Change Requests

What is an ICR?

An Information Collection Request (ICR) is a federal agency's request for approval from the Office of Management and Budget (OMB) to collect information from the public. Under the Paperwork Reduction Act (PRA), agencies must justify why the information is needed and how it will be used.

When are they submitted?

Federal agencies are required to submit an ICR whenever they create, renew, modify an information collection. Each ICR includes a description of the collection, supporting materials and documentation (such as forms, surveys, or scripts), and proof that the agency has met the requirements of the PRA.

The ICR is submitted to the The Office of Information and Regulatory Affairs (OIRA) within OMB for review and approval. OIRA grants approval for a maximum of three years, after which the collection must be renewed through a new ICR submission.

Where to find an ICR?

ICRs are publicly available on RegInfo.gov, and additional guidance can be found in the FAQs.

Note: Presidential Action influences are notated for ICRs received between January 20, 2025 and July 19, 2025.

Showing 25 of 15642 results

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Title
Reference Number
OMB Control Number
Agency
Received
Concluded
Action
Status
Request Type
Presidential Action

Title:

1014-AA49 - HPHT Final Rule, Sub B rewrite

Reference Number:

Omb Control Number:

1014-0032

Agency:

DOI/BSEE

Received:

2024-09-03

Concluded:

2024-10-29

Action:

Approved without change

Status:

Active

Request Type:

New collection (Request for a new OMB Control Number)
1014-AA49 - HPHT Final Rule, Sub B rewrite

Key Information

Abstract

BSEE analyzes and evaluates the DeepWater Operations (DWOPs) and Conceptual Plans under 30 CFR 250, Subpart B to ensure that all planned operations are safe; will not adversely affect the marine, coastal, or human environment; and will conserve the resources of the OCS.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

43 USC 1334
30 USC 1751
31 USC 9701

Presidential Action:

-

Title:

Transitional Compensation for Abused Dependents (TCAD)

Reference Number:

Omb Control Number:

0704-0578

Agency:

DOD/DODDEP

Received:

2024-09-03

Concluded:

2024-10-09

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Transitional Compensation for Abused Dependents (TCAD)

Key Information

Abstract

Section 1059 of Title 10 requires the Department of Defense to make payments to abused dependents of military members convicted or administratively separated for abuse. In order to make these payments, dependents must fill out DD Form 2698 to ensure they meet the statutory requirements and so payments are made to the correct recipient for the required amount of time.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

10 USC 1059

Presidential Action:

-

Title:

Debt Cancellation Contracts and Debt Suspension Agreements

Reference Number:

Omb Control Number:

1557-0224

Agency:

TREAS/OCC

Received:

2024-09-03

Concluded:

2024-11-15

Action:

Approved without change

Status:

Active

Request Type:

Reinstatement with change of a previously approved collection
Debt Cancellation Contracts and Debt Suspension Agreements

Key Information

Abstract

Part 37 requires national banks to make certain disclosures to customers prior to the purchase of debt cancellation contracts (DCCs) and debt suspension agreements (DSAs). The disclosures are intended to establish standards to promote the protection of customers who buy DCCs and DSAs and to ensure that national banks providing DCCs and DSAs do so on a safe and sound basis.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

12 USC 24 (Seventh)

Presidential Action:

-

Title:

Rule 17f-2 (17 CFR 270.17f-2) under the Investment Company Act of 1940, Custody of Investments by Registered Management Investment Company.

Reference Number:

Omb Control Number:

3235-0223

Agency:

SEC

Received:

2024-09-03

Concluded:

2024-11-01

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Rule 17f-2 (17 CFR 270.17f-2) under the Investment Company Act of 1940, Custody of Investments by Registered Management Investment Company.

