Permitted uses and conditional uses in all zones
shall conform to all applicable specifications and requirements. A
plumbing permit, building permit and/or certificate of occupancy shall
be required for all buildings, uses of land and buildings and sanitary
facilities, according to the provisions of this chapter.
[The Table of Use Regulations is included
at the end of this chapter.]
[Amended 6-1-1993 STM, Art. 22; 5-15-1996 STM, Art. 31; 5-21-1997 STM, Art.
32; 11-18-1997 STM, Art. 14; 5-19-1999 STM, Art. 13; 5-19-1999 STM, Art. 14; 5-17-2000 STM, Art. 14; 5-17-2000 STM, Art. 15]
A. Except for lots and buildings located in a planned commercial development or planned mixed-use development or in a subdivision developed in accordance with the provisions of Subsection
H or Subsection
I, lots and buildings in all zones shall comply with the following requirements. Additional requirements may be imposed by other provisions of this chapter. The dimensional requirements for lots and buildings in a planned commercial development shall comply with the standards established by §
225-60.4E. The dimensional requirements for lots and buildings in a planned mixed-use development shall comply with the standards established by §
225-60.7.
[Amended 7-31-2000 STM, Art. 5; 5-16-2001 STM, Art. 28; 5-20-2004 STM, Art.
18; 9-8-2005 STM, Art. 3; 5-24-2006 STM, Art. 15; 5-24-2007 STM, Art. 15; 5-16-2012 STM, Art. 11]
B. Two-family dwellings.
(1) Two-family dwellings located in the R-1 Urban Residential
Zone which are connected to Town sewer and water may have a minimum
lot size of 20,000 square feet. Two-family dwellings which are not
connected to Town sewer and water must have a minimum of 20,000 square
feet of lot per dwelling unit.
(2) Two-family dwellings located in the R-2 Zone which
are connected to Town sewer and water may have a minimum lot size
of 40,000 square feet. Two-family dwellings which are not connected
to Town sewer and water must have a minimum of 30,000 square feet
of lot per dwelling unit.
(3) Two-family dwellings located in the R-3 Zone must
have a minimum of 1 1/2 acres per dwelling unit.
(4) Two-family dwellings located in the MUL Mixed-Use
Limited Zone which are connected to Town sewer and water may have
a minimum of 20,000 square feet of lot per dwelling unit. Two-family
dwellings which are not connected to Town sewer and water must have
a minimum of 30,000 square feet of lot per dwelling unit.
(5) Two-family dwellings located in CC, RCU, MUC, MUC-1, CC 196, and
MV Zones shall be located on a lot that has an area of at least 1.5
times the minimum lot size. Two-family dwellings in the LV, VC, LI
and R4 Zones may be located on a lot of at least the minimum size
required for that Zone. In the LV, VC and LI Zones, two-family dwellings
in buildings fronting Rt. 201 shall be located on the second floor.
All two-family dwellings in the CC, RCU, MUC, MUC-1, CC 196, LV, MV,
VC, LI, and R4 Zones must be connected to public sewer and water.
[Amended 5-24-2007 STM, Art. 15; 11-13-2008 STM, Art. 8; 5-20-2009 STM, Art. 15]
C. Relationship of buildings to lot. Except as further
modified by this chapter, more than one principal structure may be
constructed or moved onto any one lot of land provided that lot meets
the minimum lot size required by the total of the density requirements
of each principal use in the particular zone where situated.
[Amended 7-31-2000 STM, Art. 5; 5-24-2007 STM, Art. 15; 5-22-2024 STM by Art. 12]
D. Common plan developments.
(1) A common plan development is any development located
within a commercial zone for which the Planning Board makes a determination
that the following requirements have been satisfied:
(a)
The proposed project shall be based upon an
adequate common plan of development; and
(b)
The proposed project shall make adequate provision
for the use and maintenance of common or shared space such as, but
not limited to, shared walls, parking, ingress and egress, signage
and other common and shared space.
(2) The Planning Board may approve the division of properties within commercial zones into individual lots with building setbacks which are zero or less than those specified in §
225-17A.
(3) The dimensional requirements set forth in Subsection
A of §
225-17 shall not apply to any common plan development located in the LV Zones. Common plan developments in the LV Zones shall instead be subject to the following dimensional requirements:
|
Use
|
Requirement
|
---|
|
Minimum lot size (square feet)
|
0
|
|
Minimum lot width (square feet)
|
0
|
|
Minimum front yard setback (feet)
|
0
|
|
Minimum side yard setback (feet)
|
0
|
|
Minimum rear yard setback (feet)
|
0
|
|
Maximum building height (feet)
|
N/A
|
|
Maximum structure height (feet)
|
N/A
|
|
Minimum landscape (open space ratio)
|
N/A
|
|
Floor area ratio
|
N/A
|
(4) In addition to the dimensional requirements set forth
above, projects in a common plan development shall comply with all
conditions imposed by the Planning Board that are necessary to protect
health, welfare and safety.
E. Detached storage buildings accessory to residential
uses. The minimum side and rear setback requirement shall be 5 feet
and cannot be further reduced except by variance. The maximum height
for such buildings shall be 12 feet. The maximum floor area for such
buildings shall be 150 square feet.
[Amended 5-18-2016 STM,
Art. 13]
F. (Reserved)
[Added 5-15-2002 STM, Art. 21]
G. Back lots. One back lot may be created from any lot of record which conforms to the lot requirements of §
225-17A and
B, and which existed prior to May, 2004, provided that:
[Added 5-20-2004 STM, Art. 15]
(1) The back lot and front lot each contain no more than
one principal structure, each structure containing no more than two
dwelling units. Uses are limited to single- and two-family dwellings
for both the front lot and back lot.
(2) Both the front lot and back lot conform to the minimum lot area and minimum lot area per dwelling unit as per §
225-17.
(3) The back lot is at least as wide at the site of the
proposed dwelling as the frontage measurement required in the district.
(4) The back lot has a deeded access to a publicly accepted
street or a private road. This access may be obtained:
(a)
By way of a minimum twenty (20) foot wide right-of-way
across the front lot deeded to the owner of the back lot; or
(b)
By the extension of the back lot to the public
street so that the back lot has a minimum of twenty-five (25) feet
of frontage on the street.
(5) The creation of the back lot does not make the front
lot nonconforming, or more nonconforming, as to frontage.
(6) The back lot and front lot share the same driveway
entrance to the public street, if the access to the back lot is via
a deeded right-of-way. This requirement may be waived by the Planning
Board when the Board makes findings that a combined driveway is not
feasible due to the location of the home on the front lot, terrain,
or natural resource impact.
(7) A twelve (12) foot wide driveway services a single-family
dwelling (16 feet wide for two-family dwelling), constructed with
a minimum of 12 inches of subbase gravel and a minimum of 3 inch base
gravel.
(8) A turnaround area approved by the Fire Department
is provided for public safety vehicles.
(9) Street numbering, as assigned by the Addressing Officer, is clearly visible at the public street in accordance with Chapter
185, Article
II, of the Town Code.
[Amended 5-25-2022 STM by Art. 14]
(10)
Any dwellings on the back lot shall connect
to public sewer when a public sewer line is located in the public
street giving access to the back lot.
H. Large-lot subdivisions. Subdivisions in the R-3 District may be approved
and developed in accordance with the provisions of this section rather
than the dimension requirements set out for the R-3 District in the
Table of Dimensional Standards.
[Added 5-16-2012 STM, Art. 11]
(1) The minimum lot size for all lots in the large-lot subdivision must
be 300,000 square feet.
(2) Lots in a large-lot subdivision are not required to have any frontage
on a public street or a private road or way except as set forth below.
If a lot will abut a public street and have its primary vehicular
access directly from that street, the lot must have a minimum of fifty
(50) feet of continuous frontage on that street.
(3) If a public lot does not abut a street, it must have its primary
vehicular access from a private road or way meeting the following
standards:
(a)
The private road must be located within a recoded easement at
least thirty-three (33) feet in width,
(b)
The travelway must be a minimum of twelve feet in width if the
road serves one lot or home or eighteen feet in width if the road
serves two or more lots or homes.
(c)
The road shall be designed and constructed in accordance with the provisions of §
191-15 except that the road is not required to be paved [§ 191-15D(3)] or to have sidewalks [§ 191-15D(4)] and shall be approved by Town staff prior to any permits being issued for construction on lots accessed by the private road.
(d)
If the lot serves two or more lots or homes, provisions for
the ownership and maintenance of the road must be approved by the
Planning Board as part of the approval of the subdivision. These provisions
must include a stipulation that the road shall remain private and
that the Town will never be asked to accept the road as a public street
unless the road is improved to meet the Town's standards for a public
street. The provisions must also include a mechanism to assure that
funds will be available for the regular winter maintenance and periodic
repair and maintenance of the road.
(4) If any lots do not abut a public street and have their primary vehicular
access from a private way, the future division of those lots is prohibited
and the subdivision plan must contain a note stating that future division
of such lots is prohibited. This prohibition shall also be included
in the individual property deeds.
(5) The layout of the large lot subdivision shall be designed to reflect
the natural resource and open space values of the site. (See preapplication
site inventory and analysis requirements for major subdivisions.)
The subdivision plan shall designate a building envelope for each
lot that identifies the area on the lot that is suitable for development
and within which the home will be located and the restrictions that
apply to the use of the lot area outside of the building envelope
to maintain the natural values of the site. Each individual property
deed must contain a note that specifies that the principal building
must be located within the building envelope shown on the approved
subdivision plan.
(6) Development on the lots in a large-lot subdivision must conform to
the height, open space, and floor area requirements of the R-3 District
as set forth in the Table of Dimensional Requirements.
(7) Development on lots that abut a public street must meet the front
setback requirements for the R-3 District. Otherwise, all buildings
and structures must be located a minimum of fifty (50) feet from any
property line.
I. Rural open space subdivisions. Subdivisions in the R-3 District may be approved and developed in accordance with the provisions of this section and §
225-43 rather than the dimensional requirements set out for the R-3 District in the Table of Dimensional Standards.
[Added 5-16-2012 STM, Art. 11]
(1) The maximum net residential density for a rural open space subdivision shall be determined based on a minimum lot size of forty-five thousand (45,000) square feet per dwelling unit. The minimum lot size is reduced to thirty-seven thousand five hundred (37,500) square feet per dwelling unit for subdivisions that set aside more than fifty percent (50%) of the net residential acreage of the parcel as permanent open space rather than the thirty percent (30%) required under Subsection
I(3).
(2) The minimum lot size, frontage, and other dimensional requirements shall be determined by the Planning Board at the time of approval of the subdivision in accordance with §
225-43.
(3) An area equal to at least ninety percent (90%) of the area unsuitable for development deducted from total area in the calculation of the net residential area plus at least thirty percent (30%) of the net residential acreage of the parcel shall be set aside as permanent open space in accordance with §
225-43.
[Amended 6-1-1993 STM, Art. 19; 6-1-1993 STM, Art. 20; 5-18-1994 STM, Art. 13; 5-17-2000 STM, Art. 21; 5-16-2012 STM, Art. 9]
A. Purpose. The purpose of the Historic Overlay District is to maintain
the historic, architectural, and overall visual character of those
areas of the Town with a significant number of properties with a collective
historical significance by assuring that the alteration, enlargement,
or replacement of contributing properties or the construction, alteration,
or enlargement of noncontributing properties is carried out in a manner
that is compatible with and maintains the essential character of the
contributing properties and the overall character of the district.
B. Certificate of appropriateness required. The owner of a property in the Historic Overlay District that proposes to undertake any activity that will change the design, material, scale, or location of exterior building features of a contributing property or a noncontributing property that is not an exempt activity under Subsection
C must obtain a certificate of appropriateness (CoA) from the Historic Commission prior to receiving any building, plumbing, electrical, or other permits and approvals required for the work or, if no permits or other approvals are required, before commencing the work. This includes:
(1) Contributing properties:
(a)
The alteration of a building or structure.
(b)
The construction of an addition to a building or structure.
(c)
The construction or placement of an accessory building on the
site such as a garage or shed.
(d)
The relocation of a building or structure.
(e)
The alteration, placement, construction, or removal of significant
site features.
(f)
The demolition or removal of a building or structure.
(2) Noncontributing properties:
(a)
The construction or placement of a new principal or accessory
building on the site.
(b)
Alterations to a building or structure that substantially change
the appearance of more than twenty-five (25) percent of the wall area
of the front façade or change the orientation of the building
to the street.
(c)
The construction of an addition to a building or structure.
C. Exempt activities. The following activities are exempt from the requirement
of obtaining a certificate of appropriateness from the Historic Commission.
A property owner that intends to undertake an activity that he or
she believes is an exempt activity must request a determination from
the Topsham Planning Department prior to undertaking the activity.
The property owner shall provide the Planning Department with a written
description of the proposed activities, including catalogue cuts or
material samples if appropriate. If the Planning Department determines
that the proposed activity constitutes an exempt activity, the property
owner may request that the Department provide written documentation
of that determination, including that the activity as proposed is
exempt from the requirement to obtain a CoA.
(1) Any activity that is not visible from a public way.
(3) Any constructions, demolitions or alterations under orders issued
by a building inspector or similar agent for the purposes of public
safety.
(4) Landscaping with plants, trees or shrubs.
(5) Temporary buildings or temporary structures, subject, however, to
conditions pertaining to the use, location, lighting, removal and
similar matters as the Commission or Planning Office may reasonably
specify. Temporary buildings or structures may not be placed on a
property for more than 45 days in a calendar year.
(6) Residential terraces, walks, driveways, sidewalks and similar structures,
provided that any such structure is substantially at grade level.
(7) Storm windows, storm doors, screen windows, screen doors, and window
air conditioners.
(8) Flagpoles,
sculpture, mailboxes (freestanding or attached), window boxes, gutters,
downspouts and leaders, house numbers, and garden furniture.
(9) Routine maintenance: normal repair and upkeep of a building or structure
that does not change the design, material, or scale of exterior building
features. The repainting of a building or structure is considered
to be routine maintenance, as is the replacement or repair of exterior
elements with similar materials, such as reroofing with the same type
of shingles, replacement of clapboards with similar clapboards, or
the replacement of doors or windows with new doors or windows of a
similar design and made with similar materials. Repair or replacement
with different materials is not considered routine maintenance.
D. Process for obtaining a certificate of appropriateness.
(1) Application procedure.
(a)
An application for a CoA may be obtained from the Planning Office.
A completed application shall be submitted to the Town Planner, who
shall review the application for completeness. If the application
is complete, he/she shall transmit it to the Historic Commission for
action. If the application is incomplete, he/she shall notify the
applicant and indicate the additional information that is required.
(b)
Public notice. The Commission shall hold a regular meeting on
the application. Notice of the meeting shall be posted at least seven
(7) days prior to the meeting. Written notice of the consideration
of the application shall be mailed to all property owners within two
hundred (200) feet of the parcel at least seven (7) days prior to
the date of meeting.
[Amended 5-25-2022 STM by Art. 13]
(c)
The Commission shall act on the application within forty-five
(45) days of the receipt of a completed application. The Commission
shall make written findings of fact detailing the application's compliance
with the standards of approval and the Secretary of the Interior's
standards if applicable. When the Commission acts on the application,
the action and related findings shall be forwarded to the Code Enforcement
Officer, who shall then issue or deny permits, as appropriate.
(2) Application contents.
(a)
The application shall state the location, use, and nature of
the activity for which the CoA is sought.
(b)
The application and accompanying submissions shall contain at
least the following information, unless any items are waived by the
Commission:
[1]
The applicant's name and address and his legal interest in the
property.
[2]
The property owner's name and address, if different from the
applicant's.
[3]
The address or location of the property.
[4]
The present use of the property.
[5]
The status of the property as a contributing or noncontributing
property and its zoning classification.
[6]
A description of the proposed construction, reconstruction,
remodeling, alteration, demolition, or moving requiring the issuance
of a CoA.
[7]
A drawing or drawings indicating the design, materials, including
texture and color, and location of any proposed alteration or new
construction for which the CoA is required. As used herein, "drawings"
shall mean plans and exterior elevations drawn to scale, with sufficient
detail to show, as far as they are related to exterior appearances,
the architectural design of the buildings, including materials and
textures, including samples of any brick, shingles or siding proposed
to be used. Drawings shall not be required to be prepared by a registered
architect but shall be clear, complete and specific.
[8]
Photographs of the building and site and of immediately adjacent
buildings as seen from public streets or ways. The photographs should
include all sides of the building that are visible from public streets
as well as detailed photos of the portion of buildings or structures
proposed to be altered or expanded.
[9]
A site plan indicating the location and extent of any proposed
changes involving additions to a building or structure, placement
of buildings or structures on the site, or the addition, alteration,
or removal of site features such as walls, fences, walks, signs and/or
outdoor light fixtures. The Commission may waive the requirement for
a site plan if the changes proposed do not involve such features.
(3) Appeals.
[Amended 5-14-2014 STM, Art. 12]
(a)
Appeals of decisions of the Historic District Commission on the issuance or denial of a certificate of appropriateness or the Codes Enforcement Officer, shall be made within 30 days of the decision being appealed from. All appeals shall be made to the Board of Appeals under the provisions of Article
X of the Zoning Ordinance.
(b)
Decisions of the Town Planner on exempt activities, §
225-18C, shall be appealed to the Historic District Commission within 30 days of the date of decision.
(c)
Appeals may only be made by an aggrieved party as defined in §
225-6.
(d)
The owner of a property in a Historic Overlay District may appeal
the designation of the property as a contributing or noncontributing
property. Such appeals shall be heard and decided by the Appeals Board
following the procedures for administrative appeals. To reverse a
classification, the Appeals Board must find that there is clear evidence
that the property is misclassified based on documentation prepared
by the Main Historic Preservation Commission (MHPC) qualified architectural
historians.
E. Approval standards for contributing properties. In reviewing and
approving applications for a CoA involving a contributing property,
the Historic Commission should consider the Secretary of the Interior's
Standards for the Treatment of Historic Properties as set forth below.
(1) Secretary of the Interior's standards. In reviewing applications
for a CoA for a contributing property, the Commission should consider
the Secretary of the Interior's Standards for the Treatment of Historic
Properties with a focus on the Standards for Rehabilitation and their
application to activities that are visible from public streets or
ways, including the following:
(a)
A property will be used as it was historically or be given a
new use that requires minimal changes to its distinctive materials,
features, spaces, and spatial relationships.
(b)
The historic character of the property will be retained and
preserved. The removal of distinctive materials or alteration of features,
spaces, and spatial relationships that characterize a property will
be avoided.
(c)
Each property will be recognized as a physical record of its
time, place, and use. Changes that create a false sense of historical
development, such as adding conjectural features or elements from
other historic properties, will not be undertaken.
(d)
Changes to a property that have acquired historic significance
in their own right will be retained and preserved.
(e)
Distinctive materials, features, finishes, and construction
techniques or examples of craftsmanship that characterize a property
will be preserved.
(f)
Deteriorated historic features will be repaired rather than
replaced. Where the severity of deterioration requires the replacement
of a distinctive feature, the new feature will match the old feature
in design, color, texture and, wherever possible, materials. Replacement
of missing features will be substantiated by documentary and physical
evidence.
(g)
Chemical or physical treatments, if appropriate, will be undertaken
using the gentlest means possible. Treatments that cause damage to
historic materials will not be used.
(h)
Archeological resources will be protected and preserved in place.
If such resources must be disturbed, mitigation measures will be undertaken.
(i)
New additions, exterior alterations, or related new construction
will not destroy historic materials, features, and spatial relationships
that characterize the property. The new work will be differentiated
from the old and will be compatible with the historic materials, features,
size, scale and proportion, and massing to protect the integrity of
the property and its environment.
