[Amended 3-20-1995 STM by Art. 15; 5-13-1996 ATM by Art. 23; 5-13-2002 ATM by Art.
21; 5-9-2011 ATM by Art. 16]
A. Purpose. The purpose of site plan approval is to ensure that the
design and layout of new developments comply with the purpose and
intent of this chapter, result in attractive and viable growth, and
are not detrimental to the neighborhood, environment or community.
B. Project requiring site plan approval.
(1) No building permit shall be issued for any of the following uses unless a site plan has been endorsed by the Planning Board in accord with Subsection
D(3)(a), after consultation with other boards, including but not limited to the following: Select Board, Board of Health, Conservation Commission, Department of Public Works, Town Consulting Engineer, Belchertown Water District (if applicable), other water or sewer districts (if applicable), Historical Commission, Fire Department and Police Department:
[Amended 5-8-2017 ATM
by Art. 21; 6-12-2021 ATM by Art. 14]
(a)
New construction or exterior additions to a commercial structure;
(b)
New construction or exterior additions to an industrial structure;
(c)
New construction or exterior additions to a multiple-dwelling
structure in a Multiple-Dwelling Residential District (MDR);
(d)
Construction or expansion of a parking lot for a municipal,
institutional, commercial, business, industrial or multifamily structure
or use; or
(e)
Any other use specified in §
145-11, Schedule of Use Regulations, which indicates that site plan approval is required.
(2) The Planning Board may waive any of the procedures in Subsection
D or site plan contents in Subsection
E as long as such action is in the public interest and not inconsistent with the purpose and intent of this chapter.
C. Exemptions from site plan approval. Site plan approval shall not
be required for:
(1) The construction or enlargement of any single-family or two-family
dwelling or building accessory to such dwelling;
(2) The construction or alteration of any building used exclusively for
agriculture, horticulture or floriculture;
(3) Construction or alteration providing for not more than 200 square
feet of total floor area after construction;
(4) Customary home occupations as described in §
145-25 of this chapter.
D. Procedures for site plan approval.
(1) A review fee shall be charged for each site plan approval application
in order to cover expenses connected with processing, review and any
public meeting costs associated with the review of the site plan.
The fee charged shall be noted on a schedule of Planning Board fees
available in the Planning office and the Town Clerk's office. The
fee shall be sufficient to cover the costs of advertisement and mailings
and outside professional consultants, including but not limited to
engineering, planning, architectural and/or legal consultants, for
each application proposing construction or alteration, or for each
modification or alteration of an approved site plan. The full cost
of any Town engineering or planning consultant services shall be paid
by the applicant before any site plan approval becomes effective.
(2) Each application for site plan approval shall contain the current
owner of record's signed permission and shall be accompanied by 10
copies of the site plan, 12 copies if review by a Water District is
necessary. Failure of boards and officials to make recommendations
to the Planning Board within 14 days of the application filing date
shall be deemed to be a lack of opposition. Any board or official
may waive the fourteen-day period by so indicating on the application.
(3) Period of review.
(a)
All applications for site plan approval shall be reviewed and acted upon by the Planning Board. For site plan approval applications that coincide with a special permit to be decided by the Planning Board, the schedule and requirements of the special permit determination shall apply. A separate public hearing for a simultaneous site plan approval application is not required. When another board is the special permit granting authority, the Planning Board shall not require an additional separate public hearing. For site plan applications that do not require a special permit, the Planning Board shall, within 35 days of the application filing date, take final action in accordance with Subsection
G or make a determination pursuant to Subsection
D(3)(b) that a public hearing is necessary. If a public hearing is determined to be necessary, the schedule and requirements of a special permit shall apply.
(b)
The Planning Board may determine that a public hearing for a
site plan is necessary when the proposed use or uses would:
[1]
Affect traffic circulation adversely.
[2]
Affect environmental resources, such as surfacewater or groundwaters.
[3]
Result in extensive earth removal and change of grades.
[4]
Affect significantly the capacity of public infrastructure,
such as sewer or water service provision.
E. Required site plan contents.
(1) All site plans shall be prepared by an architect, landscape architect
or professional engineer licensed in Massachusetts on standard twenty-four-inch
by thirty-six-inch sheets, unless these requirements are waived by
the Planning Board. Site plans shall be prepared at a sufficient scale
to show:
(a)
The location and boundaries of the lot, adjacent streets and
ways and the location and owners' names of all adjacent properties.
(b)
Existing and proposed topography, including contours, the location
of wetlands, streams, water bodies, drainage swales, areas subject
to flooding and unique natural features.
(c)
Existing and proposed structures, including dimensions and elevations, and a set of architectural renderings and materials lists for proposed construction consistent with §
145-41 (Commercial development and architectural design).
[Amended 5-12-2014 ATM by Art. 20]
(d)
The location of parking and loading areas, driveways, walkways
and access and egress points.
(e)
The location and description of all proposed septic systems,
water supply, storm drainage systems, utilities and other waste disposal
and storage methods.
(f)
Existing and proposed stormwater runoff calculations and control
plan.
(g)
Proposed landscape features, including the location and description
of screening, fencing and plantings.
(h)
The location, dimensions, height and characteristics of proposed
signs.
(i)
The location and a description of proposed open or recreation
areas.
(2) The plan shall describe estimated daily and peak-hour vehicle trips
to be generated by the site and traffic flow patterns for vehicles
and pedestrians showing adequate access to and from the site and adequate
circulation within the site. A detailed traffic generation statement
is required for uses that would add 40 or more peak-hour trips.
(3) A plan for the control of erosion, dust, and silt, both during and
after construction sequencing, temporary and permanent erosion control,
and protection of water bodies.
(4) The Planning Board may require additional information to adequately
evaluate the proposed site plan.
F. Site plan approval criteria guidelines.
(1) The following guidelines shall be used as criteria by the aforementioned boards and officials noted in Subsection
B(1) in the review and evaluation of a site plan, consistent with a reasonable use of the site for the purposes permitted or permissible by the regulations of the district in which it is located:
(a)
If the proposal requires a special permit, it must conform to the special permit requirements as listed in §
145-69 of this chapter.
(b)
The development shall be integrated into the existing terrain
and surrounding landscape and shall be designed to protect abutting
properties and community amenities. Building sites shall, to the extent
feasible:
[1]
Minimize use of wetlands, steep slopes, floodplains and hilltops;
[2]
Minimize obstruction of scenic views from publicly accessible
locations;
[3]
Preserve unique natural or historic features;
[4]
Minimize tree, vegetation and soil removal and grade changes;
[5]
Maximize open space retention; and
[6]
Screen objectionable features, such as lighting, utility structures,
outdoor storage or other such features, from neighboring properties
and roadways.
(c)
The development shall be served with adequate water supply and
waste disposal systems. "Adequate" means the development shall not
place an excessive demand on public infrastructure and resources.
(d)
The plan shall maximize the convenience and safety of vehicular
and pedestrian movement within the site and in relation to adjacent
ways. Sidewalks must be shown along the applicant's frontage adjacent
to public ways, and shall meet, at a minimum, current ADA standards.
[Amended 5-8-2017 ATM
by Art. 22]
(e)
The site plan shall show adequate measures to prevent pollution
of surface water or groundwater, to minimize erosion and sedimentation
and to prevent changes in groundwater levels, increased runoff and
potential for flooding. Drainage shall be designed so that runoff
shall not be increased, groundwater recharge is maximized and neighboring
properties will not be adversely affected.
(f)
Exposed storage areas, machinery, service areas, truck loading
areas, utility buildings and structures and other unsightly uses shall
be set back or screened to protect the neighbors from these objectionable
features.
(g)
In all cases, setback and dimensions as described in Article
V of the Zoning Bylaw must be honored and cannot be waived. The site plan shall comply with all zoning requirements for parking, loading and environmental performance standards and all provisions of this chapter. However, strict compliance with any zoning bylaw governing any individual aspect of a site plan, other than setbacks and dimensions, may be waived by the Planning Board where such action is in not detrimental to the public good. In such cases, any waiver on a site plan with approval from the Planning Board supersedes the individual bylaw governing the waiver. If the applicant requests a waiver, it is incumbent upon the applicant to demonstrate the viability of the proposed waiver. The Planning Board reserves the right to request a waiver when the Board deems it appropriate, even if the applicant does not request a waiver.
