A. 
Geologic hazard areas are those lands that are susceptible to erosion, landsliding, seismic, or other geological events as identified by WAC 365-190-120. These areas may not be suited for development activities because they may pose a threat to public health and safety.
Areas susceptible to one or more of the following types of hazards shall be designated as geologic hazard areas:
1. 
Landslide hazard;
2. 
Seismic hazard;
3. 
Erosion hazard.
B. 
The primary purpose of geologic hazard area regulations is to avoid and minimize potential impacts to life and property from geologic hazards, conserve soil resources, and minimize structural damage relating to seismic hazards. This purpose shall be accomplished through appropriate levels of study and analysis, application of sound engineering principles, and regulation or limitation of land uses, including maintenance of existing vegetation, regulation of clearing and grading activities, and control of stormwater.
(Ord. 238 Ch. VIII § 3(A), 2000; Ord. 398 § 1, 2006; Ord. 723 § 1 (Exh. A), 2015; Ord. 1045 § 1 (Exh. A), 2025)
Geologic hazard areas shall be classified according to the criteria in this section as follows:
A. 
Landslide Hazard Areas. Landslide hazard areas are those areas potentially subject to land-slide activity based on a combination of geologic, topographic and hydrogeologic factors as classified in subsection B of this section with slopes 15 percent or steeper within a vertical elevation change of at least 10 feet or all areas of prior landslide activity regardless of slope. A slope is delineated by establishing its toe and top, and measuring the inclination over 10 feet of vertical relief (see Figure 20.80.215(A)). The edges of the geologic hazard are identified where the characteristics of the slope cross-section change from one landslide hazard classification to another, or no longer meet any classification. Additionally:
1. 
The toe of a slope is a distinct topographic break which separates slopes inclined at less than 15 percent from slopes above that are 15 percent or steeper when measured over 10 feet of vertical relief; and
2. 
The top of a slope is a distinct topographic break which separates slopes inclined at less than 15 percent from slopes below that are 15 percent or steeper when measured over 10 feet of vertical relief.
Figure 20.80.215(A): Illustration of Slope Calculation for Determination of Top and Toe of Landslide Hazard Area.
B. 
Landslide Hazard Area Classification. Landslide hazard areas are classified as follows:
1. 
Moderate to High Risk.
a. 
Areas with slopes between 15 percent and 40 percent and that are underlain by soils that consist largely of sand, gravel or glacial till that do not meet the criteria for very high risk areas in subsection (B)(2) of this section;
b. 
Areas with slopes between 15 percent and 40 percent that are underlain by soils consisting largely of silt and clay and do not meet the criteria for very high risk areas in subsection (B)(2) of this section; or
c. 
All slopes of 10 to 20 feet in height that are 40 percent slope or steeper and do not meet the criteria for very high risk in subsection (B)(2)(a) or (B)(2)(b) of this section.
2. 
Very High Risk.
a. 
Areas with slopes steeper than 15 percent with zones of emergent water (e.g., springs or ground water seepage);
b. 
Areas of landslide activity (scarps, movement, or accumulated debris) regardless of slope; or
c. 
All slopes that are 40 percent or steeper and more than 20 feet in height when slope is averaged over 10 vertical feet of relief.
Figure 20.80.215(B): Illustration of Very High Risk Landslide Hazard Area Delineation (No Midslope Bench).
C. 
Seismic Hazard Areas. Seismic hazard areas are lands that, due to a combination of soil and ground water conditions, are subject to risk of ground shaking, lateral spreading, subsidence or liquefaction of soils during earthquakes. These areas are typically underlain by soft or loose saturated soils (such as alluvium) or peat deposits and have a shallow ground water table. These areas are designated as having “high” and “moderate to high” risk of liquefaction as mapped on the Liquefaction Susceptibility and Site Class Maps of Western Washington State by County by the Washington State Department of Natural Resources.
D. 
Erosion Hazard Areas. Erosion hazard areas are lands or areas underlain by soils identified by the U.S. Department of Agriculture Natural Resources Conservation Service (formerly the Soil Conservation Service) as having “severe” or “very severe” erosion hazards. This includes, but is not limited to, the following group of soils when they occur on slopes of 15 percent or greater: Alderwood-Kitsap (AkF), Alderwood gravelly sandy loam (AgD), Kitsap silt loam (KpD), Everett (EvD) and Indianola (InD).
E. 