(j)
New additions and adjacent or related new construction will
be undertaken in such a manner that, if removed in the future, the
essential form and integrity of the historic property would be unimpaired.
|
The Town's Design Review Manual for Historic Districts of Topsham,
Maine, provides discussion and examples of how these standards apply
in Topsham.
|
(2) Additional local standards. The Commission shall find that the proposed
activities meet the following local standards based on the type of
activities proposed. If more than one type of activity is proposed,
the standards for each type of activity must be met for the application
to be approved. The Town's Design Review Manual for Historic Districts
of Topsham, Maine, provides discussion and examples of how these standards
apply in Topsham.
(a)
The alteration of a contributing building or structure.
[1]
Porches: Existing porches should be maintained and preserved.
Character-defining elements associated with porches, such as columns,
pilasters, decorative brackets, railings, and balustrades, should
not be substantially altered. It is not appropriate to enclose a porch
that is visible from a public way, but screens may be added if they
are attached in a manner that does not damage the historic materials
and the modification is completely reversible.
[2]
Roof: If the entire roof is being replaced, the material should
be compatible with the visual character of the building. The replacement
material may revert back to a historically appropriate material if
historic documentation is available.
[3]
Appendages: Appendages to the structure, such as solar collectors,
antennas, and satellite dishes, should be located to minimize the
visual impact on the historic building and should be attached in a
manner that does not damage the historic materials and is completely
reversible. Generally, the location of solar collectors, antennas,
or dishes on the front facade or portion of the roof facing the street
is inappropriate unless there is a technical reason that mandates
that location.
[4]
Windows: The creation of new windows or skylights that result
in removal of portions of the historic structure are inappropriate
unless the window or skylight is located in a portion of the structure
that has been previously modified so that its historic value has been
lost. If a new window or skylight is permitted, the design should
be compatible with the existing building and the location should minimize
the visual impact on the historic building.
[5]
Doors: Replacement doors should utilize the existing opening
and should be visually compatible with the remainder of the property.
[6]
Garage doors: Increasing the size of the opening in the wall
to allow the installation of double- or triple-width garage doors
facing the street is not appropriate.
[7]
Materials: Wherever practical, existing materials should be
maintained. In the case of the change of material, the material shall
have a similar visual appearance.
(b)
The construction of an addition to a contributing building or
structure.
[1]
The addition should minimize the impact, both physically and
visually, on the historic property.
[2]
The addition should not visually overwhelm or obscure the historic
structure.
[3]
The mass, scale, and volume of the addition should be compatible
with the historic building.
[4]
Where feasible, the addition should be attached to the historic
property with a connecting link that minimizes the damage or removal
of elements of the historic building.
[5]
It is not appropriate to add decks and porches that are visible
from a public way. Sunrooms and similar spaces are appropriate only
if they meet the other standards of this section.
(c)
The construction or placement of an accessory building, such
as a garage or shed, on the site of a contributing building.
[1]
The building should be constructed of materials that are visually
compatible with the materials of the historic building but that are
appropriate to the current period.
[2]
The design of the building with respect to massing and scale
should be compatible with the massing and scale of the historic building,
including features such as rooflines.
[3]
The location of the accessory building should minimize its visual
impact on the historic building and not obscure it and should be consistent
with the placement of similar accessory buildings on the sites of
other comparable contributing buildings in the district.
(d)
The relocation of a contributing building or structure.
[1]
The new location of the building or structure should be consistent
with the established pattern of the immediate neighborhood surrounding
the site with respect to its setback from the street, orientation
of the front facade of the building to the street, and the placement
of the building on the lot with respect to side lot lines and adjacent
properties.
[2]
If an accessory building is relocated, the new location should
maintain the spatial relationships on the lot if that relationship
is an essential element of the historic character of the property.
(e)
The alteration, placement, construction, or removal of significant
site features on the site of a contributing building or structure.
[1]
Existing fences or walls should be maintained if feasible. New
or replacement fences or walls should be located to reflect the established
pattern in the neighborhood and on adjacent lots if a pattern exists.
This is particularly important with respect to the relationship with
the street and sidewalk (if any). Fences should be compatible to other
historic fences in the district with respect to design, size, and
details.
[2]
The use of concrete for walls and steps is inappropriate for
new or replacement site features.
[3]
New parking areas should be located to the side or rear of the
principal buildings when feasible.
[4]
New driveway locations should maintain the established pattern
in the immediate neighborhood of the site. The area between the front
façade of the principal building and the sidewalk or street
should not be used for new or expanded driveways or parking areas.
(f)
The demolition or removal of a contributing building or structure.
[1]
Demolition or removal of a contributing building should conform to the requirements of Subsection
G.
F. Approval standards for noncontributing properties. In reviewing and
approving applications for a CoA involving a noncontributing property,
the Historic Commission shall consider the additional local standards
appropriate to the proposed activity as set forth below and find that
the appropriate standards have been met.
(1) The construction or placement of a new principal building on the
site.
(a)
The building should be located on the lot so that the front
setback is consistent with the setback of the principal buildings
on adjacent lots and within the immediate neighborhood.
(b)
The general placement of the building on the lot should maintain
the pattern of buildings and voids along the street.
(c)
The front entrance of the building should be oriented to the
street.
(d)
The height, scale, and massing of the building should be visually
compatible with the principal buildings on adjacent lots.
(e)
The design and location of site elements, including driveways,
sidewalks, fences, and walls, should be visually compatible with the
pattern of the immediate neighborhood especially with respect to scale
and location on the lot.
(2) The construction or placement of a new accessory building on the
site.
(a)
The accessory building should be located to the side or rear
of the principal building and be visually compatible with the principal
building and principal buildings on adjacent lots.
(3) Alterations to a building or structure that substantially alter its
front facade or the orientation of the building to the street.
(a)
The alterations should be visually compatible with the age and
style of the principal building.
(b)
Alterations that attempt to replicate features from an earlier
time period or that make the building look historic are inappropriate.
(4) The construction of an addition to a building or structure.
(a)
Additions should be visually compatible with the age and style
of the principal building.
(b)
The placement of the addition in relationship to the principal
building should be visually compatible with the principal building
and principal buildings on adjacent lots.
(c)
Additions that attempt to replicate features from an earlier
time period or that make the building look historic are inappropriate.
G. Approval standards for the demolition or removal of a contributing
property.
(1) The Historic Commission shall approve a CoA for the demolition or
removal of a principal building located in the Historic Overlay District
only if it finds that either of the following conditions exists:
(a)
The building has been identified as a noncontributing property;
or
(b)
The property owner has demonstrated that cost-effective repair
of the building is not possible as documented by a structural engineer,
builder, or architect with experience in the renovation of historic
properties and that there is no buyer for the property willing to
undertake its repair. If the structural integrity of the building
is in such disrepair as to be hazardous, the structure may be condemned
by the Code Enforcement Officer.
(2) If the property owner demonstrates to the Commission's satisfaction
that he/she cannot repair the building, the issuance of the CoA shall
be delayed for a period of ninety (90) days during which period the
owner must make a reasonable attempt to sell the property to someone
who will repair the building in accordance with the following process.
The time period shall commence when the Commission determines that
the owner cannot repair the property and a sale offering statement
has been provided to the Town Planner.
(3) Within five (5) days of the determination by the Commission that
the owner cannot repair the property, the property owner shall post
notices on the premises of the building or structure proposed for
demolition in a location clearly visible from the street. The notices
shall indicate that the property is proposed to be demolished or moved
and that it is available for sale to a buyer who will repair the property.
In addition, the notice shall be published by the owner in a newspaper
of general local circulation at least two times. The first notice
must be published within seven (7) days of the Commission's finding,
and the second notice must be published not less than forty-five (45)
days prior to the end of the ninety (90) day period. The owner shall
provide the Town Planner with evidence that notices have been posted
and published as required.
(4) During the ninety (90) day delay period, the owner shall make a bona
fide offer to sell such building or structure and the land pertaining
thereto, at a price reasonably related to its fair market value, to
any person, firm, corporation, government or agency thereof or political
subdivision or agency thereof which gives reasonable assurance that
it is willing to preserve and restore the building or structure and
the land pertaining thereto. Prior to making such offer to sell, an
owner shall first file a statement with the Town Planner identifying
the property, the offering price and the date the offer to sell shall
begin.
(5) At the end of the ninety (90) day period, the property owner may
request that the Commission release the CoA, allowing the Code Enforcement
Officer to issue a demolition or moving permit. The Commission shall
authorize the release of the CoA only if it finds that the property
owner made a bona fide effort to sell the property at a reasonable
price relative to its fair market value and that there is no buyer
that is willing to repair the property.
H. Establishment or modification of an Historic Overlay District. An
Historic Overlay District may be created or modified through an amendment
to this section by the Town Meeting of the Town of Topsham in accordance
with the following procedures:
(1) An amendment to create or modify an Historic Overlay District may
be proposed by the Board of Selectmen, the Planning Board, the Historic
Commission, one or more property owners within an existing or proposed
overlay district, or by a petition signed by at least fifty (50) registered
voters in the Town.
(2) A request for the creation or modification of an overlay district
must be made in writing to the Historic Commission and must include
the following information:
(a)
A map showing the proposed boundaries of the new overlay district
or proposed changes to the boundaries of an existing district.
(b)
A listing of the properties included within the new district
or proposed revision to an existing district showing the Tax Map and
lot number of each parcel and the current owner as recorded on the
Town's assessment records.
(c)
An evaluation of each property as a contributing or noncontributing
building or structure using the methodology used in in the Topsham
2010 Historic Resource Survey or other methodology approved by the
Maine State Historic Preservation Commission. If the amendment proposes
to remove properties from an existing overlay district, the classification
of those properties in the 2010 survey or subsequent historical survey
must be provided.
(3) Upon receipt of a request for an amendment, the Historic Commission
shall conduct research on the proposal and solicit comment from the
Maine State Historical Preservation Commission if appropriate.
(4) Within forty-five (45) days of the receipt of a request for an amendment
to an overlay district, the Historic Commission shall hold a public
hearing on the request. The Commission shall provide public notice
of the hearing by publishing the hearing notice in a newspaper in
general circulation within Topsham at least seven (7) days prior to
the hearing. The Commission shall also notify, in writing, all property
areas within the boundary of the proposed amendment and within two
hundred fifty (250) feet of the area at least seven (7) days prior
to the hearing.
(5) Within forty-five (45) days of the public hearing, the Commission
shall make a formal recommendation to the Planning Board and Board
of Selectmen with respect to the request. The Board's recommendation
shall specify the Board's findings and conclusions with respect to
the request.
I. Boundaries of the Historic Overlay Districts. The boundaries of the
Historic Overlay Districts are shown on the Official Zoning Map and
are described as follows:
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Topsham Village: The Historic Overlay District includes the
entirety of the following parcels as shown on the April 1, 2011, Town
of Topsham property maps, including any subsequent division or reconfiguration
of these lots that results in a change in the lot number:
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Map U02
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Lots 3-1, 3-2, 3-3, and 3-4
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Lots 12 through 22
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Lots 24 through 26
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Lots 129 through 132
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Lots 134 through 136
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Map U03
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Lots 1 through 4
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Lot 1A
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Map U06
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Lots 1 and 2
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Lots 4 through 11
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Lot 11B-0
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Lots 12 through 15
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Lot 15A
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Lots 16 and 17
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Lots 19 through 23
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Lots 27 through 43
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Lots 46 through 49
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Lot 49A
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Lots 50 through 55
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Lot 59
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Lots 63 through 67
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Lot 67A
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Lots 70 through 72
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Lots 76 and 77
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Lot 77A
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Lots 78 and 79
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Map U07
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Lots 3 through 9
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Lots 11 through 14
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Lot 14C
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Lot 15
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Lot 17
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In addition, the portion of Lot 3 on Map U02 that is known as
Great Mill Island bounded by the Androscoggin River and Granny Hole
Stream is included in the Historic Overlay District.
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[Amended 5-20-1992 ATM, Art. 24; 6-1-1993 STM, Art. 20; 5-15-1996 STM, Art. 28; 5-20-2004 STM, Art.
16; 11-13-2008 STM, Art. 7]
1. Purposes. The purposes of this ordinance are to further the maintenance
of safe and healthful conditions; to prevent and control water pollution;
to protect fish spawning grounds, aquatic life, bird and other wildlife
habitat; to protect buildings and lands from flooding and accelerated
erosion; to protect archaeological and historic resources; to protect
commercial fishing and maritime industries; to protect freshwater
and coastal wetlands; to control building sites, placement of structures
and land uses; to conserve shore cover, and visual as well as actual
points of access to inland and coastal waters; to conserve natural
beauty and open space; and to anticipate and respond to the impacts
of development in shoreland areas.
2. Authority. This ordinance has been prepared in accordance with the
provisions of 38 M.R.S.A. §§ 435 through 449.
3. Applicability. This ordinance applies to all land areas within 250
feet, horizontal distance, of the
normal high-water line of any great pond or river,
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upland edge of a coastal wetland, including all areas affected
by tidal action,
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upland edge of a freshwater wetland,
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all land areas within 75 feet, horizontal distance, of the normal
high-water line of a stream
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And all wetlands associated with the Cathance River and Muddy
River.
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This ordinance also applies to any structure built on, over
or abutting a dock, wharf or pier, or other structure extending or
located below the normal high-water line of a water body or within
a wetland. These shall include, without limitations, the Androscoggin
River, Bradley Pond, Cathance River, Little River, Merrymeeting Bay
and Muddy River as shown on the Official Map.
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4. Effective date.
A. Effective date of ordinance and ordinance amendments. This ordinance,
which was adopted by the municipal legislative body on May 21, 2008,
shall not be effective unless approved by the Commissioner of the
Department of Environmental Protection. A certified copy of the ordinance,
or ordinance amendment, attested and signed by the Municipal Clerk,
shall be forwarded to the Commissioner for approval. If the Commissioner
fails to act on this ordinance or ordinance amendment, within forty-five
(45) days of his/her receipt of the ordinance, or ordinance amendment,
it shall be automatically approved.
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Any application for a permit submitted to the municipality within
the forty-five (45) day period shall be governed by the terms of this
ordinance, or ordinance amendment, if the ordinance, or ordinance
amendment, is approved by the Commissioner.
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B. Subsections 15O and 15O-1. Subsection 15O is repealed on the statutory
date established under 38 M.R.S.A. § 438-B(5), at which
time Subsection 15O-1 shall become effective. Until such time as Subsection
15O is repealed, Subsection 15O-1 is not in effect.
5. Availability. A certified copy of this ordinance shall be filed with
the Municipal Clerk and shall be accessible to any member of the public.
Copies shall be made available to the public at reasonable cost at
the expense of the person making the request. Notice of availability
of this ordinance shall be posted.
6. Severability. Should any section or provision of this ordinance be
declared by the courts to be invalid, such decision shall not invalidate
any other section or provision of the ordinance.
7. Conflicts with other ordinances. Whenever a provision of this ordinance
conflicts with or is inconsistent with another provision of this ordinance
or of any other ordinance, regulation or statute administered by the
municipality, the more restrictive provision shall control.
8. Amendments. This ordinance may be amended by majority vote of the
legislative body. Copies of amendments, attested and signed by the
Municipal Clerk, shall be submitted to the Commissioner of the Department
of Environmental Protection following adoption by the municipal legislative
body and shall not be effective unless approved by the Commissioner.
If the Commissioner fails to act on any amendment within forty-five
(45) days of his/her receipt of the amendment, the amendment is automatically
approved. Any application for a permit submitted to the municipality
within the forty-five (45) day period shall be governed by the terms
of the amendment, if such amendment is approved by the Commissioner.
9. Districts and Zoning Map.
A. Official Shoreland Zoning Map. The areas to which this ordinance
is applicable are hereby divided into the following districts as shown
on the Official Shoreland Zoning Map(s) which is (are) made a part
of this ordinance:
B. Scale of Map. The Official Shoreland Zoning Map shall be drawn at
a scale of not less than: 1 inch = 2000 feet. District boundaries
shall be clearly delineated and a legend indicating the symbols for
each district shall be placed on the Map.
C. Certification of Official Shoreland Zoning Map. The Official Shoreland
Zoning Map shall be certified by the attested signature of the Municipal
Clerk and shall be located in the municipal office. In the event the
municipality does not have a municipal office, the Municipal Clerk
shall be the custodian of the Map.
D. Changes to the Official Shoreland Zoning Map. If amendments, in accordance
with Subsection 8, are made in the district boundaries or other matter
portrayed on the Official Shoreland Zoning Map, such changes shall
be made on the Official Shoreland Zoning Map within thirty (30) days
after the amendment has been approved by the Commissioner of the Department
of Environmental Protection.
10. Interpretation of District Boundaries. Unless otherwise set forth
on the Official Shoreland Zoning Map, district boundary lines are
property lines, the center lines of streets, roads and rights-of-way,
and the boundaries of the shoreland area as defined herein. Where
uncertainty exists as to the exact location of district boundary lines,
the Board of Appeals shall be the final authority as to location.
11. Land use requirements. Except as hereinafter specified, no building,
structure or land shall hereafter be used or occupied, and no building
or structure or part thereof shall hereafter be erected, constructed,
expanded, moved, or altered and no new lot shall be created except
in conformity with all of the regulations herein specified for the
district in which it is located, unless a variance is granted.
12. Nonconformance.
A. Purpose. It is the intent of this ordinance to promote land use conformities,
except that nonconforming conditions that existed before the effective
date of this ordinance or amendments thereto shall be allowed to continue,
subject to the requirements set forth in Subsection 12. Except as
otherwise provided in this ordinance, a nonconforming condition shall
not be permitted to become more nonconforming.
B. General.
(1)
Transfer of ownership. Nonconforming structures, lots, and uses
may be transferred, and the new owner may continue the nonconforming
use or continue to use the nonconforming structure or lot, subject
to the provisions of this ordinance.
(2)
Repair and maintenance. This ordinance allows, without a permit,
the normal upkeep and maintenance of nonconforming uses and structures
including repairs or renovations that do not involve expansion of
the nonconforming use or structure, and such other changes in a nonconforming
use or structure as federal, state, or local building and safety codes
may require.
C. Nonconforming structures.
(1)
Expansions. A nonconforming structure may be added to or expanded
after obtaining a permit from the same permitting authority as that
for a new structure, if such addition or expansion does not increase
the nonconformity of the structure and is in accordance with Subsection
12C(1)(a) and (b) below.
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[Alternatively, a municipality may, by local ordinance, regulate
expansions of nonconforming structures in accordance with Appendix
A, Alternative to 30% Expansion Rule Pursuant to 38 M.R.S.A § 439-A.
In adopting the alternative provisions contained in Appendix A, a
municipality may choose not to include the "special expansion allowance"
provision contained in paragraphs (1-A), (1-B), and (1-C) of Appendix
A.]
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(a)
After January 1, 1989, if any portion of a structure is less
than the required setback from the normal high-water line of a water
body or tributary stream or the upland edge of a wetland, that portion
of the structure shall not be expanded, as measured in floor area
or volume, by 30% or more, during the lifetime of the structure. If
a replacement structure conforms with the requirements of Subsection
12C(3), and is less than the required setback from a water body, tributary
stream or wetland, the replacement structure may not be expanded if
the original structure existing on January 1, 1989, had been expanded
by 30% in floor area and volume since that date.
