§546-B. Sensitive area identification and protection
1. Sensitive area identification and data management. The commissioner, in consultation with the Department of Marine Resources, the Department of Inland Fisheries and Wildlife, the Department of Agriculture, Conservation and Forestry, the United States Fish and Wildlife Service and other appropriate agencies and organizations, both public and private, shall assess the nature and extent of sensitive areas and resources in the marine environment that may be threatened by oil spills and develop a system to collect and maintain the necessary data. The commissioner shall ensure that the duplication of effort among agencies and creation of incompatible data and databases are minimized.
[PL 2011, c. 655, Pt. KK, §28 (AMD); PL 2011, c. 655, Pt. KK, §34 (AFF); PL 2011, c. 657, Pt. W, §5 (REV).]
2. Protection priorities.
[PL 1991, c. 698, §9 (RP).]
3. Use of state geographic information system. The system developed pursuant to subsection 1 must be based on the state geographic information system to the maximum extent practicable. The commissioner is responsible for the design, implementation and execution of the marine oil spill prevention, planning and response system. The commissioner shall specify the format and types of data to be compiled by other agencies with money supplied by the fund. The format and digital conversion of the data must comply with standards developed by the state geographic information system and data must be added to that system's data base. The state geographic information system must provide technical assistance and serve as the final repository for final geographic information system data. Any persons employed for sensitive area mapping and supported by money from the fund must be involved in the digitization, quality assurance and control and training for sensitive area mapping. Development must proceed in 3 phases as follows:
A. A pilot project for Casco Bay to be completed by December 31, 1991; [PL 1991, c. 454, §6 (NEW).]
B. The Penobscot River and Penobscot Bay area to be completed in 1992; and [PL 1991, c. 454, §6 (NEW).]
C. The remainder of the coastline to be completed in 1993. [PL 1991, c. 454, §6 (NEW).]
[PL 1991, c. 454, §6 (NEW).]
SECTION HISTORY
PL 1991, c. 454, §6 (NEW). PL 1991, c. 698, §9 (AMD). PL 2011, c. 655, Pt. KK, §28 (AMD). PL 2011, c. 655, Pt. KK, §34 (AFF). PL 2011, c. 657, Pt. W, §5 (REV).
Structure Maine Revised Statutes
TITLE 38: WATERS AND NAVIGATION
Chapter 3: PROTECTION AND IMPROVEMENT OF WATERS
Subchapter 2-A: OIL DISCHARGE PREVENTION AND POLLUTION CONTROL
38 §543. Pollution and corruption of waters and lands of the State prohibited
38 §544. Powers and duties of the board
38 §545. Operation without license prohibited
38 §545-A. Underground oil storage facilities (REPEALED)
38 §545-B. Registration of transportation of oil in inland areas
38 §546. Regulatory powers of department
38 §546-A. State marine oil spill contingency plan
38 §546-B. Sensitive area identification and protection
38 §546-C. Wildlife rehabilitation plan
38 §547. Emergency proclamation; Governor's powers
38 §548. Removal of prohibited discharges
38 §549. Personnel and equipment
38 §550. Enforcement; penalties
38 §551. Maine Ground and Surface Waters Clean-up and Response Fund
38 §551-A. Oil Spill Advisory Committee (REPEALED)
38 §552-A. Detention of vessels
38 §552-B. Financial responsibility and facility closure
38 §553. Interstate Compact, authority
38 §554. Reports to the Legislature (REPEALED)