Slope Modified by Stabilization Measures. Previously permitted slopes modified by stabilization measures, such as rockeries and retaining walls, that have been engineered and approved by the engineer as having been built according to the engineered design shall be exempt from the provisions of this subchapter based on the opinion of a qualified professional. If the rockery or wall(s) are determined to be inadequate by a qualified professional, a permit for new or rebuilt rockery or wall(s) shall be submitted and reviewed by the Department for code compliance.
(Formerly 18.80.220. Ord. 238 Ch. VIII § 3(B), 2000; Ord. 398 § 1, 2006; Ord. 723 § 1 (Exh. A), 2015; Ord. 907 § 1 (Exh. C), 2020; Ord. 1045 § 1 (Exh. A), 2025)
A. 
Buffers for geologic hazard areas shall be maintained as undisturbed native vegetation consistent with SMC § 20.80.040. Building and other improvement setbacks will be required in addition to buffers as recommended by the qualified professional to allow for landscaping, access around structures for maintenance, and location of stormwater facilities at safe distances from geologic hazard areas where native vegetation is not necessary to reduce the risk of the hazard.
B. 
Required buffer widths for geologic hazard areas shall reflect the sensitivity of the hazard area and the risks associated with development and, in those circumstances permitted by these regulations, the type and intensity of human activity and site design proposed to be conducted on or near the area.
C. 
In determining the appropriate buffer width, the City shall consider the recommendations contained in a geotechnical critical area report required by these regulations.
D. 
For moderate to high risk landslide hazard areas, the qualified professional shall recommend whether buffers should be required and the width of those buffers, as well as recommending any additional setbacks for buildings and stormwater facilities adequate to certify no increase in the risk of the hazard.
E. 
For very high risk landslide hazard areas, the standard buffer shall be 50 feet from all edges of the landslide hazard area. Larger buffers may be required as needed to eliminate or minimize the risk to people and property based on a geotechnical critical area report. The standard buffer may be reduced when geotechnical studies demonstrate, and the qualified professional certifies, that the reduction will not increase the risk of hazard to people or property, on or off site; however, the minimum buffer shall be 15 feet.
(Formerly 20.80.230. Ord. 238 Ch. VIII § 3(C), 2000; Ord. 398 § 1, 2006; Ord. 723 § 1 (Exh. A), 2015; Ord. 1045 § 1 (Exh. A), 2025)
A. 
Report Required. If the Director determines that the site of a proposed development includes, is likely to include, or is adjacent to a geologic hazard area, a critical area report shall be required, at the applicant’s expense. Critical area report requirements for geologic hazard areas are met through submission to the Director of one or more geologic hazard critical area reports. In addition to the general critical areas report requirements of SMC § 20.80.065, critical areas reports for geologic hazard areas must meet the requirements of this section. Critical areas reports for two or more types of critical areas must meet the report requirements for each relevant type of critical area.
B. 
Minimum Report Contents for Geologic Hazard Areas. A critical area report for geologic hazard areas shall contain the following information at a minimum:
1. 
The minimum report contents required per SMC § 20.80.065(D);
2. 
An assessment of whether or not each type of geologic hazard identified in SMC § 20.80.210 is present or not;
3. 
A determination if the proposed development of the site will increase the risk of the hazard on or off site;
4. 
Assessment of Geological Characteristics. The report shall include an assessment of the geologic characteristics of the soils, sediments, and/or rock of the project area and potentially affected adjacent properties, and a review of the site history regarding landslides, erosion, and prior grading. Soils analysis shall be accomplished in accordance with accepted classification systems in use in the region. The assessment shall include, but not be limited to:
a. 
A detailed overview of the field investigations, published data, and references; data and conclusions from past assessments of the site; and site-specific measurements, tests, investigations, or studies that support the identification of geologically hazardous areas; and
b. 
A summary of the existing site conditions, including:
i. 
Surface topography, existing features, and vegetation found in the project area and in all hazard areas addressed in the report;
ii. 
Surface and subsurface geology and soils to sufficient depth based on data from site-specific explorations;
iii. 
Geologic cross-section(s) displaying the critical design conditions;
iv. 
Surface and ground water conditions; and
c. 
A description of the vulnerability of the site to seismic and other geologic events.
5. 
Analysis of Proposal. The report shall contain a hazards analysis including a detailed description of the project, its relationship to the geologic hazard(s), and its potential impact upon the identified hazard area(s), the subject property, and affected adjacent properties. The hazards analysis component of the critical areas report shall include the following based on the type(s) of geologic hazard areas identified:
a. 