(b)
Whenever a new, enlarged, or replacement foundation is constructed
under a nonconforming structure, the structure and new foundation
must be placed such that the setback requirement is met to the greatest
practical extent as determined by the Planning Board or its designee,
basing its decision on the criteria specified in Subsection 12C(2),
Relocation, below. If the completed foundation does not extend beyond
the exterior dimensions of the structure, except for expansion in
conformity with Subsection 12C(1)(a) above, and the foundation does
not cause the structure to be elevated by more than three (3) additional
feet, as measured from the uphill side of the structure (from original
ground level to the bottom of the first floor sill), it shall not
be considered to be an expansion of the structure.
(2)
Relocation. A nonconforming structure may be relocated within
the boundaries of the parcel on which the structure is located, provided
that the site of relocation conforms to all setback requirements to
the greatest practical extent as determined by the Planning Board
or its designee, and provided that the applicant demonstrates that
the present subsurface sewage disposal system meets the requirements
of state law and the State of Maine Subsurface Wastewater Disposal
Rules (Rules), or that a new system can be installed in compliance
with the law and said Rules. In no case shall a structure be relocated
in a manner that causes the structure to be more nonconforming.
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In determining whether the building relocation meets the setback
to the greatest practical extent, the Planning Board or its designee
shall consider the size of the lot, the slope of the land, the potential
for soil erosion, the location of other structures on the property
and on adjacent properties, the location of the septic system and
other on-site soils suitable for septic systems, and the type and
amount of vegetation to be removed to accomplish the relocation. When
it is necessary to remove vegetation within the water or wetland setback
area in order to relocate a structure, the Planning Board shall require
replanting of native vegetation to compensate for the destroyed vegetation.
In addition, the area from which the relocated structure was removed
must be replanted with vegetation. Replanting shall be required as
follows:
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(a)
Trees removed in order to relocate a structure must be replanted
with at least one native tree, three (3) feet in height, for every
tree removed. If more than five trees are planted, no one species
of tree shall make up more than 50% of the number of trees planted.
Replaced trees must be planted no further from the water or wetland
than the trees that were removed.
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Other woody and herbaceous vegetation, and ground cover, that
are removed or destroyed in order to relocate a structure must be
re-established. An area at least the same size as the area where vegetation
and/or ground cover was disturbed, damaged, or removed must be reestablished
within the setback area. The vegetation and/or ground cover must consist
of similar native vegetation and/or ground cover that was disturbed,
destroyed or removed.
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(b)
Where feasible, when a structure is relocated on a parcel the
original location of the structure shall be replanted with vegetation
which may consist of grasses, shrubs, trees, or a combination thereof.
(3)
Reconstruction or replacement. Any nonconforming structure which
is located less than the required setback from a water body, tributary
stream, or wetland and which is removed, or damaged or destroyed,
regardless of the cause, by more than 50% of the market value of the
structure before such damage, destruction or removal, may be reconstructed
or replaced, provided that a permit is obtained within eighteen (18)
months of the date of said damage, destruction, or removal, and provided
that such reconstruction or replacement is in compliance with the
water body, tributary stream or wetland setback requirement to the
greatest practical extent as determined by the Planning Board or its
designee in accordance with the purposes of this ordinance. In no
case shall a structure be reconstructed or replaced so as to increase
its nonconformity. If the reconstructed or replacement structure is
less than the required setback, it shall not be any larger than the
original structure, except as allowed pursuant to Subsection 12C(1)
above, as determined by the nonconforming floor area and volume of
the reconstructed or replaced structure at its new location. If the
total amount of floor area and volume of the original structure can
be relocated or reconstructed beyond the required setback area, no
portion of the relocated or reconstructed structure shall be replaced
or constructed at less than the setback requirement for a new structure.
When it is necessary to remove vegetation in order to replace or reconstruct
a structure, vegetation shall be replanted in accordance with Subsection
12C(2) above.
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Any nonconforming structure which is located less than the required
setback from a water body, tributary stream, or wetland and which
is removed by 50% or less of the market value, or damaged or destroyed
by 50% or less of the market value of the structure, excluding normal
maintenance and repair, may be reconstructed in place if a permit
is obtained from the Code Enforcement Officer within one year of such
damage, destruction, or removal.
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In determining whether the building reconstruction or replacement
meets the setback to the greatest practical extent the Planning Board
or its designee shall consider, in addition to the criteria in Subsection
12C(2) above, the physical condition and type of foundation present,
if any.
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(4)
Change of use of a nonconforming structure. The use of a nonconforming
structure may not be changed to another use unless the Planning Board,
after receiving a written application, determines that the new use
will have no greater adverse impact on the water body, tributary stream,
or wetland, or on the subject or adjacent properties and resources
than the existing use.
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In determining that no greater adverse impact will occur, the
Planning Board shall require written documentation from the applicant,
regarding the probable effects on public health and safety, erosion
and sedimentation, water quality, fish and wildlife habitat, vegetative
cover, visual and actual points of public access to waters, natural
beauty, floodplain management, archaeological and historic resources,
and commercial fishing and maritime activities, and other functionally
water-dependent uses.
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D. Nonconforming uses.
(1)
Expansions. Expansions of nonconforming uses are prohibited,
except that nonconforming residential uses may, after obtaining a
permit from the Planning Board, be expanded within existing residential
structures or within expansions of such structures as allowed in Subsection
12C(1)(a) above.
(2)
Resumption prohibited. A lot, building or structure in or on
which a nonconforming use is discontinued for a period exceeding one
year, or which is superseded by a conforming use, may not again be
devoted to a nonconforming use except that the Planning Board may,
for good cause shown by the applicant, grant up to a one year extension
to that time period. This provision shall not apply to the resumption
of a use of a residential structure, provided that the structure has
been used or maintained for residential purposes during the preceding
five (5) year period.
(3)
Change of use. An existing nonconforming use may be changed
to another nonconforming use, provided that the proposed use has no
greater adverse impact on the subject and adjacent properties and
resources, including water-dependent uses in the CFMA District, than
the former use, as determined by the Planning Board. The determination
of no greater adverse impact shall be made according to criteria listed
in Subsection 12C(4) above.
E. Nonconforming lots.
(1)
Nonconforming lots: A nonconforming lot of record as of the
effective date of this ordinance or amendment thereto may be built
upon, without the need for a variance, provided that such lot is in
separate ownership and not contiguous with any other lot in the same
ownership, and that all provisions of this ordinance except lot area,
lot width and shore frontage can be met. Variances relating to setback
or other requirements not involving lot area, lot width or shore frontage
shall be obtained by action of the Board of Appeals.
(2)
Contiguous built lots: If two or more contiguous lots or parcels
are in a single or joint ownership of record at the time of adoption
of this ordinance, if all or part of the lots do not meet the dimensional
requirements of this ordinance, and if a principal use or structure
exists on each lot, the nonconforming lots may be conveyed separately
or together, provided that the State Minimum Lot Size Law (12 M.R.S.A.
§§ 4807-A through 4807-D) and the State of Maine Subsurface
Wastewater Disposal Rules are complied with.
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If two or more principal uses or structures existed on a single
lot of record on the effective date of this ordinance, each may be
sold on a separate lot provided that the above referenced law and
rules are complied with. When such lots are divided each lot thus
created must be as conforming as possible to the dimensional requirements
of this ordinance.
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(3)
Contiguous lots -- vacant or partially built: If two or more
contiguous lots or parcels are in single or joint ownership of record
at the time of or since adoption or amendment of this ordinance, if
any of these lots do not individually meet the dimensional requirements
of this ordinance or subsequent amendments, and if one or more of
the lots are vacant or contain no principal structure, the lots shall
be combined to the extent necessary to meet the dimensional requirements.
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This provision shall not apply to 2 or more contiguous lots,
at least one of which is nonconforming, owned by the same person or
persons on the effective date of this ordinance and recorded in the
Registry of Deeds if the lot is served by a public sewer or can accommodate
a subsurface sewage disposal system in conformance with the State
of Maine Subsurface Wastewater Disposal Rules; and
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(a)
Each lot contains at least 100 feet of shore frontage and at
least 20,000 square feet of lot area; or
(b)
Any lots that do not meet the frontage and lot size requirements
of Subsection 12E(3)(a) are reconfigured or combined so that each
new lot contains at least 100 feet of shore frontage and 20,000 square
feet of lot area.
13. Establishment of districts.
A. Resource Protection District. The Resource Protection District includes
areas in which development would adversely affect water quality, productive
habitat, biological ecosystems, or scenic and natural values. This
district shall include the following areas when they occur within
the limits of the Shoreland Zone, exclusive of the Stream Protection
District, except that areas which are currently developed and areas
which meet the criteria for the Limited Commercial, General Development
I, or Commercial Fisheries/Maritime Activities Districts need not
be included within the Resource Protection District.
(1)
Areas within 250 feet, horizontal distance, of the upland edge
of freshwater wetlands, salt marshes and salt meadows, and wetlands
associated with great ponds and rivers, which are rated "moderate"
or "high" value waterfowl and wading bird habitat, including nesting
and feeding areas, by the Maine Department of Inland Fisheries and
Wildlife (MDIF&W) that are depicted on a Geographic Information
System (GIS) data layer maintained by either MDIF&W or the Department
as of May 1, 2006. For the purposes of this paragraph "wetlands associated
with great ponds and rivers" shall mean areas characterized by non-forested
wetland vegetation and hydric soils that are contiguous with a great
pond or river, and have a surface elevation at or below the water
level of the great pond or river during the period of normal high
water. Wetlands associated with great ponds or rivers are considered
to be part of that great pond or river.
(2)
Floodplains along rivers and floodplains along artificially
formed great ponds along rivers, defined by the 100 year floodplain
as designated on the Federal Emergency Management Agency's (FEMA)
Flood Insurance Rate Maps or Flood Hazard Boundary Maps, or the flood
of record, or in the absence of these, by soil types identified as
recent floodplain soils. This district shall also include 100 year
floodplains adjacent to tidal waters as shown on FEMA's Flood Insurance
Rate Maps or Flood Hazard Boundary Maps.
(3)
Areas of two or more contiguous acres with sustained slopes
of 20% or greater.
(4)
Areas of two (2) or more contiguous acres supporting wetland
vegetation and hydric soils, which are not part of a freshwater or
coastal wetland as defined, and which are not surficially connected
to a water body during the period of normal high water.
(5)
Land areas along rivers subject to severe bank erosion, undercutting,
or river bed movement, and lands adjacent to tidal waters which are
subject to severe erosion or mass movement, such as steep coastal
bluffs.
(6)
Wetlands associated with the Cathance River and Muddy River
as shown on the Official Shoreland Zoning Map.
B. Limited Residential District. The Limited Residential District includes
those areas suitable for residential and recreational development.
It includes areas other than those in the Resource Protection District,
or Stream Protection District, and areas which are used less intensively
than those in the Limited Commercial District, the General Development
Districts, or the Commercial Fisheries/Maritime Activities District.
C. Limited Commercial District. The Limited Commercial District includes
areas of mixed, light commercial and residential uses, exclusive of
the Stream Protection District, which should not be developed as intensively
as the General Development Districts. This district includes areas
of two or more contiguous acres in size devoted to a mix of residential
and low-intensity business and commercial uses. Industrial uses are
prohibited.
D. General Development District. The General Development District includes
the following types of existing, intensively developed areas:
(1)
Areas of two or more contiguous acres devoted to commercial,
industrial or intensive recreational activities, or a mix of such
activities, including but not limited to the following:
(a)
Areas devoted to manufacturing, fabricating or other industrial
activities;
(b)
Areas devoted to wholesaling, warehousing, retail trade and
service activities, or other commercial activities; and
(c)
Areas devoted to intensive recreational development and activities,
such as, but not limited to amusement parks, race tracks and fairgrounds.
(2)
Areas otherwise discernible as having patterns of intensive
commercial, industrial or recreational uses.
G. Stream Protection District. The Stream Protection District includes all land areas within seventy-five (75) feet, horizontal distance, of the normal high-water line of a stream, exclusive of those areas within two-hundred and fifty (250) feet, horizontal distance, of the normal high-water line of a great pond, or river, or within two hundred and fifty (250) feet, horizontal distance, of the upland edge of a freshwater or coastal wetland. Where a stream and its associated shoreland area are located within two-hundred and fifty (250) feet, horizontal distance, of the above water bodies or wetlands, that land area shall be regulated under the terms of the shoreland district associated with that water body or wetland. Waterbodies that are found to meet the stream definition found in §
225-6 and do not appear on the Official Shoreland Zoning Map shall be included in the Stream Protection District.
14. Table of Land Uses. All land use activities, as indicated in Table 1, Land Uses in the Shoreland Zone, shall conform with all of the applicable land use standards in Subsection
15. The district designation for a particular site shall be determined from the Official Shoreland Zoning Map.
Key to Table 1:
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Yes
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Allowed (no permit required but the use must comply with all
applicable land use standards)
|
|
No
|
-
|
Prohibited
|
|
PB
|
-
|
Allowed with permit issued by the Planning Board
|
|
CEO
|
-
|
Allowed with permit issued by the Code Enforcement Officer
|
|
LPI
|
-
|
Allowed with permit issued by the Local Plumbing Inspector
|
Abbreviations:
|
|
RP
|
-
|
Resource Protection
|
|
LR
|
-
|
Limited Residential
|
|
LC
|
-
|
Limited Commercial
|
|
GD
|
-
|
General Development
|
|
CFMA
|
-
|
Commercial Fisheries/Maritime Activities
|
|
SP
|
-
|
Stream Protection
|
The following notes are applicable to the Land Uses Table:
|
Table 1.
|
---|
Land Uses in the Shoreland Zone
|
---|
Land Uses
|
District
|
---|
|
|
|
SP
|
RP
|
LR
|
LC
|
GD
|
CFMA
|
---|
1.
|
Nonintensive recreational uses not requiring structures such
as hunting, fishing and hiking
|
yes
|
yes
|
yes
|
yes
|
yes
|
yes
|
2.
|
Motorized vehicular traffic on existing roads and trails
|
yes
|
yes
|
yes
|
yes
|
yes
|
yes
|
3.
|
Forest management activities except for timber harvesting and
land management roads
|
yes
|
yes
|
yes
|
yes
|
yes
|
yes
|
4.
|
Timber harvesting
|
yes
|
CEO1
|
yes
|
yes
|
yes
|
yes
|
5.
|
Clearing or removal of vegetation for activities other than
timber harvesting
|
CEO
|
CEO1
|
yes
|
yes
|
yes
|
yes
|
6.
|
Fire prevention activities
|
yes
|
yes
|
yes
|
yes
|
yes
|
yes
|
7.
|
Wildlife management practices
|
yes
|
yes
|
yes
|
yes
|
yes
|
yes
|
8.
|
Soil and water conservation practices
|
yes
|
yes
|
yes
|
yes
|
yes
|
yes
|
9.
|
Mineral exploration
|
no
|
yes2
|
yes2
|
yes2
|
yes2
|
yes2
|
10.
|
Mineral extraction including sand and gravel extraction
|
no
|
no
|
PB
|
PB
|
PB
|
PB
|
11.
|
Surveying and resource analysis
|
yes
|
yes
|
yes
|
yes
|
yes
|
yes
|
12.
|
Emergency operations
|
yes
|
yes
|
yes
|
yes
|
yes
|
yes
|
13.
|
Agriculture
|
yes
|
PB
|
yes
|
yes
|
yes
|
yes
|
14.
|
Aquaculture
|
PB
|
PB
|
PB
|
yes
|
yes
|
yes
|
15.
|
Principal structures and uses
|
|
|
|
|
|
|
|
A.
|
One and two-family residential, including driveways
|
PB4
|
PB9
|
CEO
|
CEO
|
CEO
|
no
|
|
B.
|
Multi-unit residential
|
no
|
no
|
PB
|
PB
|
PB
|
no
|
|
C.
|
Commercial
|
no
|
no10
|
no10
|
PB
|
PB
|
PB5
|
|
D.
|
Industrial
|
no
|
no
|
no
|
no
|
PB
|
PB5
|
|
E.
|
Governmental and institutional
|
no
|
no
|
PB
|
PB
|
PB
|
PB5
|
|
F.
|
Small nonresidential facilities for educational, scientific,
or nature interpretation purposes
|
PB4
|
PB
|
CEO
|
CEO
|
CEO
|
PB5
|
16.
|
Structures accessory to allowed uses
|
PB4
|
PB
|
CEO
|
CEO
|
yes
|
yes
|
17.
|
Piers, docks, wharfs, bridges and other structures and uses
extending over or below the normal high-water line or within a wetland
|
|
|
|
|
|
|
|
A.
|
Temporary
|
CEO11
|
CEO11
|
CEO11
|
CEO11
|
CEO11
|
CEO11
|
|
B.
|
Permanent
|
PB
|
PB
|
PB
|
PB
|
PB
|
PB5
|
18.
|
Conversions of seasonal residences to year-round residences
|
LPI
|
LPI
|
LPI
|
LPI
|
LPI
|
no
|
19.
|
Home occupations
|
PB
|
PB
|
PB
|
CEO
|
yes
|
yes
|
20.
|
Private sewage disposal systems for allowed uses
|
LPI
|
LPI9
|
LPI
|
LPI
|
LPI
|
LPI
|
21.
|
Essential services
|
PB6
|
PB6
|
PB
|
PB
|
PB
|
PB
|
|
A.
|
Roadside distribution lines (34.5kV and lower)
|
CEO6
|
CEO6
|
yes12
|
yes12
|
yes12
|
yes12
|
|
B.
|
Non-roadside or cross-country distribution lines involving ten
poles or less in the Shoreland Zone
|
PB6
|
PB6
|
CEO
|
CEO
|
CEO
|
CEO
|
|
C.
|
Non-roadside or cross-country distribution lines involving eleven
or more poles in the Shoreland Zone
|
PB6
|
PB6
|
PB
|
PB
|
PB
|
PB
|
|
D.
|
Other essential services
|
PB6
|
PB6
|
PB
|
PB
|
PB
|
PB
|
22.
|
Service drops, as defined, to allowed uses
|
yes
|
yes
|
yes
|
yes
|
yes
|
yes
|
23.
|
Public and private recreational areas involving minimal structural
development
|
PB
|
PB
|
PB
|
CEO
|
CEO
|
CEO5
|
24.
|
Individual, private campsites
|
CEO
|
CEO
|
CEO
|
CEO
|
CEO
|
CEO
|
25.
|
Campgrounds
|
no
|
no7
|
PB
|
PB
|
PB
|
no
|
26.
|
Road construction
|
PB
|
no8
|
PB
|
PB
|
PB
|
PB5
|
27.
|
Land management roads
|
yes
|
PB
|
yes
|
yes
|
yes
|
yes
|
28.
|
Parking facilities
|
no
|
no7
|
PB
|
PB
|
PB
|
PB3
|
29.
|
Marinas
|
PB
|
no
|
PB
|
PB
|
PB
|
PB
|
30.
|
Filling and earth moving of less than 10 cubic yards
|
CEO
|
CEO
|
yes
|
yes
|
yes
|
yes
|
31.
|
Filling and earth moving of more than 10 cubic yards
|
PB
|
PB
|
CEO
|
CEO
|
CEO
|
CEO
|
32.
|
Signs
|
yes
|
yes
|
yes
|
yes
|
yes
|
yes
|
33.
|
Uses similar to allowed uses
|
CEO
|
CEO
|
CEO
|
CEO
|
CEO
|
CEO
|
34.
|
Uses similar to uses requiring a CEO permit
|
CEO
|
CEO
|
CEO
|
CEO
|
CEO
|
CEO
|
35.
|
Uses similar to uses requiring a PB permit
|
PB
|
PB
|
PB
|
PB
|
PB
|
PB
|
NOTES:
|
1In RP not allowed within 75 feet
horizontal distance, of the normal high-water line of great ponds,
and rivers except to remove safety hazards.
|
2Requires permit from the Code Enforcement
Officer if more than 100 square feet of surface area, in total, is
disturbed.
|
3In RP not allowed in areas so designated
because of wildlife value.
|
4Provided that a variance from the
setback requirement is obtained from the Board of Appeals.
|
5Functionally water-dependent uses
and uses accessory to such water-dependent uses only (See previous
note.)
|
6See further restrictions in Subsection
15L(2).
|
7Except when area is zoned for resource
protection due to floodplain criteria in which case a permit is required
from the PB.
|
8Except as provided in Subsection
15H(4).
|
9Single-family residential structures
may be allowed by special exception only according to the provisions
of Subsection 16E, Special exceptions. Two-family residential structures
are prohibited. Private sewage disposal systems must be associated
with allowed uses only
|
10Except for commercial uses otherwise
listed in this table, such as marinas and campgrounds, that are allowed
in the respective district.
|
11Excluding bridges and other crossings
not involving earthwork, in which case no permit is required.
|
12Permit not required but must file
a written "notice of intent to construct" with CEO.
|
Item 17, in its entirety, should be deleted from Table 1 if
a municipality elects not to regulate "piers, docks, wharfs, bridges
and other structures and uses extending over or below the normal high-water
line or within a wetland".
|
A person performing any of the following activities shall require
a permit from the Department of Environmental Protection, pursuant
to 38 M.R.S.A. § 480-C, if the activity occurs in, on, over
or adjacent to any freshwater or coastal wetland, great pond, river,
stream or brook and operates in such a manner that material or soil
may be washed into them:
|
|
A.
|
Dredging, bulldozing, removing or displacing soil, sand, vegetation
or other materials;
|
|
B.
|
Draining or otherwise dewatering;
|
|
C.
|
Filling, including adding sand or other material to a sand dune;
or
|
|
D.
|
Any construction or alteration of any permanent structure.
|
15. Land use standards. All land use activities within the Shoreland
Zone shall conform with the following provisions, if applicable.
