Chapter 19.06
CRITICAL AREAS REGULATIONS
Sections:
19.06.010 Authority and administration.
19.06.040 Maps and inventories.
19.06.050 Applicability, exemptions, exceptions, and allowed uses.
19.06.070 Critical areas studies.
19.06.080 Protection and mitigation measures.
19.06.090 Wetland development standards.
19.06.100 Stream development standards.
19.06.110 Fish and wildlife habitat conservation areas standards.
19.06.120 Flood hazard area development standards.
19.06.130 Geologically hazardous areas.
19.06.010 Authority and administration.
A. This chapter is adopted under the authority of Chapter 36.70A RCW, other federal and state environmental regulations, including but not limited to the State Environmental Policy Act, and the State and Federal Endangered Species Acts.
B. The town planner shall have the authority to administer, interpret, and enforce this chapter and is authorized to adopt procedures, policies, rules or guidelines; issue interpretations; conduct inspections; and prepare the forms necessary to carry out the purposes of this chapter. The town planner may seek assistance from town departments, other public agencies or private contractors to administer and enforce this chapter. (Ord. 778 § 2 (Att. A), 2025)
19.06.020 Purpose.
The purpose of this chapter is to:
A. Protect the public health, safety and welfare by preventing adverse impacts of development;
B. Preserve and protect critical areas as identified by the Washington State Growth Management Act by regulating development within and adjacent to them;
C. Mitigate unavoidable impacts to critical areas by regulating alterations in and adjacent to critical areas;
D. Prevent adverse cumulative impacts to wetlands, streams, shoreline environments, and fish and wildlife habitat;
E. Protect the public and public resources and facilities from injury, loss of life, property damage or financial loss due to flooding, erosion, landslides, soils subsidence or steep slope failure;
F. Implement the goals, policies, guidelines and requirements of the town of Yarrow Point comprehensive plan and the Washington State Growth Management Act; and
G. Establish review procedures for development proposals in and adjacent to critical areas. (Ord. 778 § 2 (Att. A), 2025)
19.06.030 Definitions.
Except as otherwise provided in this section, all terms shall have the meaning as defined by those code provisions referenced in this section or, in the absence of specific definition herein, as defined by YPMC Title 20. If no specific definition is in the YPMC, terms shall be defined by their plain meaning.
“Active fault” means a fault that is considered likely to undergo renewed movement within a period of concern to humans. Faults are commonly considered to be active if the fault has moved one or more times in the last 10,000 years.
“Anadromous fish” means fish that spawn in fresh water and mature in the marine environment.
“Aquifer recharge area” means an area that, due to the presence of certain soils, geology, and surface water, acts to recharge groundwater by percolation.
“Area of special flood hazard” means land in the floodplain within a community subject to a one percent or greater chance of flooding in any given year. Designation on maps always includes the letters A or V. The term “special flood hazard area” is synonymous in meaning with the phrase “area of special flood hazard.”
“Best available science” means current scientific information used in the process to designate, protect, or restore critical areas, that is derived from a valid scientific process as defined by WAC 365-195-900 through 365-195-925.
“Best management practices” means conservation practices or systems of practice and management measures that:
1. Control soil loss and reduce water quality degradation caused by high concentrations of nutrients, animal waste, toxins, and sediment;
2. Minimize adverse impacts to surface water and groundwater flow, circulation patterns, and the chemical, physical, and biological characteristics of wetlands;
3. Protect trees and vegetation designated to be retained during and following site construction; and
4. Provide standards for proper use of chemical herbicides within critical areas.
“Buffer” means the zone contiguous with a critical area that is required for the continued maintenance, function, and structural stability of the critical area.
“Buffer zone” means a strip of land, identified in this title, established to protect one type of land use from another with which it is incompatible. Buffer zones are described in this title with reference to neighboring districts. Normally, the buffer zone is landscaped and kept in open space uses.
“Channel migration zone (CMZ)” means the lateral extent of likely movement along a stream or river during the next 100 years as determined by evidence of active stream channel migration movement over the past 100 years.
“Compensation project” means actions specifically designed to replace project-induced critical area and buffer losses. Compensation project design elements may include, but are not limited to, land acquisition, planning, construction plans, monitoring, and contingency actions.
“Compensatory mitigation” means types of mitigation used to replace project-induced critical area and buffer losses or impacts. “Compensatory mitigation” includes, but is not limited to, the following:
1. Restoration. Actions performed to reestablish functional characteristics that are lost or degraded due to unauthorized alteration, past management activities, or catastrophic events within an area that no longer meets the definition of a critical area.
2. Creation. Actions performed to intentionally establish a critical area at a site where it did not formerly exist.
3. Enhancement. Actions performed to improve the condition of an existing critical area so that the functions it provides are of a higher quality.
“Critical aquifer recharge area” means areas designated by WAC 365-190-080(2) that are determined to have a critical recharging effect on aquifers used for potable water as defined by WAC 365-190-030(2).
“Critical areas” means the following areas and ecosystems: (1) wetlands; (2) areas with a critical recharging effect on aquifers used for potable water; (3) fish and wildlife habitat conservation areas; (4) frequently flooded areas; and (5) geologically hazardous areas. “Fish and wildlife habitat conservation areas” does not include such artificial features or constructs as irrigation delivery systems, irrigation infrastructure, irrigation canals, or drainage ditches that lie within the boundaries of and are maintained by a port district or an irrigation district or company, as defined by the Growth Management Act (Chapter 36.70A.030 RCW).
“Ecosystem functions” means the products, physical and biological conditions, and environmental qualities of an ecosystem that result from interactions among ecosystem processes and ecosystem structures. Ecosystem functions include, but are not limited to, sequestered carbon, attenuated peak streamflows, aquifer water level, reduced pollutant concentrations in surface and ground waters, cool summer in stream water temperatures, and fish and wildlife habitats.
“Ecosystem values” means the cultural, social, economic, and ecological benefits attributed to ecosystem functions.
“Engineering geologist” means a practicing professional engineering geologist licensed with the state of Washington.
“Erosion hazard area” means those areas of the town of Yarrow Point containing soils which, according to the Natural Resources Conservation Service, may experience severe to very severe erosion hazard.
“Fish and wildlife habitat conservation areas” means areas necessary for maintaining species in suitable habitats within their natural geographic distribution so that isolated subpopulations are not created as designated by WAC 365-190-080(5). These areas include:
1. Areas with which state or federally designated endangered, threatened, and sensitive species have a primary association;
2. Habitats of local importance, including, but not limited to, areas designated as priority habitat by the Department of Fish and Wildlife;
3. Naturally occurring ponds under 20 acres and their submerged aquatic beds that provide fish and wildlife habitat;
4. Waters of the state, including lakes, rivers, ponds, streams, inland waters, underground waters, salt waters and all other surface water and watercourses within the jurisdiction of the state of Washington;
5. Lakes, ponds, streams, and rivers planted with game fish by a governmental or tribal entity;
6. State natural area preserves and natural resources conservation areas; and
7. Land essential for preserving connections between habitat blocks and open spaces.
“Fish habitat” means habitat, which is used by fish at any life stage at any time of the year including potential habitat likely to be used by fish life, which could reasonably be recovered by restoration or management and includes off-channel habitat.
“Flood” means a general and temporary condition of partial or complete inundation of normally dry land areas from the overflow of inland waters and/or the unusual and rapid accumulation of runoff or surface waters from any source.
“Flood fringe” means that portion of the floodplain outside of the floodway which is covered by floodwaters during the base flood; it is generally associated with standing water rather than rapidly flowing water.
“Geologically hazardous areas” means areas that may not be suited to development consistent with public health, safety or environmental standards, because of their susceptibility to erosion, sliding, earthquake, or other geological events as designated by WAC 365-190-120. Types of geologically hazardous areas include erosion, landslide, seismic, mine, and volcanic hazards.
“Geologist” means a practicing professional geologist licensed with the state of Washington.
“Geotechnical engineer” means a practicing professional geotechnical/civil engineer licensed with the state of Washington.
“Hazard areas” means areas designated as frequently flooded or geologically hazardous areas due to potential for erosion, landslide, seismic activity, mine collapse, or other geologically hazardous conditions.
“Hazard tree” in this title means a threat to life, property, or public safety as assessed by a qualified professional and found at a minimum to have probable to imminent likelihood of failure based on the Level 3 TRAQ method. Due to their potential high habitat value, hazard tree removal shall not adversely affect ecosystem functions to the extent practicable, encourage the creation of snags (priority habitat features) rather than complete tree removal, involve an avoidance and minimization of damage to remaining trees and vegetation, and require a qualified arborist to evaluate requests for hazard tree removal. This definition is meant to further protect trees from removal in critical areas beyond what is codified in the town’s tree code.
“Isolated wetland” means those wetlands that are outside of and not contiguous to any 100-year floodplain, lake, river, or stream and have no contiguous hydric soil or hydrophytic vegetation between the wetland and any surface water.
“Landslide” means episodic down-slope movement of a mass of soil or rock that includes, but is not limited to, rock falls, slumps, mudflows, and earthflows.
“Landslide hazard areas” means areas that are potentially subject to risk of mass movement due to a combination of geologic landslides resulting from a combination of geologic, topographic, and hydrologic factors.
“Low impact development” means a stormwater and land use management strategy that strives to mimic natural hydrologic conditions by emphasizing the predisturbance hydrologic processes of infiltration, filtration, storage, evaporation and transpiration.
“Mitigation” means avoiding, minimizing, or compensating for adverse impacts on critical areas.
“Mitigation sequence” means the process for mitigation shall use any of the actions that are listed below in descending order of preference. Mitigation for individual actions may include a combination of the actions listed below:
1. Avoiding the impact altogether by not taking a certain action or parts of an action; or
2. Minimizing impacts by limiting the degree or magnitude of the action and its implementation, by using appropriate technology, or by taking affirmative steps to avoid or reduce impacts; or
3. Rectifying the impact by repairing, rehabilitating, or restoring the affected critical areas; or
4. Reducing or eliminating the impact over time by preservation or maintenance operations during the life of the development proposal; or
5. Compensating for the impact by replacing, enhancing, or providing substitute critical areas; and
6. Monitoring the impacts and compensation project, and taking appropriate corrective measures.
“Monitoring” means the collection of data by various methods for the purpose of understanding natural systems and features, evaluating the impact of development proposals on such systems, and assessing the performance of mitigation measures imposed as conditions of development.
“Monitoring and adaptive management” means the process of monitoring and improving permits, regulations, and programs to ensure the protection of critical areas.
“Native growth protection easement (NGPE)” means an easement granted to the town of Yarrow Point for the protection of native vegetation within a critical area or its associated buffer. The NGPE shall be recorded on the appropriate documents of title and filed with the King County recordings division.
“No net loss of critical areas” means the actions taken to achieve and ensure no overall reduction in existing ecosystem functions and values or the natural systems constituting the protected critical areas. This may involve fully offsetting any unavoidable impacts to critical area functions and values pursuant to the Growth Management Act, WAC 365-196- 830, Protection of critical areas, or as amended.
“Nonfederally regulated wetland” means a wetland that is not jurisdictional under the Federal Clean Water Act. Referred to in this chapter as “isolated wetlands,” these wetlands remain regulated under state and local laws and rules, whether or not they are protected by federal law.
“Ordinary high water mark (OHWM)” means the mark that will be found by examining the bed and banks of a stream and ascertaining where the presence and action of waters are so common and usual, and so long maintained in all ordinary years, that the soil has a character distinct from that of the abutting upland, in respect to vegetation. In any area where the ordinary high water mark cannot be found, the line of mean high water shall substitute. In braided channels and alluvial fans, the ordinary high water mark or substitute shall be measured so as to include the entire stream feature.
“Person” means any person, firm, partnership, corporation, group, governmental agency, or other entity.
“Practical alternative” means an alternative that is available and capable of being carried out after taking into consideration cost, existing technology, and logistics in light of overall project purposes, and having less impacts to critical areas.