Recommendations for the minimum buffer consistent with SMC § 20.80.220 and recommended minimum drainage and building setbacks from any geologic hazard based upon the geotechnical analysis. Buffers must be maintained consistent with SMC § 20.80.040; however, the qualified professional may recommend additional setbacks for drainage facilities or structures which do not have to be maintained as undisturbed native vegetation; and
b. 
An analysis of proposed surface and subsurface drainage, and the vulnerability of the site to erosion.
C. 
Additional Technical Information Requirements for Landslide Hazard Areas. The technical information required in a critical area report for a project within a landslide hazard area shall also include the following:
1. 
An estimate of the present stability of the subject property, the stability of the subject property during construction, the stability of the subject property after all development activities are completed, and a discussion of the relative risks and slide potential relating to adjacent properties during each stage of development, including the effect construction and placement of structures, clearing, grading, and removal of vegetation will have on the slope over the estimated life of the structure;
2. 
An estimate of the bluff retreat rate that recognizes and reflects potential catastrophic events such as seismic activity or a 100-year storm event;
3. 
Consideration of the runout hazard of landslide debris and/or the impacts of landslide runout on downslope properties;
4. 
A study of slope stability including an analysis of proposed cuts, fills, and other site grading;
5. 
Critical area reports for development activities and uses that alter moderate to high risk landslide hazard areas or buffers shall certify:
a. 
The risk of damage from the proposal, both on site and off site, are minimal subject to the conditions set forth in the report;
b. 
The proposal will not increase the risk of occurrence of the potential landslide hazard; and
c. 
Measures to eliminate or reduce risks have been incorporated into the report’s recommendations and project development plans.
6. 
Critical area reports for development activities and uses that alter very high risk landslide hazard areas or buffers shall include a hazards analysis certifying that:
a. 
The development will not increase surface water discharge or sedimentation on site or to adjacent properties beyond pre-development conditions;
b. 
The development will not decrease slope stability on the site or on adjacent properties;
c. 
Such alterations will meet other critical areas regulations; and
d. 
The design criteria in SMC § 20.80.230(E) are met.
7. 
Compliance with the requirements of SMC § 20.80.230(F) for alterations proposed in very high risk landslide hazard areas;
8. 
Parameters for design of site improvements including appropriate foundations and retaining structures. These should include allowable load and resistance capacities for bearing and lateral loads, installation considerations, and estimates of settlement performance;
9. 
Recommendations for drainage and subdrainage improvements;
10. 
Earthwork recommendations including clearing and site preparation criteria, fill placement and compaction criteria, temporary and permanent slope inclinations and protection, and temporary excavation support, if necessary; and
11. 
Mitigation of adverse site conditions including slope stabilization measures and seismically unstable soils, if appropriate.
D. 
Additional Technical Information Requirements for Seismic Hazard Areas. The technical information required in a critical area report for a project within a seismic hazard area shall also include the following:
1. 
A complete discussion of the potential impacts of seismic activity on the site (for example, forces generated and fault displacement);
2. 
Additionally, a geotechnical engineering report for a seismic hazard area shall evaluate the physical properties of the subsurface soils, especially the thickness of unconsolidated deposits and their liquefaction potential. If it is determined that the site is subject to liquefaction, mitigation measures appropriate to the scale of the development shall be recommended and implemented; and
3. 
Any additional information or analysis necessary to demonstrate compliance with the standards for alteration in seismic hazard areas in SMC § 20.80.230(G).
E. 
Limited Report Requirements for Stable Erosion Hazard Areas. When recommended by the qualified professional for sites only overlain by erosion hazard areas with suitable slope stability, and no other type of critical area or buffer, detailed critical areas report requirements may be waived. Report requirements for stable erosion hazard areas may be met through construction documents that shall include at a minimum a stormwater pollution plan prepared in compliance with requirements set forth in Chapter 13.10 SMC.
(Formerly 20.80.240. Ord. 723 § 1 (Exh. A), 2015; Ord. 1045 § 1 (Exh. A), 2025)
A. 
Activities and uses shall be allowed in geologic hazard areas and their required buffers only as provided for in this chapter. The City may approve, condition, or deny proposals in a geologic hazard area based upon the effective mitigation of risks posed to property, health and safety. Where potential impacts cannot be effectively mitigated to eliminate a significant risk to public health and safety and property or other critical area, the proposal shall be denied, except as granted by a critical area special use or critical area reasonable use permit per SMC §§ 20.30.333 and 20.30.336, or subject to the provisions of the Shoreline Master Program, SMC Title 20, Division II, where the proposed development activity is located within the shoreline jurisdiction.