A. Minimum lot standards.
(1)
|
|
|
|
Minimum Lot Area
(square feet)
|
Minimum Shore Frontage
(feet)
|
---|
|
(a)
|
Residential per dwelling unit
|
|
|
|
|
(i)
|
Within the Shoreland Zone adjacent to tidal areas
|
30,000
|
150
|
|
|
(ii)
|
Within the Shoreland Zone adjacent to nontidal areas
|
40,000
|
200
|
|
(b)
|
Governmental, institutional, commercial or industrial per principal
structure
|
|
|
|
|
(i)
|
Within the Shoreland Zone adjacent to tidal areas, exclusive
of those areas zoned for commercial fisheries and maritime activities
|
40,000
|
200
|
|
|
(ii)
|
(Reserved)
|
|
|
|
|
(iii)
|
Within the Shoreland Zone adjacent to nontidal areas
|
60,000
|
300
|
|
(c)
|
Public and private recreational facilities
|
|
|
|
|
(i)
|
Within the Shoreland Zone adjacent to tidal and nontidal areas
|
40,000
|
200
|
(2)
Land below the normal high-water line of a water body or upland
edge of a wetland and land beneath roads serving more than two (2)
lots shall not be included toward calculating minimum lot area.
(3)
Lots located on opposite sides of a public or private road shall
be considered each a separate tract or parcel of land unless such
road was established by the owner of land on both sides thereof after
September 22, 1971.
(4)
The minimum width of any portion of any lot within one hundred
(100) feet, horizontal distance, of the normal high-water line of
a water body or upland edge of a wetland shall be equal to or greater
than the shore frontage requirement for a lot with the proposed use.
(5)
If more than one residential dwelling unit, principal governmental,
institutional, commercial or industrial structure or use, or combination
thereof, is constructed or established on a single parcel, all dimensional
requirements shall be met for each additional dwelling unit, principal
structure, or use.
B. Principal and accessory structures.
(1)
All new principal and accessory structures shall be set back
at least one hundred (100) feet, horizontal distance, from the normal
high-water line of great ponds and rivers that flow to great ponds,
and seventy-five (75) feet, horizontal distance, from the normal high-water
line of other water bodies, tributary streams, or the upland edge
of a wetland, except that in the General Development District the
setback from the normal high-water line shall be at least twenty five
(25) feet, horizontal distance, and in the Commercial Fisheries/Maritime
Activities District there shall be no minimum setback. In the Resource
Protection District the setback requirement shall be 250 feet, horizontal
distance, except for structures, roads, parking spaces or other regulated
objects specifically allowed in that district in which case the setback
requirements specified above shall apply.
(a)
The water body, tributary stream, or wetland setback provision
shall neither apply to structures which require direct access to the
water body or wetland as an operational necessity, such as piers,
docks and retaining walls, nor to other functionally water-dependent
uses.
(b)
All principal structures along significant river segments as
listed in 38 M.R.S.A. § 437 (see Appendix B), shall be set
back a minimum of one hundred and twenty-five (125) feet, horizontal
distance, from the normal high-water line and shall be screened from
the river by existing vegetation. This provision does not apply to
structures related to hydropower facilities.
(c)
For principal structures, water and wetland setback measurements
shall be taken from the top of a coastal bluff that has been identified
on Coastal Bluff Maps as being "highly unstable" or "unstable" by
the Maine Geological Survey pursuant to its "Classification of Coastal
Bluffs" and published on the most recent Coastal Bluff Map. If the
applicant and the permitting official(s) are in disagreement as to
the specific location of a "highly unstable" or "unstable" bluff,
or where the top of the bluff is located, the applicant may at his
or her expense, employ a Maine registered professional engineer, a
Maine certified soil scientist, a Maine state geologist, or other
qualified individual to make a determination. If agreement is still
not reached, the applicant may appeal the matter to the Board of Appeals.
(d)
On a nonconforming lot of record on which only a residential
structure exists, and it is not possible to place an accessory structure
meeting the required water body, tributary stream or wetland setbacks,
the Code Enforcement Officer may issue a permit to place a single
accessory structure, with no utilities, for the storage of yard tools
and similar equipment. Such accessory structure shall not exceed eighty
(80) square feet in area nor eight feet in height, and shall be located
as far from the shoreline or tributary stream as practical and shall
meet all other applicable standards, including lot coverage and vegetation
clearing limitations. In no case shall the structure be located closer
to the shoreline or tributary stream than the principal structure.
(2)
Principal or accessory structures and expansions of existing
structures which are permitted in the Resource Protection, Limited
Residential, Limited Commercial, and Stream Protection Districts,
shall not exceed thirty-five (35) feet in height. This provision shall
not apply to structures such as transmission towers, windmills, antennas,
and similar structures having no floor area.
(3)
The lowest floor elevation or openings of all buildings and
structures, including basements, shall be elevated at least one foot
above the elevation of the 100 year flood, the flood of record, or
in the absence of these, the flood as defined by soil types identified
as recent floodplain soils. In those municipalities that participate
in the National Flood Insurance Program and have adopted the April
2005 version, or later version, of the Floodplain Management Ordinance,
accessory structures may be placed in accordance with the standards
of that ordinance and need not meet the elevation requirements of
this subsection.
(4)
The total footprint area of all structures, parking lots and
other nonvegetated surfaces, within the Shoreland Zone shall not exceed
twenty (20) percent of the lot or a portion thereof, located within
the Shoreland Zone, including land area previously developed, except
in the General Development District adjacent to tidal waters and rivers
that do not flow to great ponds classified GPA.
(5)
Retaining walls that are not necessary for erosion control shall
meet the structure setback requirement, except for low retaining walls
and associated fill, provided all of the following conditions are
met:
(a)
The site has been previously altered and an effective vegetated
buffer does not exist;
(b)
The wall(s) is(are) at least 25 feet, horizontal distance, from
the normal high-water line of a water body, tributary stream, or upland
edge of a wetland;
(c)
The site where the retaining wall will be constructed is legally
existing lawn or is a site eroding from lack of naturally occurring
vegetation, and which cannot be stabilized with vegetative plantings;
(d)
The total height of the wall(s), in the aggregate, are no more
than 24 inches;
(e)
Retaining walls are located outside of the 100-year floodplain
on rivers, streams, coastal wetlands, and tributary streams, as designated
on the Federal Emergency Management Agency's (FEMA) Flood Insurance
Rate Maps or Flood Hazard Boundary Maps, or the flood of record, or
in the absence of these, by soil types identified as recent floodplain
soils.
(f)
The area behind the wall is revegetated with grass, shrubs,
trees, or a combination thereof, and no further structural development
will occur within the setback area, including patios and decks; and
(g)
A vegetated buffer area is established within 25 feet, horizontal
distance, of the normal high-water line of a water body, tributary
stream, or upland edge of a wetland when a natural buffer area does
not exist. The buffer area must meet the following characteristics:
(i) The buffer must include shrubs and other woody
and herbaceous vegetation. Where natural ground cover is lacking,
the area must be supplemented with leaf or bark mulch;
(ii) Vegetation plantings must be in quantities sufficient
to retard erosion and provide for effective infiltration of stormwater
runoff;
(iii) Only native species may be used to establish
the buffer area;
(iv) A minimum buffer width of 15 feet, horizontal
distance, is required, measured perpendicularly to the normal high-water
line or upland edge of a wetland;
(v) A footpath not to exceed the standards in Subsection
15P(2)(a), may traverse the buffer.
(6)
Notwithstanding the requirements stated above, stairways or
similar structures may be allowed with a permit from the Code Enforcement
Officer, to provide shoreline access in areas of steep slopes or unstable
soils, provided that the structure is limited to a maximum of four
(4) feet in width; that the structure does not extend below or over
the normal high-water line of a water body or upland edge of a wetland,
(unless permitted by the Department of Environmental Protection pursuant
to the Natural Resources Protection Act, 38 M.R.S.A. § 480-C);
and that the applicant demonstrates that no reasonable access alternative
exists on the property.
C. Piers, docks, wharves, bridges and other structures and uses extending
over or below the normal high-water line of a water body or within
a wetland.
(1)
Access from shore shall be developed on soils appropriate for
such use and constructed so as to control erosion.
(2)
The location shall not interfere with existing developed or
natural beach areas.
(3)
The facility shall be located so as to minimize adverse effects
on fisheries.
(4)
The facility shall be no larger in dimension than necessary
to carry on the activity and be consistent with the surrounding character
and uses of the area. A temporary pier, dock or wharf in nontidal
waters shall not be wider than six feet for noncommercial uses.
(5)
No new structure shall be built on, over or abutting a pier,
wharf, dock or other structure extending beyond the normal high-water
line of a water body or within a wetland unless the structure requires
direct access to the water body or wetland as an operational necessity.
(6)
New permanent piers and docks on nontidal waters shall not be
permitted unless it is clearly demonstrated to the Planning Board
that a temporary pier or dock is not feasible, and a permit has been
obtained from the Department of Environmental Protection, pursuant
to the Natural Resources Protection Act.
(7)
No existing structures built on, over or abutting a pier, dock,
wharf or other structure extending beyond the normal high-water line
of a water body or within a wetland shall be converted to residential
dwelling units in any district.
(8)
Except in the General Development Districts and Commercial Fisheries/Maritime
Activities District, structures built on, over or abutting a pier,
wharf, dock or other structure extending beyond the normal high-water
line of a water body or within a wetland shall not exceed twenty (20)
feet in height above the pier, wharf, dock or other structure.
D. Campgrounds. Campgrounds shall conform to the minimum requirements
imposed under state licensing procedures and the following:
(1)
Campgrounds shall contain a minimum of five thousand (5,000)
square feet of land, not including roads and driveways, for each site.
Land supporting wetland vegetation, and land below the normal high-water
line of a water body shall not be included in calculating land area
per site.
(2)
The areas intended for placement of a recreational vehicle,
tent or shelter, and utility and service buildings shall be set back
a minimum of seventy-five (75) feet, horizontal distance, from the
normal high-water line of other water bodies, tributary streams, or
the upland edge of a wetland.
E. Individual private campsites. Individual private campsites not associated
with campgrounds are allowed, provided the following conditions are
met:
(1)
One campsite per lot existing on the effective date of this
ordinance, or thirty thousand (30,000) square feet of lot area within
the Shoreland Zone, whichever is less, may be permitted.
(2)
Campsite placement on any lot, including the area intended for
a recreational vehicle or tent platform, shall be set back seventy-five
(75) feet, horizontal distance, from the normal high-water line of
other water bodies, tributary streams, or the upland edge of a wetland.
(3)
Only one recreational vehicle shall be allowed on a campsite.
The recreational vehicle shall not be located on any type of permanent
foundation except for a gravel pad, and no structure except a canopy
shall be attached to the recreational vehicle.
(4)
The clearing of vegetation for the siting of the recreational
vehicle, tent or similar shelter in a Resource Protection District
shall be limited to one thousand (1000) square feet.
(5)
A written sewage disposal plan describing the proposed method
and location of sewage disposal shall be required for each campsite
and shall be approved by the local plumbing inspector. Where disposal
is off-site, written authorization from the receiving facility or
land owner is required.
(6)
When a recreational vehicle, tent or similar shelter is placed
on-site for more than one hundred and twenty (120) days per year,
all requirements for residential structures shall be met, including
the installation of a subsurface sewage disposal system in compliance
with the State of Maine Subsurface Wastewater Disposal Rules unless
served by public sewage facilities.
F. Commercial and industrial uses. The following new commercial and
industrial uses are prohibited within the Shoreland Zone:
(2)
Auto or other vehicle service and/or repair operations, including
body shops.
(3)
Chemical and bacteriological laboratories.
(4)
Storage of chemicals, including herbicides, pesticides or fertilizers,
other than amounts normally associated with individual households
or farms.
(5)
Commercial painting, wood preserving, and furniture stripping.
(6)
Dry cleaning establishments.
(7)
Electronic circuit assembly.
(8)
Laundromats, unless connected to a sanitary sewer.
(9)
Metal plating, finishing, or polishing.
(10)
Petroleum or petroleum product storage and/or sale except storage
on same property as use occurs and except for storage and sales associated
with marinas.
G. Parking areas.
(1)
Parking areas shall meet the shoreline and tributary stream
setback requirements for structures for the district in which such
areas are located, except that in the Commercial Fisheries/Maritime
Activities District, parking areas shall be set back at least twenty-five
(25) feet, horizontal distance, from the shoreline. The setback requirement
for parking areas serving public boat launching facilities in districts
other than the General Development I District and Commercial Fisheries/Maritime
Activities District shall be no less than fifty (50) feet, horizontal
distance, from the shoreline or tributary stream if the Planning Board
finds that no other reasonable alternative exists further from the
shoreline or tributary stream.
(2)
Parking areas shall be adequately sized for the proposed use
and shall be designed to prevent stormwater runoff from flowing directly
into a water body, tributary stream or wetland and where feasible,
to retain all runoff on-site.
(3)
In determining the appropriate size of proposed parking facilities,
the following shall apply:
(a)
Typical parking space: Approximately ten (10) feet wide and
twenty (20) feet long, except that parking spaces for a vehicle and
boat trailer shall be forty (40) feet long.
(b)
Internal travel aisles: Approximately twenty (20) feet wide.
H. Roads and driveways. The following standards shall apply to the construction
of roads and/or driveways and drainage systems, culverts and other
related features.
(1)
Roads and driveways shall be set back at least seventy-five
(75) feet, horizontal distance, from the normal high-water line of
other water bodies, tributary streams, or the upland edge of a wetland
unless no reasonable alternative exists as determined by the Planning
Board. If no other reasonable alternative exists, the road and/or
driveway setback requirement shall be no less than fifty (50) feet,
horizontal distance, upon clear showing by the applicant that appropriate
techniques will be used to prevent sedimentation of the water body,
tributary stream, or wetland. Such techniques may include, but are
not limited to, the installation of settling basins, and/or the effective
use of additional ditch relief culverts and turnouts placed so as
to avoid sedimentation of the water body, tributary stream, or wetland.
|
On slopes of greater than twenty (20) percent the road and/or
driveway setback shall be increased by ten (10) feet, horizontal distance,
for each five (5) percent increase in slope above twenty (20) percent.
|
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Subsection 15H(1) does not apply to approaches to water crossings
or to roads or driveways that provide access to permitted structures
and facilities located nearer to the shoreline or tributary stream
due to an operational necessity, excluding temporary docks for recreational
uses. Roads and driveways providing access to permitted structures
within the setback area shall comply fully with the requirements of
Subsection 15H(1) except for that portion of the road or driveway
necessary for direct access to the structure.
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(2)
Existing public roads may be expanded within the legal road
right-of-way regardless of their setback from a water body, tributary
stream or wetland.
(3)
New permanent roads are not allowed within the Shoreland Zone
along significant river segments except:
(a)
To provide access to structures or facilities within the zone;
or
(b)
When the applicant demonstrates that no reasonable alternative
route exists outside the Shoreland Zone. When roads must be located
within the Shoreland Zone, they shall be set back as far as practicable
from the normal high-water line and screened from the river by existing
vegetation.
(4)
New roads and driveways are prohibited in a Resource Protection
District except that the Planning Board may grant a permit to construct
a road or driveway to provide access to permitted uses within the
district. A road or driveway may also be approved by the Planning
Board in a Resource Protection District, upon a finding that no reasonable
alternative route or location is available outside the district. When
a road or driveway is permitted in a Resource Protection District,
the road and/or driveway shall be set back as far as practicable from
the normal high-water line of a water body, tributary stream, or upland
edge of a wetland.
(5)
Road and driveway banks shall be no steeper than a slope of
two (2) horizontal to one (1) vertical, and shall be graded and stabilized
in accordance with the provisions for erosion and sedimentation control
contained in Subsection 15Q.
(6)
Road and driveway grades shall be no greater than ten (10) percent
except for segments of less than two hundred (200) feet.
(7)
In order to prevent road and driveway surface drainage from
directly entering water bodies, tributary streams or wetlands, roads
and driveways shall be designed, constructed, and maintained to empty
onto an unscarified buffer strip at least (50) feet plus two times
the average slope, in width between the outflow point of the ditch
or culvert and the normal high-water line of a water body, tributary
stream, or upland edge of a wetland. Surface drainage which is directed
to an unscarified buffer strip shall be diffused or spread out to
promote infiltration of the runoff and to minimize channelized flow
of the drainage through the buffer strip.
(8)
Ditch relief (cross drainage) culverts, drainage dips and water
turnouts shall be installed in a manner effective in directing drainage
onto unscarified buffer strips before the flow gains sufficient volume
or head to erode the road, driveway, or ditch. To accomplish this,
the following shall apply:
(a)
Ditch relief culverts, drainage dips and associated water turnouts
shall be spaced along the road, or driveway at intervals no greater
than indicated in the following table:
|
Grade
(percent)
|
Spacing
(feet)
|
---|
|
0 - 2
|
250
|
|
3 - 5
|
200 - 135
|
|
6 - 10
|
100 - 80
|
|
11 - 15
|
80 - 60
|
|
16 - 20
|
60 - 45
|
|
21 +
|
40
|
(b)
Drainage dips may be used in place of ditch relief culverts
only where the grade is ten (10) percent or less.
(c)
On sections having slopes greater than ten (10) percent, ditch
relief culverts shall be placed at approximately a thirty (30) degree
angle downslope from a line perpendicular to the center line of the
road or driveway.
(d)
Ditch relief culverts shall be sufficiently sized and properly
installed in order to allow for effective functioning, and their inlet
and outlet ends shall be stabilized with appropriate materials.
(9)
Ditches, culverts, bridges, dips, water turnouts and other stormwater
runoff control installations associated with roads and driveways shall
be maintained on a regular basis to assure effective functioning.