(h)
The site plan shall demonstrate compliance with §
145-41 (Commercial development and architectural design).
[Added 5-12-2014 ATM by Art. 20]
(2) Before approval of a site plan, the Planning Board may request the
applicant to make modifications in the proposed design of the project
to ensure that the above criteria are met.
G. Final action.
(1) The Planning Board's final action shall consist of either:
(a)
A determination that the proposed project meets the criteria of Subsection
F for site plan approval, stating the specific manner and criteria in which the proposed project conforms to this chapter;
(b)
A written denial of the application stating the reasons by which
the submitted application and site plan are incomplete for sufficient
review by the Planning Board and/or its agents; or
(c)
Approval subject to any conditions, modifications and restrictions
as the Planning Board may deem necessary.
(2) The Planning Board's decision shall be sent by certified mail to
the applicant and shall be filed with the Town Clerk within seven
days of the date of the final determination by the Planning Board
pertaining to any such plan approval. A copy shall also be sent to
the Building Inspector/Zoning Enforcement Officer.
H. Enforcement.
(1) Security for incomplete work. The Planning Board may require the
posting of a performance guaranty, in the form of a deposit of money
made out to the Town of Belchertown or a bond, in an amount determined
by the Planning Board to be sufficient to cover the costs of all or
any part of the improvements required per the approved site plan and
outstanding conditions affecting public facilities, such as roads
or drainage, or public health, safety or general welfare. The Planning
Board, through the action of the Zoning Enforcement Officer, may suspend
any license or permit when work is not performed as required. The
security or guaranty is to ensure that the incomplete work is completed
within a reasonable time. The Planning Board shall establish a deadline
for completion of not more than one year from the posting of the security.
This allowance is subject to the review by the Planning Board by a
site inspection to ensure the safety and health for those who occupy
the structure and use the site. If the Planning Board requires a performance
guaranty, the guaranty must be posted before the site plan may be
approved.
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Each site plan must include a total construction estimate with
an inflation factor added to it. Security is to be provided to cover
all work involving public property, all drainage and stormwater structures,
and additional amounts to cover any health and safety hazards resulting
from incomplete work on the site.
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The Planning Board must sign a certificate of completion for
any security or guaranty to be released.
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(2) Certificate of occupancy. No occupancy permit shall be issued for
any building or structure, or portion thereof, until the Building
Inspector receives certification from a registered architect, landscape
architect, engineer or land surveyor, that all construction (including
utilities) has been done in accordance with the approved site plan
(not required for site plans for structures less than 5,000 square
feet). The Building Inspector may issue a conditional certificate
of occupancy to allow a tenant to operate before full site completion,
but this is issued at the tenant's and property owner's risk of rescission
in the event that the site work is incomplete by the required date.
The Building Inspector and Planning Board shall require a performance
guaranty to cover any unfinished site items shown on the approved
site plan during the conditional occupancy.
I. Modification of an approved site plan.
(1) In the event that the applicant desires to alter, modify or correct
an approved site plan, the applicant shall provide the Planning Board
with:
(a)
A written statement, signed by the applicant and property owner,
requesting such changes;
(b)
Seven prints of the original approved site plan with the changes
drawn on said plan in red; and
(c)
Other documentation deemed necessary by the Board for its review
of the proposed modification.
(2) Minor amendments to an approved site plan may be granted by the Planning Board, upon application and for good cause shown, and shall be acted upon under the procedures applicable to initial approval of a site plan. The Board may require a public hearing in accordance with the provisions of Subsection
D(3) if it considers the proposed modification to be potentially detrimental to the neighborhood, community or environment.
(3) The Planning Board shall file its decision on the alteration, modification
or corrections to an approved site plan with the Town Clerk and send
a copy by certified mail to the applicant. The Planning Board shall
notify the Building Inspector/Zoning Enforcement Officer of its site
plan amendment decision.
J. Appeals and expiration.
(1) Decisions on site plan applications reviewed by the Planning Board may be appealed to the Zoning Board of Appeals in accordance with §
145-68A of this chapter and with MGL c. 40A, §§ 8 and 15. Decisions on site plans reviewed by a special permit granting authority as part of a special permit application may be appealed to the appropriate Massachusetts trial court in accordance with MGL c. 40A, § 17.
(2) Site plan approval issued under this section shall expire within
two years if a substantial use thereof is not commenced, except for
good cause.
[Added 5-14-2012 ATM by Art. 26; amended 5-8-2017 ATM by Art. 26; 5-13-2019
ATM by Art. 32; 5-9-2022 ATM by Art. 22]
A. Purpose. This bylaw is to regulate the development of commercial
solar photovoltaic installations by providing standards for their
placement, design, construction, operation, monitoring, modifications,
and removal; to protect public health, safety or welfare in accordance
with M.G.L. c. 40A, § 3; to protect and preserve farmland,
forests, and open space as promoted by the Commonwealth of Massachusetts;
to protect the scenic, natural, and historic resources of Belchertown;
and to provide adequate financial assurance for the eventual decommissioning
of such installations. A solar photovoltaic system that is for the
exclusive purpose of providing electricity for a property that is
primarily in agricultural use as defined under M.G.L. c. 40A, § 3,
and that produces electricity to be used solely for the benefit of
the agricultural property is exempt.
B. Applicability. This bylaw applies to large-scale (minimum 250 kW
rated nameplate capacity) solar photovoltaic installations constructed
after the effective date of this bylaw. This bylaw also pertains to
physical modifications that materially alter the type, configuration,
or size of these installations or related equipment. The requirements
of this bylaw shall apply to a commercial solar photovoltaic installation
regardless of whether it is the primary use of property or an accessory
use.
(1) As-of-right: The following commercial solar photovoltaic installations,
as defined herein, are allowed as of right with site plan approval
in all zoning districts:
(a)
Any such installation over parking lots;
(b)
Any such installation on existing structures.
(2) Special permit: Any CSPI not specified in Subsection
B(1) requires a special permit in all zoning districts from the Planning Board. For all special permit applications, site plan approval as described below is required, but shall not require a second public hearing, per §
145-27D(3)(a).
(3) Not permitted: No commercial solar photovoltaic installation may
be permitted as follows:
(a)
Any CSPI of greater than 15 acres in fenced array area.
(b)
Any CSPI requiring forest clearing greater than five acres.
Land that has been cleared of forest for less than two years is still
considered forested in this clause.
(c)
Any CSPI on slopes of 8% or greater as averaged over 50 horizontal
feet; the Planning Board may consider waiving this up to 12% based
on site-specific parameters.
(d)
Any CSPI on a parcel with inadequate frontage as defined in §
145-2.
(e)
Any CSPI fenced area within the 500-year FEMA floodplain.
C. Definitions.
RATED NAMEPLATE CAPACITY
The maximum rated output of electric power production of
the commercial solar photovoltaic installation in direct current (DC).
D. Requirements.
(1) Site plan approval. The construction, installation or modification of a CSPI, whether as-of-right or by special permit, shall be subject to site plan approval in accordance with the Zoning Bylaw. Together with the requirements of §
145-27, the Site Plan Approval Authority shall consider and apply the requirements set forth in this bylaw in reviewing and deciding an application for site plan approval.
(a)
General. All plans and maps shall be prepared, stamped and signed
by a professional engineer licensed to practice in Massachusetts.