B. 
Activities Allowed in All Geologic Hazards and Buffers. The activities listed below are allowed in the identified geologic hazard areas types. Additional allowed activities are listed in SMC § 20.80.080, Allowed activities. Exemptions are listed in SMC § 20.80.075, but do not apply within the shoreline jurisdiction. These activities do not require submission of a critical area report.
1. 
Installation of fences as allowed without a building permit in Chapter 20.50 SMC, General Development Standards. Excluding significant trees, the minimum removal of vegetation from a geologic hazard area necessary to enable fence installation is allowed;
2. 
If the project is located in an erosion hazard area and is not located in another type of critical area or critical area buffer and does not exceed any other threshold contained in SMC § 20.50.320, then up to 1,500 square feet may be cleared on any lot in an erosion hazard area without a permit.
C. 
Alteration of Moderate to High Risk Landslide Hazards. Development activities and uses that result in unavoidable alterations may be permitted in moderate to high risk landslide hazard areas or their buffers in accordance with an approved geologic hazard critical area report. The recommendations contained within the critical area report shall be incorporated into the proposed alteration of the landslide hazard area or its buffers.
D. 
Alteration of Very High Risk Landslide Hazard Areas. Development activities and uses that result in unavoidable alterations may be permitted in very high risk landslide hazard areas or their buffers in accordance with an approved geologic hazard critical area report. The recommendations contained within the critical area report shall be incorporated into the proposed alteration of the landslide hazard area or its buffers.
E. 
Design Criteria for Alteration of Very High Risk Landslide Hazard Areas. Development within a very high risk landslide hazard area and/or buffer shall be designed to meet the following basic requirements unless it can be demonstrated that an alternative project design provides greater short- and long-term slope stability while meeting all other provisions of this chapter. The requirement for long-term slope stability shall exclude designs that require regular and periodic maintenance to maintain their level of function. The basic development design criteria are:
1. 
The proposed development shall not decrease the factor of safety for landslide occurrences below the limits of 1.5 for static conditions and 1.2 for dynamic conditions. Proposed alteration of natural slopes, that does not include structures, shall not decrease the factor of safety for landslide occurrences below the limits of 1.3 for static conditions and 1.0 for seismic. Where the existing conditions are below these limits, the proposed development shall increase the factor of safety to these limits or will not be permitted. Analysis of dynamic conditions shall be based on the seismic event as established by the current version of the International Building Code;
2. 
New structures and improvements shall be clustered to avoid geologic hazard areas and other critical areas;
3. 
New structures and improvements shall minimize alterations to the natural contour of the slope, and foundations shall be tiered where possible to conform to existing topography;
4. 
New structures and improvements shall be located to preserve the most critical portion of the site and its natural landforms and vegetation;
5. 
The proposed development shall not result in greater risk of the hazard or a need for increased buffers on neighboring properties;
6. 
Where the existing natural slope area cannot be retained undisturbed with native vegetation, the use of retaining walls that allow the maintenance of existing natural slope area is preferred over graded artificial slopes; and
7. 
Development shall be designed to minimize impervious lot coverage and preserve native vegetation and trees to the maximum extent practicable.
F. 
Additional Requirements for Alteration of Very High Risk Hazard Landslide Areas.
1. 
Prior to application, the applicant shall meet the requirements of and conduct a neighborhood meeting consistent with SMC § 20.30.090. The notification area shall be limited to:
a. 
All property owners whose properties adjoin the subject property; and
b. 
Properties that include part of the subject property’s very high risk landslide hazard area and the standard 50-foot buffer, but not to exceed a maximum of 200 feet from the project clearing limits.
2. 
Prior to permit issuance, the property owner shall sign and record on title, at the owner’s sole expense, a covenant in a form acceptable to the City, which:
a. 
Acknowledges and accepts the risks of development in the landslide hazard area;
b. 
Waives any rights to claims against the City;
c. 
Indemnifies and holds harmless the City against claims, losses, and damages;
d. 
Informs subsequent owners of the property of the risks and the covenant; and
e. 
Advisability of obtaining added insurance.
3. 
Prior to permit issuance, the piling and excavation contractors shall submit insurance bonding documentation that includes coverage for subsidence and underground property damage, listing the City as an additional insured. The Director may require adequate bonds and/or insurance to cover potential claims for property damage that may arise from or be related to the following:
a. 