Key Information

Abstract

Rule 17f-2 establishes safeguards for arrangements in which a registered management investment company is deemed to maintain custody of its own assets, such as when the company maintains assets in a facility that provides safekeeping but not custodial services.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

15 USC 80a

Presidential Action:

-

Title:

Crash Injury Research and Engineering Network Data Collection

Reference Number:

Omb Control Number:

2127-0774

Agency:

DOT/NHTSA

Received:

2024-09-03

Concluded:

2025-03-19

Action:

Approved without change

Status:

Active

Request Type:

New collection (Request for a new OMB Control Number)
Crash Injury Research and Engineering Network Data Collection

Key Information

Abstract

The Crash Injury Research and Engineering Network (CIREN) is a multidisciplinary, injury-focused crash data collection program using trauma centers under contract to NHTSA’s Office of Vehicle Safety Research. NHTSA is seeking approval for a new, independent information collection request for the CIREN program. CIREN collects a purposive sample of injured traffic crash victims from a small number of sites to extensively examine and document injury causation in motor vehicle crashes. The CIREN program enrolls case subjects (crash victims) who have been admitted to eight contracted level-one trauma centers for treatment of injuries sustained in crashes and consent to participate in the study. The collection facilitates detailed review and analysis of medical and engineering data by multidisciplinary teams to evaluate injury causation. The focus of the CIREN program has historically been on seriously-injured occupants of recent model-year motor vehicles, though the program intends to expand to include pedestrians, pedalcyclists, and micromobility (non-motorist) users who have been injured in crashes.

Federal Register Notices

60-Day FRN
30-Day FRN

Presidential Action:

-

Title:

Rule 10f-3 (17 CFR 270.10f-3) under the Investment Company Act of 1940, Exemption for the Acquisition of Securities During the Existence of an Underwriting or Selling Syndicate

Reference Number:

Omb Control Number:

3235-0226

Agency:

SEC

Received:

2024-09-03

Concluded:

2024-11-01

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Rule 10f-3 (17 CFR 270.10f-3) under the Investment Company Act of 1940, Exemption for the Acquisition of Securities During the Existence of an Underwriting or Selling Syndicate

Key Information

Abstract

Rule 10f-3 permits, under certain conditions, a registered investment company ("fund") to purchase securities from underwriting syndicates whose members include affiliated persons of the purchasing fund. Records concerning transactions conducted in reliance on the rule and the fund board's review of those transactions must be maintained. This exemption is conditioned on the fund's advisory contract being amended to include certain clauses that prohibit, among other things, consultation between subadvisers that advise the transacting fund and other fund subadvisers.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

15 USC 80a-10(f)

Presidential Action:

-

Title:

Application for Antenna Structure Registration, FCC Form 854

Reference Number:

Omb Control Number:

3060-0139

Agency:

FCC

Received:

2024-08-30

Concluded:

2024-10-30

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Application for Antenna Structure Registration, FCC Form 854

Key Information

Abstract

The purpose of FCC Form 854 (Form 854) is to register antenna structures that are used for radio communication services which are regulated by the Commission; to make changes to existing antenna structure registrations or pending applications for registration; or to notify the Commission of the completion of construction or dismantlement of such structures, as required by Title 47 of the Code of Federal Regulations, Chapter 1, Sections 1.923, 1.1307, 1.1311, 17.1, 17.2, 17.4, 17.5, 17.6, 17.7, 17.57 and 17.58. Any person or entity proposing to construct or alter an antenna structure that is more than 60.96 meters (200 feet) in height, or that may interfere with the approach or departure space of a nearby airport runway, must notify the Federal Aviation Administration (FAA) of proposed construction. The FAA determines whether the antenna structure constitutes a potential hazard, and may recommend appropriate painting and lighting for the structure. The Commission then uses the FAA's recommendation to impose specific painting and/or lighting requirements on radio tower owners and subject licensees. When an antenna structure owner for one reason or another does not register its structure, it then becomes the responsibility of the tenant licensees to ensure that the structure is registered with the Commission. Section 303(q) of the Communications Act of 1934, as amended, gives the Commission authority to require painting and/or illumination of radio towers in cases where there is a reasonable possibility that an antenna structure may cause a hazard to air navigation. In 1992, Congress amended Sections 303(q) and 503(b)(5) of the Communications Act to make radio tower owners, as well as Commission licensees and permittees responsible for the painting and lighting of radio tower structures, and to provide that non-licensee radio tower owners may be subject to forfeiture for violations of painting or lighting requirements specified by the Commission.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