(b)
Required documents. Each site plan revision shall include a
tracking list explaining each change of significance made to the previous
site plan. The project proponent shall also provide the following
documents:
[1]
A site plan showing:
[a] A manufacturer's warranty of the useful lives of
equipment specified for the project;
[b] Name, address, and contact information for proposed
system installer;
[c] Name, address, phone number and signature of the
project proponent, as well as all co-proponents or property owners,
if any;
[d] The name, contact information and signature of
any agents representing the project proponent;
[e] An existing conditions plan with property lines
and physical features, including topography and roads, stone walls
and foundations, characteristics of vegetation (mature trees, old
growth trees, shrubs, open field, etc.), wetlands, streams, and ledge
for the project site;
[f] Off-site features including structures, water bodies,
wetlands, riverfront areas, roads, buffers, slopes, aquifers, wellhead
protection areas, and utility connections within 1,500 feet;
[g] Proposed changes to the landscape of the site,
including grading, vegetation clearing and planting, exterior lighting,
screening vegetation or structures, driveways, snow storage, and storm
water management systems;
[h] Blueprints or drawings of the solar photovoltaic
installation signed by a professional engineer licensed to practice
in the Commonwealth of Massachusetts showing the proposed layout of
the system and any potential shading from nearby structures;
[i] One- or three-line electrical diagram detailing
the solar photovoltaic installation, associated components, and electrical
interconnection methods, with all National Electrical Code compliant
disconnects and overcurrent devices;
[j] Documentation of the major system components to
be used, including the PV panels, mounting system, and inverter;
[k] Size and numbers of panels, panel orientations,
including active tracking systems, determination of embedded supports
or ballasts, battery specifications, including numbers, sizes and
cooling requirements, inverter specifications, and utility connection
pads;
[l] Baseline temperature and siltation measurements
of affected cold water latitude and longitude coordinates for all
array vertices.
[2]
A base map of the project site and environs prepared with commonly
available geographic information software, such as MassMapper or ArcGIS,
with data files included, at a scale of approximately 1:9,000 to include
the following:
[a] Property tax parcels boundaries (1/2 opacity).
[d] All water resources, including wetlands.
[e] CSPI fenced area to include:
[i] Array (with latitude and longitude of array vertices
provided separately in tabular form).
[iii] Detention and infiltration basins.
[vii] Clear-cut areas and timeline of when last cut.
[f] Slopes in color relief at a scale of:
[g] Terrain aspect map.
[i] Aspect data layer (available in ArcGIS).
[i] Additional maps and data layers specific to the
proposed project may be requested by the Planning Board.
[3]
Documentation of actual or prospective access and control of
the project site.
[4]
An operation and maintenance plan.
[5]
Proof of liability insurance.
[6]
Description of financial surety that satisfies Subsection
I(5).
[7]
There shall be a fence surrounding the solar array and ancillary
equipment.
The Site Plan Approval Authority may waive documentary requirements
as it deems appropriate upon the written request of the applicant
submitted with an application for approval.
(2) Site control. The project proponent shall submit documentation of
actual or committed prospective access and control of the project
site sufficient to allow for construction and operation of the proposed
CSPI.
(3) Operation & maintenance plan. The project proponent shall submit
a plan for the operation and maintenance of the CSPI. This plan shall
include measures to maintain safe access to the installation, stormwater
controls, and general procedures for operational maintenance of the
installation. The development is subject to the Belchertown Stormwater
bylaw and regulations.
(4) Utility notification. No CSPI shall be constructed until evidence
has been given to the Site Plan Approval Authority that the utility
company operating the electrical grid the installation is to be connected
to have been informed of the CSPI owner or operator's intent to install
an interconnected customer-owned generator. Off-grid systems shall
be exempt from this requirement.
(5) Dimension and density requirements.
(a)
Setbacks. For all CSPI, front, side and rear yard setbacks shall
be as follows:
[1]
The front setback depth shall be at least 150 feet;
[2]
The side setback depth shall be at least 75 feet;
[3]
The rear setback depth shall be at least 75 feet;
[4]
The setback from any developed residential property shall be
at least 500 feet, from CSPI fence line to adjacent property line.
(b)
Appurtenant structures. All appurtenant structures to a CSPI
shall be subject to the requirements of the Zoning Bylaw concerning
the bulk and height of structures, lot area, setbacks, open space,
parking and building coverage requirements. All such appurtenant structures,
including, but not limited to, equipment shelters, storage facilities,
transformers, and substations, shall be architecturally compatible
with each other. Whenever reasonable, structures should be shaded
from view by vegetation.
E. Design standards.
(1) General. CSPI stormwater controls must comply with all Belchertown
stormwater regulations and requirements, Massachusetts Department
of Environmental Protection requirements and guidelines, and USEPA
requirements.
(2) Construction method. The applicant must demonstrate that array specifications
provided by the manufacturer, including but not limited to support
post mounting strategies, are consistent with the site geotechnical
analysis. The applicant must provide a proposed method for mounting
the array that responds to existing water and soil conditions, with
particular attention to high water tables and/or bedrock. The Planning
Board may require a contractor's review of the proposed methods.
(3) Lighting. Lighting of CSPI shall be limited to nighttime maintenance
and inspections by authorized personnel, and shall comply with Dark
Sky standards. There shall be no illumination without personnel on
the site.
(4) Signage. A sign shall be erected identifying the owner and providing a twenty-four-hour emergency contact phone number of the CSPI owner or operator. CSPIs shall not display any advertising. Any sign must comply with §
145-22.
(5) Daytime visual distraction. The panel array shall be positioned to
minimize glare on any residence or public way, and shall not create
a visual obstruction on a public roadway, such as blocking intersections
or creating blind curves.
(6) Utility connections. Reasonable efforts shall be made to place all
utility connections from the CSPI underground, depending on appropriate
soil conditions, shape, and topography of the site and any requirements
of the utility provider. Electrical transformers for utility interconnections
may be above ground if required by the utility provider.
F. Safety and environmental standards.
(1) Emergency services. The CSPI owner or operator shall provide a copy
of the project summary, electrical schematic, and an approved site
plan to the local fire department and the Building Inspector. Upon
request the owner or operator shall cooperate with local emergency
services in developing an emergency response plan, which may include
ensuring that emergency personnel have immediate, twenty-four-hour
access to the facility. All means of shutting down the CSPI shall
be clearly marked. The owner or operator shall identify a responsible
person for public inquiries throughout the life of the installation,
and shall provide a mailing address and twenty-four-hour telephone
number for such person(s).
(2) Project visibility and landscape planting. A CSPI shall be designed
to minimize its visibility, including preserving natural vegetation
to the maximum extent possible, blending in equipment with the surroundings,
adding vegetative buffers to provide an effective visual barrier from
adjacent roads and driveways, and to screen abutting dwellings. The
owner of the CSPI shall not remove any naturally occurring vegetation
such as trees and shrubs unless it adversely affects the performance
and operation of the solar installation. A diversity of plant species
native to New England shall be used for any screens and vegetative
erosion controls. Use of exotic plants, as identified by the most
recent version of the "Massachusetts Prohibited Plant List" maintained
by the Massachusetts Department of Agricultural Resources, is prohibited.
If deemed necessary by the Planning Board, the depth of the vegetative
screen shall be 30 feet and will be composed of native trees and shrubs
staggered for height and density that shall be properly maintained.
Cultivars of native plants are acceptable. The open area of the site
shall be seeded with a pollinator mix and maintained as bird and insect
habitat. Mowing is to be done as little as possible to retain a natural
functioning of the landscape. Plants shall be maintained and replaced
as necessary by the owner of the CSPI for the life of the CSPI.
(3) Land clearing, soil erosion, and wildlife habitat. Clearing of natural vegetation shall be limited to what is necessary for the construction, operation, and maintenance of the CSPI or otherwise prescribed by applicable laws, regulations, and bylaws. A CSPI may not be constructed on slopes exceeding 8% except as expressly authorized pursuant to §
145-28B(3)(c), nor may cutting and filling be done to reduce natural slopes. Existing root structures and topsoil shall be maintained to the maximum extent practicable and provide for a minimum of six inches of topsoil on all exposed areas.
(4) Fire protection. The project must meet the Massachusetts Comprehensive
Fire Safety Code 527 CMR 1.00, with Amendments NFPA 1, 2015, or version
of the fire code at the time of the project.
G. Mitigation measures.
(1) Mitigation for loss of carbon sequestration and forest habitat. If
forestland is proposed to be converted to a CSPI, the plans shall
designate an area of unprotected land (that is, land that could otherwise
be developed under current zoning) on the parcel or block of contiguous
parcels under common ownership that comprise the project site, and
of a size equal to four times the total area of such forest conversion.