“Priority habitat” means a habitat type with unique or significant value to many species. An area identified and mapped as priority habitat has one or more of the following attributes: comparatively high fish and wildlife density, comparatively high fish and wildlife species diversity, important fish and wildlife breeding habitat, important fish and wildlife seasonal ranges, important fish and wildlife movement corridors, limited availability, high vulnerability to habitat alteration, and unique or dependent species.
“Priority species” means fish and wildlife species requiring protective measures and/or management actions to ensure their survival. A species identified and mapped as priority species fit one or more of the following criteria: state-listed candidate species, vulnerable aggregations, and species of recreational, commercial, and/or tribal importance.
“Qualified professional” means a person with experience and training in the pertinent scientific discipline, and who is a qualified expert with expertise appropriate for the relevant critical area subject in accordance with WAC 365-195-905(4). A qualified professional must have obtained a B.S. or B.A. or equivalent degree in biology, engineering, environmental sciences, fisheries, geomorphology or a related field, and two years of related work experience.
1. A qualified professional for habitats or wetlands must have a degree in biology or a related environmental science and professional experience related to the subject.
2. A qualified professional for a geological hazard must be a professional engineer or geologist, licensed in the state of Washington.
3. A qualified professional for critical aquifer recharge areas must be a hydrologist, geologist, engineer, or other scientist with experience in preparing hydrological assessments.
“Riparian habitat” means areas adjacent to aquatic systems with flowing water that contain elements of both aquatic and terrestrial ecosystems that mutually influence each other.
“Salmonid” means a member of the fish family Salmonidae. In King County: chinook, coho, chum, sockeye, and pink salmon; cutthroat, brook, brown, rainbow, and steelhead trout; kokanee; and native char (bull trout and Dolly Varden).
“Section 404 permit” means a permit issued by the Army Corps of Engineers for the placement of dredge or fill material waterward of the ordinary high water mark or clearing in waters of the United States, including wetlands, in accordance with 33 U.S.C. 1344.
“Seismic hazard area” means areas that are subject to severe risk of damage as a result of earthquake-induced ground shaking, slope failure, settlement, or soil liquefaction.
“Steep slopes” means those slopes 40 percent or steeper within a vertical elevation change of at least 10 feet. A slope is defined by establishing its toe and top and is measured by averaging the inclination over at least 10 feet of vertical relief. For the purpose of this definition:
1. The toe of slope is a distinct topographical break in slope that separates slopes inclined at less than 40 percent from slopes 40 percent or steeper. When no distinct break exists, the toe of slope of a steep slope is the lowermost limit of the area where the ground surface drops 10 feet or more vertically within a horizontal distance of 25 feet; and
2. The top of slope is a distinct, topographical break in slope that separates slopes inclined at less than 40 percent from slopes 40 percent or steeper. When no distinct break exists, the top of slope is the uppermost limit of the area where the ground surface drops 10 feet or more vertically within a horizontal distance of 25 feet.
“Stream” means water contained within a channel, either perennial or intermittent, and classified according to WAC 222-16-030 or 222-16-031 and as listed under the water typing system. Streams also include natural watercourses modified by humans. Streams do not include irrigation ditches, waste ways, drains, outfalls, operational spillways, channels, stormwater runoff facilities, or other wholly artificial watercourses, except those that directly result from the modification to a natural watercourse.
“Town planner” means the individual, person, or firm, hired by the town to serve as the town planner and/or advise on planning, zoning, and land use matters. “Town planner” also includes any designated agent thereof.
“Water dependent use” means a use or portion of a use which cannot exist in a location that is not adjacent to the water and which is dependent on the water by reason of the intrinsic nature of its operations. Examples of water-dependent uses include: ports; boat launching areas; marinas; aquaculture; float plane facilities; and ship and boat building or repair. Aesthetic considerations, such as view corridors, shall not qualify a use as water dependent.
“Water typing system” means how waters are classified according to WAC 222-16-030:
1. “Type S water” means all waters, within their bankfull width, as inventoried as “shorelines of the state” under Chapter 90.58 RCW and the rules promulgated pursuant to Chapter 90.58 RCW including periodically inundated areas of their associated wetlands.
2. “Type F water” means segments of natural waters other than Type S waters, which are within the bankfull widths of defined channels and periodically inundated areas of their associated wetlands, or within lakes, ponds, or impoundments having a surface area of one-half acre or greater at seasonal low water and which in any case contain fish habitat or are described by one of the following four categories:
a. Waters, which are diverted for domestic use by more than 10 residential or camping units or by a public accommodation facility licensed to serve more than 10 persons, where such diversion is determined by the department to be a valid appropriation of water and the only practical water source for such users. Such waters shall be considered to be Type F water upstream from the point of such diversion for 1,500 feet or until the drainage area is reduced by 50 percent, whichever is less;
b. Waters, which are diverted for use by federal, state, tribal or private fish hatcheries. Such waters shall be considered Type F water upstream from the point of diversion for 1,500 feet, including tributaries if highly significant for protection of downstream water quality. The department may allow additional harvest beyond the requirements of Type F water designation, provided the department determines after a landowner-requested on-site assessment by the Department of Fish and Wildlife, Department of Ecology, the affected tribes and interested parties that:
i. The management practices proposed by the landowner will adequately protect water quality for the fish hatchery; and
ii. Such additional harvest meets the requirements of the water type designation that would apply in the absence of the hatchery;
c. Waters, which are within a federal, state, local, or private campground having more than 10 camping units; provided, that the water shall not be considered to enter a campground until it reaches the boundary of the park lands available for public use and comes within 100 feet of a camping unit, trail or other park improvement;
d. Riverine ponds, wall-based channels, and other channel features that are used by fish for off-channel habitat. These areas are critical to the maintenance of optimum survival of fish. This habitat shall be identified based on the following criteria:
i. The site must be connected to a fish habitat stream and accessible during some period of the year; and
ii. The off-channel water must be accessible to fish.
3. “Type Np water” means all segments of natural waters within the bankfull width of defined channels that are perennial nonfish habitat streams. “Perennial streams” are flowing waters that do not go dry any time of a year of normal rainfall and include the intermittent dry portions of the perennial channel below the uppermost point of perennial flow.
4. “Type Ns water” means all segments of natural waters within the bankfull width of the defined channels that are not Type S, F, or Np waters. These are seasonal, nonfish habitat streams in which surface flow is not present for at least some portion of a year of normal rainfall and are not located downstream from any stream reach that is a Type Np water. Ns waters must be physically connected by an aboveground channel system to Type S, F, or Np waters.
“Wetland” means those areas that are inundated or saturated by ground or surface water at a frequency and duration sufficient to support, and that under normal circumstances do support, a prevalence of vegetation adapted for life in saturated soil conditions. Wetlands generally include swamps, marshes, bogs, and similar areas. Wetlands do not include those artificial wetlands intentionally created from nonwetland sites, including, but not limited to, swamps, canals, detention facilities, wastewater treatment facilities, farm ponds, and landscape amenities, or those wetlands created after July 1, 1990, that were unintentionally created as a result of the construction of a road, street, or highway. Wetlands may include those artificial wetlands intentionally created from nonwetland areas to mitigate conversion of wetlands.
“Wetland classifications” means that there are three general types of wetlands as classified by the U.S. Fish and Wildlife Service (Cowardin et al., 1979):
1. Emergent. A wetland with at least 30 percent of the surface area covered by erect, rooted, herbaceous vegetation extending above the water surface as the uppermost vegetation strata;
2. Forested. A wetland with at least 20 percent of the surface area covered by woody vegetation greater than 20 feet in height; and
3. Scrub-Shrub. A wetland with at least 30 percent of its surface area covered by woody vegetation less than 20 feet as the uppermost strata.
“Wetland edge” means the delineation of the wetland edge shall be in accordance with the approved federal wetland delineation manual and applicable regional supplements as per WAC 173-22-035.
“Wetlands rating system” means wetlands shall be rated according to the Washington State Wetland Rating System for Western Washington, Department of Ecology, 2014, Publication No. 23-06-009 or as revised. (Ord. 778 § 2 (Att. A), 2025)
19.06.040 Maps and inventories.
The town has prepared a series of maps which approximate boundaries for the following critical areas within the town limits:
A. Geologically hazardous areas;
B. Wetlands;
C. Floodplains and floodways;
D. Shorelines;
E. Creeks;
F. Streams;
G. Natural drainage courses;
H. Priority habitats and species.
These maps provide only approximate boundaries of known features and are not adequate substitutes for more detailed maps and/or studies that could identify alternative locations of known features or additional critical area features not illustrated on the map. Copies of the maps are available for viewing at the Yarrow Point Town Hall. (Ord. 778 § 2 (Att. A), 2025)
19.06.050 Applicability, exemptions, exceptions, and allowed uses.
A. Applicability.
1. The provisions of this chapter shall apply to all lands, all land uses and development activity, and all structures and facilities in the town, whether or not a permit or authorization is required, and shall apply to every person that owns or leases land within the town of Yarrow Point. No person, company, agency, or applicant shall alter a critical area or buffer except as consistent with the purpose and requirements of this chapter.
2. The town of Yarrow Point shall not approve any development proposal or otherwise issue any authorization to alter the condition of any land, water, or vegetation, or to construct or alter any structure or improvement in, over, or on a critical area or associated buffer, without first assuring compliance with the requirements of this chapter.
a. Development proposals include proposals that require any of the following:
i. Building permit;
ii. Grading and/or site development permit;
iii. Shoreline substantial development permit;
iv. Shoreline conditional use permit;
v. Shoreline variance;
vi. Shoreline exemption;
vii. Right-of-way permit;
viii. Street excavation permit;
ix. Conditional use permit;
x. Variance permit;
xi. Subdivision;
xii. Short subdivision;
xiii. Binding site plan;
xiv. Tree removal permit;
xv. Any other permits that the town planner deems required to comply with the terms of this chapter; or
xvii. Any subsequently adopted permits or required approvals not expressly exempted from these regulations.
3. Approval of a permit or development proposal pursuant to the provisions of this chapter does not discharge the obligation of the applicant to comply with the provisions of this chapter.
B. Exemptions. The following developments, activities, or uses, or portions thereof, may be exempt as set forth below, provided the applicant has applied for and received a critical area exemption permit and the development, activities, and uses are consistent with the provisions of other local, state, and federal laws and requirements:
1. Development and activities occurring in all isolated Category IV wetlands less than 4,000 square feet are exempt from the provisions of this chapter; provided, that the isolated Category IV wetlands in question:
a. Are not associated with riparian areas or their buffers;
b. Are not associated with shorelines of the state or their associated buffers;
c. Are not part of a wetland mosaic;
d. Do not score six or more points for habitat function based on the 2014 update to the Washington State Wetland Rating System for Western Washington: 2014 Update (Ecology Publication No. 14-06-029, or as revised and approved by the Department of Ecology); and
e. Do not contain a priority habitat or a priority area for a priority species identified by the Washington Department of Fish and Wildlife, do not contain federally listed species or their critical habitat.
2. Development and activities occurring in wetlands less than 1,000 square feet that meet the criteria of subsection (B)(1) of this section and do not contain federally listed species or their critical habitat are exempt from the buffer provisions contained in this chapter.
3. Residential building permits are exempt from the buffer requirements of this chapter when the development proposal involves:
a. Structural modification of, addition to or replacement of, an existing residential structure or construction of a new residential structure where construction and associated disturbance are clearly equal to or greater than 225 feet from the nearest critical area which shall be verified by the town planner; or
b. Structural modification of, addition to, or replacement of an existing residential structure lawfully established prior to the effective date of the ordinance codified in this chapter that does not meet the critical area buffer requirements may be approved only if the modification, addition, replacement or related activity is located opposite and away from the critical area, and does not increase the existing footprint within the critical area buffer by more than 1,000 square feet.