I. Signs. The following provisions shall govern the use of signs in
the Resource Protection, Stream Protection, Limited Residential and
Limited Commercial Districts:
(1)
Signs relating to goods and services sold on the premises shall
be allowed, provided that such signs shall not exceed six (6) square
feet in area and shall not exceed two (2) signs per premises. In the
Limited Commercial District, however, such signs shall not exceed
sixteen (16) square feet in area. Signs relating to goods or services
not sold or rendered on the premises shall be prohibited.
(2)
Name signs are allowed, provided such signs shall not exceed
two (2) signs per premises and shall not exceed twelve (12) square
feet in the aggregate.
(3)
Residential users may display a single sign not over three (3)
square feet in area relating to the sale, rental, or lease of the
premises.
(4)
Signs relating to trespassing and hunting shall be allowed without
restriction as to number, provided that no such sign shall exceed
two (2) square feet in area.
(5)
Signs relating to public safety shall be allowed without restriction.
(6)
No sign shall extend higher than twenty (20) feet above the
ground.
(7)
Signs may be illuminated only by shielded, nonflashing lights.
J. Stormwater runoff.
[Amended 5-17-2017 STM,
Art. 13]
(1)
All new construction and development shall be designed in accordance with the requirements of §
225-34, Stormwater management, and shall minimize stormwater runoff from the site in excess of the predevelopment conditions. Where possible, existing natural runoff control features, such as berms, swales, terraces and wooded areas, shall be retained in order to reduce runoff and encourage infiltration of stormwaters.
(2)
Stormwater runoff control systems shall be maintained in accordance with the requirements of §
225-34 to ensure proper functioning.
K. Septic waste disposal.
(1)
All subsurface sewage disposal systems shall be installed in
conformance with the State of Maine Subsurface Wastewater Disposal
Rules, and the following: a) clearing or removal of woody vegetation
necessary to site a new system and any associated fill extensions
shall not extend closer than seventy-five (75) feet, horizontal distance,
from the normal high-water line of a water body or the upland edge
of a wetland and b) a holding tank is not allowed for a first-time
residential use in the Shoreland Zone.
L. Essential services.
(1)
Where feasible, the installation of essential services shall
be limited to existing public ways and existing service corridors.
(2)
The installation of essential services, other than roadside
distribution lines, is not allowed in a Resource Protection or Stream
Protection District, except to provide services to a permitted use
within said district, or except where the applicant demonstrates that
no reasonable alternative exists. Where allowed, such structures and
facilities shall be located so as to minimize any adverse impacts
on surrounding uses and resources, including visual impacts.
(3)
Damaged or destroyed public utility transmission and distribution
lines, towers and related equipment may be replaced or reconstructed
without a permit.
M. Mineral exploration and extraction. Mineral exploration to determine
the nature or extent of mineral resources shall be accomplished by
hand sampling, test boring, or other methods which create minimal
disturbance of less than one hundred (100) square feet of ground surface.
A permit from the Code Enforcement Officer shall be required for mineral
exploration which exceeds the above limitation. All excavations, including
test pits and holes, shall be immediately capped, filled or secured
by other equally effective measures to restore disturbed areas and
to protect the public health and safety.
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Mineral extraction may be permitted under the following conditions:
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(1)
A reclamation plan shall be filed with, and approved by, the
Planning Board before a permit is granted. Such plan shall describe
in detail procedures to be undertaken to fulfill the requirements
of Subsection 15M(4) below.
(2)
No part of any extraction operation, including drainage and
runoff control features, shall be permitted within seventy-five (75)
feet, horizontal distance, of the normal high-water line of any other
water body, tributary stream, or the upland edge of a wetland. Extraction
operations shall not be permitted within fifty (50) feet, horizontal
distance, of any property line without written permission of the owner
of such adjacent property.
(3)
Developers of new gravel pits along significant river segments
shall demonstrate that no reasonable mining site outside the Shoreland
Zone exists. When gravel pits must be located within the zone, they
shall be set back as far as practicable from the normal high-water
line and no less than seventy-five (75) feet and screened from the
river by existing vegetation.
(4)
Within twelve (12) months following the completion of extraction
operations at any extraction site, which operations shall be deemed
complete when less than one hundred (100) cubic yards of materials
are removed in any consecutive twelve (12) month period, ground levels
and grades shall be established in accordance with the following:
(a)
All debris, stumps, and similar material shall be removed for
disposal in an approved location, or shall be buried on-site. Only
materials generated on-site may be buried or covered on-site.
(b)
The final graded slope shall be two and one-half to one (2 1/2:1)
slope or flatter.
(c)
Topsoil or loam shall be retained to cover all disturbed land
areas, which shall be reseeded and stabilized with vegetation native
to the area. Additional topsoil or loam shall be obtained from off-site
sources if necessary to complete the stabilization project.
(5)
In keeping with the purposes of this ordinance, the Planning
Board may impose such conditions as are necessary to minimize the
adverse impacts associated with mineral extraction operations on surrounding
uses and resources.
N. Agriculture.
(1)
All spreading of manure shall be accomplished in conformance
with the Manure Utilization Guidelines published by the Maine Department
of Agriculture on November 1, 2001, and the Nutrient Management Law
(7 M.R.S.A. §§ 4201 through 4209).
(2)
Manure shall not be stored or stockpiled within seventy-five
(75) feet, horizontal distance, of other water bodies, tributary streams,
or wetlands. All manure storage areas within the Shoreland Zone must
be constructed or modified such that the facility produces no discharge
of effluent or contaminated stormwater.
(3)
Agricultural activities involving tillage of soil greater than
forty thousand (40,000) square feet in surface area, within the Shoreland
Zone shall require a Conservation Plan to be filed with the Planning
Board. Nonconformance with the provisions of said plan shall be considered
to be a violation of this ordinance.
(4)
There shall be no new tilling of soil within seventy-five (75)
feet, horizontal distance, from other water bodies and coastal wetlands;
nor within twenty-five (25) feet, horizontal distance, of tributary
streams and freshwater wetlands. Operations in existence on the effective
date of this ordinance and not in conformance with this provision
may be maintained.
(5)
Newly established livestock grazing areas shall not be permitted
within seventy-five (75) feet, horizontal distance, of other water
bodies and coastal wetlands, nor; within twenty-five (25) feet, horizontal
distance, of tributary streams and freshwater wetlands. Livestock
grazing associated with ongoing farm activities, and which are not
in conformance with the above setback provisions may continue, provided
that such grazing is conducted in accordance with a Conservation Plan.
O-1. Timber harvesting - statewide standards (effective
on effective date established in Subsection 4B).
(1)
Shoreline integrity and sedimentation. Persons conducting timber
harvesting and related activities must take reasonable measures to
avoid the disruption of shoreline integrity, the occurrence of sedimentation
of water, and the disturbance of water body and tributary stream banks,
water body and tributary stream channels, shorelines, and soil lying
within water bodies, tributary streams and wetlands. If, despite such
precautions, the disruption of shoreline integrity, sedimentation
of water, or the disturbance of water body and tributary stream banks,
water body and tributary stream channels, shorelines, and soil lying
within water bodies, tributary streams and wetlands occurs, such conditions
must be corrected.
(2)
Slash treatment. Timber harvesting and related activities shall
be conducted such that slash or debris is not left below the normal
high-water line of any water body or tributary stream, or the upland
edge of a wetland. Subsection 15O-1(2) does not apply to minor, incidental
amounts of slash that result from timber harvesting and related activities
otherwise conducted in compliance with this section.
(a) Slash actively used to protect soil from disturbance
by equipment or to stabilize exposed soil, may be left in place, provided
that no part thereof extends more than 4 feet above the ground.
(b) Adjacent to great ponds, rivers and wetlands:
(i) No accumulation of slash shall be left within 50
feet, horizontal distance, of the normal high-water line or upland
edge of a wetland; and
(ii) Between 50 feet and 250 feet, horizontal distance,
of the normal high-water line or upland edge of a wetland, all slash
larger than 3 inches in diameter must be disposed of in such a manner
that no part thereof extends more than 4 feet above the ground.
(3)
Timber harvesting and related activities must leave adequate
tree cover and shall be conducted so that a well-distributed stand
of trees is retained. This requirement may be satisfied by following
one of the following three options:
(a) Option 1 (40% volume removal), as follows:
(i) Harvesting of no more than 40 percent of the total
volume on each acre of trees 4.5 inches DBH or greater in any 10 year
period is allowed. Volume may be considered to be equivalent to basal
area;
(ii) A well-distributed stand of trees which is wind-firm,
and other vegetation including existing ground cover, must be maintained;
and
(iii) Within 75 feet, horizontal distance, of the normal
high-water line of rivers, streams, and great ponds, and within 75
feet, horizontal distance, of the upland edge of a freshwater or coastal
wetlands, there must be no cleared openings. At distances greater
than 75 feet, horizontal distance, of the normal high-water line of
a river or great pond, or upland edge of a wetland, timber harvesting
and related activities must not create single cleared openings greater
than 14,000 square feet in the forest canopy. Where such openings
exceed 10,000 square feet, they must be at least 100 feet, horizontal
distance, apart. Such cleared openings will be included in the calculation
of total volume removal. Volume may be considered equivalent to basal
area.
(b) Option 2 (60 square foot basal area retention),
as follows:
(i) The residual stand must contain an average basal
area of at least 60 square feet per acre of woody vegetation greater
than or equal to 1.0 inch DBH, of which 40 square feet per acre must
be greater than or equal to 4.5 inches DBH;
(ii) A well-distributed stand of trees which is wind-firm,
and other vegetation including existing ground cover, must be maintained;
and
(iii) Within 75 feet, horizontal distance, of the normal
high-water line of water bodies and within 75 feet, horizontal distance,
of the upland edge of wetlands, there must be no cleared openings.
At distances greater than 75 feet, horizontal distance, of the normal
high-water line of a river or great pond, or upland edge of a wetland,
timber harvesting and related activities must not create single cleared
openings greater than 14,000 square feet in the forest canopy. Where
such openings exceed 10,000 square feet, they must be at least 100
feet, horizontal distance, apart. Such cleared openings will be included
in the calculation of the average basal area. Volume may be considered
equivalent to basal area.
(c) Option 3 (outcome based), which requires: An alternative
method proposed in an application, signed by a licensed forester or
certified wildlife professional, submitted by the landowner or designated
agent to the State of Maine Department of Conservation's Bureau of
Forestry (Bureau) for review and approval, which provides equal or
better protection of the shoreland area than this rule.
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Landowners must designate on the forest operations notification
form required by 12 M.R.S.A. Chapter 805, Subchapter 5, which option
they choose to use. If landowners choose Option 1 or Option 2, compliance
will be determined solely on the criteria for the option chosen. If
landowners choose Option 3, timber harvesting and related activities
may not begin until the Bureau has approved the alternative method.
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The Bureau may verify that adequate tree cover and a well-distributed
stand of trees is retained through a field procedure that uses sample
plots that are located randomly or systematically to provide a fair
representation of the harvest area.
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(4)
Skid trails, yards, and equipment operation. This requirement
applies to the construction, maintenance, and use of skid trails and
yards in shoreland areas.
(a) Equipment used in timber harvesting and related
activities shall not use river, stream or tributary stream channels
as travel routes except when surface waters are frozen and snow covered
and the activity will not result in any ground disturbance.
(b) Skid trails and yards must be designed and constructed
to prevent sediment and concentrated water runoff from entering a
water body, tributary stream, or wetland. Upon termination of their
use, skid trails and yards must be stabilized.
(c) Setbacks:
(i) Equipment must be operated to avoid the exposure
of mineral soil within 25 feet, horizontal distance, of any water
body, tributary stream, or wetland. On slopes of 10 percent or greater,
the setback for equipment operation must be increased by 20 feet,
horizontal distance, plus an additional 10 feet, horizontal distance,
for each 5 percent increase in slope above 10 percent. Where slopes
fall away from the resource, no increase in the 25-foot setback is
required.
(ii) Where such setbacks are impracticable, appropriate
techniques shall be used to avoid sedimentation of the water body,
tributary stream or wetland. Such techniques may include the installation
of sump holes or settling basins, and/or the effective use of additional
ditch relief culverts and ditch water turnouts placed to avoid sedimentation
of the water body, tributary stream, or wetland. If, despite such
precautions, sedimentation or the disruption of shoreline integrity
occurs, such conditions must be corrected.
(5)
Land management roads. Land management roads, including approaches
to crossings of water bodies, tributary stream channels, and freshwater
wetlands, ditches and other related structures, must be designed,
constructed, and maintained to prevent sediment and concentrated water
runoff from directly entering the water body, tributary stream or
wetland. Surface water on or adjacent to water crossing approaches
must be diverted through vegetative filter strips to avoid sedimentation
of the watercourse or wetland. Because roadside ditches may not extend
to the resource being crossed, vegetative filter strips must be established
in accordance with the setback requirements in Subsection 15O-1(7)
of this rule.
(a) Land management roads and associated ditches, excavation,
and fill must be set back at least:
(i) 100 feet, horizontal distance, from the normal
high-water line of a great pond, river or freshwater or coastal wetland;
(ii) 50 feet, horizontal distance, from the normal
high-water line of streams; and
(iii) 25 feet, horizontal distance, from the normal
high-water line of tributary streams.
(b) The minimum 100 foot setback specified in Subsection
15O-1(5)(a)(i) above may be reduced to no less than 50 feet, horizontal
distance, and the 50 foot setback specified in Subsection 15O-1(5)(a)(ii)
above may be reduced to no less than 25 feet, horizontal distance,
if, prior to construction, the landowner or the landowner's designated
agent demonstrates to the Planning Board's satisfaction that no reasonable
alternative exists and that appropriate techniques will be used to
prevent sedimentation of the water body, tributary stream, or wetland.
Such techniques may include, but are not limited to, the installation
of settling basins, and/or the effective use of additional ditch relief
culverts and turnouts placed to avoid sedimentation of the water body,
tributary stream or wetland. If, despite such precautions, sedimentation
or the disruption of shoreline integrity occurs, such conditions must
be corrected.
(c) On slopes of 10 percent or greater, the land management
road setback must be increased by at least 20 feet, horizontal distance,
plus an additional 10 feet, horizontal distance, for each 5 percent
increase in slope above 10 percent.
(d) New land management roads are not allowed within
the shoreland area along significant river segments as identified
in 38 M.R.S.A. § 437, nor in a Resource Protection District,
unless, prior to construction, the landowner or the landowner's designated
agent makes a clear demonstration to the Planning Board's satisfaction
that no reasonable alternative route exists outside the Shoreland
Zone, and that the new road must be set back as far as practicable
from the normal high-water line and screened from the river by existing
vegetation.
(e) Ditches, culverts, bridges, dips, water turnouts
and other water control installations associated with roads must be
maintained on a regular basis to assure effective functioning. Drainage
structures shall deliver a dispersed flow of water into an unscarified
filter strip no less than the width indicated in the setback requirements
in Subsection 15O-1(7). Where such a filter strip is impracticable,
appropriate techniques shall be used to avoid sedimentation of the
water body, tributary stream, or wetland. Such techniques may include
the installation of sump holes or settling basins, and/or the effective
use of additional ditch relief culverts and ditch water turnouts placed
to avoid sedimentation of the water body, tributary stream, or wetland.
If, despite such precautions, sedimentation or the disruption of shoreline
integrity occurs, such conditions must be corrected.
(f) Road closeout and discontinuance. Maintenance of
the water control installations required in Subsection 15O-1(5)(e)
must continue until use of the road is discontinued and the road is
put to bed by effective installation of water bars or other adequate
road drainage structures at appropriate intervals, constructed to
avoid surface water flowing over or under the water bar, and extending
a sufficient distance beyond the traveled way so that water does not
reenter the road surface.
(g) Upgrading existing roads. Extension or enlargement
of presently existing roads must conform to the provisions of Subsection
15O-1. Any nonconforming existing road may continue to exist and to
be maintained, as long as the nonconforming conditions are not made
more nonconforming.
(h) Exception. Extension or enlargement of presently
existing roads need not conform to the setback requirements of Subsection
15O-1(5)(a) if, prior to extension or enlargement, the landowner or
the landowner's designated agent demonstrates to the Planning Board's
satisfaction that no reasonable alternative exists and that appropriate
techniques will be used to prevent sedimentation of the water body,
tributary stream, or wetland. Such techniques may include, but are
not limited to, the installation of settling basins, and/or the effective
use of additional ditch relief culverts and turnouts placed to avoid
sedimentation of the water body, tributary stream, or wetland. If,
despite such precautions, sedimentation or the disruption of shoreline
integrity occurs, such conditions must be corrected.
(i) Additional measures. In addition to the foregoing
minimum requirements, persons undertaking construction and maintenance
of roads and river, stream and tributary stream crossings must take
reasonable measures to avoid sedimentation of surface waters.
(6)
Crossings of waterbodies. Crossings of rivers, streams, and
tributary streams must allow for fish passage at all times of the
year, must not impound water, and must allow for the maintenance of
normal flows.
(a) Determination of flow. Provided they are properly
applied and used for the circumstances for which they are designed,
methods including but not limited to the following are acceptable
as a means of calculating the 10 year and 25 year frequency water
flows and thereby determining water crossing sizes as required in
Subsection 15O-1: The United States Geological Survey (USGS) Methods,
specifically: Hodgkins, G. 1999. Estimating the Magnitude of Peak
Flows for Streams in Maine for Selected Recurrence Intervals. U.S.
Geological Survey. Water Resources Investigations Report 99-4008.
45 pp.
(b) Upgrading existing water crossings. Extension or
enlargement of presently existing water crossings must conform to
the provisions of Subsection 15O-1. Any nonconforming existing water
crossing may continue to exist and be maintained, as long as the nonconforming
conditions are not made more nonconforming; however, any maintenance
or repair work done below the normal high-water line must conform
to the provisions of Subsection 15O-1.
(c) Other agency permits. Any timber harvesting and
related activities involving the design, construction, and maintenance
of crossings on waterbodies other than a river, stream or tributary
stream may require a permit from the Land Use Regulation Commission,
the Department of Environmental Protection, or the US Army Corps of
Engineers.
(d) Any timber harvesting and related activities involving
the design, construction, and maintenance of crossings of freshwater
wetlands identified by the Department of Inland Fisheries and Wildlife
as essential wildlife habitat require prior consultation with the
Department of Inland Fisheries and Wildlife.
(e) Notice to Bureau of Forestry. Written notice of
all water crossing construction maintenance, alteration and replacement
activities in shoreland areas must be given to the Bureau prior to
the commencement of such activities. Such notice must contain all
information required by the Bureau, including:
(i) A map showing the location of all proposed permanent
crossings;
(ii) the GPS location of all proposed permanent crossings;
(iii) For any temporary or permanent crossing that
requires a permit from state or federal agencies, a copy of the approved
permit or permits; and
(iv) A statement signed by the responsible party that
all temporary and permanent crossings will be constructed, maintained,
and closed out in accordance with the requirements of this section.
(f) Water crossing standards. All crossings of rivers
require a bridge or culvert sized according to the requirements of
Subsection 15O-1(6)(g) below. Streams and tributary streams may be
crossed using temporary structures that are not bridges or culverts
provided:
(i) Concentrated water runoff does not enter the stream
or tributary stream;
(ii) Sedimentation of surface waters is reasonably
avoided;
(iii) There is no substantial disturbance of the bank,
or stream or tributary stream channel;
(iv) Fish passage is not impeded; and
(v) Water flow is not unreasonably impeded.
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Subject to Subsection 15O-1(6)(f)(i) through (v) above, skid
trail crossings of streams and tributary streams when channels of
such streams and tributary streams are frozen and snow-covered or
are composed of a hard surface which will not be eroded or otherwise
damaged are not required to use permanent or temporary structures.