47 USC 303, 309(j)
42 USC 4332(c)
47 USC 151, 152,154(i)

Presidential Action:

-

Title:

Anti-Money Laundering Regulations for Residential Real Estate Transfers

Reference Number:

Omb Control Number:

1506-0080

Agency:

TREAS/FINCEN

Received:

2024-08-30

Concluded:

2024-12-02

Action:

Approved without change

Status:

Active

Request Type:

New collection (Request for a new OMB Control Number)
Anti-Money Laundering Regulations for Residential Real Estate Transfers

Key Information

Abstract

The Financial Crimes Enforcement Network (FinCEN) is submitting this information collection request for OMB approval of a collection of information in the final rule it is issuing under the authority of the Bank Secrecy Act (BSA). In this rule FinCEN requires certain domestic financial institutions to file specific reports and keep specific records about certain transfers of residential real estate. The U.S. Department of the Treasury (Treasury) has long recognized the illicit finance risks posed by abuse of the U.S. residential real estate market and by legal entities and trusts used by criminals and corrupt officials to launder ill-gotten gains through transfers of residential real estate. FinCEN’s rule focuses on a particular class of activity that is high-risk for money laundering and that warrants reporting on a transaction-specific basis. The rule requires certain persons involved in real estate closings and settlements to submit reports and keep records on certain non-financed transfers of residential real property to certain legal entities and trusts. The reports would enhance transparency in the U.S. residential real estate market and assist Treasury, law enforcement, and national security agencies in protecting U.S. economic and national security interests. The rule describes the circumstances in which a report would be required to be filed, who would file a report, what information would be provided, and when the report would be due.

Federal Register Notices

60-Day FRN

Authorizing Statutes

31 USC 5311-5314 and 5316-5336
12 USC 1829b and 1951-1960

Presidential Action:

-

Title:

Survey on the Occurrence of Foodborne Illness Risk Factors in Selected Restaurant and Retail Foodservice Facility Types

Reference Number:

Omb Control Number:

0910-0744

Agency:

HHS/FDA

Received:

2024-08-30

Concluded:

2024-10-01

Action:

Approved without change

Status:

Active

Request Type:

Revision of a currently approved collection
Survey on the Occurrence of Foodborne Illness Risk Factors in Selected Restaurant and Retail Foodservice Facility Types

Key Information

Abstract

This ICR collects information on the occurrence of foodborne illness risk factors in full service and fast food restaurants. Foodborne illness risk factors are defined as the preparation practices and employee behaviors most commonly reported to the Centers for Disease Control and Prevention (CDC) as contributing factors to foodborne illness outbreaks at the retail level.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

42 USC 243
21 USC 301
31 USC 1535

Presidential Action:

-

Title:

Due Diligence Programs for Correspondent Accounts for Foreign Financial Institutions and for Private Banking Accounts

Reference Number:

Omb Control Number:

1506-0046

Agency:

TREAS/FINCEN

Received:

2024-08-30

Concluded:

2024-12-02

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Due Diligence Programs for Correspondent Accounts for Foreign Financial Institutions and for Private Banking Accounts

Key Information

Abstract

Section 312 of the USA PATRIOT Act added subsection (i) to 31 U.S.C. 5318 of the BSA. Section 312 mandates that each financial institution that establishes, maintains, administers, or manages a private banking account or a correspondent account in the United States for non-U.S. persons establish appropriate, specific, and, where necessary, enhanced, due diligence policies, procedures, and controls that are reasonably designed to detect and report instances of money laundering through those accounts. The regulations implementing the due diligence requirements for maintaining foreign correspondent accounts and private banking accounts are found at 31 CFR 1010.610 and 31 CFR 1010.620, respectively, and apply to covered financial institutions, defined as certain banks, brokers or dealers in securities, futures commission merchants, introducing brokers in commodities, and mutual funds.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

31 USC 5318

Presidential Action:

-

Title:

Customer Identification Program Regulatory Requirements for Futures Commission Merchants and Introducing Brokers in Commodities

Reference Number:

Omb Control Number:

1506-0022

Agency:

TREAS/FINCEN

Received:

2024-08-30

Concluded:

2024-12-02

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Customer Identification Program Regulatory Requirements for Futures Commission Merchants and Introducing Brokers in Commodities

Key Information

Abstract

31 U.S.C. 5318(l) requires the Secretary to issue regulations prescribing minimum standards for customer identification programs (CIPs) for financial institutions. Regulations implementing section 5318(l) are as follows: (i) banks (31 CFR 1020.220); (ii) brokers-dealers (31 CFR 1023.220); (iii) mutual funds (31 CFR 1024.220); and (iv) futures commission merchants and introducing brokers in commodities (31 CFR 1026.220). Under the CIP regulations, the minimum requirements include: 1) implementation of a written customer identification program appropriate for the financial institution’s size and type of business; 2) identity verification procedures; 3) recordkeeping; 4) comparison with government lists; and 5) customer notice. This information collection applies to CIP requirements for futures commission merchants and introducing brokers in commodities.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

31 USC 5318

Presidential Action:

-

Title:

Customer Identification Program Regulatory Requirements for Banks

Reference Number:

Omb Control Number:

1506-0026

Agency:

TREAS/FINCEN

Received:

2024-08-30

Concluded:

2024-12-02

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Customer Identification Program Regulatory Requirements for Banks

Key Information

Abstract

31 U.S.C. 5318(l) requires the Secretary to issue regulations prescribing minimum standards for customer identification programs (CIPs) for financial institutions. Regulations implementing section 5318(l) are as follows: (i) banks (31 CFR 1020.220); (ii) brokers-dealers (31 CFR 1023.220); (iii) mutual funds (31 CFR 1024.220); and (iv) futures commission merchants and introducing brokers in commodities (31 CFR 1026.220). Under the CIP regulations, the minimum requirements include: 1) implementation of a written customer identification program appropriate for the financial institution’s size and type of business; 2) identity verification procedures; 3) recordkeeping; 4) comparison with government lists; and 5) customer notice. This information collection request applies to CIP requirements for banks.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

31 USC 5318

Presidential Action:

-

Title:

Long Term Care Hospital (LTCH) Quality Reporting Program (CMS-10409)

Reference Number:

Omb Control Number:

0938-1163

Agency:

HHS/CMS

Received:

2024-08-30

Concluded:

2024-12-19

Action:

Approved with change

Status:

Active

Request Type:

Revision of a currently approved collection
Long Term Care Hospital (LTCH) Quality Reporting Program (CMS-10409)

Key Information

Abstract

The Centers for Medicare & Medicaid Services (CMS) is requesting approval of revisions to the Long-Term Care Hospital (LTCH) Continuity Assessment Record and Evaluation (CARE) Data Set (LCDS) Version 5.2 that will be effective October 1, 2026.

Federal Register Notices

60-Day FRN

Authorizing Statutes

Pub.L. 111 - 148 3004

Presidential Action:

-

Title:

Customer Identification Program Regulatory Requirements for Broker or Dealers in Securities

Reference Number:

Omb Control Number:

1506-0034

Agency:

TREAS/FINCEN

Received:

2024-08-30

Concluded:

2024-12-02

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Customer Identification Program Regulatory Requirements for Broker or Dealers in Securities

Key Information

Abstract

31 U.S.C. 5318(l) requires the Secretary to issue regulations prescribing minimum standards for customer identification programs (CIPs) for financial institutions. Regulations implementing section 5318(l) are as follows: (i) banks (31 CFR 1020.220); (ii) brokers-dealers (31 CFR 1023.220); (iii) mutual funds (31 CFR 1024.220); and (iv) futures commission merchants and introducing brokers in commodities (31 CFR 1026.220). Under the CIP regulations, the minimum requirements include: 1) implementation of a written customer identification program appropriate for the financial institution’s size and type of business; 2) identity verification procedures; 3) recordkeeping; 4) comparison with government lists; and 5) customer notice. This information collection request applies to CIP requirements for brokers or dealers in securities.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

31 USC 5318

Presidential Action:

-

Title:

Customer Identification Program Regulatory Requirements for Mutual Funds

Reference Number:

Omb Control Number:

1506-0033

Agency:

TREAS/FINCEN

Received:

2024-08-30

Concluded:

2024-12-02

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Customer Identification Program Regulatory Requirements for Mutual Funds

Key Information

Abstract

31 U.S.C. 5318(l) requires the Secretary to issue regulations prescribing minimum standards for customer identification programs (CIPs) for financial institutions. Regulations implementing section 5318(l) are as follows: (i) banks (31 CFR 1020.220); (ii) brokers-dealers (31 CFR 1023.220); (iii) mutual funds (31 CFR 1024.220); and (iv) futures commission merchants and introducing brokers in commodities (31 CFR 1026.220). Under the CIP regulations, the minimum requirements include: 1) implementation of a written customer identification program appropriate for the financial institution’s size and type of business; 2) identity verification procedures; 3) recordkeeping; 4) comparison with government lists; and 5) customer notice. This information collection request applies to CIP requirements for mutual funds.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

31 USC 5318

Presidential Action:

-

Title:

State Permissions for Enrollment in Qualified Health Plans in the Federally Facilitated Exchange & Non-Exchange Entities (CMS-10650)

Reference Number:

Omb Control Number:

0938-1349

Agency:

HHS/CMS

Received:

2024-08-30

Concluded:

2025-03-21

Action:

Approved with change

Status:

Active

Request Type:

Revision of a currently approved collection
State Permissions for Enrollment in Qualified Health Plans in the Federally Facilitated Exchange & Non-Exchange Entities (CMS-10650)

Key Information

Abstract

The Patient Protection and Affordable Care Act, Public Law 111-148, enacted on March 23, 2010, and the Health Care and Education Reconciliation Act, Public Law 111-152, enacted on March 30, 2010 (collectively, “Affordable Care Act”), expand access to health insurance for individuals and employees of small businesses through the establishment of new Affordable Insurance Exchanges (Exchanges), also called Marketplaces, including the Small Business Health Options Program (SHOP). The Exchanges, which became operational on January 1, 2014, enhance competition in the health insurance market, expand access to affordable health insurance for millions of Americans, and provide consumers with a place to easily compare and shop for health insurance coverage. This Information Collection Request (ICR) serves as the formal request for a new data collection clearance associated with the HHS Notice of Benefit and Payment Parameters for 2018 Final Rule (2018 Payment Notice). This ICR includes ICRs related to the ability of states to permit agents and brokers to assist qualified individuals, qualified employers, or qualified employees enrolling in Qualified Health Plans in the Federally Facilitated Exchange (§155.220) and ICRs related to non-exchange entities (§155.260).

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

45 USC 156
Pub.L. 111 - 156 1312
45 USC 144
45 USC 147
45 USC 155

Presidential Action:

-

Title:

Paralympics & Olympics Monthly Training Allowance Application and Certification - VA Forms 0918a & 0918b

Reference Number:

Omb Control Number:

2900-0760

Agency:

VA

Received:

2024-08-30

Concluded:

2024-10-04

Action:

Approved without change

Status:

Active

Request Type:

Reinstatement with change of a previously approved collection
Paralympics & Olympics Monthly Training Allowance Application and Certification - VA Forms 0918a & 0918b

Key Information

Abstract

Section 703 of the Veterans’ Benefits Improvement Act of 2008, P.L. 110-389, authorizes the Department of Veterans Affairs (VA) to administer a monthly assistance allowance to a veteran with a service-connected or non-service-connected disability if the veteran is competing for a slot on or selected for the United States Paralympics and Olympics team or is residing at a United States Paralympics or Olympics training center. The information collected will be used to certify eligibility for the monthly assistance allowance, verify the veteran’s mailing address, confirm that he or she has been accepted by the Paralympics or Olympics to compete in a specific Paralympic or Olympic sport, and to determine their marital status and number of dependents for the purpose of assessing payment amounts.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

Pub.L. 110 - 389 703

Presidential Action:

-

Title:

State Community Development Block Grant (CDBG) Program

Reference Number:

Omb Control Number:

2506-0085

Agency:

HUD/CPD

Received:

2024-08-30

Concluded:

2025-03-10

Action:

Approved with change

Status:

Active

Request Type:

Revision of a currently approved collection
State Community Development Block Grant (CDBG) Program

Key Information

Abstract

State CDBG grant recipients retain records necessary to document compliance with statutory and regulatory requirements on an on-going basis. Grantees maintain records locally and some records are reported to HUD via an online reporting system, the Integrated Disbursement and Information System (IDIS). Separate from IDIS, the requirement for timely distribution of grant funds is reported via HUD Form 40108. Also, the "colonias" consulation process involves representatives of the interests of the residents of "colonias"..

Federal Register Notices

60-Day FRN
30-Day FRN

Presidential Action:

-

Title:

License Audit Letter

Reference Number:

Omb Control Number:

3060-0979

Agency:

FCC

Received:

2024-08-30

Concluded:

2024-10-30

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
License Audit Letter

Key Information

Abstract

The information collected is required for an audit of the construction and/or operational status of various Wireless Radio services in the Commission's licensing database that are subject to rule-based construction and operational requirements. The Commission's Rules for these radio services require construction within a specified time frame and require a station to remain operational in order for the license to remain valid. The Commission created a License Audit Letter instructing wireless licensees to respond to the instructions within 30 days of the date of the letter.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

47 USC 301, 302a, 303, 307, 308, 309
47 USC 201, 202, 208, 214
47 USC 310, 311, 314, 316, 319, 324
47 USC 331, 332, 333, 336
47 USC 534 and 535
47 USC 151, 152, 154(i), 155(c), 157

Presidential Action:

-

Title:

Training/Internship Placement Plan

Reference Number:

Omb Control Number:

1405-0170

Agency:

STATE/AFA

Received:

2024-08-30

Concluded:

None

Action:

None

Status:

Received in OIRA

Request Type:

Reinstatement without change of a previously approved collection
Training/Internship Placement Plan

Key Information

Abstract

The collection is the continuation of information collected and needed by the Bureau of Educational and Cultural Affairs in administering the Exchange Visitor Program (J-Nonimmigrant) under the provisions of the Mutual Educational and Cultural Exchange Act, as amended. Trainee/Internship Placement Plans are to be completed by designated program sponsors. A Training/Internship Placement Plan (T/IPP) is required for each trainee or intern participant. It will set forth the training or internship program to be followed, methods of supervision, the skills the trainee or intern will obtain, and trainee or intern remuneration. The plan must be signed by the trainee or intern, sponsor, and the third party placement organization, if a third party organization is used in the conduct of the training or internship. Upon request, trainees or interns must present a fully executed Trainee/Internship Placement Plan on Form DS-7002 to any Consular Official interviewing them in connection with the issuance of J-1 visas.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

22 USC 1431
8 USC 1101
Pub.L. 107 - 173 116

Presidential Action:

-

Title:

Application for Change of Permanent Plan (Medical) (VA Form 29-1549)

Reference Number:

Omb Control Number:

2900-0179

Agency:

VA

Received:

2024-08-29

Concluded:

2024-10-04

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Application for Change of Permanent Plan (Medical) (VA Form 29-1549)

Key Information

Abstract

VA Form 29-1549 is designed for use by the insured to establish eligibility to change insurance plans. The information is authorized by law, 38 CFR Section 6.48 and 8.36.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

38 USC 1944
38 USC 1906

Presidential Action:

-

Title:

Certification and Operation of Repair Stations, 14 CFR Part 145

Reference Number:

Omb Control Number:

2120-0682

Agency:

DOT/FAA

Received:

2024-08-29

Concluded:

None

Action:

None

Status:

Received in OIRA

Request Type:

Revision of a currently approved collection
Certification and Operation of Repair Stations, 14 CFR Part 145