Excavation or fill within a landslide-prone area when the depth of the proposed excavation exceeds four feet and the bottom of the proposed excavation is below the 100 percent slope line (45 degrees from a horizontal line) from the property line; or
b. 
In other circumstances where the Director determines that there is a potential for significant harm to any type of critical area or a critical area buffer during the construction process.
4. 
If the Building Official has reasonable grounds to believe that an emergency exists because significant changes in geologic conditions at a project site or in the surrounding area may have occurred since a permit was issued, increasing the risk of damage to the proposed development, to neighboring properties, or to nearby surface waters, the building official may, by letter or other reasonable means of notification, suspend the permit until the applicant has submitted a letter of certification. The letter of certification shall be based on such factors as the presence of known slides, indications of changed conditions at the site or the surrounding area, or other indications of unstable soils and meet the following requirements:
a. 
The letter of certification shall be from the current project qualified professional geotechnical engineer of record stating that a qualified professional geotechnical engineer has inspected the site and area surrounding the proposed development within the 60 days preceding submittal of the letter; and that:
i. 
In the project geotechnical engineer’s professional opinion no significant changes in conditions at the site or surrounding area have occurred that render invalid or out-of-date the analysis and recommendations contained in the technical reports and other application materials previously submitted to the City as part of the application for the permit; or that
ii. 
In the project geotechnical engineer’s professional opinion, changes in conditions at the site or surrounding area have occurred that require revision to project criteria and that all technical reports and any necessary revised drawings that account for the changed conditions have been prepared and submitted.
5. 
The letter of certification and any required revisions shall be reviewed and approved by the City’s third party qualified professional, at the applicant’s expense, before the Building Official may allow work to continue under the permit.
G. 
Alteration of Seismic Hazard Areas. Development activities and uses in seismic hazard areas may be permitted, not subject to SMC § 20.80.095(A)(1), based on review of a critical area report demonstrating that the project is consistent with SMC § 20.80.095(A)(2) through (A)(6). The report must certify that the risks of damage from the proposal, both on site and off site, are minimal subject to the conditions set forth in the report, that the proposal will not increase the risk of occurrence of the potential hazard, and that measures to eliminate or reduce risks have been incorporated into the report’s recommendations. The report must include the following:
1. 
For one-story and two-story detached residential structures, a qualified professional shall conduct an evaluation of site response and liquefaction potential based on current mapping, site reconnaissance, research of nearby studies.
2. 
For all other proposals, the qualified professional shall conduct an evaluation of site response and liquefaction potential including sufficient subsurface exploration to determine the site coefficient for use in the static lateral force procedure described in the International Building Code.
H. 
Alteration of Erosion Hazard Areas. Development activities and uses in erosion hazard areas may be permitted, not subject to SMC § 20.80.095(A)(1), based on review of a critical area report demonstrating that the project is consistent with SMC § 20.50.095(A)(2) through (A)(6) and the following provisions:
1. 
All development proposals on sites containing erosion hazard areas shall include a mitigation plan to ensure revegetation and permanent stabilization of the site. Specific requirements for revegetation in mitigation plans shall be consistent with the mitigation plan requirements in SMC § 20.80.100 and the mitigation performance standards for geologic hazard areas in SMC § 20.80.235. Revegetation for site stabilization may be combined with required landscape, tree retention, and/or other critical area mitigation plans as appropriate.
2. 
All subdivisions, short subdivisions or binding site plans on sites with erosion hazard areas shall comply with the following additional requirements:
a. 
Except as provided in this section, existing vegetation shall be retained on all lots until building permits are approved for development on individual lots;
b. 
If any vegetation on the lots is damaged or removed during construction of the subdivision infrastructure, the applicant shall be required to implement the revegetation plan in those areas that have been impacted prior to final inspection of the site development permit or the issuance of any building permit for the subject property;
c. 
Clearing of vegetation on individual lots may be allowed prior to building permit approval if the City determines that:
i. 
Such clearing is a necessary part of a large-scale grading plan;
ii. 
It is not feasible to perform such grading on an individual lot basis; and
iii. 
Drainage from the graded area will meet established water quality standards.
3. 
Where the City determines that erosion from a development site poses a significant risk of damage to downstream receiving water, the applicant shall be required to provide regular monitoring of surface water discharge from the site during the project construction or installation. If the project does not meet water quality standards, the City may suspend further development work on the site until such standards are met.