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(g) Bridge and culvert sizing. For crossings of river,
stream and tributary stream channels with a bridge or culvert, the
following requirements apply:
(i) Bridges and culverts must be installed and maintained
to provide an opening sufficient in size and structure to accommodate
10 year frequency water flows or with a cross-sectional area at least
equal to 2 1/2 times the cross-sectional area of the river, stream,
or tributary stream channel.
(ii) Temporary bridge and culvert sizes may be smaller
than provided in Subsection 15O-1(6)(g)(i) if techniques are effectively
employed such that in the event of culvert or bridge failure, the
natural course of water flow is maintained and sedimentation of the
water body or tributary stream is avoided. Such crossing structures
must be at least as wide as the channel and placed above the normal
high-water line. Techniques may include, but are not limited to, the
effective use of any, a combination of, or all of the following:
1. Use of temporary skidder bridges;
2. Removing culverts prior to the onset of frozen ground
conditions;
3. Using water bars in conjunction with culverts;
4. Using road dips in conjunction with culverts.
(iii) Culverts utilized in river, stream and tributary
stream crossings must:
1. be installed at or below river, stream or tributary
stream bed elevation;
2. be seated on firm ground;
3. have soil compacted at least halfway up the side
of the culvert;
4. be covered by soil to a minimum depth of 1 foot
or according to the culvert manufacturer's specifications, whichever
is greater; and
5. have a headwall at the inlet end which is adequately
stabilized by riprap or other suitable means to reasonably avoid erosion
of material around the culvert.
(iv) River, stream and tributary stream crossings allowed
under Subsection 15O-1, but located in flood hazard areas (i.e., A
Zones) as identified on a community's Flood Insurance Rate Maps (FIRM)
or Flood Hazard Boundary Maps (FHBM), must be designed and constructed
under the stricter standards contained in that community's National
Flood Insurance Program (NFIP). For example, a water crossing may
be required to pass a 100-year flood event.
(v) Exception. Skid trail crossings of tributary streams
within shoreland areas and wetlands adjacent to such streams may be
undertaken in a manner not in conformity with the requirements of
the foregoing subsections, provided persons conducting such activities
take reasonable measures to avoid the disruption of shoreline integrity,
the occurrence of sedimentation of water, and the disturbance of stream
banks, stream channels, shorelines, and soil lying within ponds and
wetlands. If, despite such precautions, the disruption of shoreline
integrity, sedimentation of water, or the disturbance of stream banks,
stream channels, shorelines, and soil lying within ponds and wetlands
occurs, such conditions must be corrected.
(h) Skid trail closeout. Upon completion of timber
harvesting and related activities, or upon the expiration of a Forest
Operations Notification, whichever is earlier, the following requirements
apply:
(i) Bridges and culverts installed for river, stream
and tributary stream crossings by skid trails must either be removed
and areas of exposed soil stabilized, or upgraded to comply with the
closeout standards for land management roads in Subsection 15O-1(6)(i)
below.
(ii) Water crossing structures that are not bridges
or culverts must either be removed immediately following timber harvesting
and related activities or, if frozen into the river, stream or tributary
stream bed or bank, as soon as practical after snowmelt.
(iii) River, stream and tributary stream channels,
banks and approaches to crossings of water bodies and tributary streams
must be immediately stabilized on completion of harvest, or if the
ground is frozen and/or snow-covered, as soon as practical after snowmelt.
If, despite such precautions, sedimentation or the disruption of shoreline
integrity occurs, such conditions must be corrected.
(i) Land management road closeout. Maintenance of the
water control features must continue until use of the road is discontinued
and the road is put to bed by taking the following actions:
(i) Effective installation of water bars or other adequate
road drainage structures at appropriate intervals, constructed to
reasonably avoid surface water flowing over or under the water bar,
and extending sufficient distance beyond the traveled way so that
water does not reenter the road surface.
(ii) Water crossing structures must be appropriately
sized or dismantled and removed in a manner that reasonably avoids
sedimentation of the water body or tributary stream.
(iii) Any bridge or water crossing culvert in roads
to be discontinued shall satisfy one of the following requirements:
1. It shall be designed to provide an opening sufficient
in size and structure to accommodate 25 year frequency water flows;
2. It shall be designed to provide an opening with
a cross-sectional area at least 3 1/2 times the cross-sectional
area of the river, stream or tributary stream channel; or
3. It shall be dismantled and removed in a fashion
to reasonably avoid sedimentation of the river, stream or tributary
stream.
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If, despite such precautions, sedimentation or the disruption
of shoreline integrity occurs, such conditions must be corrected.
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(7)
Slope Table.
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Filter strips, skid trail setbacks, and land management road
setbacks must be maintained as specified in Subsection 15O-1, but
in no case shall be less than shown in the following table.
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Average Slope of Land Between Exposed Mineral Soil and
the Shoreline
(percent)
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Width of Strip Between Exposed Mineral Soil and Shoreline
(feet along surface of the ground)
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---|
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0
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25
|
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10
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45
|
|
20
|
65
|
|
30
|
85
|
|
40
|
105
|
|
50
|
125
|
|
60
|
145
|
|
70
|
165
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P. Clearing or removal of vegetation for activities other than timber
harvesting.
(1)
In a Resource Protection District abutting a great pond, there
shall be no cutting of vegetation within the strip of land extending
75 feet, horizontal distance, inland from the normal high-water line,
except to remove safety hazards.
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Elsewhere, in any Resource Protection District the cutting or
removal of vegetation shall be limited to that which is necessary
for uses expressly authorized in that district.
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(2)
Except in areas as described in Subsection 15P(1), above, and
except to allow for the development of permitted uses, within a strip
of land extending seventy-five (75) feet, horizontal distance, from
any other water body, tributary stream, or the upland edge of a wetland,
a buffer strip of vegetation shall be preserved as follows:
(a)
There shall be no cleared opening greater than 250 square feet
in the forest canopy (or other existing woody vegetation if a forested
canopy is not present) as measured from the outer limits of the tree
or shrub crown. However, a footpath not to exceed six (6) feet in
width as measured between tree trunks and/or shrub stems is allowed,
provided that a cleared line of sight to the water through the buffer
strip is not created.
(b)
Selective cutting of trees within the buffer strip is allowed,
provided that a well-distributed stand of trees and other natural
vegetation is maintained. For the purposes of Subsection 15P(2)(b),
a "well-distributed stand of trees" adjacent to a great pond classified
GPA or a river or stream flowing to a great pond classified GPA, shall
be defined as maintaining a rating score of 24 or more in each 25-foot
by 50-foot rectangular (1250 square feet) area as determined by the
following rating system.
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Diameter of Tree at 4 1/2 feet Above Ground Level
(inches)
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Points
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2 - less than 4
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1
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4 - less than 8
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2
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8 - less than 12
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4
|
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12 or greater
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8
|
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Adjacent to other water bodies, tributary streams, and wetlands,
a "well-distributed stand of trees" is defined as maintaining a minimum
rating score of 16 per 25-foot by 50-foot rectangular area.
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The following shall govern in applying this point system:
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(i) The 25-foot by 50-foot rectangular plots must be
established where the landowner or lessee proposes clearing within
the required buffer;
(ii) Each successive plot must be adjacent to, but
not overlap a previous plot;
(iii) Any plot not containing the required points must
have no vegetation removed except as otherwise allowed by this ordinance;
(iv) Any plot containing the required points may have
vegetation removed down to the minimum points required or as otherwise
allowed by this ordinance;
(v) Where conditions permit, no more than 50% of the
points on any 25-foot by 50-foot rectangular area may consist of trees
greater than 12 inches in diameter.
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For the purposes of Subsection 15P(2)(b) "other natural vegetation"
is defined as retaining existing vegetation under three (3) feet in
height and other ground cover and retaining at least five (5) saplings
less than two (2) inches in diameter at four and one half (4 1/2)
feet above ground level for each 25-foot by 50-foot rectangle area.
If five saplings do not exist, no woody stems less than two (2) inches
in diameter can be removed until 5 saplings have been recruited into
the plot.
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Notwithstanding the above provisions, no more than 40% of the
total volume of trees four (4) inches or more in diameter, measured
at 4 1/2 feet above ground level may be removed in any ten (10)
year period.
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(c)
In order to protect water quality and wildlife habitat, existing
vegetation under three (3) feet in height and other ground cover,
including leaf litter and the forest duff layer, shall not be cut,
covered, or removed, except to provide for a footpath or other permitted
uses as described in Subsections 15P(2) and P(2)(a) above.
(d)
Pruning of tree branches, on the bottom 1/3 of the tree is allowed.
(e)
In order to maintain a buffer strip of vegetation, when the
removal of storm-damaged, diseased, unsafe, or dead trees results
in the creation of cleared openings, these openings shall be replanted
with native tree species unless existing new tree growth is present.
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Subsection 15P(2) does not apply to those portions of public
recreational facilities adjacent to public swimming areas as long
as cleared areas are limited to the minimum area necessary.
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(3)
At distances greater than seventy-five (75) feet, horizontal
distance, from the normal high-water line of any other water body,
tributary stream, or the upland edge of a wetland, there shall be
allowed on any lot, in any ten (10) year period, selective cutting
of not more than forty (40) percent of the volume of trees four (4)
inches or more in diameter, measured 4 1/2 feet above ground
level. Tree removal in conjunction with the development of permitted
uses shall be included in the forty (40) percent calculation. For
the purposes of these standards volume may be considered to be equivalent
to basal area.
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In no event shall cleared openings for any purpose, including
but not limited to, principal and accessory structures, driveways,
lawns and sewage disposal areas, exceed in the aggregate, 25% of the
lot area within the Shoreland Zone or ten thousand (10,000) square
feet, whichever is greater, including land previously cleared. This
provision shall not apply to the General Development or Commercial
Fisheries/Maritime Activities Districts.
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(4)
Legally existing nonconforming cleared openings may be maintained,
but shall not be enlarged, except as allowed by this ordinance.
(5)
Fields and other cleared openings which have reverted to primarily
shrubs, trees, or other woody vegetation shall be regulated under
the provisions of Subsection 15P.
Q. Erosion and sedimentation control.
(1)
All activities which involve filling, grading, excavation or
other similar activities which result in unstabilized soil conditions
and which require a permit shall also require a written soil erosion
and sedimentation control plan. The plan shall be submitted to the
permitting authority for approval and shall include, where applicable,
provisions for:
(a)
Mulching and revegetation of disturbed soil.
(b)
Temporary runoff control features such as hay bales, silt fencing
or diversion ditches.
(c)
Permanent stabilization structures such as retaining walls or
rip-rap.
(2)
In order to create the least potential for erosion, development
shall be designed to fit with the topography and soils of the site.
Areas of steep slopes where high cuts and fills may be required shall
be avoided wherever possible, and natural contours shall be followed
as closely as possible.
(3)
Erosion and sedimentation control measures shall apply to all
aspects of the proposed project involving land disturbance, and shall
be in operation during all stages of the activity. The amount of exposed
soil at every phase of construction shall be minimized to reduce the
potential for erosion.
(4)
Any exposed ground area shall be temporarily or permanently
stabilized within one (1) week from the time it was last actively
worked, by use of riprap, sod, seed, and mulch, or other effective
measures. In all cases permanent stabilization shall occur within
nine (9) months of the initial date of exposure. In addition:
(a)
Where mulch is used, it shall be applied at a rate of at least
one (1) bale per five hundred (500) square feet and shall be maintained
until a catch of vegetation is established.
(b)
Anchoring the mulch with netting, peg and twine or other suitable
method may be required to maintain the mulch cover.
(c)
Additional measures shall be taken where necessary in order
to avoid siltation into the water. Such measures may include the use
of staked hay bales and/or silt fences.
(5)
Natural and man-made drainageways and drainage outlets shall
be protected from erosion from water flowing through them. Drainageways
shall be designed and constructed in order to carry water from a twenty
five (25) year storm or greater, and shall be stabilized with vegetation
or lined with riprap.
R. Soils. All land uses shall be located on soils in or upon which the
proposed uses or structures can be established or maintained without
causing adverse environmental impacts, including severe erosion, mass
soil movement, improper drainage, and water pollution, whether during
or after construction. Proposed uses requiring subsurface waste disposal,
and commercial or industrial development and other similar intensive
land uses, shall require a soils report based on an on-site investigation
and be prepared by state-certified professionals. Certified persons
may include Maine certified soil scientists, Maine registered professional
engineers, Maine state certified geologists and other persons who
have training and experience in the recognition and evaluation of
soil properties. The report shall be based upon the analysis of the
characteristics of the soil and surrounding land and water areas,
maximum groundwater elevation, presence of ledge, drainage conditions,
and other pertinent data which the evaluator deems appropriate. The
soils report shall include recommendations for a proposed use to counteract
soil limitations where they exist.
S. Water quality. No activity shall deposit on or into the ground or
discharge to the waters of the state any pollutant that, by itself
or in combination with other activities or substances, will impair
designated uses or the water classification of the water body, tributary
stream or wetland.
T. Archaeological site. Any proposed land use activity involving structural
development or soil disturbance on or adjacent to sites listed on,
or eligible to be listed on the National Register of Historic Places,
as determined by the permitting authority, shall be submitted by the
applicant to the Maine Historic Preservation Commission for review
and comment, at least twenty (20) days prior to action being taken
by the permitting authority. The permitting authority shall consider
comments received from the Commission prior to rendering a decision
on the application.
16. Administration.
A. Administering bodies and agents.
(1)
Code Enforcement Officer. A Code Enforcement Officer shall be
appointed or reappointed annually by July 1st.
(2)
Board of Appeals. A Board of Appeals shall be created in accordance
with the provisions of 30-A M.R.S.A. § 2691.
(3)
Planning Board. A Planning Board shall be created in accordance
with the provisions of state law.
B. Permits required. After the effective date of this ordinance no person
shall, without first obtaining a permit, engage in any activity or
use of land or structure requiring a permit in the district in which
such activity or use would occur; or expand, change, or replace an
existing use or structure; or renew a discontinued nonconforming use.
A person who is issued a permit pursuant to this ordinance shall have
a copy of the permit on site while the work authorized by the permit
is performed.
(1)
A permit is not required for the replacement of an existing
road culvert as long as:
(a)
The replacement culvert is not more than 25% longer than the
culvert being replaced;
(b)
The replacement culvert is not longer than 75 feet; and
(c)
Adequate erosion control measures are taken to prevent sedimentation
of the water, and the crossing does not block fish passage in the
watercourse.
(2)
A permit is not required for an archaeological excavation as
long as the excavation is conducted by an archaeologist listed on
the State Historic Preservation Officer's Level 1 or Level 2 approved
list, and unreasonable erosion and sedimentation is prevented by means
of adequate and timely temporary and permanent stabilization measures.
(3)
Any permit required by this ordinance shall be in addition to
any other permit required by other law or ordinance.
C. Permit application.
(1)
Every applicant for a permit shall submit a written application, including a scaled site plan, on a form provided by the municipality, to the appropriate official as indicated in Subsection
14.
(2)
All applications shall be signed by an owner or individual who
can show evidence of right, title or interest in the property or by
an agent, representative, tenant, or contractor of the owner with
authorization from the owner to apply for a permit hereunder, certifying
that the information in the application is complete and correct.
(3)
All applications shall be dated, and the Code Enforcement Officer
or Planning Board, as appropriate, shall note upon each application
the date and time of its receipt.
(4)
If the property is not served by a public sewer, a valid plumbing
permit or a completed application for a plumbing permit, including
the site evaluation approved by the Plumbing Inspector, shall be submitted
whenever the nature of the proposed structure or use would require
the installation of a subsurface sewage disposal system.
D. Procedure for administering permits. Within 35 days of the date of
receiving a written application, the Planning Board or Code Enforcement
Officer, as indicated in Subsection 14, shall notify the applicant
in writing either that the application is a complete application,
or, if the application is incomplete, that specified additional material
is needed to make the application complete. The Planning Board or
the Code Enforcement Officer, as appropriate, shall approve, approve
with conditions, or deny all permit applications in writing within
35 days of receiving a completed application. However, if the Planning
Board has a waiting list of applications, a decision on the application
shall occur within 35 days after the first available date on the Planning
Board's agenda following receipt of the completed application, or
within 35 days of the public hearing, if the proposed use or structure
is found to be in conformance with the purposes and provisions of
this ordinance.
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The applicant shall have the burden of proving that the proposed
land use activity is in conformity with the purposes and provisions
of this ordinance.
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After the submission of a complete application to the Planning
Board, the Board shall approve an application or approve it with conditions
if it makes a positive finding based on the information presented
that the proposed use:
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(1)
Will maintain safe and healthful conditions;
(2)
Will not result in water pollution, erosion, or sedimentation
to surface waters;
(3)
Will adequately provide for the disposal of all wastewater;
(4)
Will not have an adverse impact on spawning grounds, fish, aquatic
life, bird or other wildlife habitat;
(5)
Will conserve shore cover and visual, as well as actual, points
of access to inland and coastal waters;
(6)
Will protect archaeological and historic resources as designated
in the Comprehensive Plan;
(7)
Will not adversely affect existing commercial fishing or maritime
activities in a Commercial Fisheries/Maritime Activities District;
(8)
Will avoid problems associated with floodplain development and
use; and
(9)
Is in conformance with the provisions of Subsection 15, Land
Use Standards.
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If a permit is either denied or approved with conditions, the
reasons as well as conditions shall be stated in writing. No approval
shall be granted for an application involving a structure if the structure
would be located in an unapproved subdivision or would violate any
other local ordinance or regulation or statute administered by the
municipality.
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E. Special exceptions. In addition to the criteria specified in Subsection
16D above, excepting structure setback requirements, the Planning
Board may approve a permit for a single-family residential structure
in a Resource Protection District, provided that the applicant demonstrates
that all of the following conditions are met:
(1)
There is no location on the property, other than a location
within the Resource Protection District, where the structure can be
built.
(2)
The lot on which the structure is proposed is undeveloped and
was established and recorded in the Registry of Deeds of the county
in which the lot is located before the adoption of the Resource Protection
District.
(3)
All proposed buildings, sewage disposal systems and other improvements
are:
(a)
Located on natural ground slopes of less than 20%; and
(b)
Located outside the floodway of the 100-year floodplain along
rivers and artificially formed great ponds along rivers and outside
the velocity zone in areas subject to tides, based on detailed flood
insurance studies and as delineated on the Federal Emergency Management
Agency's Flood Boundary and Floodway Maps and Flood Insurance Rate
Maps; all buildings, including basements, are elevated at least one
foot above the 100-year floodplain elevation; and the development
is otherwise in compliance with any applicable municipal floodplain
ordinance.
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If the floodway is not shown on the Federal Emergency Management
Agency Maps, it is deemed to be 1/2 the width of the 100-year floodplain.
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(4)
The total ground floor area, including cantilevered or similar
overhanging extensions, of all principal and accessory structures
is limited to a maximum of 1,500 square feet. This limitation shall
not be altered by variance.
(5)
All structures, except functionally water-dependent structures,
are set back from the normal high-water line of a water body, tributary
stream or upland edge of a wetland to the greatest practical extent,
but not less than 75 feet, horizontal distance. In determining the
greatest practical extent, the Planning Board shall consider the depth
of the lot, the slope of the land, the potential for soil erosion,
the type and amount of vegetation to be removed, the proposed building
site's elevation in regard to the floodplain, and its proximity to
moderate-value and high-value wetlands.
F. Expiration of permit. Permits shall expire one year from the date
of issuance if a substantial start is not made in construction or
in the use of the property during that period. If a substantial start
is made within one year of the issuance of the permit, the applicant
shall have one additional year to complete the project, at which time
the permit shall expire.