4. Utilities.
a. Normal operation, maintenance, and repair of existing utilities infrastructure are exempt from the provisions of this chapter. Operation, maintenance or repair of existing structures, infrastructure improvements, existing utilities, public or private roads, dikes, levees, or drainage systems, including routine vegetation management activities when performed in accordance with approved best management practices, if the activity does not increase risk to life or property as a result of the proposed operation, maintenance or repair.
b. Replacement, modification, installation or construction of utility facilities, lines, pipes, mains, equipment or appurtenances, not including substations, when such facilities are located within the improved portion of the public right-of-way or a town-authorized private roadway, are exempt from the provisions of this chapter, except those activities that alter a wetland or watercourse, such as culverts or bridges, or result in the transport of sediment or increased stormwater. Such activities that alter a wetland or watercourse are subject to the following:
i. Critical area and/or buffer widths shall be increased, where possible, equal to the width of the right-of-way improvement, including disturbed areas; and
ii. Retention and replanting of native vegetation shall meet no net loss standards at the completion of the project.
c. The following minor utility projects may be exempt from the buffer requirements of this chapter; provided, that the project will have minor or short-term impacts to critical areas, as determined by town planner in accordance with the criteria below; and further provided, that such projects are constructed with best management practices and additional restoration measures are provided. Such allowed minor utility projects shall meet the following criteria:
i. The project does not result in the transport of sediment nor increase stormwater runoff;
ii. There is no practical alternative to the proposed activity with less impacts on critical areas and all attempts have been made to first avoid impacts, minimize impacts, and lastly mitigate unavoidable impacts;
iii. The activity involves the placement of a utility pole, street sign, anchor, vault, or other small component of a utility facility;
iv. The activity involves disturbance of an area less than 75 square feet;
v. The activity will not reduce the existing functions and values of the affected critical areas; and
vi. Unavoidable impacts will be mitigated pursuant to an approved mitigation plan.
C. Reasonable Use Exceptions.
1. Purpose. The standards and requirements of this chapter are not intended and shall not be construed or applied in a manner to deny all reasonable use of property. The purpose of a reasonable use exception is to ensure no private property owner is denied all reasonable use of their property nor prohibit a development proposal by a public agency or public utility or private utility that is essential to its ability to provide service, the agency or utility or property owner (“applicant”) may apply for an exception pursuant to this section. If an applicant demonstrates to the satisfaction of the hearing examiner that strict application of these standards would deny all reasonable use of a property, development may be permitted subject to appropriate conditions. A reasonable use exception is intended as a “last resort” when no plan and/or mitigation can meet the requirements of this chapter and allow the applicant a reasonable viable use of their property.
2. Reasonable Use Exception Request and Review Process. An application for a reasonable use exception shall be made to the town and shall include:
a. Contents of a complete application. The town planner shall prepare an application form that shall include:
i. A completed application form;
ii. The names, addresses, and phone numbers of the applicant and all owners of the property, along with a signed letter or other verification of the owner’s consent to the application;
iii. A legal description of the property, property address, and associated tax parcel number;
iv. A vicinity map showing the location of the property including surrounding streets, private lanes, shorelines and other reference points;
v. A description of the proposed development site, including the entire critical area and the setbacks or buffers as required under this title, whether the critical area is wholly contained on the development site or not;
vi. An analysis of the impact that the amount of development proposed, in accordance with all applicable development regulations, would have on the critical area;
vii. An analysis of whether any other reasonable use with less adverse impact on the critical area and buffer area, as required, is possible;
viii. A design of the project as proposed as a reasonable use so that the development will have the least practicable adverse impact on the critical area;
ix. A description and analysis of the modification requested of the minimum requirements of this chapter to accommodate the proposed development;
x. When required, SEPA checklist and/or other environmental documentation;
xi. The application fee;
xii. Such other information as may be required by the town planner as reasonable and necessary to evaluate the reasonable use respective to the proposed development.
b. Decision Maker. The hearing examiner shall review the applicant and shall approve, approve with conditions, or deny the request based on the proposal’s ability to comply with all of the reasonable use exception review criteria in subsection (C)(2)(c) of this section.
c. Review Process. The following process shall govern the review of reasonable use exception applications:
i. Public Notice. Reasonable use exceptions shall be subject to all applicable noticing requirements in YPMC 14.04.060.
ii. Public Hearing. Pursuant to YPMC 14.04.020, a public hearing is required for all reasonable use exception applications.
iii. Conditions of Approval. In approving a reasonable use exception, the hearing examiner may attach thereto such conditions that they deem to be necessary or desirable in order to carry out the intent and purposes of this chapter.
iv. Appeals. The action of the hearing examiner in granting or denying an application for a reasonable use exception is a final decision appealable to the King County superior court in accordance with Chapter 36.70C RCW.
v. Recording. The recipient of a reasonable use exception shall file the hearing examiner’s decision on title in accordance with this subsection. The reasonable use exception shall not be effective until such decision has been filed with the King County recorder’s office. If no appeal was filed on the decision, the hearing examiner’s decision shall be filed within 30 days of the expiration of all applicable appeal periods. The decision shall serve both as an acknowledgment of an agreement to abide by the terms and conditions of the reasonable use exception, and as a notice to prospective purchasers of the existence of the reasonable use exception.
vi. Expiration. The length of time during which a reasonable use exception is valid shall be as set forth in the hearing examiner’s decision. The date that the reasonable use exception expires shall be specified in the conditions of approval. Once a reasonable use exception has been approved and issued by the town, the approved reasonable use exception may continue as long as all conditions of approval are met.
vii. Extensions. The town planner may grant an extension of the period of reasonable use exception authorization when requested by the applicant at least 60 days prior to the expiration of the reasonable use exception. Extension requests shall be submitted in writing and set forth the justification for the request, which shall not be based on financial hardship alone. Only one extension may be granted for a period not to exceed 365 days.
viii. Modifications. Requested modifications to a reasonable use exception shall be reviewed pursuant to the requirements of this chapter and YPMC 14.04.120.
3. Approval Criteria. Reasonable use exception require all of the following criteria be met:
a. That no reasonable use with less impact on the critical area and/or the buffer is feasible and reasonable;
b. There is no feasible and reasonable on-site alternative to the proposed activity or use that would allow reasonable use with less adverse impacts to the critical area and/or buffer. Feasible on-site alternatives shall include, but are not limited to:
i. Relocation of proposed structures;
ii. Reduction in proposed density or building size;
iii. Phasing of project implementation;
iv. Change in timing of activities; and
v. Revision of road or parcel layout or related site planning considerations.
c. There are no practical alternatives available to the applicant for development of the property. An alternative is practical if the property or site is available and the project is capable of being done after taking into consideration existing technology, infrastructure, and logistics in light of the overall project purpose;
d. The proposed activity or use will be mitigated to the maximum practical extent and result in the minimum feasible alteration or impairment of functional characteristics of the site, including contours, vegetation and habitat, ground water, surface water, and hydrologic conditions, and consideration has been given to best available science;
e. There will be no material damage to nearby public or private property and no material threat to the health or safety of people on or off the property;
f. The proposed activity or use complies with all local, state, and federal laws and the applicant has applied for or obtained all required state and federal approvals; and
g. The inability to derive reasonable use is not the result of actions by the applicant in segregating or dividing the property.
4. Reasonable use exceptions shall allow the development of a residential home which is reduced in terms of structure area, and structure height on a lot that is partially or completely within a critical area or its buffer. Such development shall:
a. Leave at least 70 percent of the lot undisturbed to protect the critical areas.
b. Have a maximum structure area of 15 percent.
c. Include the least amount of impervious area necessary to allow for vehicular access.
5. Lots for which a reasonable use exception has been received shall not be subdivided unless there is sufficient area to construct all buildings, driveways, landscaping, and yard areas without intruding on the critical area or buffer.
6. Lots may not be subdivided where the resulting lots may only be developed with a reasonable use exception.
D. Activities Allowed in Wetlands. The activities listed below are allowed in wetlands. These activities do not require submission of a critical area report, except where such activities result in a loss of the functions and values of a wetland or wetland buffer. These activities include:
1. Conservation or preservation of soil, water, vegetation, fish, shellfish, and/or other wildlife that does not entail changing the structure or functions of the existing wetland.
2. The harvesting of wild crops in a manner that is not injurious to natural reproduction of such crops and provided the harvesting does not require tilling of soil, planting of crops, chemical applications, or alteration of the wetland by changing existing topography, water conditions, or water sources.
3. Drilling for utilities/utility corridors under a wetland, with entrance/exit portals located completely outside of the wetland buffer; provided, that the drilling does not interrupt the groundwater connection to the wetland or percolation of surface water down through the soil column. Specific studies by a hydrologist are necessary to determine whether the groundwater connection to the wetland or percolation of surface water down through the soil column will be disturbed.
4. Enhancement of a wetland through the removal of nonnative invasive plant species. Removal of invasive plant species shall be restricted to hand removal unless permits from the appropriate regulatory agencies have been obtained for approved biological or chemical treatments. All removed plant material shall be taken away from the site and appropriately disposed of. Plants that appear on the Washington State Noxious Weed Control Board list of noxious weeds must be handled and disposed of according to a noxious weed control plan appropriate to that species. Revegetation with appropriate native species at natural densities is allowed in conjunction with removal of invasive plant species.
5. Educational and scientific research activities.
6. Normal and routine maintenance and repair of any existing public or private facilities within an existing right-of-way; provided, that the maintenance or repair does not expand the footprint of the facility or right-of-way.
7. Stormwater Management Facilities. A wetland or its buffer may be physically or hydrologically altered to meet the requirements of an LID, runoff treatment or flow control BMP if all of the following criteria are met:
a. The wetland is classified as a Category IV or a Category III wetland with a habitat score of three to five points; and
b. There will be no net loss of functions and values of the wetland; and
c. The wetland does not contain a breeding population of any native amphibian species; and
d. The hydrologic functions of the wetland can be improved as outlined in questions 3, 4, 5 of Chart 4 and questions 2, 3, 4 of Chart 5 in the “Guide for Selecting Mitigation Sites Using a Watershed Approach,” or the wetland is part of a priority restoration plan that achieves restoration goals identified in a shoreline master program or other local or regional watershed plan; and
e. The wetland lies in the natural routing of the runoff, and the discharge follows the natural routing; and
f. All regulations regarding stormwater and wetland management are followed, including but not limited to local and state wetland and stormwater codes, manuals, and permits; and
g. Modifications that alter the structure of a wetland or its soils will require permits. Existing functions and values that are lost would have to be compensated/replaced.
E. Applicability of Other Regulations. Compliance with the provisions of this chapter does not constitute compliance with other federal, state, and local regulations and permit requirements that may be required (for example, shoreline substantial development permits, HPA permits, Army Corps of Engineers Section 404 permits, NPDES permits).
F. The applicant is responsible for complying with these requirements, apart from the process established in this chapter.
G. Emergencies that threaten public health, safety, welfare, or risk of damage to property and that require remedial or preventative action in a time frame too short to allow for compliance with the requirements of this chapter are exempt from the provisions of this chapter except as follows:
1. Emergencies that create an impact to a critical area or its buffer shall use reasonable methods to address the emergency; in addition, they must have the least possible impact to the critical area and/or its buffer. After the emergency, the person undertaking the action shall be subject to regular permitting requirements and shall fully restore and/or mitigate any impacts to the critical area and buffers resulting from the emergency action in accordance with the required provisions of this chapter.
2. The restoration and/or mitigation must be initiated within one year of the date of the emergency and completed in a timely manner. (Ord. 778 § 2 (Att. A), 2025)
19.06.060 Nonconforming uses.
A. Purpose. The purpose of this section establishes the terms and conditions for continuing nonconforming uses, structures and lots which are lawfully established prior to the effective date of the ordinance codified in this title.
B. Standards.
1. A legally established nonconforming lot, use or structure shall be deemed a legal nonconforming lot, use or structure and may be continued, transferred or conveyed and/or used as if conforming.
2. The burden of establishing that any nonconforming lot, use or structure lawfully existed as of the effective date of the ordinance codified in this chapter shall, in all cases, rest with the owner and not with the town.
C. Maintenance and Repair of Nonconforming Structures. Normal maintenance and incidental repair of legal nonconforming structures shall be permitted; provided, that it complies with all the sections of this chapter and other pertinent chapters of this code.