Such designated land shall remain in substantially its natural condition
without alteration except for routine forestry practices until such
time as the CSPI is decommissioned and the site restored to forest.
The special permit may be conditioned to effect and make enforceable
this requirement.
(2) Mitigation for loss of forest habitat within the installation. If
forestland is proposed to be converted to a CSPI, the plans shall
show mitigation measures that create a wildflower meadow habitat within
and immediately around the CSPI and a successional forest habitat
in the surrounding areas managed to prevent shading until the installation
is decommissioned and the site restored to forest. The special permit
may be conditioned to effect and make enforceable this requirement.
(3) Wildlife corridors. Wildlife corridors shall be provided for single
arrays with an area of 10 acres or more. Local wildlife must be identified,
and corridor widths shall correspond to specific area wildlife and
must be based on the best available science as supported by citation(s).
H. Monitoring and maintenance.
(1) Construction monitoring. The Site Plan Approval Authority may require
a third-party inspector, selected by and acting under the direction
of the Building Commissioner, to be employed to monitor compliance
with all approvals and conditions during the CSPI's construction at
the applicant's expense.
(2) Maintenance. The CSPI owner or operator shall maintain the facility
in good condition. Maintenance shall include, but not be limited to,
painting, structural repairs, and integrity of security measures.
Site access shall be maintained to a level acceptable to the local
emergency services. The owner or operator shall be responsible for
the cost of maintaining the solar photovoltaic installation and all
access roads that are not public ways.
(3) Annual reporting. The owner or operator of a CSPI shall submit an
annual report demonstrating and certifying compliance with the operation
and maintenance plan, the requirements of this bylaw, and approvals
granted hereunder, including but not limited to continued management
and maintenance of vegetation, compliance with the approved plans
and any permit conditions, continuation of liability insurance, and
adequacy of road access. The annual report shall also provide information
on the maintenance completed during the course of the year and the
amount of electricity generated by the facility. The report shall
be submitted to the Select Board, Planning Board, Fire Chief, Building
Commissioner, Board of Health, and Conservation Commission (if a wetlands
permit was issued) no later than 45 days after the end of the calendar
year.
(4) Modifications. All material modifications to a CSPI made after issuance
of the required building permit shall require approval by the Site
Plan Approval Authority.
I. Discontinuance and removal.
(1) Removal requirements. Any CSPI, or any substantial part thereof,
not used for a period of one continuous year or more without written
permission from the Site Plan Approval Authority, or that has reached
the end of its useful life, shall be considered discontinued and shall
be removed. Upon written request from the Building Inspector, addressed
to the contact address provided and maintained by the owner or operator
as required above, the owner or operator shall provide evidence to
the Building Inspector demonstrating continued use of the CSPI. Failure
to provide such evidence within 30 days of such written request shall
be conclusive evidence that the installation has been discontinued.
Anyone intending to decommission and/or remove such an installation
shall notify the Site Plan Approval Authority and Building Inspector
by certified mail of the proposed date of discontinued operations
and plans for removal. The owner or operator shall physically remove
the installation no more than 150 days after the date of discontinued
operations. Removal shall consist of:
(a)
Physical removal of all parts of and appurtenances to the CSPI,
including structures, equipment, security barriers and transmission
lines;
(b)
Disposal of all solid and hazardous waste in accordance with
local, state, and federal waste disposal regulations;
(c)
Stabilization or revegetation of the site as necessary to minimize
erosion. The Site Plan Approval Authority may allow the owner or operator
to leave landscaping or designated below-grade foundations in order
to minimize erosion and disruption to vegetation.
(d)
Any site that was deforested for the CSPI, per §
145-28B(3)(b), shall be restored to encourage native tree growth, including the planting of seedlings, if necessary, to establish growth. The cost of plant replacement shall be incorporated into the financial surety stipulated in §
145-28I(5) below.
(2) Decommissioning methods. Decommissioning methods must be explained
in detail and in sequential steps. Particular attention should be
paid to hazardous materials removal (glass panels with heavy metals)
and site restoration, including support post cutting, removal, and
sealing, if any, below grade.
(3) Decommissioning budgets. Decommissioning estimates must be provided
by a Construction Estimator with experience 1) removing hazardous
materials (glass panels with heavy metal elements) and 2) demolition,
and/or other remediation of steel infrastructure, including steel
posts embedded in concrete grouting below grade (if ballasts are not
used). The work must be sufficiently developed to facilitate accurate
estimations of the cost of deconstruction and disposal.
(4) If the owner or operator of the CSPI fails to remove the installation in accordance with the requirements of this section, the Town shall have the right, to the extent it is otherwise duly authorized by law, to enter the property and physically remove the installation at the expense of the owner of the installation and the owner(s) of the site on which the facility is located. The Town may use the financial surety as stipulated in §
145-28I(5), below for this purpose.
(5) Financial surety. Proponents seeking to construct and operate a CSPI
shall provide to the Town, in a form determined by the Site Plan Approval
Authority and prior to construction, a surety, through cash, an escrow
account, bond or otherwise, to cover the cost of removal in the event
the town must remove the CSPI and remediate the landscape, including
reforestation. This financial surety shall incorporate an additional
10% contingency fee. The amount and form of such surety shall be determined
by the Site Plan Approval Authority. This surety will not be required
for municipally or state-owned facilities. The project proponent shall
submit a fully inclusive estimate of the costs associated with removal,
prepared by a qualified engineer. The amount shall include a mechanism
for calculating increased removal costs due to inflation.
J. Severability. A determination that any specific portion of this §
145-28 is invalid shall not render any other part thereof invalid.
[Added 5-9-2016 ATM by
Art. 31]
A. Purpose and intent. This bylaw is to promote safe, effective and
efficient use of small wind energy systems for individual property
owners to reduce on-site consumption of utility-supplied electricity,
while avoiding undue negative effects on surrounding properties.
B. Applicability.
(1)
Small wind energy systems, as defined herein, shall be allowed
by special permit issued in accordance with this bylaw in all zoning
districts in the Town.
(2)
The Planning Board is the special permit granting authority
for small wind energy systems.
(3)
This section applies to small wind systems no greater than 100
kilowatts of rated nameplate capacity proposed to be constructed after
the effective date of this section.
(4)
Towers are limited to one tower per parcel.
(5)
Small wind energy systems mounted on buildings shall extend
or protrude no more than five feet higher than the highest point of
the building.
(6)
Small wind energy systems that are used primarily for agriculture, as defined in §
145-2 of this chapter, also pursuant to MGL c. 40A, § 3, are exempt from this bylaw.
C. Definitions.
HEIGHT
The height of a wind turbine measured from natural grade
to the tip of the rotor blade at its highest point, or blade-tip height.
This measure is also commonly referred to as the maximum tip height
(MTH).
OFF-GRID
A standalone generating system not connected to or in any
way dependent on the public utility grid.
RATED NAMEPLATE CAPACITY
The maximum rated output of electric power specified by an
equipment manufacturer on the nameplate of a piece of equipment or
wind turbine system.
SMALL WIND ENERGY SYSTEM
A wind energy conversion system consisting of a wind turbine
and associated control or conversion electronics that has a rated
capacity of not more than 100 kW and which is intended to provide
power primarily for on-site uses, although excess generation may be
supplied to the commercial power grid. The distinction between this
small wind energy system and a commercial system is that this is intended
to provide an alternative to the public utility grid, whereas a commercial
system is intended to provide to the public utility grid for pay.
TOWER
A freestanding structure on which the wind turbine is mounted.
WIND MONITORING OR METEOROLOGICAL TOWER
A temporary tower used to gather wind data necessary for
site evaluation and development of a wind energy project. In addition,
a meteorological tower may be equipped to record temperature, solar
radiation and air pressure if necessary, but is not used for the purpose
of generating electricity.
WIND TURBINE
A device that converts kinetic wind energy into rotational
energy that drives an electrical generator. A wind turbine typically
consists of a tower, nacelle body, and a rotor with two or more blades.
D. Submission requirements. The applicant shall provide 10 copies of
each of the following to the Planning Board as part of the special
permit application:
(1)
A completed application form with a review fee.
