30 to an audit report if the
factors set forth in this section apply. In a civil proceeding, the court, after
an in camera review, shall revoke the privilege provided for in Section 48-57-30
if the court determines that disclosure of the environmental audit report was
sought after the effective date of this chapter, and:
(1) the privilege is asserted for purposes of deception or evasion; or
(2) even if subject to the privilege provided for in Section 48-57-30:
(a) the material shows evidence of significant noncompliance with applicable
environmental laws;
(b) the owner or operator of the facility has not promptly initiated and
pursued with diligence appropriate action to achieve compliance with these
environmental laws or has not made reasonable efforts to complete any necessary
permit application; and
(c) as a result, the owner or operator of the facility did not or will not
achieve compliance with applicable environmental laws or did not or will not
complete the necessary permit application within a reasonable period of time.
The privilege provided for in Section 48-57-30 is not applicable in any
criminal proceeding.
A party asserting the privilege provided for in Section 48-57-30 has the
burden of proving that the materials claimed as privileged constitute an
environmental audit report as defined by Section 48-57-20 and also of proving
that compliance has been achieved or will be achieved through the exercise of
best efforts. A party seeking disclosure under Section 48-57-50 has the burden
of proving the condition for disclosure set forth in that section.
The parties may at any time stipulate to entry of an order directing that
specific information contained in an environmental audit report is or is not
subject to the privilege. In the absence of an on-going proceeding, where the
parties are not in agreement, the department may seek a declaratory ruling from
the circuit court on the issue of whether the materials are privileged under
Section 48-57-30 and whether the privilege, if existing, should be revoked
pursuant to Section 48-57-50.
Nothing in this chapter limits, waives, or abrogates:
(1) the scope or nature of any statutory or common law privilege, including
the work-product privilege or the attorney-client privilege;
(2) any existing ability or authority under state law to challenge privilege;
or
(3) the department's authority to obtain or use documents or information that
the department otherwise has the authority to obtain under state regulations
promulgated pursuant to federally-approved programs.
(A) If a person or entity makes a voluntary disclosure of an environmental
compliance violation of the state's laws, or the federal, regional, or local
counterpart or extension of these laws, that person has the burden of proving
that the disclosure is voluntary by establishing the elements in Section
48-57-100(B) and that the person is therefore entitled to immunity from any
administrative or civil penalties associated with the issues disclosed. Nothing
in this section may be construed to provide immunity from criminal penalties.
(B) For purposes of this section, disclosure is voluntary if:
(1) the disclosure is made within fourteen days following a reasonable
investigation;
(2) the disclosure is made to an agency having regulatory authority with
regard to the violation disclosed;
(3) the person or entity making the disclosure initiates an action to resolve
the violation identified in the disclosure in a diligent manner;
(4) the person or entity making the disclosure cooperates with the
appropriate agency in connection with investigation of the issues identified in
the disclosure; and
(5) the person or entity making the disclosure diligently pursues compliance
and promptly corrects the noncompliance within a reasonable time.
(C) A disclosure is not voluntary for purposes of this section if:
(1) specific permit conditions require monitoring or sampling records and
reports or assessment plans and management plans to be maintained or submitted
to the department pursuant to an established schedule;
(2) specific permit conditions, final departmental orders, or environmental
laws require notification of releases to the environment;
(3) the violation was committed intentionally, wilfully, or through criminal
negligence by the person or entity making the disclosure;
(4) the violation was not corrected in a diligent manner;
(5) significant environmental harm or a public health threat was caused by
the violation;
(6) the violation occurred within one year of a similar prior violation at
the same facility and immunity from civil and administrative penalties was
granted by the department for the prior violation;
(7) the violation has resulted in a substantial economic benefit which gives
the violator a clear economic advantage over its business competitors; or
(8) the violation is a violation of the specific terms of a judicial or
administrative order.
(D) If a person meets the burden of proving that the disclosure is voluntary,
the burden shifts to the government to prove that the disclosure was not
voluntary, based upon the factors set forth in this section. The person claiming
immunity under this chapter retains the ultimate burden of proving the
voluntariness of the disclosure.
(E) A voluntary disclosure made pursuant to this section is subject to
disclosure by the agency pursuant to the South Carolina Freedom of Information
Act.
(F) Final waiver of penalties and fines is not granted until full compliance
has been certified by the department as occurring in a reasonable time. If full
compliance is not certified by the department, the department shall retain
discretion to assess penalties based on the department's Uniform Enforcement
Policy.
No state or local governmental rule, regulation, guidance, policy, or permit
condition may circumvent or limit the privileges established by this chapter or
the exercise of the privileges or the presumption and immunity established by
this chapter.