D. Reconstruction. Reconstruction, restoration or repair of a legal nonconforming structure damaged by fire, flood, earthquake or other disasters shall be permitted; provided, that such reconstruction shall not result in the expansion of the nonconforming structure.
E. Expansion of Nonconforming Use or Structure. No legal nonconforming use or structure may be expanded, enlarged, or extended in any way (including extension of hours of operation) unless such modification is in full compliance with this chapter or the terms and conditions of approved permits pursuant to this chapter. (Ord. 778 § 2 (Att. A), 2025)
19.06.070 Critical areas studies.
A. Studies Required. When sufficient information to evaluate a proposal is not available, the town planner or their designee shall notify the applicant that a critical areas report is required. The town may hire an independent qualified professional to verify that a critical areas report is necessary and may be used to review the subsequent report. Critical areas reports shall be written by a qualified professional, as defined in YPMC 19.06.030. A critical areas report shall include a site analysis, a discussion of potential impacts, and specific mitigation measures designed to mitigate potential unavoidable impacts. A monitoring program may be required to evaluate the effectiveness of mitigating measures. These studies may be part of an expanded environmental checklist or included in an environmental impact statement.
B. Timing and Use of Studies. When an applicant submits an application for any development proposal, it shall indicate whether any critical areas or buffers are located on or adjacent to the site. If a critical area report is required, the town may retain consultants, at the applicant’s expense, to assist in review of studies. The presence of critical areas may require additional time for review.
C. General Critical Areas Report Requirements. A critical areas report shall have four components: (1) a site analysis, (2) mitigation sequencing analysis, (3) an impact analysis, and (4) proposed mitigation measures. More or less detail may be required for each component depending on the size of the project, severity, and potential impacts. The town planner may waive the requirement of any component when adequate information is otherwise available. All studies shall contain the following information unless it is already available in the permit application:
1. Map of the project area at a one-to-20 or larger scale including:
a. Reference streets and property lines;
b. Existing and proposed easements, rights-of-way, and structures;
c. Contour intervals, as determined by the town planner;
d. Hydrology. Show surface water features both on and adjacent to the site; show any water movement into, through, and off the project area; show stream and wetlands classifications; show seeps, springs, and saturated soil zones; and label wetlands not found on the town inventory maps as uninventoried; and
e. Location of buffer and building setback lines (if required or proposed).
2. Written report detailing:
a. How, when, and by whom the report was performed (including methodology and techniques);
b. Weather conditions during and prior to any field studies if relevant to conclusions and recommendations;
c. Description of the project site and its existing condition;
d. The total acreage of the site in critical area(s) and associated buffers;
e. The proposed action and potential environmental impact of the proposed project to the critical area(s) ecological functions and values;
f. A mitigation sequencing analysis;
g. The mitigation measures proposed to avoid or lessen the project impacts (during construction and permanently) that demonstrate the following considerations at minimum:
i. Alternative building locations on the property;
ii. Adjustments to the project footprint and orientation;
iii. Modification of non critical area setbacks, where feasible, as a first option before encroaching into critical areas or their buffers;
iv. Multistory design or alternate building design; and
h. When alteration to the critical area or its buffer is proposed, include a mitigation plan as specified by this chapter.
D. Additional Wetland Report Requirements. In addition, for wetlands, reports shall include the following:
1. On the map:
a. The wetland edge;
b. The edge of the 100-year floodplain, if appropriate;
c. The location of any existing or proposed utility easements, rights-of-way, and trail corridors;
d. The location of any proposed wetland area(s) to be created through mitigation measures; and
e. The location of any proposed wetland alteration or fill.
2. In the report:
a. Description of the wetland by classification and general condition of wetland;
b. Description of vegetation species and community types present in the wetland and surrounding buffer;
c. Description of soil types within the wetland and the surrounding buffer using the USDA Soil Conservation Service soil classification system;
d. Description of hydrologic regime and findings;
e. Description of habitat features present and determination of actual use of the wetland by any endangered, threatened, rare, sensitive, or unique species of plants or wildlife as listed by the federal government or state of Washington;
f. Description of existing wetland and buffer functions and values;
g. Description of any proposed alteration to the wetland or its buffer including, but not limited to, filling, dredging, modification for stormwater detention, clearing, grading, restoring, enhancing, grazing or other physical activities that change the existing vegetation, hydrology, soils or habitat;
h. If applicable, description of potential impacts to wetland functions and values and description of any proposed mitigation measures; and
i. Description of local, state, and federal regulations and permit requirements.
j. Documentation of any fieldwork performed on the site, including but not limited to field data sheets for delineations, rating system forms, and baseline hydrologic data.
E. Additional Stream Report Requirements. In addition, for streams (including drainage ditches), reports shall include the following information:
1. On the map:
a. The location of the ordinary high water mark;
b. The toe of any slope 25 percent or greater within 25 feet of the ordinary high water mark;
c. The location of any proposed or existing stream crossing, utility easements, rights-of-way and trails; and
d. The edge of the existing 100-year floodplain and, if applicable, the edge of the floodway.
2. In the report:
a. Characterization of riparian (streamside) vegetation species, composition, and habitat function;
b. Description of the soil types adjacent to and underlying the stream, using the soil conservation service soil classification system;
c. Determination of the presence or absence of fish, and reference sources; and
d. When stream alteration is proposed, include stream width and flow, stability of the channel, type of substratum, discussions of infiltration capacity and biofiltration as compared to the stream prior to alteration, presence of hydrologically linked wetlands, analysis of fish and wildlife habitat, and proposed floodplain limits.
F. Additional Flood Hazard Report Requirements. In addition, for areas in flood hazards, reports shall include the following information:
1. On the map:
a. The location of all floodplains in the development;
b. The location of the floodway where it has been delineated on the most recent flood insurance rate map (FIRM);
c. Where basin plans have been completed and adopted, the location of the floodplain and floodways shall be based upon the hydrologic and hydraulic analysis;
d. Identification of all proposed structures and grading within the floodplain.
2. In the report:
a. Identify how the boundaries of the floodways and floodplain were determined;
b. Record the elevation of National Geodetic Vertical Datum (NGVD) of the lowest floor of all new or substantially improved structures proposed in the existing floodplain.
G. Additional Geologically Hazardous Area Report Requirements. For geologically hazardous areas, reports shall include the following information:
1. On the map:
a. All geologically hazardous areas within or adjacent to the project area or that have potential to be affected by the proposal;
b. The top and toe of slope. (Note: These should be located and flagged in the field subject to town planner review);
c. The location of any existing or proposed trails or utility corridors; and
d. All drainage plans for discharge of stormwater runoff from developed areas.
2. In the report:
a. A geological description of the site;
b. A discussion of any evidence of existing instability, significant erosion or seepage on the slope;
c. A discussion of the depth of weathered or loosened soil on the site and the nature of the weathered and underlying basement soils;
d. An estimate of load capacity, including surface water and groundwater conditions, public and private sewage disposal system, fill and excavations, and all structural development;
e. Recommendations for building limitations, structural foundations, and an estimate of foundation settlement;
f. A complete discussion of the potential impacts of seismic activity on the site;
g. Recommendations for management of stormwater for any development above the top of slope;
h. A description of the nature and extent of any colluvium or slope debris near the toe of slope in the vicinity of any proposed development; and
i. Recommendations for appropriate building setbacks, grading restrictions, and vegetation management and erosion control for any proposed development in the vicinity of the geologically hazardous areas.
H. Additional Fish and Wildlife Habitat Conservation Habitat Report Requirements.
1. In the Report. An assessment of habitats including the following site and proposal-related information:
a. A detailed description of vegetation on and adjacent to the project area;
b. Identification of any species of local importance; priority species; or endangered, threatened, sensitive or candidate species that have a primary association with habitat on or adjacent to the project area, and assessment of potential project impacts to the use of the site by the species;
c. A discussion of any federal, state, or local species management recommendations, including the State Department of Fish and Wildlife habitat management recommendations, that have been developed for species or habitat located on or adjacent to the project area;
d. A detailed discussion of the potential impacts on habitat by the project, including potential impacts to water quality;
e. A discussion of measures, including avoidance, minimization, and lastly mitigation, proposed to preserve existing habitats and restore any habitat that was degraded prior to the current proposed land use activity and to be conducted in accordance with the mitigation sequencing; and
f. A discussion of ongoing management practices that will protect habitat after the project site has been developed, including proposed monitoring and maintenance programs. (Ord. 778 § 2 (Att. A), 2025)
19.06.080 Protection and mitigation measures.
The town of Yarrow Point will use the following methods and mechanisms to accomplish the purposes of the critical areas regulations. This section shall be applied to all approved development applications and alterations when action is taken to implement the proposed action.
A. Native Growth Protection Easements. A native growth protection easement (NGPE) is an easement granted to the town for the protection of a critical area and/or its associated buffer. NGPEs shall be required as specified in these rules and shall be recorded on all subdivisions, short subdivisions, and final development permits and all documents of title and with the county recorder at the applicant’s expense. The required language is as follows:
Dedication of a native growth protection easement (NGPE) conveys to the public a beneficial interest in the land within the easement. This interest includes the preservation of existing vegetation for all purposes that benefit the public health, safety and welfare, including control of surface water and erosion, maintenance of slope stability, visual and aural buffering, and protection of plant and animal habitat. The NGPE imposes upon all present and future owners and occupiers of land subject to the easement the obligation, enforceable on behalf of the public of the town of Yarrow Point, to leave undisturbed all trees and other vegetation within the easement in perpetuity. The vegetation in the easement may not be cut, pruned, covered by fill, removed, or damaged without express permission from the town of Yarrow Point, which permission must be obtained in writing.
Before beginning and during the course of any grading, building construction or other development activity on a lot or development site subject to the NGPE, the common boundary between the easement and the area of development activity must be fenced or otherwise marked to the satisfaction of the town of Yarrow Point.
B. Critical Area Tracts. Critical area tracts are legally created nonbuilding lots containing critical areas and their buffers that shall remain undeveloped pursuant to the critical areas regulations. Separate critical area tracts are an integral part of the lot in which they are created; are not intended for sale, lease or transfer; and shall be incorporated in the area of the parent lot for purposes of subdivision and method of allocation and minimum lot size. The following development proposals shall identify such areas as separate tracts:
1. Subdivisions.
2. Short subdivisions.
Responsibility for maintaining tracts shall be held by a homeowners’ association, adjacent lot owners, the permit applicant or designee, or other appropriate entity as approved by the town of Yarrow Point.
The following note shall appear on the face of all subdivisions and short subdivisions and shall be recorded on the title for all affected lots:
NOTE: All lots adjoining separate tracts identified as native growth protection easements are jointly and severally responsible for the maintenance and protection of the tracts. Maintenance includes ensuring that no alteration occurs within the separate tracts and that vegetation remains undisturbed unless the express written permission of the town of Yarrow Point has been received.
C. Building Setback Line (BSBL). Unless otherwise specified, a minimum BSBL of 10 feet is required from the edge of any separate tract, buffer or NGPE, whichever is greatest.
D. Marking and/or Fencing.
1. Temporary Markers. The outer perimeter of the wetland or buffer and the limits of those areas to be disturbed pursuant to an approved permit or authorization shall be marked in the field so no unauthorized intrusion will occur and is subject to inspection by the town planner or their designee prior to the commencement of permitted activities. This temporary marking shall be maintained throughout construction and shall not be removed until directed by town planner or their designee, prior to the placement of permanent signs and/or fencing, if required.
2. Permanent Marking and/or Fencing. Following the implementation of an approved development plan or alteration, the outer perimeter of the critical area or buffer that is not disturbed shall be permanently identified. This identification shall include permanent wood or metal signs on treated wood or metal posts. Signs shall be worded as follows:
Protection of this natural area is in your care.
Alteration or disturbance is prohibited. Please call the Town of Yarrow Point for more information.