(2)
Existing conditions site plan drawn to scale and in sufficient
detail to show the following:
(a)
Property lines, dimensions and area, subject property's owners,
and abutters within 300 feet of the subject property.
(b)
Location and dimensions of all existing buildings, accessory
structures and uses, public and private roads, driveways, easements,
stone walls, and fence lines within 300 feet of the system.
(c)
Height of any structures over 35 feet, and the location and
average height of trees on the subject property and adjacent properties,
within 300 feet of the proposed small wind turbine.
(3)
Proposed conditions site plan drawn to scale and in sufficient
detail to show the following:
(a)
The location of the proposed tower and any appurtenances and
equipment. Indicate property boundaries and distances to the base
of the wind tower and to the nearest corners of each of the appurtenant
structures and equipment.
(b)
Limits of areas where vegetation is to be cleared or altered
and justification for any such clearing or alteration.
(c)
Plans to control erosion and sedimentation both during construction
and as a permanent measure.
(d)
Plans indicating locations and specifics of proposed screening,
landscaping, ground cover, fencing, exterior lighting or signs.
(e)
Plans of the proposed access driveway at the subject site, whether
temporary or permanent; include grading, drainage, and traveled width.
Include a cross section of the access drive indicating the width,
depth of gravel, paving or surface material.
(f)
Location of access easements or rights-of-way, if any, needed
for access to the wind tower from a street.
(4)
Standard drawings of the structural components of the small
wind energy system, including structures, tower, base and footings.
Drawings and any necessary calculations shall be certified by a registered
engineer. The system must comply with the Massachusetts building and
electrical codes.
(5)
A technical report from a qualified individual that the site
is feasible for wind power, that documents wind speed at the proposed
site, that anticipates energy that will be created from the small
wind energy system, and that estimates the amount of energy necessary
to serve the on-site uses.
(6)
Post-construction simulation views of the site from at least
four locations where the tower and blades would be visible as through
means of sketches or computer simulations.
(7)
A proposed maintenance schedule for the small wind energy system
and related equipment.
(8)
Emergency services: The applicant shall provide a copy of the
project summary and electrical schematic. All means of disconnecting
the small wind energy system shall be clearly marked. This shall be
forwarded to the Fire Department for review and approval.
E. Design and siting requirements.
(1)
Unauthorized access: Small wind energy systems shall be designed
to prevent unauthorized access.
(2)
Land clearing, soil erosion and wildlife habitat: Clearing of
natural vegetation shall be limited to that which is necessary for
the construction, operation and maintenance of the small wind energy
system and is otherwise prescribed by applicable laws, regulations,
and bylaws.
(3)
Setbacks: A wind turbine tower may not be sited within:
(a)
A distance equal to 1.5 times the maximum tip height (MTH) of
the wind turbine from buildings, the nearest property line, critical
infrastructure — including critical electric infrastructure
and above-ground natural gas distribution infrastructure — or
private or public ways that are not part of the wind energy facility;
(b)
A distance equal to three times the maximum tip height (MTH)
from the nearest occupied residential or commercial structure.
(4)
Height: The small wind energy system's maximum tip height shall
not exceed 120 feet in height, and must comply with Federal Aviation
Administration (FAA) Regulations.
(5)
Noise: The wind facility and associated equipment shall conform
with the provisions of the Department of Environmental Protection's
Division of Air Quality Noise Regulations (310 CMR 7.10), unless the
Department and the Planning Board agree that those provisions shall
not be applicable. A source of sound will be considered to be violating
these regulations if the source:
(a)
Increases the broadband sound level by more than 10 dB(A) above
ambient sound; or
(b)
Produces a pure tone condition when an octave band center frequency
sound pressure level exceeds the two adjacent center frequency sound
pressure levels by three decibels or more.
These criteria are measured both at the property line and at
the nearest inhabited structure. Ambient sound is defined as the background
A-weighted sound level that is exceeded 90% of the time measured during
equipment hours. The ambient sound may also be established by other
means with consent from DEP. An analysis prepared by a qualified engineer
shall be presented to demonstrate compliance with these noise standards,
if required by the Planning Board. The Planning Board, in consultation
with the Department, shall determine whether such violations shall
be measured at the property line or at the nearest inhabited residence.
(6)
Lighting: Small wind energy systems shall be lighted only if
required by the Federal Aviation Administration. Lighting of other
parts of the small wind energy system, such as appurtenant structures,
shall be limited to that required for safety and operational purposes,
and shall be reasonably shielded from abutting properties.
(7)
Signage and advertising: Signs shall be restricted to reasonable
identification of the manufacturer or operator of the small wind energy
facility and shall defer to the requirements of the Town of Belchertown
sign regulations. No advertising shall be allowed.
(8)
Visibility: The wind generation equipment shall have a non-reflective
finish of an unobtrusive color.
(a)
Electromagnetic interference: The small wind energy system shall
cause no electromagnetic interference. If it is determined that the
system causes interference, the operator shall take the necessary
corrective action to eliminate this interference, subject to the approval
of the Building Commissioner.
F. Approval. The Planning Board shall proceed in accordance with the procedures and timelines for special permits in MGL c. 40A, § 9, and §
145-69 of this bylaw. The Planning Board may hire professional consultants at the expense of the applicant to assist it in evaluating the proposed small wind turbine and the impacts on the community. The special permit will run with the property and shall not be specific to a particular owner unless otherwise noted.
G. Maintenance requirements.
(1)
The Building Commissioner reserves the right to inspect the
small wind energy system and its appurtenances at any time.
(2)
At all times the applicant and/or successive owners shall maintain
the small wind turbine and related equipment in good working condition
and perform regular maintenance in accordance with the approved maintenance
schedule. A record shall be kept of all maintenance performed, and
said record must be provided to the Building Commissioner whenever
requested to verify maintenance.
(3)
The owner's contact information and the manufacturer's contact
information must be on file with the Building Commissioner and Fire
Department in cases of emergencies.
(4)
Should the turbine fall into disrepair and/or experience a situation
where it is producing unusual noise or other emissions, the system
owner shall have no more than 24 hours to implement actions to correct
the situation.
(5)
Failure to properly maintain the small wind turbine or correct
other issues may result in revocation of the special permit.
(6)
The Town retains the right, after the receipt of an appropriate
court order to enter and remove an abandoned or hazardous small wind
turbine, and its related equipment, that is not removed by the property
owner within 90 days from the date the Building Commissioner issues
written determination that the system is abandoned or hazardous. All
associated costs of removal and securing the site for an abandoned
or hazardous small wind turbine and related equipment will be charged
to the property owner in accordance with the provisions of MGL c.
139, § 3A, as a tax lien on the property.
H. Term of special permit for a small wind energy system. A special
permit issued for the construction or operation of any small wind
energy system shall be valid for 25 years, unless extended or renewed.
Upon request, the Planning Board may extend the time period or renew
the special permit, if there has been satisfactory operation of the
facility. Any special permit issued under this bylaw shall lapse within
one year from the grant thereof if construction has not sooner commenced
except for good cause. In such a case, a new application process must
be undertaken before the small wind energy system can proceed. Upon
expiration or termination of the special permit, the small wind energy
system shall be removed by the applicant.
I. Change of owner. Once a special permit for a residential small wind
energy system has been approved, the applicant shall duly record a
copy of the special permit with the Hampshire Registry of Deeds. All
conditions under which the special permit was originally granted shall
be binding on all successive owners of the property.
J. Removal requirements.
(1)
A small wind energy system that is not used for 180 days shall
be deemed abandoned and shall be dismantled and removed from the property
at the expense of the small wind energy system owner. Removal of the
system shall include the structure, foundation, transmission equipment,
fencing and other appurtenances. The site shall be revegetated to
prevent erosion.
(2)
Any small wind energy system which has reached the end of its
useful life or has been abandoned shall be removed. The owner/operator
shall physically remove the small wind energy system no more than
90 days after the date of discontinued operations. "Physically remove"
shall include, but not be limited to:
(a)
Removal of all wind turbines, structures, shelters, machinery,
equipment, fencing, security barriers, transmission lines and other
appurtenances from the site;
(b)
Disposal of all solid and hazardous waste in accordance with
local and state waste disposal regulations; and
(c)
Restoration of the location of the small wind energy system
to its natural condition.