G. Installation of public utility service. A public utility, water district,
sanitary district or any utility company of any kind may not install
services to any new structure located in the Shoreland Zone unless
written authorization attesting to the validity and currency of all
local permits required under this or any previous ordinance has been
issued by the appropriate municipal officials or other written arrangements
have been made between the municipal officials and the utility.
H. Appeals.
(1)
Powers and duties of the Board of Appeals. The Board of Appeals
shall have the following powers:
(a)
Administrative appeals: To hear and decide administrative appeals,
on an appellate basis, where it is alleged by an aggrieved party that
there is an error in any order, requirement, decision, or determination
made by, or failure to act by, the Planning Board in the administration
of this ordinance; and to hear and decide administrative appeals on
a de novo basis where it is alleged by an aggrieved party that there
is an error in any order, requirement, decision or determination made
by, or failure to act by, the Code Enforcement Officer in his or her
review of and action on a permit application under this ordinance.
Any order, requirement, decision or determination made, or failure
to act, in the enforcement of this ordinance is not appealable to
the Board of Appeals.
(b)
Variance appeals: to authorize variances upon appeal, within
the limitations set forth in this ordinance.
(2)
Variance appeals. Variances may be granted only under the following
conditions:
(a)
Variances may be granted only from dimensional requirements
including, but not limited to, lot width, structure height, percent
of lot coverage, and setback requirements.
(b)
Variances shall not be granted for establishment of any uses
otherwise prohibited by this ordinance.
(c)
The Board shall not grant a variance unless it finds that:
(i) The proposed structure or use would meet the provisions
of Section 15 except for the specific provision which has created
the nonconformity and from which relief is sought; and
(ii) The strict application
of the terms of this ordinance would result in undue hardship. The
term "undue hardship" shall mean:
a. That the land in question cannot yield a reasonable
return unless a variance is granted;
b. That the need for a variance is due to the unique
circumstances of the property and not to the general conditions in
the neighborhood;
c. That the granting of a variance will not alter the
essential character of the locality; and
d. That the hardship is not the result of action taken
by the applicant or a prior owner.
(d)
Notwithstanding Subsection 16H(2)(c)(ii) above, the Board of
Appeals may grant a variance to an owner of a residential dwelling
for the purpose of making that dwelling accessible to a person with
a disability who resides in or regularly uses the dwelling. The Board
shall restrict any variance granted under this subsection solely to
the installation of equipment or the construction of structures necessary
for access to or egress from the dwelling by the person with the disability.
The Board may impose conditions on the variance, including limiting
the variance to the duration of the disability or to the time that
the person with the disability lives in the dwelling. The term "structures
necessary for access to or egress from the dwelling" shall include
railing, wall or roof systems necessary for the safety or effectiveness
of the structure.
(e)
The Board of Appeals shall limit any variances granted as strictly
as possible in order to ensure conformance with the purposes and provisions
of this ordinance to the greatest extent possible, and in doing so
may impose such conditions to a variance as it deems necessary. The
party receiving the variance shall comply with any conditions imposed.
(f)
A copy of each variance request, including the application and
all supporting information supplied by the applicant, shall be forwarded
by the municipal officials to the Commissioner of the Department of
Environmental Protection at least twenty (20) days prior to action
by the Board of Appeals. Any comments received from the Commissioner
prior to the action by the Board of Appeals shall be made part of
the record and shall be taken into consideration by the Board of Appeals.
(3)
Administrative appeals.
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When the Board of Appeals reviews a decision of the Code Enforcement
Officer the Board of Appeals shall hold a "de novo" hearing. At this
time the Board may receive and consider new evidence and testimony,
be it oral or written. When acting in a "de novo" capacity the Board
of Appeals shall hear and decide the matter afresh, undertaking its
own independent analysis of evidence and the law, and reaching its
own decision.
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When the Board of Appeals hears a decision of the Planning Board,
it shall hold an appellate hearing, and may reverse the decision of
the Planning Board only upon finding that the decision was contrary
to specific provisions of the Ordinance or contrary to the facts presented
to the Planning Board. The Board of Appeals may only review the record
of the proceedings before the Planning Board. The Board Appeals shall
not receive or consider any evidence which was not presented to the
Planning Board, but the Board of Appeals may receive and consider
written or oral arguments. If the Board of Appeals determines that
the record of the Planning Board proceedings are inadequate, the Board
of Appeals may remand the matter to the Planning Board for additional
fact finding.
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(4)
Appeal procedure.
(a)
Making an appeal.
(i) An administrative or variance appeal may be taken
to the Board of Appeals by an aggrieved party from any decision of
the Code Enforcement Officer or the Planning Board, except for enforcement
related matters as described in Subsection 16H(1)(a) above. Such an
appeal shall be taken within thirty (30) days of the date of the official,
written decision appealed from, and not otherwise, except that the
Board, upon a showing of good cause, may waive the thirty (30) day
requirement.
(ii) Applications for
appeals shall be made by filing with the Board of Appeals a written
notice of appeal which includes:
a. A concise written statement indicating what relief
is requested and why the appeal or variance should be granted.
b. A sketch drawn to scale showing lot lines, location
of existing buildings and structures and other physical features of
the lot pertinent to the relief sought.
(iii) Upon receiving an application for an administrative
appeal or a variance, the Code Enforcement Officer or Planning Board,
as appropriate, shall transmit to the Board of Appeals all of the
papers constituting the record of the decision appealed from.
(iv) The Board of Appeals shall hold a public hearing
on an administrative appeal or a request for a variance within thirty-five
(35) days of its receipt of a complete written application, unless
this time period is extended by the parties.
(b)
Decision by Board of Appeals.
(i) A majority of the full voting membership of the
Board shall constitute a quorum for the purpose of deciding an appeal.
(ii) The person filing the appeal shall have the burden
of proof.
(iii) The Board shall decide all administrative appeals
and variance appeals within thirty five (35) days after the close
of the hearing, and shall issue a written decision on all appeals.
(iv) The Board of Appeals shall state the reasons and
basis for its decision, including a statement of the facts found and
conclusions reached by the Board. The Board shall cause written notice
of its decision to be mailed or hand-delivered to the applicant and
to the Department of Environmental Protection within seven (7) days
of the Board's decision. Copies of written decisions of the Board
of Appeals shall be given to the Planning Board, Code Enforcement
Officer, and the municipal officers.
(5)
Appeal to Superior Court. Except as provided by 30-A M.R.S.A.
§ 2691(3)(F), any aggrieved party who participated as a
party during the proceedings before the Board of Appeals may take
an appeal to Superior Court in accordance with state laws within forty-five
(45) days from the date of any decision of the Board of Appeals.
(6)
Reconsideration. In accordance with 30-A M.R.S.A. § 2691(3)(F),
the Board of Appeals may reconsider any decision within forty-five
(45) days of its prior decision. A request to the Board to reconsider
a decision must be filed within ten (10) days of the decision that
is being reconsidered. A vote to reconsider and the action taken on
that reconsideration must occur and be completed within forty-five
(45) days of the date of the vote on the original decision. Reconsideration
of a decision shall require a positive vote of the majority of the
Board members originally voting on the decision, and proper notification
to the landowner, petitioner, Planning Board, Code Enforcement Officer,
and other parties of interest, including abuttors and those who testified
at the original hearing(s). The Board may conduct additional hearings
and receive additional evidence and testimony.
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Appeal of a reconsidered decision to Superior Court must be
made within fifteen (15) days after the decision on reconsideration.
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I. Enforcement.
(1)
Nuisances. Any violation of this ordinance shall be deemed to
be a nuisance.
(2)
Code Enforcement Officer.
(a)
It shall be the duty of the Code Enforcement Officer to enforce
the provisions of this ordinance. If the Code Enforcement Officer
shall find that any provision of this ordinance is being violated,
he or she shall notify in writing the person responsible for such
violation, indicating the nature of the violation and ordering the
action necessary to correct it, including discontinuance of illegal
use of land, buildings or structures, or work being done, removal
of illegal buildings or structures, and abatement of nuisance conditions.
A copy of such notices shall be submitted to the municipal officers
and be maintained as a permanent record.
(b)
The Code Enforcement Officer shall conduct on-site inspections
to insure compliance with all applicable laws and conditions attached
to permit approvals. The Code Enforcement Officer shall also investigate
all complaints of alleged violations of this ordinance.
(c)
The Code Enforcement Officer shall keep a complete record of
all essential transactions of the office, including applications submitted,
permits granted or denied, variances granted or denied, revocation
actions, revocation of permits, appeals, court actions, violations
investigated, violations found, and fees collected. On a biennial
basis, a summary of this record shall be submitted to the Director
of the Bureau of Land and Water Quality within the Department of Environmental
Protection.
(3)
Legal actions. When the above action does not result in the
correction or abatement of the violation or nuisance condition, the
municipal officers, upon notice from the Code Enforcement Officer,
are hereby directed to institute any and all actions and proceedings,
either legal or equitable, including seeking injunctions of violations
and the imposition of fines, that may be appropriate or necessary
to enforce the provisions of this ordinance in the name of the municipality.
The municipal officers, or their authorized agent, are hereby authorized
to enter into administrative consent agreements for the purpose of
eliminating violations of this ordinance and recovering fines without
court action. Such agreements shall not allow an illegal structure
or use to continue unless there is clear and convincing evidence that
the illegal structure or use was constructed or conducted as a direct
result of erroneous advice given by an authorized municipal official
and there is no evidence that the owner acted in bad faith, or unless
the removal of the structure or use will result in a threat or hazard
to public health and safety or will result in substantial environmental
damage.
(4)
Fines. Any person, including but not limited to a landowner,
a landowner's agent or a contractor, who violates any provision or
requirement of this ordinance shall be penalized in accordance with
30-A, M.R.S.A. § 4452.
[Amended 5-17-2017 STM,
Art. 13; 5-15-2019 STM, Art. 10; 7-2-2020 STM,
Art. 10]
A. Purpose. The purpose of the Aquifer Protection Overlay (AP) District
is to protect the quality and quantity of Topsham's present and future
public groundwater resources by regulating activities and land use
practices that are likely to affect those resources. The protection
of groundwater is critical to promoting the health, safety, and general
welfare of the residents of Topsham.
B. Establishment of district. The Aquifer Protection Overlay District
consists of sand and gravel aquifers and aquifer recharge areas. The
boundary of the AP District is delineated on the Official Zoning Map,
and is based on the "Hydrogeology of the Jackson, Taylor and Williams
Stations Aquifer in Topsham and Brunswick, Maine" report, dated February
25, 1994, by Caswell, Eichler and Hill. The mapped area is the area
indicated as both Zones 1 and 2 in the report.
C. Land use restrictions. The following uses and development activities
are prohibited:
(1) The disposal of solid waste other than brush or stumps;
(2) The disposal or storage of hazardous materials, with the exception
of aboveground natural gas or propane gas tanks;
(3) The disposal or storage of leachable materials, except subsurface
wastewater disposal systems and water from residential swimming pools;
(4) The bulk or commercial disposal or storage of road salt or other
deicing agents;
(5) The storage of petroleum products in containers with a total volume
in excess of 10 gallons, except those stored for heating use by that
property owner or his designee only;
(6) The disposal, storage, or application of sludge or other sludge-containing
products, except for the application of Class A composted residuals
that are licensed for unrestrained distribution by the Maine Department
of Environmental Protection;
(7) The disposal of any unregistered automobiles or the storage of more
than two unregistered automobiles;
(8) Use or storage of pesticides or herbicides, other than for households
or agriculture and those products that are permitted by the Organic
Materials Review Institute (OMRI);
(a)
The Code Enforcement Officer may, upon written request, approve
an exception to this prohibition to allow pesticides or herbicides
to be used to:
[1]
Control or destroy a health hazard (i.e., a pest that has or
is likely to have an adverse effect on the health of any person);
[2]
Control or destroy pests which have caused infestation to property
(i.e., where the presence of pests in numbers or under conditions
that involve an immediate or potential risk of substantial loss or
damage); or
[3]
Control or destroy wasps' nests or poison ivy.
(b)
The Brunswick and Topsham Water District shall be notified of
any such requests and approvals.
(9) Use or storage of fertilizer, compost, or manure, other than:
(a)
Slow-release organic fertilizer;
(b)
Products used for households and agriculture; and
(c)
Natural organic compost that:
[1]
Is in keeping with, but not limited to, compost approved by
USDA National Organic Program; or
[2]
Is in keeping with, but not limited to, products that can be
used on Maine Organic Farmers and Gardeners Association (MOFGA) certified
farms; or
[3]
Meets the standards and test requirements to qualify for unrestrained
distribution under Chapter 419 of the Maine Department of Environmental
Protection regulations, titled "Agronomic Utilization of Residuals,"
as amended.
(10)
Aerial spraying of pesticides from aircraft, except for applications
for public health reasons performed under the auspices of the Town
of Topsham or State of Maine;
(11)
Pipelines for transmission of petroleum products or hazardous
materials, except natural gas or propane storage and transmission
facilities;
(12)
Commercial boat, internal combustion engine, and motor vehicle
sales, service and repair;
(13)
Metal plating operations;
(16)
Furniture stripping, painting, and wood preserving operations;
and
(17)
Extractive industries, including sand and gravel extraction.
Uses or management practices not listed above may be permitted in the AP District provided that they are allowed in the underlying zoning district, will not have an unreasonable adverse effect on the water supply, and meet the performance standards in § 225-20D (Performance standards).
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D. Performance standards. All uses or activities within the AP District shall meet the following performance standards. Nonconforming uses existing on the effective date of this section shall also comply with standards set forth in §
225-14.
(1) General standards for uses and activities subject to site plan review.
(a)
Management of stormwater runoff. The stormwater runoff from the use or expansion of the use shall be either retained on the specific property or allowed to infiltrate or transported off site through a subsurface stormwater system to the Town's collection system and shall incorporate stormwater management techniques to minimize runoff volume and rate, as well as pollution and nutrient loadings, from the site in accordance with §
225-34.
(b)
Groundwater contaminants.
[1]
Monitoring wells may be required for a use known by the Code
Enforcement Officer, in consultation with the Brunswick and Topsham
Water District, to be an actual or potential source of groundwater
pollution.
[a] A licensed hydrogeologist chosen or approved by
the Town shall determine the number, location, and depth of monitoring
wells.
[b] Monitoring wells shall be installed and sampled
in accordance with "Guidelines for Monitoring Well Installation and
Sampling" (Tolman, Maine Geologic Survey, 1983).
[c] Monitoring wells shall be installed on the property
at the expense of the owner.
[d] The Code Enforcement Officer shall determine, in
consultation with the Brunswick and Topsham Water District and/or
a licensed hydrogeologist, when monitoring wells shall be sampled.
[e] Results from monitoring well samples shall be submitted
to the Department and the Brunswick and Topsham Water District.
[2]
The Brunswick and Topsham Water District shall promptly inform
the Board of Selectmen, Code Enforcement Officer, Planning Board,
and Zoning Board of Appeals when the calculated or actual levels of
contaminants in the groundwater reach 10% of the maximum contaminant
levels (MCLs) listed within the National Primary Public Drinking Water
Regulations for contaminants as measured at the Brunswick and Topsham
Water District monitoring wells and recommend remedial actions.
[3]
No site plan approval shall be granted for a use, expansion
of a use, or activity that would cause the cumulative, calculated,
or actual levels of contaminants in the groundwater at the Brunswick
and Topsham Water District property line to exceed 50% of the maximum
contaminant levels (MCLs) listed within the National Primary Public
Drinking Water Regulations.
[4]
No site plan approval shall be granted for a use, expansion
of a use, or activity that would cause the calculated or actual levels
of contaminants in the groundwater at the property line of the specific
lot associated with the use, expansion of the use, or activity to
exceed 50% of the maximum contaminant levels (MCLs) listed within
the National Primary Public Drinking Water Regulations.
(2) Application of fertilizers and manure.
(a)
Application of nitrogen fertilizer and manure is permitted subject
to the approval from the Code Enforcement Officer. Permit applications
shall identify materials and application rates.
(b)
All manure spreading shall be accomplished in conformance with
the Maine Manure Utilization Guidelines, published by the Maine Department
of Agriculture, Conservation and Forestry, as amended.
(c)
Runoff from areas where manure or fertilizer is being applied
to the land shall be controlled.
(d)
Application of manure or fertilizer to sand, or bare soil where
the topsoil has been removed, is prohibited.
(3) Manure storage. Agricultural operations that generate or utilize
manure shall provide containment facilities for manure storage. Such
facilities shall be adequate to hold one year's production, and shall
be covered.
(4) Animal husbandry. The landowner shall minimize potential impact on
groundwater quality when managing manure generated on site through
the utilization of effective collection and storage measures.
(5) Use of pesticides. Land application of pesticides is permitted subject
to the approval from the Code Enforcement Officer, provided that surface
runoff and erosion in areas where pesticides are being applied is
contained. Permit applications shall include copies of the pesticide
labels, rate of application and materials safety information.
(6) Subsurface waste disposal systems. Disposal of hazardous materials
to subsurface waste disposal systems, including organic solvents designed
for cleaning septic systems, is prohibited.
(7) Storage tanks. All underground oil (petroleum products) storage tanks
(other than propane gas or natural gas storage tanks) that are in
place prior to the effective date of this section shall be nonconforming.
All existing oil underground storage tanks and piping systems that
are single-walled and double-walled tanks without an interstitial
space monitoring system shall be precision tested annually. Double-walled
tanks and piping systems with an interstitial space monitoring system
are exempt from annual precision testing. Tanks failing to pass the
precision test shall be excavated and examined for leaks. If found
to be leaking, the tank and any material discharged from the tank
shall be removed at the expense of the owner in accordance with the
requirements of the Maine Department of Environmental Protection (MDEP).
When it becomes necessary to replace an underground tank and/or its
piping systems it shall be replaced with a double-walled tank and/or
piping system with an interstitial space monitoring system, or better.
[Added 5-19-2010 STM, Art. 11]
A. Purpose. The purpose of the Development Transfer Overlay Zone (DTO
District) is to create livable neighborhoods in areas of the community
that are designated as residential growth areas in the Town's adopted
Comprehensive Plan as amended while minimizing development in rural
areas of the community where intensive residential development is
not desired. This will be accomplished by allowing well-planned residential
development in designated growth areas at higher densities than otherwise
allowed in exchange for the payment of a fee to the Town to obtain
development transfer credits. The fees from the purchase of development
transfer credits will be used by the Town to purchase conservation
land and/or easements and open space.
B. Applicability.
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The provisions of the DTO District are optional. A land owner
within the DTO District may choose to develop in accordance with the
provisions of this overlay district or the provisions of the underlying
zoning district in which it is located. Once a project is developed
under the DTO District provisions, it shall continue to be governed
by those DTO District provisions.
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The provisions of the DTO District may only be utilized by residential
subdivisions or two-family or multifamily residential projects, including
mixed-use subdivisions or projects that are primarily residential
but include a small amount of nonresidential use, that are subject
to site plan review and that meet the following provisions:
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(1)
The development is located within the Development Transfer Overlay
Zone as shown on the map of the Development Transfer Overlay Zone
adopted as part of the Official Zoning Map; and
(2)
The owner or developer will obtain development transfer credits in accordance with the provisions of Subsection
F and §
225-60.15.