The town shall approve sign locations during review of the development proposal. Along residential boundaries, the signs shall be at least four by six inches in size and spaced one per lot or every 150 feet for lots whose boundaries exceed 150 feet. At road endings, crossings, and other areas where public access to the critical area is allowed, the sign shall be a minimum of 18 by 24 inches in size and spaced one every 150 feet.
Domestic grazing animals shall be excluded from stream, wetlands, and associated buffers by permanent fencing when necessary unless otherwise approved by the town.
The town may require permanent fencing where there is a substantial likelihood of the presence of domestic grazing animals with the development proposal. The town shall also require such fencing when, subsequent to approval of the development proposal, domestic grazing animals are in fact introduced. The town may use any appropriate enforcement actions including, but not limited to, fines, abatement, or permit denial to ensure compliance.
E. Monitoring. The town will require monitoring in development proposals where alteration of critical areas or their buffers are approved. Such monitoring shall be an element of the required mitigation plan and shall document and track impacts of development on the functions and values of critical areas, and the success and failure of mitigation requirements. Monitoring may include, but is not limited to:
1. Establishing vegetation transects or plots to track changes in plant species composition over time;
2. Using aerial or other photography to evaluate vegetation community response;
3. Sampling surface waters and groundwaters to determine pollutant loading;
4. Measuring base flow rates and storm water runoff to model and evaluate water quantity predictions;
5. Measuring sedimentation rates; and
6. Sampling fish and wildlife populations to determine habitat utilization, species abundance, and diversity.
The property owner will be required to submit monitoring data and reports to the town on an annual basis or other schedule as required by the town planner. Monitoring shall continue for a period of five years or for a period necessary to establish that the mitigation performance standards have been met.
When monitoring reveals a significant deviation from predicted impacts or a failure of mitigation measures, the applicant shall be responsible for appropriate corrective action. Contingency plans developed as part of the original mitigation plan shall apply, but may be modified to address a specific deviation or failure. Contingency plan measures shall be subject to the monitoring requirement to the same extent as the original mitigation measures.
As a condition of approval for any project for which monitoring is required pursuant to this section, the applicant shall be required to record the monitoring requirements on a form approved by the town of Yarrow Point so that subsequent purchasers of the property subject to the monitoring requirements are bound by and aware of the requirements.
F. Notice on Title.
1. In order to inform subsequent purchasers of real property of the existence of critical areas, the owner of any real property containing a critical area or buffer on which a development proposal is submitted shall file a notice with the recordings division of King County. The notice shall state the presence of the critical area or buffer on the property, of the application of this title to the property, and the fact that limitations on actions in or affecting the critical area or buffer may exist. The notice shall run with the property.
2. This notice on title shall not be required for a development proposal by a public agency or public or private utility:
a. Within a recorded easement or right-of-way;
b. Where the agency or utility has been adjudicated the right to an easement or right-of-way; or
c. On the site of a permanent public facility.
3. The applicant shall submit proof that the notice has been filed for public record before the town of Yarrow Point approves any development proposal for the property or, in the case of subdivisions and short subdivisions, at or before recording.
G. Fees. The applicant is responsible for the initiation, preparation, submission, and expense of all required reports, assessment(s), studies, plans, reconnaissance(s), peer review by qualified consultants, and other work prepared in support of, or necessary for, the town of Yarrow Point critical areas review processing.
H. Performance Standards. Subdivisions and short subdivisions of land in critical areas and associated buffers are subject to the following:
1. Land that is wholly within a critical area or associated buffer may not be subdivided.
2. Land that is partially within a critical area or associated buffer area may be subdivided; provided, that an accessible and contiguous portion of each new lot is:
a. Located outside the critical area and buffer; and
b. Large enough to accommodate the intended use.
3. Accessory roads and utilities serving the proposed subdivision may be permitted within the critical area and associated buffer only if the town planner or their designee determines that no other feasible alternative exists and when consistent with this chapter. (Ord. 778 § 2 (Att. A), 2025)
19.06.090 Wetland development standards.
A. General Standards. Activities and uses shall be prohibited from wetlands and wetland buffers, except as provided by this chapter. The following activities may only be permitted in a wetland or wetland buffer if the applicant can demonstrate that the activity will result in no net loss of the functions and values of the wetland and other critical areas:
1. Category I Wetlands. Activities and uses shall be prohibited from Category I wetlands, except as provided in the public agency and utility exception, reasonable use exception, and variance provisions of this title.
2. Category II and III Wetlands. The following standards shall apply to Category II and III wetlands:
a. Water-dependent activities as provided for under the town’s shoreline master program may be allowed where there are no practicable alternatives that would have a less adverse impact on the wetland and other critical areas.
b. Where nonwater-dependent activities are proposed, it shall be presumed that alternative locations are available, and activities and uses shall be prohibited, unless the applicant demonstrates that:
i. The basic project purpose cannot reasonably be accommodated on another site in the general region and successfully avoid, or result in less adverse impacts on, a wetland or its buffer;
ii. There are no feasible alternative designs of the project as proposed that would avoid, or result in less of an adverse impact on, a wetland or its buffer, such as a reduction in the size, scope, configuration, or density of the project.
3. Category IV Wetlands. Activities and uses that result in unavoidable and necessary impacts may be permitted in Category IV wetlands and associated buffers in accordance with an approved critical areas report and mitigation plan, and only if the proposed activity is the only reasonable alternative that will accomplish the applicant’s objective.
4. Property Access. Any wetland may be altered with the least possible impact and to the minimum extent necessary to gain access to developable property when no other alternative access exists. Alteration proposals shall be subject to town review and shall require compensation pursuant to a mitigation plan (see YPMC 19.06.080, Protection and mitigation measures).
5. Stormwater Management. Stormwater management facilities are not allowed in wetlands. Stormwater management facilities, limited to stormwater dispersion outfall and bioswales, may be allowed within the outer 25 percent of the buffer of Category III and IV wetlands only; provided, that:
a. No other location is feasible; and
b. The location of such facilities will not degrade the functions and values of the wetland.
6. Trails. Public and private trails may be allowed within all buffers where it can be demonstrated in a critical areas report that the wetland and wetland buffer functions and values will not be degraded by trail construction or use. Trail planning, construction, and maintenance shall adhere to the following criteria:
a. Trail alignment shall follow a path beyond a distance from the wetland edge equal to 75 percent of the buffer width except as needed to access viewing platforms.
b. Trails shall be constructed of pervious materials. The trail surface shall meet all other requirements, including water quality standards set forth in the stormwater manual as adopted or revised by the town.
c. Trail alignment shall avoid trees in excess of six inches in diameter of any tree trunk at a height of four and one-half feet above the ground on the upslope side of the tree. Unavoidable impacts to trees shall be mitigated at a three-to-one replacement ratio in addition to requirements of the tree code;
d. Trail construction and maintenance shall follow the U.S. Forest Service Trails Maintenance and Construction Notebook (FSH 1262, February 2025) or as revised;
e. Access trails to viewing platforms within the wetland may be provided. Trail access and platforms shall be aligned and constructed to minimize disturbance to valuable functions of the wetland or its buffer and still provide enjoyment of the resource;
f. Buffer widths shall be increased, where possible, equal to the width of the trail corridor, including disturbed areas; and
g. Equestrian trails shall provide measures to assure that runoff from the trail does not directly discharge to the wetland.
7. Utilities. Public and private utility corridors may be allowed within wetland buffers for Category II, III, and IV wetlands when no lesser impacting alternative alignment is feasible, and wetland and wetland buffer functions and values will not be degraded. Utilities, whenever possible, shall be constructed in existing, improved roads, drivable surface or shoulder, subject to compliance with road and maintenance BMPs, or within an existing utility corridor. Otherwise, corridor alignment, construction, restoration and maintenance shall adhere to the following criteria:
a. Corridor alignment shall follow a path beyond a distance from the wetland edge equal to 75 percent of the buffer width, except when crossing a Category IV wetland and its buffer;
b. Corridor construction and maintenance shall maintain and protect the hydrologic and hydraulic functions of the wetland and the buffer;
c. Corridors shall be fully revegetated with appropriate native vegetation upon completion of construction; and
d. Utilities requiring maintenance roads shall be prohibited in wetland buffers unless the following criteria are met:
i. There are no lesser impacting alternatives;
ii. Any required maintenance roads shall be no greater than 15 feet wide. Roads shall closely approximate the location of the utility to minimize disturbances; and
iii. The maintenance road shall be constructed of pervious materials and designed to maintain and protect the hydrologic functions of the wetland and its buffer.
B. Best Available Science. Any approval of alterations of impacts to a wetland or its buffer shall be supported by the best available science.
C. Native Growth Protection Easement/Critical Area Tract. As part of the implementation of approved development applications and alterations, wetlands and their buffers that remain undeveloped pursuant to the critical areas regulations, in accordance with YPMC 19.06.080, Protection and mitigation measures, shall be designated as native growth protection easements (NGPE). Any wetland and its associated buffer created as compensation for approved alterations shall also be designated as an NGPE. When the subject development is a formal subdivision or short subdivision, wetlands and their buffers shall be placed in a critical areas tract instead of an NGPE, as described in YPMC 19.06.080, Protection and mitigation measures.
D. Buffer Requirements. The following buffer widths have been established in accordance with the best available science. They are based on the category of wetland and the habitat score as determined by a qualified wetland professional using the Washington State Wetland Rating System for Western Washington: 2014 Update (Ecology Publication No. 14-06-029, or as revised and approved by the Department of Ecology). The adjacent land use intensity is assumed to be high.
Wetland buffers shall not include areas that are functionally and effectively disconnected from the wetland by a paved road or other substantially developed surface. This includes parking lots, walkways, and lawns that are of sufficient width and characteristic use such that buffer functions are not provided.
1. For wetlands that score six points or more for habitat function, the buffers in Table 19.06.090(D)(1) can be used if both of the following criteria are met:
a. A relatively undisturbed, vegetated corridor at least 100 wide is protected between the wetland and any other priority habitats as defined by the Washington State Department of Fish and Wildlife. The latest definitions of priority habitats and their locations are available on the WDFW website at: http://wdfw.wa.gov/hab/phshabs.htm.
The corridor must be protected for the entire distance between the wetland and the priority habitat by some type of legal protection such as a conservation easement.
Presence or absence of a nearby habitat must be confirmed by a qualified biologist. If no option for providing a corridor is available, Table 19.06.090(D)(1) may be used with the required measures in Table 19.06.090(D)(2) alone.
b. The measures in Table 19.06.090(D)(2) are implemented, where applicable, to minimize the impacts of the adjacent land uses.
2. For wetlands that score three to five habitat points, only the measures in Table 19.06.090(D)(2) are required for the use of Table 19.06.090(D)(1).
3. If an applicant chooses not to apply the mitigation measures in Table 19.06.090(D)(2), or is unable to provide a protected corridor where available, then Table 19.06.090(D)(3) must be used.