K. Waiver provisions. The Board may waive strict compliance with any
provision of this bylaw if it deems it in the public interest and
determines that the intent of the bylaw has been maintained. Such
waivers must be referenced in the written site plan approval decision,
including the reasons for them.
[Amended 11-17-1997 STM by Art. 19]
A. General. The removal from the premises and processing of soil, loam, sand, gravel, clay, sod, quarried stone, or other mineral deposits is allowed in the Town of Belchertown in those districts as stated in Article
III of this chapter upon the obtainment of a special permit for earth removal from the Planning Board. Operation hours shall be between 7:00 a.m. and 5:00 p.m. on weekdays. Operation is not permitted on weekends and holidays. There shall be no exception beyond these hours. However, the Planning Board may further limit hours of operation if, after weighing factors, including traffic flow and safety, it determines the public good will be served. Trucks may enter and leave the premises only within such hours. All loaded vehicles shall be covered to prevent dust and contents from spilling and blowing from the load. The operator shall be responsible for cleaning spillage on public ways.
[Amended 5-10-1999 ATM by Art. 18; 5-13-2002 ATM by Art. 23]
B. Exception. Notwithstanding the provisions thereof,
no special permit shall be required for:
[Amended 5-13-2002 ATM by Art. 23]
(1) Building permit. Removal by building permit when such
removal is at the site of, incidental to, and in connection with the
excavation and grading necessary for constructing a principal or accessory
use permitted by this chapter, provided that the quantity of materials
removed does not exceed that actually displaced by the portion of
the principal or accessory use below finished grade or 500 cubic yards.
Any site work involving the removal of more than 500 cubic yards requires
a special permit.
(2) Transfer of materials. Removal of earth products within
the limits of a lot or contiguous lots in the same ownership, provided
that no such moving shall take place across or within a street and
the amount to be moved does not exceed 500 cubic yards.
(3) Cemetery. Removal of earth products as part of normal
cemetery operations.
(4) Subdivision. Removal of earth products in relation
to the construction of an approved subdivision road under the Subdivision
Control Law where such removal is in compliance with all requirements and conditions of an approved subdivision plan and is necessary to construct the same. The volume of earth to be removed will be shown on the definitive subdivision plan. Any amount to be removed beyond that necessary to construct the improvements according to the endorsed definitive plan requires a special permit. The volume of earth to be removed from individual building lots within the subdivision is governed by §
145-29B(1), and such volume shall be demonstrated to the Building Inspector prior to a certificate of occupancy.
C. Special permit granting authority. The Planning Board shall be the special permit granting authority as authorized under this section and §
145-69 of this chapter and MGL c. 40A, §§ 9 and 11.
D. Submission requirements. Any person who desires to
remove or process earth products subject to the provisions of this
section shall submit a written application for a special permit to
the Planning Board. Each such application shall be accompanied by
plans and specifications prepared by a registered professional engineer
or registered land surveyor as follows:
[Amended 5-13-2002 ATM by Art. 23]
(1) A plan of the area from which removal is proposed
and a strip 150 feet wide surrounding said area, showing all man-made
features, lot lines, zoning boundaries, vegetation cover, soil characteristics
and existing topography;
(2) A plan of the area showing the finished grade and
treatment of the site after the proposed completion of the excavation;
(3) An analysis and evaluation of the impact of the proposed
earth removal on existing site features;
(4) An analysis and evaluation of the impact of the proposed
earth removal on the groundwater, particularly elevation and significance;
(5) An analysis and evaluation of the impact of the proposed
earth removal on surface waters, wetlands and vegetative cover;
(6) The estimated quantity of materials to be removed
and topsoil to be stripped and replaced;
(7) The treatment of the site during operations to reduce
dust and sand;
(8) A detailed statement of the hours and days of operation
and the trucking route and type of vehicle to be used on any street
for the removal of the earth;
(9) The proposed form of performance guaranty; and
(10)
Such additional information as the Planning
Board may require.
E. Review and approval process.
(1) After notice and public hearing in accordance with
Section 9 of the Zoning Act (MGL c. 40A, § 9), the Planning
Board may, after due consideration of the reports and recommendations
of the Conservation Commission, Board of Health and Town Engineer,
grant a special permit, provided that the conditions and standards
of this section have been adequately met.
(2) A special permit for any earth product removal may
be issued for a period not exceeding two years in duration. Upon reapplication
for a permit, the Planning Board, at its discretion, may grant one
or more extensions of said permit, each of which shall not exceed
two years' duration.
F. Standards and conditions.
(1) In granting a special permit under this chapter, the
Planning Board shall impose reasonable conditions to protect the neighborhood
and the town. These conditions shall be written upon and shall constitute
part of the written permit, including but not limited to:
[Amended 5-13-2002 ATM by Art. 23]
(b)
Type and location of temporary structures;
(e)
Routes for transporting the material through
town;
(f)
The duration of the removal operations;
(g)
The area and depth of excavation;
(h)
The reestablishment of ground levels and grades;
(i)
The steepness of slopes excavated;
(j)
Provisions for temporary and permanent structures;
(k)
Disposition of boulders and tree stumps;
(l)
Grading of slopes and replacement of loam over
the area of removal;
(m)
Planting of the area to suitable cover, including
trees, necessary to restore the area to usable condition; and
(n)
Distance from excavation to street and lot line.
(2) Excavation.
(a)
No excavation shall be permitted below the grade
of a way open to public use, whether public or private, bounding the
property at any point nearer than 200 feet to the center line of such
way.
(b)
No excavation below the natural grade of any
property boundary shall be permitted nearer than 50 feet to such boundary.
(c)
Excavation for removal of earth, sand, gravel,
and other soils shall not extend closer than six feet above the annual
high groundwater table. A monitoring well shall be installed by the
property owner to verify groundwater elevations. This subsection shall
not apply to excavations incidental to permitted uses, including but
not limited to providing for the installation or maintenance of structural
foundations, freshwater ponds, utility conduits or on-site sewage
disposal.
[Amended 5-13-2002 ATM by Art. 23]
(d)
No area shall be excavated or filled so as to
cause the accumulation of freestanding water unless the Planning Board
shall permit the creation of a pond, and upon the approval of the
Conservation Commission.
(3) The active operation area shall not exceed a total
of three acres at any one time for excavation, nor six acres at any
one time for excavation and processing. Natural vegetation shall be
left and maintained on undisturbed land for screening and noise-reduction.
[Amended 5-13-2002 ATM by Art. 23]
(4) Access roads shall be treated with a suitable material
to reduce dust and mud for a distance of 150 feet back from such a
way. Access road entrances shall include a gate or other secure mechanisms
to restrict public access to the site.
(5) Guard fencing of at least four feet in height shall
be required around vertical slopes steeper than a grade of four feet
horizontal distance to one foot of vertical rise (4:1) for public
safety.
(6) Operation hours shall be between 7:00 a.m. and 5:00
p.m. on weekdays. No weekend or holiday hours are permitted. However,
the Planning Board may further limit hours of operation if, after
weighing factors, including traffic flow and safety, it determines
the public good will be served. Trucks may enter and leave the premises
only within such hours. All loaded vehicles shall be suitably covered
to prevent dust and contents from spilling and blowing from the load.
[Amended 5-13-2002 ATM by Art. 23]
(7) A permit issued hereunder is not transferable and
no work under such permit shall be performed except by the holder
of the permit.
[Amended 5-13-2002 ATM by Art. 23]
(8) The Planning Board may recommend conditions, not specifically
provided for herein, on any special permit relating to earth removal.
(9) Restoration. The Planning Board shall regulate the
conversion of the abandoned excavation site and its reuse according
to, but not limited to, the following conditions:
(a)
Restoration shall be carried on simultaneously
with excavation so that, for excavation only, when any three-acre
operation area has been excavated, at least two of those acres must
be restored before work commences on the next two contiguous acres;
and for excavation with processing, when any six operation acres have
been excavated at least five of those acres must be restored before
work commences on the next five contiguous acres. Final restoration
work shall be completed at least 90 days prior to the expiration of
the performance guaranty.
