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395812 / MID048090633 WAYNE DISPOSAL INC
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395812 / MID048090633 WAYNE DISPOSAL INC
49350 N I94 SERVICE DR, BELLEVILLE, MI 48111
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Financial Assurance
Financial Exempt
Latest Cost adjustment
Estimated Cost
Required Liability
No
12/19/2023
$42,613,353.44
$8,000,000.00
Financial Assurance
Financial Exempt:
Yes
No
No
Closure Cost:
$25,624,410.01
Latest Cost Adjustment:
12/19/2023
Post Closure Cost:
$16,988,943.43
Corrective Action Cost:
Required Sudden Liability:
$2,000,000.00
Required Non-Sudden Liability:
$6,000,000.00
Financial Instruments (2)
FRR (58)
Acct. No.
Type
Last Updated
Anniversary Date
Instrument Value
Site Coverage
Available Balance
ERXXXXX24
INSRNC - Liability Insurance Policy
6/30/2024
6/30/2025
$16,000,000.00
$8,000,000.00
$8,000,000.00
Closure
Post Closure
Corrective Action
Non-sudden Liability
Sudden Liability
$0.00
$0.00
$0.00
$6,000,000.00
$2,000,000.00
View Related Sites
Account No.:
ERXXXXX24
Type:
Performance Bond - Automatically Renewing
Performance Bond - Non-Renewing
Certificate of Deposit - Automatically Renewing
Certificate of Deposit - Non-Renewing
Closure/Post-Closure Insurance Policy
Financial Mechanism was Forfeited
Liability Insurance Policy
Letter of Credit
Letter of Credit - Non-Renewing
Michigan Corporate Guarantee
Michigan Financial Test
Other Financial Mechanism
RCRA Financial Test
Trust Fund
Liability Insurance Policy
Instrument Value:
$16,000,000.00
Last Update Date:
6/30/2024
Anniversary Date:
6/30/2025
Site Coverage:
Closure
Post Closure
Corrective Action
Sudden Liability
Non-sudden Liability
$0.00
$0.00
$0.00
$2,000,000.00
$6,000,000.00
CPXXXXXXXXXX09
CPCINSRNC - Closure/Post-Closure Insurance Policy
12/19/2023
12/19/2024
$42,613,353.44
$42,613,353.44
$0.00
Closure
Post Closure
Corrective Action
Non-sudden Liability
Sudden Liability
$25,624,410.01
$16,988,943.43
$0.00
$0.00
$0.00
View Related Sites
Account No.:
CPXXXXXXXXXX09
Type:
Performance Bond - Automatically Renewing
Performance Bond - Non-Renewing
Certificate of Deposit - Automatically Renewing
Certificate of Deposit - Non-Renewing
Closure/Post-Closure Insurance Policy
Financial Mechanism was Forfeited
Liability Insurance Policy
Letter of Credit
Letter of Credit - Non-Renewing
Michigan Corporate Guarantee
Michigan Financial Test
Other Financial Mechanism
RCRA Financial Test
Trust Fund
Closure/Post-Closure Insurance Policy
Instrument Value:
$42,613,353.44
Last Update Date:
12/19/2023
Anniversary Date:
12/19/2024
Site Coverage:
Closure
Post Closure
Corrective Action
Sudden Liability
Non-sudden Liability
$25,624,410.01
$16,988,943.43
$0.00
$0.00
$0.00
New Row
Account No.:
Type:
Performance Bond - Automatically Renewing
Performance Bond - Non-Renewing
Certificate of Deposit - Automatically Renewing
Certificate of Deposit - Non-Renewing
Closure/Post-Closure Insurance Policy
Financial Mechanism was Forfeited
Liability Insurance Policy
Letter of Credit
Letter of Credit - Non-Renewing
Michigan Corporate Guarantee
Michigan Financial Test
Other Financial Mechanism
RCRA Financial Test
Trust Fund
Instrument Value:
$0.00
Last Update Date:
Anniversary Date:
Site Coverage:
Closure
Post Closure
Corrective Action
Sudden Liability
Non-sudden Liability
$0.00
$0.00
$0.00
$0.00
$0.00
1
2
3
4
5
6
>
Secondary Reason
Status
Violations
Compliance Actions
Issue
Date
CEA - Close Enforcement Action
1
1
12/5/1985
IC - In Compliance
0
0
1/5/1987
IC - In Compliance
0
0
6/27/1988
RTC - Return to Compliance
1
1
3/22/1989
IC - In Compliance
0
0
4/4/1990
RTC - Return to Compliance
1
1
4/4/1991
RTC - Return to Compliance
1
2
3/31/1993
IC - In Compliance
0
0
6/28/1994
IC - In Compliance
0
0
3/14/1997
IC - In Compliance
0
0
4/16/1998
New Row
Financial Assurance
Financial Exempt:
Yes
No
Closure Cost:
$0.00
Latest Cost Adjustment:
Post Closure Cost:
$0.00
Corrective Action Cost:
$0.00
Required Sudden Liability:
$0.00
Required Non-Sudden Liability:
$0.00
Financial Instruments (0)
FRR (0)
Acct. No.
Type
Last Updated
Anniversary Date
Instrument Value
Site Coverage
Available Balance
New Row
Account No.:
Type:
Performance Bond - Automatically Renewing
Performance Bond - Non-Renewing
Certificate of Deposit - Automatically Renewing
Certificate of Deposit - Non-Renewing
Closure/Post-Closure Insurance Policy
Financial Mechanism was Forfeited
Liability Insurance Policy
Letter of Credit
Letter of Credit - Non-Renewing
Michigan Corporate Guarantee
Michigan Financial Test
Other Financial Mechanism
RCRA Financial Test
Trust Fund
Instrument Value:
$0.00
Last Update Date:
Anniversary Date:
Site Coverage:
Closure
Post Closure
Corrective Action
Sudden Liability
Non-sudden Liability
$0.00
$0.00
$0.00
$0.00
$0.00
Secondary Reason
Status
Violations
Compliance Actions
Issue
Date
Save
Cancel
Total Cost Estimate:
$42,613,353.44
Total Liability Required:
$8,000,000.00
Financial Assurance Coverage:
$42,613,353.44
Liability Coverage:
$8,000,000.00
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