4. The buffer widths in Tables 19.06.090(D)(1) and 19.06.090(D)(3) assume that the buffer is vegetated with a native plant community appropriate for the ecoregion. If the existing buffer is unvegetated, sparsely vegetated, or vegetated with invasive species that do not perform needed functions, the buffer should either be planted to create the appropriate plant community or the buffer should be widened to ensure that adequate functions of the buffer are provided.
|
|
Buffer Width (In Feet) Based on Habitat Score |
||
|---|---|---|---|
|
Wetland Category |
3 – 5 |
6 – 7 |
8 – 9 |
|
Category I: Based on total score |
75 |
110 |
225 |
|
Category I: Bogs and wetlands of high conservation value |
190 |
225 |
|
|
Category I: Forested |
75 |
110 |
225 |
|
Category II: Based on score |
75 |
110 |
225 |
|
Category III (all) |
60 |
110 |
225 |
|
Category IV (all) |
40 |
||
|
Disturbance |
Required Measures to Minimize Impacts |
|---|---|
|
Lights |
• Direct lights away from wetland |
|
Noise |
• Locate activity that generates noise away from wetland |
|
• If warranted, enhance existing buffer with native vegetation plantings adjacent to noise source |
|
|
• For activities that generate relatively continuous, potentially disruptive noise, such as certain heavy industry or mining, establish an additional 10-foot heavily vegetated buffer strip immediately adjacent to the outer wetland buffer |
|
|
Toxic runoff |
• Route all new, untreated runoff away from wetland while ensuring wetland is not dewatered |
|
• Establish covenants limiting use of pesticides within 150 feet of wetland |
|
|
• Apply integrated pest management |
|
|
Stormwater runoff |
• Prevent channelized flow from lawns that directly enters the buffer |
|
• Use low impact development techniques (for more information refer to Chapter 20.04 YPMC) |
|
|
Change in water regime |
• Infiltrate or treat, detain, and disperse into buffer new runoff from impervious surfaces and new lawns |
|
Pets and human disturbance |
• Use privacy fencing or plant dense vegetation to delineate buffer edge and to discourage disturbance using vegetation appropriate for the ecoregion |
|
• Place wetland and its buffer in a separate tract or protect with a conservation easement |
|
|
Dust |
• Use best management practices to control dust |
|
|
Buffer Width (In Feet) Based on Habitat Score |
||
|---|---|---|---|
|
Wetland Category |
3 – 5 |
6 – 7 |
8 – 9 |
|
Category I: Based on total score |
100 |
150 |
300 |
|
Category I: Bogs and wetlands of high conservation value |
250 |
300 |
|
|
Category I: Forested |
100 |
150 |
300 |
|
Category II: Based on score |
100 |
150 |
300 |
|
Category III (all) |
80 |
150 |
300 |
|
Category IV (all) |
50 |
||
E. Additional Buffers. The town may require increased buffer sizes as necessary to protect wetlands when either the wetland is particularly sensitive to disturbance or the development poses unusual impacts. Examples of circumstances that may require buffers beyond minimum requirements include, but are not limited to:
1. Unclassified uses;
2. The wetland is in a critical drainage basin;
3. The wetland is a critical fish habitat for spawning or rearing as determined by the Washington Department of Fish and Wildlife;
4. The wetland serves an important groundwater recharge area as determined by a groundwater management plan;
5. The wetland acts as habitat for endangered, threatened, rare, sensitive, or monitor species;
6. The land adjacent to the wetland and its associated buffer and included in the development proposal is classified as an erosion hazard area; or
7. A trail or utility corridor in excess of 10 percent of the buffer width is proposed for inclusion in the buffer.
F. Buffer Averaging. The town will consider the allowance of wetland buffer averaging only when the buffer area width after averaging will not adversely impact the critical area and/or buffer functions and values. At a minimum, any proposed buffer averaging must also meet the following criteria:
1. The buffer area after averaging is no less than that which would be contained within the standard buffer; and
2. The buffer width shall not be reduced by more than 25 percent at any one point as a result of the buffer averaging.
G. Additional Wetland Mitigation Requirements. No net loss of wetland functions and values shall occur as a result of the overall project. If a wetland alteration is allowed, then the associated impacts will be considered unavoidable and the following mitigation measures to minimize and reduce wetland impacts shall be required, in addition to the requirements in YPMC 19.06.080, Protection and mitigation measures.
1. Restoration/rehabilitation is required when a wetland (or stream) or its buffers have been altered on the site in violation of town regulations prior to development approval and as a consequence its functions and values have been degraded. Restoration is also required when the alteration occurs in violation of town regulations during the construction of an approved development proposal. At a minimum, all impacted areas shall be restored to their previous condition pursuant to an approved mitigation plan.
2. Restoration/rehabilitation is required when a wetland (or stream) or its buffers will be temporarily altered during the construction of an approved development proposal. At a minimum, all impacted areas shall be restored to their previous condition pursuant to an approved mitigation plan.
3. Compensation. The overall aim of compensation is no net loss of wetland and/or buffer functions on a development site. Compensation includes replacement or enhancement of wetlands and/or buffer (stream) depending on the scope of the approved alteration and what is needed to maintain or improve wetland and/or buffer functions. Compensation for approved wetland and/or buffer alterations shall meet the following minimum performance standards and shall occur pursuant to an approved mitigation plan.
4. Mitigation shall achieve equivalent or greater biological functions. Mitigation plans shall be consistent with: Wetland Mitigation in Washington State: Part 1 – Agency Policies and Guidance Version 2, April 2021, Publication No. 21-06-003 and Wetland Mitigation in Washington State: Part 2 – Developing Mitigation Plans Version 1, March 2006, Publication No. 06-06-011b, or as revised.
a. Preference of Mitigation Actions. Mitigation actions that require compensation shall occur in the following order of preference:
i. Restoring wetlands on upland sites that were formerly wetlands.
ii. Creating wetlands on disturbed upland sites such as those with vegetation cover consisting primarily of exotic introduced species.
iii. Enhancing significantly degraded wetlands only after a minimum one-to-one replacement ratio has been met.
b. On Site and In-Kind. Unless otherwise approved, all wetland impacts shall be compensated for through restoration or creation of replacement wetlands that are in-kind, on site, and of similar or better wetland category. Mitigation shall be timed prior to or concurrent with the approved alteration and shall have a high probability of success. The following ratios shall apply to wetland restoration and creation for mitigation:
|
Category and Type of Wetland |
Creation or Reestablishment |
Rehabilitation |
Enhancement |
|---|---|---|---|
|
I (Bog and wetlands of high conservation value) |
Not considered possible |
Case by case |
Case by case |
|
I (Mature forested) |
6:1 |
12:1 |
24:1 |
|
I (Based on functions) |
4:1 |
8:1 |
16:1 |
|
II |
3:1 |
6:1 |
12:1 |
|
III |
2:1 |
4:1 |
8:1 |
|
IV |
1.5:1 |
3:1 |
6:1 |
c. Off Site and In-Kind. The town may consider and approve off-site compensation where the applicant can demonstrate that equivalent or greater biological and hydrological functions and values will be achieved. The compensation may include restoration, creation, or enhancement of wetland or streams so long as the project is within the same subdrainage basin. The compensation formulas required in subsection (G)(4)(b) of this section shall apply for off-site compensation as well.
d. Increased Replacement Ratios. The town planner may increase the ratios under the following circumstances:
i. Uncertainty exists as to the probable success of the proposed restoration or creation due to an unproven methodology or proponent; or
ii. A significant period will elapse between impact and replication of wetland functions; or
iii. The impact was unauthorized.
5. Decreased Replacement Ratios. The town planner may decrease the ratios required in subsection (G)(4)(b) of this section when all the following criteria are met:
a. A minimum replacement ratio of one to one will be maintained;
b. Documentation by a qualified wetlands specialist demonstrates that the proposed mitigation actions have a very high rate of success;
c. Documentation by a qualified wetlands specialist demonstrates that the proposed mitigation actions will provide functions and values that are significantly greater than the wetland being impacted; and
d. The proposed mitigation actions are conducted in advance of the impact and have been shown to be successful.
6. Wetland Enhancement as Mitigation.
a. Impacts to wetlands may be mitigated by enhancement of existing significantly degraded wetlands only after a one-to-one minimum acreage replacement ratio has been satisfied. Applicants proposing to enhance wetlands must produce a critical areas report that identifies how enhancement will increase the functions and values of the degraded wetland and how this increase will adequately mitigate for the loss of wetland function at the impact site.
b. At a minimum, enhancement acreage shall be four times the acreage required for creation acreage under subsection (G)(4)(b) of this section. The ratios shall be greater than four times the required acreage when the enhancement proposal would result in minimal gain in the performance of wetland functions currently provided in the wetland.
c. Mitigation Plans for Alterations to Wetlands and Wetland Buffers. Mitigation plans shall be consistent with the State Department of Ecology Wetland Mitigation in Washington State, Parts 1 and 2, or as revised. At a minimum, the following components shall be included in a complete mitigation plan:
i. Baseline Information. Provide existing conditions information for both the impacted critical area and the proposed mitigation site as described in YPMC 19.06.070(C), General Critical Area Report Requirements, and (D), Additional Wetland Report Requirements.
ii. Environmental Goals and Objectives. The mitigation plan shall include a written report identifying environmental goals and objectives of the compensation proposed and include:
(A) A description of the anticipated impacts to the critical areas and the mitigating actions proposed and the purposes of the compensation measures, including the site selection criteria, identification of compensation goals, identification of resource functions, and dates for beginning and completing site compensation construction activities. The goals and objectives shall be related to the functions and values of the impacted critical area; and
(B) A review of the best available science supporting the proposed mitigation.
iii. Performance Standards. The mitigation plan shall include measurable specific criteria for evaluating whether or not the goals and objectives of the mitigation project have been successfully attained and whether or not the requirements of this chapter have been met. They may include water quality standards, species richness and diversity targets, habitat diversity indices, or other ecological, geological, or hydrological criteria.
iv. Detailed Construction Plan. These are the written specifications and descriptions of mitigation techniques. This plan should include the proposed construction sequencing, grading and excavation details, erosion and sedimentation control features, a native planting plan, and detailed site diagrams and any other drawings appropriate to show construction techniques or anticipated final outcome.
v. Monitoring and/or Evaluation Program. The mitigation plan shall include a program for monitoring construction of the compensation project, and for assessing a completed project. A protocol shall be included outlining the schedule for site monitoring, and how the monitoring data will be evaluated to determine if the performance standards are being met. A monitoring report shall be submitted as needed to document milestones, successes, problems, and contingency actions of the compensation project. The compensation project shall be monitored for a minimum of five years, 10 years when establishing woody vegetation, or a period necessary to establish that performance standards have been met.
vi. Contingency Plan. This section identifies potential courses of action, and any corrective measures to be taken when monitoring or evaluation indicates projected performance standards have not been met. (Ord. 778 § 2 (Att. A), 2025)
19.06.100 Stream development standards.
A. General Standards. Activities may only be permitted in a stream or stream buffer if the applicant can show that the proposed activity will not degrade the functions and values of the stream, stream buffer, or other critical area.
1. Type S and F Streams. Activities and uses shall be prohibited in Type S and F streams except as provided for in the public agency and utility exception, reasonable use exception, and variance provisions of this title (see YPMC 19.06.050, Applicability, exemptions, exceptions, and allowed uses).
2. Type Np and Ns Streams. Activities and uses that result in unavoidable and necessary impacts may be permitted in Type Np and Ns streams and buffers in accordance with an approved critical areas report and mitigation plan, and only if the proposed activity is the only reasonable alternative that will accomplish the applicant’s objectives.
3. Stream Crossings. Stream crossings shall be minimized, but when necessary they shall conform to the following standards as well as other applicable laws (see the State Department of Fish and Wildlife, or the Department of Ecology):
a. The stream crossing is the only reasonable alternative that has the least impact;
b. It has been shown in the critical areas report that the proposed crossing will not decrease the stream and associated buffer functions and values;
c. All stream crossings using culverts shall use super span or oversized culverts with appropriate fish enhancement measures. Culverts shall not obstruct fish passage;
d. All stream crossings shall be constructed during the summer low flow period between June 15th and September 15th or as specified by the State Department of Fish and Wildlife in the hydraulic project approval;
e. Stream crossings shall not occur through salmonid spawning areas unless no other feasible crossing site exists;
f. Bridge piers or abutments shall not be placed in either the floodway or between the ordinary high water marks unless no other feasible alternative placement exists;
g. Stream crossings shall not diminish the flood-carrying capacity of the stream;
h. Stream crossings shall provide for maintenance of culverts and bridges; and
i. Stream crossings shall be minimized by serving multiple properties whenever possible;
j. New and retrofitted culverts will be designed with climate resilient components.
4. Trails. The criteria for alignment, construction, and maintenance of trails within wetlands and their buffers shall apply to trails within stream buffers. The criteria for stream crossings shall also apply.
5. Utilities. The criteria for alignment, construction, and maintenance within the wetland buffers shall apply to utility corridors within stream buffers. In addition, corridors shall not be aligned parallel with any stream channel unless the corridor is outside the buffer, and crossings shall be minimized. Crossings shall be contained within the existing footprint of an existing road or utility crossing where possible. Otherwise, crossings shall be at an angle greater than 60 degrees to the centerline of the channel. The criteria for stream crossing shall also apply.