[Amended 5-13-2002 ATM by Art. 23]
(b)
Subsoil and topsoil shall be spread over the
disturbed area to a minimum depth of four inches and seeded with grass
of legume mixture for erosion control.
(c)
No slope shall be steeper than a grade of four
feet of horizontal distance to one foot of vertical distance (4:1).
The Planning Board may modify the required slope where the stability
of material, or ledge rock, makes steeper slopes practical.
[Amended 5-13-2002 ATM by Art. 23]
(d)
Unless the permit conditions expressly require
alteration of drainage patterns, the land shall be left so that natural
storm drainage shall leave the property at the original natural drainage
points and so that the total discharge at peak flow as well as the
area of drainage to any one point is not increased.
G. Performance guaranty. An irrevocable performance guaranty,
in an amount determined by the Town Engineer, shall be posted with
the Town Treasurer-Collector to ensure the satisfactory compliance
with this section. The guaranty shall not be released until the applicant
has certified, in writing, and the Planning Board has determined that
the restoration has been completed in compliance with the permit and
plan.
H. Existing operations. Earth removal activities in lawful
operation at the time this section is adopted may continue under the
terms of existing permits until the expiration thereof, and thereafter
application shall be made under the terms of this section. All existing
earth removal activities are subject to MGL c. 40A, §§ 6
and 9 as to continued schedule of operation.
I. Fees. The Planning Board shall establish such fees
for the issuance of permits as it shall find necessary for the administration
of this section, taking into consideration the costs of clerical,
civil engineering consultants, legal and inspection expenses.
[Added 5-12-2014 ATM by Art. 21; amended 5-14-2018 ATM by Art. 22]
A. General objectives. The provision of accessory apartments is intended
to:
(1)
Provide housing options for residents who cannot afford, or
who do not desire, a single-unit house with land, for example, young
adults and senior citizens; and
(2)
Provide older owners with a means of obtaining rental income,
companionship, security and services, and thereby enable them to stay
more comfortably in houses and neighborhoods they might otherwise
be forced to leave;
(3)
Encourage a more economic and energy-efficient use of the Town's
housing supply while maintaining the appearance and character of the
Town's residential neighborhoods;
(4)
Protect the stability, property values, and the single-unit
residential character of a neighborhood by ensuring that accessory
apartments are installed only on owner-occupied lots and are properly
permitted and inspected;
(5)
Add moderately priced rental units to the housing stock to meet
the needs of smaller households and make housing units available to
moderate-income households who might otherwise have difficulty finding
housing;
(6)
To provide housing units for persons with disabilities.
B. Procedure. The Planning Board may issue a special permit for one
apartment accessory to the use of a single-unit dwelling, provided
each of the following conditions is met:
(1)
There shall be no more than one accessory apartment on an individual
parcel of land, regardless of the parcel's area.
(2)
The owner of the residence in which the accessory unit is created
must continue to occupy at least one of the dwelling units as his
or her primary residence. The special permit for the accessory apartment
may be revoked by the Planning Board if the owner no longer occupies
one of the dwelling units.
(3)
Up to 33% of the gross floor area of the main dwelling, not
to exceed 600 square feet maximum gross floor area, may be permitted
for the accessory apartment; to provide for development of housing
units for disabled individuals, the Planning Board may allow reasonable
deviation from the stated conditions when necessary to install features
that facilitate access and mobility for disabled persons.
(4)
The accessory apartment shall have only one bedroom.
(5)
There is no outward evidence that the premises are being used
for more than one residential unit. That is:
(a)
All stairways to apartments should be enclosed within the exterior
walls of the dwelling. Otherwise, they must not be apparent from the
street.
(b)
Any new entrance shall be located on the side or in the rear
of the dwelling or accessory building.
(c)
Where there are two or more existing entrances on the front
facade of a dwelling, if modifications are made to any entrance, the
result shall be that one entrance appears more prominent than the
others.
(d)
The accessory apartment must use the same driveway as the main
dwelling unit.
(6)
The accessory apartment must have the same street address as
the main dwelling unit, but with the designation "A" for the apartment,
for example, if the house is No. 123, the accessory apartment would
be No. 123A.
(7)
Accessory apartments are allowed only in the AG-A, AG-B, LR,
and VR Zones, and only with a special permit from the Planning Board.
(8)
Special permits issued under this section shall specify that the owner must occupy one of the dwelling units. Prior to the occupancy of the accessory apartment, the special permit must be recorded in the Hampshire Registry of Deeds or Land Court, as appropriate, in the chain of title to the property, with documentation of the recording provided to the Building Inspector/Zoning Enforcement Officer. This special permit requires the applicant to demonstrate to the special permit granting authority that §
145-69 is satisfied.
(9)
When there is a transfer of ownership of a property with a permitted
accessory apartment, the new owner may apply for transfer of the accessory
apartment special permit by submitting a notarized letter of application
stating that the new owner shall occupy one of the dwelling units
on the premises. In extenuating circumstances of transfer, such as,
but not limited to, inheritance, bankruptcy, or foreclosure, the owner
may request the Planning Board modify the owner-occupancy requirement
to allow reasonable time to establish occupancy. The period of owner
non-residency will not exceed one year. During the nonresidency period,
the owner shall not be allowed to rent both units.
(10)
Prior to issuance of an accessory apartment special permit,
a floor plan must be submitted showing the building, including proposed
interior and exterior changes to the building.
(11)
The applicant must demonstrate in writing that the special permit requirements of §
145-69, with specific emphasis on Subsection
A(1)(a),(b), (c), have been met.
C. Apartments created before the adoption of this bylaw. To ensure that
accessory apartments in existence before the adoption of this bylaw
comply with the Massachusetts building code:
(1)
Apartments that lawfully existed before the adoption of this
bylaw, but do not strictly conform to the terms of this by law, are
exempt from the terms of this bylaw for the life of the current special
permit.
(2)
The Planning Board may authorize, under a special permit and
in conjunction with the building inspector, an accessory apartment
in an owner-occupied single-unit dwelling. The Board shall review
each existing apartment on its individual merits to determine if the
dwelling conforms to the Massachusetts Building Code. The applicant
must follow the same procedure described in this bylaw, including
the submission of a notarized letter declaring owner-occupancy.
(3)
If an accessory apartment special permit expires, a new application
for a special permit is required and shall conform to the bylaw as
exists at the time of new application.
(4)
The Planning Board may authorize a special permit for an apartment
that existed prior to May 12, 2014, which may or may not conform to
this standard, upon a finding that it is the best interests of the
community to recognize the current use.
D. Accessory apartment in accessory structure. Consistent with the definition of accessory structure in §
145-2 of this bylaw, the Planning Board may grant a special permit to allow the construction of an accessory apartment in an accessory structure which is on the same lot as a single-unit dwelling provided:
[Amended 5-9-2022 ATM by Art. 19]
(1)
The lot has an area of at least 20,000 square feet in the VR
District and at least 40,000 square feet in the AG-A, AG-B, and LR
Districts;
(2)
The setbacks of the accessory structure meet the setback requirements
of a primary dwelling in the subject zone;
(3)
The accessory structure is no more than 75 feet from the primary
dwelling with clear line of sight between the primary dwelling and
the accessory structure;
(5)
The accessory apartment has not more than 600 square feet of
habitable floor area; to provide for development of housing units
for disabled individuals, the Planning Board may allow reasonable
deviation from the stated conditions when necessary to install features
that facilitate access and mobility for disabled persons. The habitable
floor area for the accessory apartment shall not include floor area
used for any other permitted accessory use or floor area designed,
intended, or used for required off-street parking to serve the principal
dwelling;
(6)
Not more than one accessory structure on the lot may have a
accessory apartment. There shall be not more than two dwelling units,
one of which is the accessory apartment and the other is the principal
dwelling, on the lot;
(7)
The accessory apartment complies with all applicable building, health, and safety codes for a dwelling, noting that a mobile home as defined in §
145-2 may not be allowed as an accessory structure; and
(8)
That when an accessory apartment is to be within an existing
accessory structure, the exterior appearance of the accessory structure
maintains the essential character of the purpose for which it was
originally constructed; or when an accessory apartment is itself a
detached accessory structure, the structure is constructed or adapted
to appear in the style of a garage, barn, shed, or similar structure
customarily located on the same lot with a single unit dwelling, and
it must be visually compatible with the primary dwelling unit on the
same lot and with the character of the neighborhood.