4. 
The City may require additional mitigation measures in erosion hazard areas, including, but not limited to, the restriction of major soil-disturbing activities associated with site development between October 1st and April 30th to meet the stated purpose contained in SMC §§ 20.80.010 and 20.80.210.
5. 
The use of hazardous substances, pesticides and fertilizers in erosion hazard areas may be prohibited by the City.
(Formerly 20.80.224. Ord. 723 § 1 (Exh. A), 2015; Ord. 1045 § 1 (Exh. A), 2025)
A. 
Requirements for Mitigation. Mitigation is required for proposed adverse impacts and increased risks of alteration of geologic hazard areas. The objective of mitigation measures shall be to render a site containing geologic hazards as safe as one not containing such a hazard. Mitigation plans shall be submitted as part of the required critical area report, consistent with the requirements of SMC § 20.80.100, and this section.
B. 
Preference of Mitigation Actions. Methods to achieve mitigation for alterations of geologic hazard areas shall be approached in the following order of preference:
1. 
Protection. Mitigation measures that increase the protection of the identified geologic hazard areas include, but are not limited to:
a. 
Increased or enhanced buffers;
b. 
Setbacks for permanent and temporary structures;
c. 
Reduced project scope; and
d. 
Retention of existing vegetation.
2. 
Restoration. Restoration of native vegetation.
3. 
Engineered Stabilization. Engineered design of geologic hazard stabilization to ensure no increased risk of the hazard due to the proposal with preference for bioengineering over structural engineered solutions.
C. 
Performance Standards. The following performance standards shall apply to any mitigation for development proposed within geologic hazard areas:
1. 
Geotechnical studies shall be prepared by a qualified professional to identify and evaluate potential hazards and to formulate mitigation measures;
2. 
Construction methods will reduce or not adversely affect geologic hazards;
3. 
Site planning to minimize disruption of existing topography and natural vegetation;
4. 
Significant trees shall be preserved, unless removal is unavoidable or otherwise allowed under the provisions of this chapter;
5. 
Minimize impervious surface coverage;
6. 
Replant disturbed areas as soon as feasible pursuant to an approved landscape plan. When planting is required, the following standards shall apply:
a. 
Native species, indigenous to the region, shall be used;
b. 
Plant selection shall be consistent with the existing or projected site conditions, including slope aspect, moisture, and shading;
c. 
Plants should be commercially available or available from local sources;
d. 
Plant species high in food and cover value for fish and wildlife shall be used;
e. 
A minimum of 75 percent of the planted species shall be perennial, unless a lower percentage is recommended by a qualified professional;
f. 
Committing significant areas of the site to species that have questionable potential for successful establishment shall be avoided;
g. 
Plant selection, densities, and placement of plants must be determined by a qualified professional and shown on the design plans;
h. 
Stockpiling soil and construction materials should be confined to upland areas and contract specifications should limit stockpiling of earthen materials to durations in accordance with City clearing and grading standards, unless otherwise approved by the City;
i. 
Planting instructions shall be submitted which describe placement, diversity, and spacing of seeds, tubers, bulbs, rhizomes, sprigs, plugs, and transplanted stock;
j. 
Controlled release fertilizer shall be applied (if required) at the time of planting and afterward only as plant conditions warrant as determined during the monitoring process;
k. 
An irrigation system shall be installed, if necessary, for the initial establishment period; and
l. 
The heterogeneity and structural diversity of vegetation shall be emphasized in landscaping;
7. 
The use of retaining walls that allow maintenance of existing natural slope areas are preferred over graded slopes;
8. 
Undevelopable geologic hazard areas larger than one-half acre shall be placed in a separate tract, provided this requirement does not make the lot nonconforming;
D. 
Mitigation of Long Term Impacts. When hazard mitigation is required, the mitigation plan shall specifically address how the activity maintains or reduces the preexisting level of risk to the site and adjacent properties on a long-term basis (equal to or exceeding the projected lifespan of the activity or occupation). Proposed mitigation techniques shall be considered to provide long-term hazard reduction only if they do not require regular maintenance or other actions to maintain their function. Mitigation may also be required to avoid any increase in risk above the preexisting conditions following abandonment of the activity.
(Formerly 20.80.250. Ord. 238 Ch. VIII § 3(E), 2000; Ord. 398 § 1, 2006; Ord. 723 § 1 (Exh. A), 2015; Ord. 1045 § 1 (Exh. A), 2025)