6. Floodway-Dependent Structures. Floodway-dependent structures or installations may be permitted within streams if allowed or approved by other ordinances or other agencies with jurisdiction.
7. Stream Channel Stabilization. Stream bank stabilization shall only be allowed when it is shown, through a stream bank stability assessment conducted by a qualified fluvial geomorphologist or hydraulic engineer, that such stabilization is required for public safety reasons, that no other less intrusive actions are possible, and that the stabilization will not degrade in-stream or downstream channel stability. Stream bank stabilization shall conform to the Integrated Streambank Protection Guidelines developed by the Washington State Department of Fish and Wildlife, 2002 or as revised.
B. Best Available Science. Any approval of alterations of impacts to a stream or its buffers shall be supported by the best available science.
C. Native Growth Protection Easement/Critical Areas Tract. As part of the implementation of approved development applications and alterations, streams and their buffers shall remain undeveloped pursuant to the critical areas regulations, in accordance with YPMC 19.06.080, Protection and mitigation measures, and shall be designated as native growth protection easements (NGPE) or as native growth protection tract(s) (NGPT). Such designation shall apply to all streams and their required buffers, unless the town has waived the NGPE/NGPT requirements (see below), or where the alteration section expressly exempts Type Np streams and Type Ns streams, when beyond one-quarter mile of a stream with salmonids, from an NGPE/NGPT. Where a stream or its buffer has been altered on the site prior to approval of the development proposal, the area altered shall be restored using native plants and materials. The restoration work shall be done pursuant to an approved mitigation plan.
The town may waive the NGPE requirements on Type Np and Ns streams, when located beyond one-quarter mile of a stream with salmonids, if all the following criteria are met:
1. The stream does not flow directly into a stream used by salmonids;
2. The stream is not in a critical drainage basin;
3. All buffer, building setback line, and floodplain distances are identified on the appropriate documents of title;
4. The stream channel and buffer are maintained as a vegetated open swale without altering the channel dimensions or alignment and are recorded in a drainage easement to the town of Yarrow Point that requires that the channel remain open and vegetated for water quality and hydrologic purposes;
5. All clearing proposed within the stream and its buffer shall occur between April 1st and September 1st, or as further restricted by timing limits established by the State Department of Fish and Wildlife, and shall meet all erosion and sedimentation requirements of the town;
6. There are no downstream flooding or erosion problems within one-half mile of the site;
7. The stream is not within an erosion hazard area; and
8. No existing water wells are within or adjacent to the stream.
When the subject development is a formal subdivision or a short subdivision, the streams and their buffers shall be placed in a critical areas tract instead of an NGPE, as described in YPMC 19.06.080, Protection and mitigation measures.
D. Minimum Buffers. All streams within the town of Yarrow Point, regardless of type, are required to maintain a standard 196-foot riparian protection area on each side of the stream, unless otherwise authorized under this chapter.
1. A reduced standard riparian protection area width may be allowed if a critical areas report is submitted that demonstrates that the 200-year site potential tree height (SPTH200) of the predominant tree species is less than the standard. The report shall include a site-specific soil analysis completed by a licensed geologist or related licensed professional and must meet the following criteria:
a. The critical areas report and associated SPTH200 value must be approved by the town planner or their designee who may consult with the Washington Department of Fish and Wildlife (WDFW) for confirmation; and
b. The riparian protection area width shall be no less than the values for the SPTH200 values for the predominant tree species based on the Natural Resources Conservation Service (NRCS) soil types present on the site.
2. Unclassified streams shall be assigned a rating based on the critical areas report and field verification, and the appropriate buffer shall apply.
E. Additional Buffers. The town may require increased buffer sizes as necessary to protect streams when either the stream is particularly sensitive to disturbances or the development poses unusual impacts. Examples of circumstances that may require buffers beyond minimum requirements include, but are not limited to:
1. Unclassified uses;
2. The stream is in a critical drainage basin as designated by the town of Yarrow Point;
3. The stream reach adjacent to the development proposal serves as critical fish habitat for spawning and rearing;
4. The stream serves as habitat for endangered, threatened, rare, sensitive, or monitor species listed by the federal government or the state of Washington;
5. The land adjacent to the stream and its associated buffer and included within the development proposal is classified as an erosion hazard area; or
6. A trail in excess of 10 percent of the buffer width is proposed for inclusion in the buffer.
F. Buffer Reductions. The town may reduce up to 25 percent of the buffer requirement only if sufficient information is available showing:
1. The applicant has demonstrated that mitigation sequencing efforts have been appropriately utilized: avoid, minimize, and lastly mitigate;
2. The proposed buffer reduction shall be accompanied by a mitigation plan that includes enhancement of the reduced buffer area;
3. The reduction will not adversely affect directly or indirectly the critical area and/or buffer in the short or long term;
4. The reduction will not adversely affect water quality;
5. The reduction will not destroy, damage or disrupt a significant habitat area; and
6. The reduction is necessary for reasonable development of the subject property.
G. Buffer Averaging. The town will consider the allowance of buffer averaging only when the buffer area after the averaging is no less than that which would be contained within the standard buffer. Additionally, the buffer width shall not be reduced by more than 25 percent at any one point as a result of the buffer averaging. The buffer width reduction will not adversely impact the critical area and/or its buffer functions and values.
H. Additional Stream Mitigation Requirements. No net loss of stream functions and values shall occur as a result of the overall project. The mitigation requirements for stream alterations, in addition to the requirements in YPMC 19.06.080, Protection and mitigation measures, shall meet the following minimum performance standards and shall occur pursuant to an approved mitigation plan:
1. Maintain or improve stream channel dimensions, including depth, length, and gradient;
2. Restore disturbed stream buffer areas with native vegetation;
3. Create an equivalent or improved channel bed;
4. Create equivalent or improved biofiltration; and
5. Replace disturbed stream and stream buffer habitat features and areas.
I. Mitigation Plans for Alteration to Streams and Stream Buffers. The scope and content of a mitigation plan shall be decided on a case-by-case basis; as the impacts to the critical area increase, the mitigation measures to offset these impacts will increase in number and complexity. At a minimum, the following components shall be included in a complete mitigation plan:
1. Baseline Information. Provide existing conditions information for both the impacted critical areas and the proposed mitigation site, as described in YPMC 19.06.070(C), General Critical Area Report Requirements, and (E), Additional Stream Report Requirements.
2. Environmental Goals and Objectives. The mitigation plan shall include a written report identifying environmental goals and objectives of the compensation proposed and including:
a. Description of the anticipated impacts to the critical areas, the mitigating actions proposed, and the purposes of the compensation measures, including the site selection criteria, identification of compensation goals, identification of resource functions, and dates for beginning and completing site compensation construction activities. The goals and objectives shall be related to the functions and values of the impacted critical area; and
b. A review of the best available science supporting the proposed mitigation.
3. Performance Standards. The mitigation plan shall include measurable specific criteria for evaluating whether or not the goals and objectives of the mitigation project have been successfully attained and whether or not the requirements of this chapter have been met. They may include water quality standards, species richness and diversity targets, habitat diversity indices, or other ecological, geological, or hydrological criteria.
4. Detailed Construction Plan. These are the written specifications and descriptions of mitigation techniques. This plan should include the proposed construction sequencing, grading and excavation details, erosion and sedimentation control features, a native planting plan, and detailed site diagrams and any other drawings appropriate to show construction techniques or anticipated final outcome.
5. Monitoring and/or Evaluation Program. The mitigation plan shall include a program for monitoring construction of the compensation project, and for assessing a completed project. A protocol shall be included outlining the schedule for site monitoring, and how the monitoring data will be evaluated to determine if the performance standards are being met. A monitoring report shall be submitted as needed to document milestones, successes, problems, and contingency actions of the compensation project. The compensation project shall be monitored for five years or a period necessary to establish that performance standards have been met.
6. Contingency Plan. This section identifies potential courses of action, and any corrective measures to be taken when monitoring or evaluation indicates projected performance standards have not been met.
The town of Yarrow Point shall determine during the review of the requested studies which of the above components shall be required as part of the mitigation plan. Key factors in this determination shall be the size and nature of the development proposal, the nature of the impacted critical areas, and the degree of cumulative impacts on the critical area from other development proposals. (Ord. 778 § 2 (Att. A), 2025)
19.06.110 Fish and wildlife habitat conservation areas standards.
A. General Standards. Fish and wildlife habitat conservation areas may be altered only if the proposed alteration of the habitat or the mitigation proposed does not degrade the qualitative functions and values of the habitat. All new structures and land alterations shall be prohibited from habitat conservation areas, except in accordance with this chapter.
No plant, wildlife, or fish species not indigenous to the region shall be introduced into a habitat conservation area unless authorized by a state or federal permit or approval.
Mitigation sites shall be located to achieve contiguous wildlife habitat corridors in accordance with a mitigation plan that is part of an approved critical areas report to minimize the isolating effects of development on habitat areas, so long as mitigation of aquatic habitat is located within the same aquatic ecosystem as the area disturbed.
B. Conditions. The town planner shall condition approvals of activities allowed within or adjacent to a habitat conservation area or its buffer, as necessary to minimize or mitigate any potential adverse impacts. Conditions may include:
1. Establishment of buffer zones;
2. Preservation of critically important vegetation;
3. Limitation of access to the habitat area, including fencing to deter unauthorized access;
4. Seasonal restrictions of construction activities;
5. Establishment of a duration and timetable for periodic review of mitigation activities; and
6. Requirement of a performance bond, when necessary, to ensure completion.
C. Mitigation. Mitigation of alterations to habitat conservation areas shall achieve equivalent or greater biological functions and shall include mitigation for adverse impacts upstream and downstream of the development proposal site. Mitigation shall address each function affected by the alteration to achieve functional equivalency or improvement on a per function basis.
D. Best Available Science. Any approval of alterations or impacts to habitat conservation areas shall be supported by the best available science.
E. Native Growth Protection Easement/Critical Area Tract. As part of the implementation of approved development applications and alterations, fish and wildlife habitat conservation areas and any associated buffers that remain undeveloped pursuant to the critical areas regulations, in accordance with YPMC 19.06.080, Protection and mitigation measures, shall be designated as native growth protection easements (NGPE).
When the subject development is a formal subdivision or a short subdivision, the fish and wildlife habitat conservation area(s) and any associated buffers shall be placed in a critical areas tract instead of an NGPE, as described in YPMC 19.06.080, Protection and mitigation measures.
F. Buffers.
1. Buffer areas shall be established for areas of activity in, or adjacent to, habitat conservation areas when needed to protect such areas. Buffers shall consist of an undisturbed area of native vegetation, or areas identified for restoration, established to protect the integrity, function and values of the affected habitat. Required buffer widths shall reflect the sensitivity of the habitat and type and intensity of human activity proposed to be conducted nearby, and shall be consistent with the management recommendations issued by the State Department of Fish and Wildlife.
2. When a species is more susceptible to adverse impacts during specific periods of the year, seasonal restrictions may apply. Larger buffers may be required and activities may be further restricted during the seasonal period.
G. Endangered, Threatened, and Sensitive Species.
1. No development shall be allowed within a habitat conservation area or any associated buffer with which state or federally endangered, threatened, or sensitive species have a primary association.
2. Whenever activities are proposed adjacent to a habitat conservation area with which state or federally endangered, threatened, or sensitive species have a primary association, such areas shall be protected through the application of protection measures in accordance with a critical areas report prepared by a qualified professional and approved by the town. Approval of alteration of land adjacent to the habitat conservation area or any associated buffer shall not occur prior to consultation with the State Department of Fish and Wildlife and the appropriate federal agency, if applicable.