[Added 5-14-2018 ATM
by Art. 23]
A. Medical. See §
145-2, Definitions "medical marijuana off-site dispensary (MMOD)" and "medical marijuana treatment center (MMTC)," and § 145 Attachment 1, Schedule of Use Regulations.
B. Non-medical.
(1)
Purpose. The purpose of this is to:
(a)
Allow state-licensed non-medical marijuana establishments to
locate in the Town of Belchertown in accordance with applicable state
laws and regulations, specifically MGL c. 94G (Regulation of the Use
and Distribution of Marijuana Not Medically Prescribed) and 935 CMR
500.00, "Adult-Use of Marijuana."
(b)
Provide safe and effective access to recreational marijuana
in the Town of Belchertown.
(c)
Impose reasonable protections to govern the time, place, and
manner of non-medical marijuana establishment operations to ensure
public health, safety, well-being, and to limit undue damage on the
natural environment as it relates to cultivation, processing and manufacturing
subject to the provisions of this Zoning Bylaw, MGL c. 40A (State
Zoning Act), and MGL c. 94G.
(2)
Definitions. Any term not specifically defined in the Zoning
Bylaws shall have the meaning as defined 935 CMR 500.00, as such regulations
may from time to time be amended.
(3)
Applicability.
(a)
Independent testing laboratories shall be permitted by special
permit and site plan approval in the Business Neighborhood Center
(BNC) and General Business (B2) Zones, and by site plan approval in
the Industrial (I) Zone.
[Amended 5-8-2023 ATM by Art. 23]
(b)
Marijuana research facilities shall be permitted by special
permit and site plan approval in the Business Neighborhood Center
(BNC) and General Business (B2) Zones, and by site plan approval in
the Industrial (I) Zone.
[Amended 5-8-2023 ATM by Art. 23]
(c)
Indoor marijuana cultivators shall be permitted by special permit
and site plan approval in the Business Neighborhood Center (BNC) and
General Business (B2) Zones, and by site plan approval in the Industrial
(I) Zone.
[Amended 5-8-2023 ATM by Art. 23]
(d)
Marijuana transporters shall be permitted by special permit
and site plan approval in the Business Neighborhood Center (BNC) and
General Business (B2) Zones, and by site plan approval in the Industrial
(I) Zone.
[Amended 5-8-2023 ATM by Art. 23]
(e)
Marijuana product manufacturers shall be permitted by special
permit and site plan approval in the Business Neighborhood Center
(BNC) Zone, and by site plan approval in the Industrial (I) Zone.
[Amended 5-8-2023 ATM by Art. 23]
(f)
Outdoor marijuana cultivators, including greenhouses as referred
to in 935 CMR 500.11 0(E)(1), shall be permitted only in the Primary
Agriculture (Ag-A) Zone by special permit and site plan approval.
(g)
Marijuana retailers shall be permitted by special permit in
General Business (B2), Limited Business (B1) and Business Neighborhood
Center (BNC) Zones.
(h)
Social consumption shall be permitted by special permit in General
Business (B2), Limited Business (B1) and Business Neighborhood Center
(BNC) Zones; provided, however, that on-site social consumption of
marijuana or marijuana products, as either a primary or accessory
use, must first be approved by a local ballot initiative process pursuant
to MGL c. 94G, § 3(b).
(i)
The Planning Board is the special permit granting authority
for any marijuana establishment.
(4)
Application requirements. Pursuant to MGL c. 44, § 53G,
the Planning Board may impose on all applicants, when it determines
that it is necessary, reasonable fees for the employment of outside
consultants, to review applications submitted in accordance with this
section of the bylaw, and to assist the Planning Board with its review
of such plans and applications.
(a)
Security plan.
[1] The applicant shall submit a copy of its security
plan, approved by the Cannabis Control Commission as part of the issuance
of a provisional license, to the Belchertown Police Department for
its review and approval.
[2] The security plan shall meet all security requirements
of 935 CMR 500.110.
(b)
Resource use plan.
[1] All marijuana cultivators and marijuana product
manufacturers shall submit a resource use plan to the Planning Board
to demonstrate best practices for use of energy, water, waste disposal,
and other common resources, and to ensure there will be no undue damage
to the natural environment.
[2] The plan shall include an electrical system overview,
proposed energy demand and proposed electrical demand off-sets, ventilation
system and air quality, proposed water system and utility demand.
(c)
Traffic study and circulation plan.
[1] The applicant shall submit traffic circulation
plan for the site to ensure the safe movement of pedestrian and/or
vehicular traffic on the site.
[2] A traffic impact and access study shall be required
for all marijuana establishments that generate 25 or more peak hour
vehicle trips or 250 or more daily vehicle trips at the marijuana
establishments' access to existing roadway networks. The study shall
be based on standard traffic engineering guidelines developed by the
Massachusetts Environmental Protection Act (MEPA). The Planning Board
may require a traffic study if in their determination one is warranted
because of public safety concerns.
(5)
Standards and conditions. In addition to the requirements of §
145-69 governing special permits, marijuana establishments shall be subject to the following additional standards and criteria.
(a)
No marijuana establishment shall be located within 500 feet
of any building housing a licensed day-care center, a public or private
school providing education any of Grades K through 12, a public library,
a public playground, or an existing place of worship such as a church,
temple, mosque, or synagogue.
(b)
In determining for this purpose the distance between these uses
and premises licensed or to be licensed as a marijuana establishment,
the distance shall be measured in a straight line from the nearest
point of the day-care center, church, school, or library building,
or in the case of a public playground the nearest fixed swing, slide,
climbing bars, or similar equipment to the nearest point of the marijuana
establishment's building, or in the case of outdoor cultivation, the
nearest marijuana plant.
(c)
Marijuana plants, products, and paraphernalia shall not be clearly
visible to a person from the exterior of a marijuana establishment.
No outside storage of marijuana or marijuana products shall be permitted.
(d)
All types of non-medical marijuana establishments shall be located
within a fully enclosed building, except for outdoor or greenhouse
cultivation in the AG-A Zone by special permit.
(e)
No odor from marijuana cultivation, processing, manufacturing,
or retail may be noxious or cause a nuisance, a danger to public health,
or impair public comfort and convenience. Marijuana establishments
shall incorporate odor control technology and safeguards to ensure
that emissions do not violate Board of Health regulations adopted
pursuant to MGL c. 111, § 31C, including but not limited
to those specified for odors.
(f)
All business signage, marketing, advertising and branding shall be subject to the requirements promulgated by the Cannabis Control Commission and the requirements of §
145-22 of the Belchertown Zoning Bylaw.
(g)
No marijuana establishment shall be managed by any person other
than the licensee or a designated manager, approved by the Cannabis
Control Commission as a "registered marijuana establishment agent."
Such licensee or designated manager shall be on the premises during
regular hours of operation and responsible for all activities within
the licensed business and shall provide emergency contact information
for the Belchertown Police Department to have on file.
(h)
Marijuana retailers shall be open to the public no earlier than
8:00 a.m. or later than 8:00 p.m.
(i)
Marijuana establishments shall not be permitted as a home occupation, as defined per §
145-25 in the Belchertown Zoning Bylaw.
(j)
The Belchertown Fire Department shall review each application.
(k)
Applications for special permits must demonstrate specifically how they meet the requirements of §
145-69 of this chapter.
(6)
Severability. If any provision of this §
145-29.2 is found to be invalid by a court of competent jurisdiction, the remainder of §
145-29.2 shall not be affected but shall remain in full force. The invalidity of any provision of §
145-29.2 shall not affect the validity of the remainder of the Town's Zoning Bylaw.