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The provisions of the DTO District supplement and modify the
provisions of the underlying zoning district in which the project
is located. Where the provisions of the overlay district differ from
or conflict with the provisions of the underlying district, these
provisions shall govern if the property owner has chosen to develop
in accordance with the DTO District provisions. The plan of any development
approved in accordance with the DTO District provisions must include
a plan note stating that the plan was approved in accordance with
the Development Transfer Overlay Zone, that the applicant will be
required to obtain development transfer credits from the Town for
each dwelling unit in the development, and that all future development
of the lots created as part of the approval must be done in accordance
with the provisions of the DTO District. Any documents conveying a
property interest in the lots or units that are approved in accordance
with the provisions of the DTO and any related covenants must include
an indication that the issuance of the building permit for the dwelling
unit is conditioned upon a development transfer credit (or partial
credit) being obtained from the Town.
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The provisions of the DTO District only apply to residential
subdivisions and other two-family and multifamily residential developments
approved in accordance with the overlay district. The overlay district
provisions may not be applied to the following:
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(1)
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A lot with a lot area of less than five times the required minimum
lot area for the zone in which it is located if that lot is part of
a subdivision that was approved prior to the effective date of this
section;
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(2)
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A lot in a subdivision that was approved and developed in accordance
with the provisions of the underlying zoning district subsequent to
the adoption of this section; or
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(3)
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A lot that is not part of a subdivision unless it will be developed
as a two-family or multifamily project in accordance with provisions
of the overlay district.
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C. Allowed uses. Only uses allowed in the underlying zoning district
in which the project is located shall be allowed in the DTO District.
Uses that are permitted uses in the underlying zoning district remain
permitted uses and uses that are conditional uses in the underlying
zoning district remain conditional uses. Uses that are prohibited
in the underlying zoning district are prohibited in the DTO District.
D. Dimensional requirements.
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Residential subdivisions and two-family and multifamily residential developments that elect to obtain development transfer credits and be governed by the provisions of the DTO District are subject to the following dimensional requirements rather than the dimensional requirements for the underlying zone in which it is located as set forth in §§ 225-17 and the density requirements for apartment buildings and multifamily developments as set forth in § 225-50:
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If underlying Zone is R1
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If Underlying Zone is R2 or MUL
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If Underlying Zone is R3
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Standard
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Projects Served by Public Sewerage
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Projects Not Served by Public Sewerage
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Projects Served by Public Sewerage
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Projects Not Served by Public Sewerage
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Projects Served by Public Sewerage
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Projects Not Served by Public Sewerage
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Minimum lot size (square feet):
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One-family dwelling
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8,500
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20,000
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15,000
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20,000
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15,000
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30,000
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Two-family dwelling
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15,000
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30,000
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20,000
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40,000
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30,000
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60,000
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Multifamily dwelling
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22,500
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45,000
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30,000
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60,000
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45,000
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90,000
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Nonresidential use1
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15,000
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20,000
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20,000
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30,000
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30,000
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60,000
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Minimum lot area per dwelling unit for units in a multifamily
dwelling (square feet per dwelling unit)
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7,500
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15,000
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10,000
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20,000
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15,000
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30,000
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Minimum street frontage (feet):
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One-family dwelling
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70
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100
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90
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100
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90
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125
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Two-family dwelling
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90
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125
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110
|
125
|
120
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125
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Multifamily dwelling
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120
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150
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130
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150
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150
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150
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Nonresidential use1
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100
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125
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125
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150
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150
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175
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Minimum front yard setback (feet):
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Local street or private way
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15
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25
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20
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25
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20
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25
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Collector street
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25
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30
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25
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30
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25
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30
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Arterial street
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40
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50
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40
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50
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40
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50
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Minimum side yard setbacks2 (feet):
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One-family dwelling
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10
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15
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10
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20
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10
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25
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Two-family dwelling
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15
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20
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15
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25
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20
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30
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Multifamily dwelling or nonresidential use1
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25 or height of building whichever is greater
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30 or height of building whichever is greater
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30 or height of building whichever is greater
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30 or height of building whichever is greater
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30 or height of building whichever is greater
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30 or height of building whichever is greater
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Minimum rear yard setbacks (feet):
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One-family dwelling
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20
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20
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20
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25
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20
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25
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Two-family dwelling
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20
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20
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20
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25
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20
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25
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Multifamily dwelling or nonresidential use1
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30 or height of building whichever is greater
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30 or height of building whichever is greater
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30 or height of building whichever is greater
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30 or height of building whichever is greater
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30 or height of building whichever is greater
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40 or height of building whichever is greater
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Maximum building height (feet)
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35
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35
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35
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35
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35
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35
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Minimum landscape ratio (open space ratio)
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0.2
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0.3
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0.3
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0.3
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0.3
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0.4
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NOTES:
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1 The dimensional requirements
for nonresidential uses apply only to lots or buildings that are part
of an approved plan for a mixed-use subdivision or development.
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2 The side yard setback
for a yard that abuts a lot that is not part of a project developed
in accordance with DTO District provisions shall not be less than
the required side yard setback in the underlying zoning district.
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If any portion of the lot that is proposed to be subdivided
or developed in accordance with the DTO District provisions is located
within the Shoreland Overlay District and is within a zone other than
the Resource Protection District, the residential density associated
with that portion of the property may be increased in accordance with
the following requirements:
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(1)
The minimum lot size requirement for the shoreland portion of
the lot shall be reduced in the same proportion as the reduction in
the lot size allowed through the application of the DTO provisions
to the underlying zoning district. Therefore if the DTO requirements
reduce the minimum lot size in the underlying zone by half, the minimum
lot size for the shoreland area shall also be reduced by half.
(2)
Any additional units resulting from the reduction in the minimum
lot size requirement in the Shoreland Overlay District must be located
on the portion of the lot that is outside of the Shoreland Overlay.
If the lot is located entirely within the Shoreland Overlay District
or if some or all of the bonus units cannot be developed on the portion
of the property outside of the Shoreland Overlay District, the density
bonus is lost. In no case, shall the number of units constructed within
the Shoreland Overlay District utilizing the DTO District provisions
exceed the number of units that could have been constructed within
the Shoreland Overlay under the minimum lot size requirements of the
Shoreland Overlay District.
E. Other requirements of the underlying zone. Residential subdivisions and two-family and multifamily residential developments that elect to obtain development transfer credits and be governed by the provisions of the DTO District must comply with all requirements of the underlying zone in which it is located except for the dimensional requirements as set forth in Subsection
D. These projects must also conform to all performance standards and other requirements that apply to the same type of residential use in the underlying zone.
F. Development transfer credit calculation.
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Residential subdivisions and two-family and multifamily residential developments that elect to be governed by the provisions of the DTO District must obtain development transfer credits in accordance with the provisions of § 225-60.15. The number of development transfer credits needed for a residential subdivision or two-family or multifamily development shall be based upon the number, type, and size of the “bonus units” included in the approved subdivision or development plan. "Bonus units" are approved dwelling units in excess of the number of dwelling units that could be built on the site in accordance with the provisions of the underlying zone.
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The number of development transfer credits needed for a project
shall be determined by the Planning Board as part of the approval
of the subdivision or site plan based on the number of bonus units
included in the plan and the type and size of the bonus units. The
number of bonus units shall be calculated by determining the maximum
number of dwelling units that could be developed on the site based
on the underlying zoning, site conditions, the type of units proposed,
and allowable density bonuses and subtracting those units from the
number of approved dwelling units.
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The maximum number of dwelling units allowed in the underlying
zone shall be calculated as follows:
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(1)
If the underlying zone has a maximum density provision based
upon net residential density or net acreage per dwelling unit, the
maximum number of units allowed under the underlying zoning shall
be calculated based upon this requirement and calculated by dividing
the net acreage of the area proposed to be subdivided or developed
by the per unit density factor allowed in the underlying district,
including any allowances for the use of public sewerage and/or public
water.
(2)
If the underlying zone does not have a maximum density requirement
based upon net residential density or net acreage per dwelling unit,
the maximum number of units allowed under the underlying zoning shall
be determined by multiplying the gross acreage of the area proposed
to be subdivided or developed by sixty-five percent (65%) to allow
for access and unusable land and then dividing the resulting net area
by the minimum lot size for one-family dwellings or the minimum lot
area per dwelling unit for two-family dwellings or multifamily housing,
including any allowance in the underlying district for the use of
public sewerage and/or public water.
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The Planning Board shall determine the total number of development
transfer credits needed for a residential subdivision or other residential
development by multiplying the number of “bonus units”
of each type by the following type and size factors:
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•
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Single-family dwelling = 1.0 credit.
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•
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Dwelling unit in a two-family or multifamily dwelling with a
livable area of less than 800 square feet = 0.5 credit.
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•
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Dwelling unit in a two-family or multifamily dwelling with a
livable area of 800 to 1,200 square feet = 0.75 credit.
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•
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Dwelling unit in a two-family or multifamily dwelling with a
livable area of more than 1,200 square feet = 1.0 credit.
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For the purposes of this calculation, livable area in a dwelling
unit in a two-family or multifamily dwelling is the total habitable
area of the dwelling unit not including unfinished basements or attics,
common or shared hallways, entryways, or stairways, garages, or storage
areas that are not accessible from within the dwelling units.
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G. Additional development standards. Residential subdivisions and two-family
and multifamily residential developments that elect to be governed
by the provisions of the DTO District must comply with the following
additional requirements if applicable:
(1)
Additional standards for one- and two-family lots. If a residential
subdivision approved in accordance with these overlay provisions contains
individual lots that will be developed with one- or two-family dwellings,
the layout of those lots should be deeper than they are wide to provide
a suitable, private rear yard. At least eighty percent (80%) of lots
within the subdivision that will contain single-family or two-family
dwellings must have an average lot depth that is at least one hundred
forty percent (140%) of the lot width as measured between the side
lot lines of the lot at the rear of the required minimum front yard.
(2)
Access limitations. Access to residential subdivisions or residential
developments shall be designed to minimize the number of entrances
onto arterial or collector roads. Direct vehicular access to individual
lots or uses from existing roads classified as arterials or collectors
shall not be allowed unless the Planning Board finds that there is
no reasonable alternative access.
(3)
Garage locations. If the vehicle doors for a garage face the
street, the garage shall be located so that the front wall of the
portion of the structure containing the garage is located so that
it is at least two (2) feet further from the front property line than
the front wall of the rest of the building and that the space between
the garage doors and the sidewalk (if any) is at least twenty (20)
feet.
(4)
Parking lot locations. Parking lots for five or more vehicles
to serve multifamily housing and/or nonresidential uses shall be located
to the side or rear of the building where feasible. No parking lots
for these uses shall be permitted in the required front yard setback
area.
[Added 5-18-2016 STM,
Art. 14; amended 5-17-2017 STM,
Art. 14 ]
A. Purpose. The Vernal Pools Overlay District (referred to as the designated
development district in the SAMP) is intended to provide owners of
property located within the overlay district that is subject to state
or federal regulation with respect to vernal pools the option of developing
and using the property in accordance with: 1) the applicable state
and federal wetland regulations and associated requirements for the
protection of vernal pools, or 2) the provisions of this section including
the enhanced protection of other vernal pools through payment of a vernal pools mitigation fee or by undertaking permittee-responsible
mitigation activities. Mitigation fees collected under this
section shall be used only for the purpose of protecting other vernal
pools within the community or in other nearby communities identified
through the application of the Vernal Pools Conservation Criteria
in the Town of Topsham Vernal Pools Special Area Management Plan (SAMP)
and the conservation priorities of the Maine Vernal Pools SAMP.
B. Applicability.
The provisions of this section apply only to land located within
the Vernal Pools Overlay District as shown on the Official Zoning
Overlay District Map. These provisions are optional. After a preapplication
meeting with the Town Planner, an applicant may choose to invoke the
provisions of this section under the following conditions in accordance
with the Maine Vernal Pools SAMP:
(1)
The impact occurs within the vernal pool or within a two-hundred-fifty-foot
zone around the pool.
(2)
The total impacts to aquatic resources of a single and complete
project fall below 3 acres.
(3)
The vernal pool does not support state or federal threatened
or endangered species unless a determination of no effect or not likely
to adversely affect is made by the United States Army Corps of Engineers
in consultation with the United States Fish and Wildlife Service.
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With respect to any application to develop land within the Overlay
District that is subject to state or federal regulation with respect
to wetlands and vernal pools, the applicant shall indicate at the
time of application whether he/she intends to develop the project
in accordance with those applicable state and federal requirements
or to utilize the provisions of this section. If the applicant invokes
the provisions of this section, he/she must still obtain all other
local, state and federal permits and provide appropriate notice to
the United States Army Corps of Engineers. Developers that elect to
opt out of this program should continue to consult with state and
federal regulatory agencies for project-specific requirements.
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Authority for the Town to issue vernal pool permits as referred
to in this chapter and the SAMP are provided under 38 M.R.S.A. § 480-F.
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C. Effective date of this section. Notwithstanding the adoption of this
section as part of the chapter, the provisions of this section shall
be effective only when the Maine Department of Environmental Protection
has certified in writing to the Code Enforcement Officer that the
Town has been granted partial delegated authority with respect to
the issuance of vernal pools permits in accordance with the Maine
Vernal Pool Special Area Management Plan (SAMP). If the Maine Department
of Environmental Protection notifies the Code Enforcement Officer
in writing that the Town is no longer in compliance with the SAMP,
or if the Town, Maine Department of Environmental Protection, or United
States Army Corps of Engineers terminates the SAMP, this section shall
no longer be in effect.
D. Definitions. For definitions of words or phrases in this section that are shown in bold font, see §
225-6, Definitions, of this chapter.
E. Vernal pool mitigation. As an alternative to complying with the applicable
state vernal pool regulations and/or the United States Army Corps
of Engineers general permit for the state, the applicant for any development
approval or building permit with respect to land located within the
overlay district that elects to develop or build in accordance with
the provisions of this section shall either: 1) pay a vernal
pools mitigation fee, or 2) undertake permittee-responsible mitigation activities in accordance with the provisions of this
section and the SAMP.
(1)
Vernal pool mitigation fee.
(a)
Regulatory flexibility. An applicant that elects to pay a vernal pools mitigation fee in accordance with the following
provisions will have to comply with the provisions of this section
rather than the otherwise applicable vernal pool provisions found
in 38 M.R.S.A. Chapter 3, § 480, DEP Rules- Chapter 335
and federal vernal pool provisions found in the Maine General Permit.
This provision of the Maine Vernal Pools SAMP shall not extend to
other state and federal wetland regulations or other natural resource
regulations that may apply to the development.
(b)
Amount of the mitigation fee. The amount of the mitigation fee
is the greater of: 1) 40% of the difference in the appraised value
of the parcel proposed to be developed if it is subject to applicable
state regulations and/or the United States Army Corps of Engineers
general permit for the state with respect to vernal pools and the
appraised value of the parcel if those state and federal vernal pool
requirements no longer apply, or 2) the minimum mitigation fee if
such a minimum is established by the Town. The minimum mitigation
fee shall be adequate to accomplish vernal pool preservation at the
programmatic level of two pools plus 70 acres of terrestrial amphibian
post-breeding habitat conserved for each impacted pool.
The difference in the appraised value of the parcel with and
without the vernal pool requirements shall be determined by a certified
general appraiser (CGA) currently licensed in Maine. The appraiser
shall be employed by the applicant subject to approval by the Planning
Department. The appraisal shall meet the Uniform Standards of Professional
Appraisal Practice (USPAP) and will be subject to a peer review by
a CGA selected by the Town.
(c)
Appraisal review fee. If the applicant elects the difference
in appraised value approach, the applicant shall deposit the estimated
cost for the peer review of the appraisal with the Town. The Town
shall hold the fee in a separate account and shall use the fee only
for the purpose of compensating the review appraiser. Should the amount
of the initial deposit not cover the full costs for the review, the
applicant shall be responsible for the difference and shall pay the
Town prior to the issuance of any permits or approvals for the project.
If the amount of the initial deposit exceeds the full costs for the
review, the Town shall refund the balance to the applicant within
30 days of paying the peer review appraiser.
(d)
Payment of the mitigation fee. The mitigation fee shall be payable
to the Town of Topsham and submitted to the Planning and Code Enforcement
Office as part of a site plan review application or a subdivision
plan review application, if such review is required for the proposed
development; or, if no such review is required, prior to the commencement
of any site work on the parcel or the issuance of any building or
plumbing permits for the project whichever occurs first.
(2)
Permittee-responsible mitigation activities.
(a)
Regulatory flexibility. An applicant that elects to undertake permittee-responsible mitigation activities in accordance
with the following provisions will have to comply with the provisions
of this section rather than the otherwise applicable vernal pool provisions
found in 38 M.R.S.A. Chapter 3, § 480, DEP Rules- Chapter
335 and federal vernal pool provisions found in the Maine General
Permit. This flexibility shall not extend to other state and federal
wetland regulations or other natural resource regulations that may
apply to the development.
(b)
Acceptable permittee-responsible mitigation activities. The
applicant shall arrange for the protection of other vernal pools and
associated amphibian terrestrial post-breeding habitat within designated Rural Areas of the community or in other communities in accordance
with the municipality's vernal pool conservation plan and the conservation priorities of the SAMP. The compensation activities
shall be adequate to accomplish vernal pool preservation at the programmatic
level of two pools plus 70 acres of terrestrial amphibian post-breeding
habitat conserved for each impacted pool. The adequacy of the conservation
shall be determined by the Planning Board in consultation with the
Town's designated third-party conservation organization.
(c)
Verification. An applicant that elects to undertake permittee-responsible
mitigation activities shall include in his or her site plan
review or subdivision plan application evidence of title, right or
interest in the property or properties subject to the proposed compensation
activities, if the proposed development requires such review and certification
that the designated third-party conservation organization is willing to accept the conservation project. In all cases, the designated third-party conservation organization must certify
to the Code Enforcement Officer that the permittee-responsible
mitigation activities have occurred prior to the commencement
of any site work on the parcel or the issuance of any building or
plumbing permits for the project, whichever occurs first.
F. Management of collected mitigation fees. All vernal pool mitigation
fees shall be accounted for in a separate financial account
maintained by the municipality. All revenue and disbursements shall
be posted to this account and an annual report of the financial status
of the account shall be provided to the Maine Department of Environmental
Protection and the Army Corps of Engineers, New England District,
within 90 days of the end of the Town's fiscal year as part of the
annual report as described in the SAMP. These funds are subject to
audit by the Maine Department of Environmental Protection and the
Army Corps of Engineers, New England District.
G. Use of mitigation fees. Vernal pool mitigation fees collected
by the Town shall be used only to fund vernal pool conservation projects
carried out by the designated third-party conservation organization in accordance with the Town's approved vernal pool conservation
plan or other vernal pool conservation in accordance with the
conservation priorities set forth in the SAMP. Any third party receiving
mitigation funds shall enter into a formal agreement with the Town
spelling out its roles and responsibilities with respect to the management
and use of the funds, administrative fees, monitoring of conservation
projects, and annual reporting requirements in accordance with the
requirements of the SAMP. No funds shall be provided to the designated third-party conservation organization from the
Vernal Pools Mitigation Fees account until such an agreement is in
place.
H. Annual reporting. The Planning Department shall prepare an annual
report on the use of the Vernal Pools Overlay District and provide
the report to the Board of Selectmen, Maine Department of Environmental
Protection, and Army Corps of Engineers within 90 days of the end
of each fiscal year covering the prior fiscal year. The report shall
document the number of times the mitigation provisions were utilized,
the permittees' and projects' names, the permit/authorization numbers
or other identifiers, the number and location of vernal pools within
the Overlay District that were involved, the conservation projects
undertaken with mitigation fees or through permittee-responsible mitigation
activities, the financial accounting for all collected mitigation
fees, and the documentation of ongoing monitoring of properties conserved
through the use of the mitigation fees. Documentation of monitoring
visits shall include photos and a report describing the condition
of each pool, the surrounding landscape, and other relevant factors.