3. Bald eagle habitat shall be protected pursuant to the Washington State and Federal Bald Eagle Protection Rules.
H. Anadromous Fish.
1. Activities, uses, and alterations proposed to be located in water bodies used by anadromous fish or in areas that affect such water bodies shall give special consideration to the preservation and enhancement of anadromous fish habitat, including, but not limited to, the following:
a. Activities shall be timed to occur only during the allowable work window as designated by the State Department of Fish and Wildlife;
b. An alternative alignment or location for the activity is not feasible;
c. The activity is designed so that it will minimize the degradation of the functions or values of the fish habitat or other critical areas; and
d. Any impact to the functions and values of the habitat conservation area are mitigated in accordance with an approved critical areas report.
2. Structures that prevent the migration of salmonids shall not be allowed in the portion of water bodies currently or historically used by anadromous fish. Fish bypass facilities shall be provided that allow the upstream migration of adult fish and shall prevent juveniles migrating downstream from being trapped or harmed.
3. Fills, when authorized, shall minimize the adverse impacts to anadromous fish and their habitat, shall mitigate any unavoidable impacts, and shall only be allowed for water-dependent uses. (Ord. 778 § 2 (Att. A), 2025)
19.06.120 Flood hazard area development standards.
All development proposals in an area of special flood hazard, as defined in YPMC 22.12.010, are subject to the regulations in Chapter 14.04 YPMC. (Ord. 778 § 2 (Att. A), 2025)
19.06.130 Geologically hazardous areas.
A. Designation. Geologically hazardous areas include areas susceptible to erosion, sliding, earthquake, or other geological events. They pose a threat to the health and safety of citizens when incompatible development is sited in areas of significant hazard. Such incompatible development may not only place itself at risk, but may also increase the hazard to surrounding development and uses. Areas susceptible to one or more of the following types of hazards shall be designated as a geologically hazardous area:
1. Erosion hazard;
2. Landslide hazard;
3. Seismic hazard; and
4. Other geological events including tsunami, mass wasting, debris flows, rock falls, and differential settlement.
B. Designation of Specific Geologic Hazard Areas.
1. Erosion Hazard Areas. Erosion hazard areas are at least those areas identified by the U.S. Department of Agriculture’s Natural Resources Conservation Service as having severe or very severe rill and inter-rill erosion hazard.
2. Landslide Hazard Areas. Landslide hazard areas are areas potentially subject to landslides based on a combination of geologic, topographic, and hydrologic factors. They include areas susceptible because of any combination of bedrock, soil, slope (gradient), slope aspect, structure, hydrology, or other factors. Examples of these may include, but are not limited to, the following:
a. Areas of historic failure, such as:
i. Those areas delineated by the U.S. Department of Agriculture’s Natural Resources Conservation Service as having a severe limitation for building site development; or
ii. Areas designated as quaternary slumps, earthflows, mudflows, lahars, or landslides on maps published by the U.S. Geological Survey or Department of Natural Resources;
b. Areas with all three of the following characteristics:
i. Slopes steeper than 15 percent; and
ii. Hillsides intersecting geologic contacts with a relatively permeable sediment overlaying a relatively impermeable sediment or bedrock; and
iii. Springs or groundwater seepage;
c. Areas that have shown movement during the Holocene epoch (from 10,000 years ago to the present) or that are underlain or covered by mass wastage debris of that epoch;
d. Slopes that are parallel or subparallel to planes of weakness (such as bedding planes, joint systems, and faults) in subsurface materials;
e. Slopes having a gradient steeper than 80 percent subject to rock fall during seismic shaking;
f. Areas potentially unstable because of rapid stream incision, stream bank erosion, and undercutting by wave action;
g. Areas located in a canyon or on an active alluvial fan, presently or potentially subject to inundation by debris flows or catastrophic flooding; and
h. Any area with a slope of 40 percent or steeper and with a vertical relief of 10 or more feet except areas composed of consolidated rock. A slope delineated by establishing its toe and top and measured by averaging the inclination over at least 10 feet of vertical relief.
3. Seismic Hazard Areas. Seismic hazard areas are subject to severe risk of damage as a result of earthquake-induced ground shaking, slope failure, settlement, soil liquefaction, lateral spreading, or surface failure. The strength of ground shaking is primarily affected by:
a. The magnitude of an earthquake;
b. The distance from the source of an earthquake;
c. The type and thickness of geologic materials at the surface; and
d. The type of subsurface geological structure.
C. Mapping of Geologically Hazardous Areas.
1. The approximate location and extent of geologically hazardous areas are shown on the adopted critical areas maps. The adopted critical areas maps include:
a. U.S. Geological Survey landslide hazard, seismic hazard, and volcanic hazard maps;
b. Department of Natural Resources seismic hazard maps of Western Washington, as they become available including those on the Washington Geological Information Portal;
c. Department of Natural Resources slope stability maps, as they become available;
d. Federal Emergency Management Administration flood insurance maps; and
e. Locally adopted maps.
2. These maps are to be used as a guide for the town of Yarrow Point, project applicants, and/or property owners, and may be continuously updated as new critical areas are identified. They are a reference and do not provide a final critical area designation.
D. Best Available Science. Any approval of alterations of impacts to a geologically hazardous area or any associated buffers shall be supported by the best available science.
E. Native Growth Protection Easement/Critical Area Tract. As part of the implementation of approved development applications and alterations, geologically hazardous areas and any associated buffers that remain undeveloped pursuant to the critical areas regulations, in accordance with YPMC 19.06.080, Protection and mitigation measures, shall be designated as native growth protection easements (NGPE). When the subject development is a formal subdivision (plat) or a short subdivision (short plat), the geologically hazardous area(s) and any buffers shall be placed in a critical areas tract instead of an NGPE, as described in YPMC 19.06.080, Protection and mitigation measures.
F. Allowed Activities. The following activities are allowed in geologically hazardous areas and do not require submission of a critical areas report:
1. Erosion and Landslide Hazard Areas. Except as otherwise provided for in this chapter, only those activities approved and permitted consistent with an approved critical areas report in accordance with this chapter shall be allowed.
2. Seismic Hazard Areas. The following activities are allowed within seismic hazard areas:
a. Construction of new buildings and/or additions will be reviewed on a case-by-case basis.
b. Installation of fences.
3. Other Hazard Areas. The following activities areas are allowed within other geological hazard areas:
a. Construction of new buildings and/or additions will be reviewed on a case-by-case basis.
b. Installation of fences.
G. Performance Standards – General Requirements.
1. Alterations of geologically hazardous areas or associated buffers may only occur for activities that:
a. Will not increase the threat of the geological hazard to adjacent properties beyond predevelopment conditions;
b. Will not adversely impact other critical areas;
c. Are designed so that the hazard to the project is eliminated or mitigated to a level equal to or less than predevelopment conditions; and
d. Are certified as safe as designed and under anticipated conditions by a qualified geotechnical engineer or geologist, licensed in the state of Washington.
H. Performance Standards – Specific Hazards.
1. Erosion and Landslide Hazard Areas. Activities on sites containing erosion or landslide hazards shall meet the following requirements:
a. Buffers Required. A buffer shall be established for all edges of erosion or landslide hazard areas. The size of the buffer shall be determined by the town to eliminate or minimize the risk of property damage, death, or injury resulting from erosion and landslides caused in whole or part by the development, based upon review of and concurrence with a critical areas report prepared by a qualified professional.
b. Minimum Buffers. The minimum buffer shall be equal to the height of the slope or 50 feet, whichever is greater.
c. Buffer Reduction. The buffer may be reduced to a minimum of 10 feet when a qualified professional demonstrates to the town planner’s satisfaction that the reduction will adequately protect the proposed development, adjacent developments and uses, and the subject critical area.
d. Increased Buffer. The buffer may be increased when the town planner determines a larger buffer is necessary to prevent risk of damage to proposed and existing development.
e. Alterations. Alterations of an erosion or landslide hazard area and/or buffer may only occur for activities for which a geotechnical analysis is submitted and certifies that:
i. The development will not increase surface water discharge or sedimentation to adjacent properties beyond the predevelopment condition;
ii. The development will not decrease slope stability on adjacent properties; and
iii. Such alteration will not adversely impact other critical areas.
I. Design Standards. Development within an erosion or landslide hazard area and/or buffer shall be designed to meet the following basic requirements unless it can be demonstrated that an alternative design that deviates from one or more of these standards provides greater long-term slope stability while meeting all other provisions of this chapter. The requirements for long-term slope stability shall exclude designs that require regular and periodic maintenance to maintain their level of function. The basic development design standards are:
1. The proposed development shall not decrease the factor of safety for landslide occurrences below the limits of one and one-half for static conditions and one and two-tenths for dynamic conditions. Analysis of dynamic conditions shall be based on a minimum horizontal acceleration as established by the current version of the International Building Code;
2. Structures and improvements shall be clustered to avoid geologically hazardous areas and other critical areas;
3. Structures and improvements shall minimize alterations to the natural contours of the slope and foundations shall be tiered where possible to conform to existing topography;
4. Structures and improvements shall be located to preserve the most critical portion of the site and its natural landforms and vegetation;
5. The proposed development shall not result in greater risk or a need for increased buffers on neighboring properties;
6. The use of retaining walls that allow the maintenance of existing natural slopes is preferred over graded artificial slopes; and
7. Development shall be designed to minimize impervious lot coverage.
J. Vegetation. Vegetation shall be retained unless it can be shown that the removal will not increase the geologic hazards, and a vegetation management plan is submitted with the request.
K. Seasonal Restriction. Clearing shall be allowed only from May 1st to October 1st of each year; provided, that the town may extend or shorten the dry season on a case-by-case basis depending on the actual weather conditions, except that timber harvest, not including brush clearing or stump removal, may be allowed pursuant to an approved forest practices permit issued by the State Department of Natural Resources.
L. Utility Lines and Pipes. Utility lines and pipes shall be permitted in the erosion and landslide hazard areas only when the applicant demonstrates that no other practical alternative is available. The line or pipe shall be located above ground and be properly anchored and/or designed so that it will continue to function in the event of an underlying slide. Stormwater conveyance shall be allowed only through a high density polyethylene pipe with fuse-welded joints, or similar product that is technically equal or superior.
M. Point Discharge. Point discharges from surface water facilities and roof drains onto or upstream from an erosion or landslide hazard area shall be prohibited except as follows:
1. Conveyance via continuous storm pipe downslope to a point where there are no erosion hazard areas downstream from the discharge; and
2. Access roads and utilities may be permitted within the erosion or landslide hazard area and associated buffers if the town determines that no other feasible alternative exists.
N. Subdivisions. The division of land in erosion or landslide hazard areas and associated buffers is subject to provisions established for all critical areas in YPMC 19.06.080, Protection and mitigation measures.
O. Prohibited Development. On-site sewage disposal systems, including drain fields, shall be prohibited within erosion and landslide hazard areas and associated buffers. (Ord. 778 § 2 (Att. A), 2025)
19.06.140 Bonds.
An applicant for development within a critical area as identified herein may be required to furnish the town with a performance bond and/or maintenance bond for any required mitigating measures. The bond amount shall be at least 120 percent of the total valuation of the mitigation measures. Town planner or their designee shall determine if any additional amount is required beyond the 120 percent minimum, and shall set time limitations of the bond or other security. (Ord. 778 § 2 (Att. A), 2025)
19.06.150 Appeal.
Appeals of administrative decisions shall be governed by Chapter 1.08 YPMC. (Ord. 778 § 2 (Att. A), 2025)
19.06.160 Enforcement.
The provisions of Chapter 1.08 YPMC, Administration and Enforcement, shall regulate the enforcement of these critical areas regulations.
Adherence to the provisions of this chapter and/or to the project conditions shall be required throughout the construction of the development. Should the town determine that a development is not in compliance with the approved plans, a stop work order may be issued for the violation. In the event of a violation of this chapter, the town shall have the power to order complete or partial restoration of the critical area by the person or agent responsible for the violation. If such responsible person or agent does not complete such restoration within a reasonable time following the order, the town shall have the authority to restore the affected critical area to the prior condition wherever possible and the person or agent responsible for the original violation shall be indebted to the town for the cost of restoration. When a stop work order has been issued, construction shall not continue until such time as the violation has been corrected and that the same or similar violation is not likely to reoccur. (Ord. 778 § 2 (Att. A), 2025)