Key Information

Abstract

The collection includes both reporting and recordkeeping requirements. Reporting Requirements covered under this IC include: • For initial certification, completing FAA Form 8310-3, Application for Repair Station Certificate and/or Rating, to request issuance of an initial air agency certificate, along with any required application attachments, and submitting to the FAA for review. • On occasion, completing and FAA Form 8310-3, Application for Repair Station Certificate and/or Rating, to request a certificate amendment, ratings change, change of location, name change, ownership change, etc. Any required application attachments must also be updated and submitted to the FAA for review. • Other reporting requirements occur occasionally after certification, for example, when the certificate holder’s operations change. • If a repair station is located outside of the US., it must apply for renew its air agency certificate every 2 years. • All repair stations must develop initially, and as needed after certification keep current, a Repair Station Manual (RSM) and Quality Control Manual (QCM). The repair station must notify the FAA of any revisions to these manuals. Additionally, all repair stations must develop a Training Program and submit any revisions of the program to the FAA. • Repair Stations that are Hazmat Employers under 49 CFR 171.8 must have a hazardous materials training program. • Repair Stations that perform work for air carriers must acknowledge receipt of the part 121 or part 135 operator notification required under §§ 121.1005(e) and 135.505(e). • Repair stations that choose to use repairmen must certify that each person recommended for certification as a repairman is employed by the repair station and meets the eligibility requirements of § 65.101. • A repair station with a limited rating may choose to maintain a capability list and provide the FAA with a copy of the revised list. Recordkeeping Requirements covered under this IC include: • Each repair station must retain records that demonstrate compliance with the requirements of part 43. • Each repair station must document the individual employee training required by the repair station training program approved by the FAA. The respondents to this collection are current part 145 certificated Repair Stations and applicants for a part 145 air agency certificate. Responding to the collection is required to obtain and/or retain a benefit.   The information collected is provided or made available to each certificate holder/applicant’s responsible FSDO. Additionally, A certificated repair station must make all required records available for inspection by the FAA and the National Transportation Safety Board (NTSB). The FAA uses FAA Form 8310-3, Application for Repair Station Certificate and/or Rating, to collect information on repair station applicants, amendments to a repair station certificate holder’s air agency certificate, and renewal requests for repair station certificate holders located outside of the United States. FAA Form 8310-3 collects the official name of the repair station, location where business is conducted, official mailing address, any additional business names (i.e., dba, doing business as), changes in ratings (or ratings sought if submitted by an applicant), changes in location or housing and facilities, change in name or ownership, or any other purpose for which the certificate holder or applicant requests, requests for approval/changes to contract maintenance functions to outside entities. Other information described in this IC is provided to the FAA in the form of manuals, lists, or other documentation containing the information requested.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

49 USC Subtitle VII, section 44701
49 USC Subtitle VII, section 44707
49 USC Subtitle VII, section 44702

Presidential Action:

-

Title:

License Requirements for Operation of a Launch Site

Reference Number:

Omb Control Number:

2120-0644

Agency:

DOT/FAA

Received:

2024-08-29

Concluded:

2025-09-29

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
License Requirements for Operation of a Launch Site

Key Information

Abstract

This information collection is mandatory for privatized space launch facilities or entities wishing to become a privatized space launch facility. This information collection requirement is intended to enable FAA/AST to incorporate acquired data into the license, which subsequently becomes binding on the site operator. FAA/AST issues a site operator license based on the site operator’s demonstration of the ability to ensure public safety and the safety of property, both on and off the site. Under the policy review and approval process, an applicant is required to submit information identifying foreign ownership of the launch site or reentry site enterprise. FAA/AST determines, before issuing a license, if issuance of such a license would jeopardize the foreign policy or national security interest of the United States. The Launch Site Location Review and Approval provision requires the applicant to conduct an analysis that objectively determines whether the location of a proposed launch or reentry site can support the launch or reentry of a suborbital launch vehicle or, at a minimum, one class of orbital launch vehicle on at least one trajectory. Finally, the applicant is required to submit an explosive site plan, which complies with established levels of risk calculations to acceptable exposure to destructive forces. In accordance with the requirements of the National Environmental Policies Act, 42 U.S.C. § 4321, et. seq., (NEPA), the Council on Environmental Quality Regulations for Implementing the Procedural Provisions of NEPA, 40 CFR Parts 1500-1508, and the DOT’s Procedures for Considering Environmental Impacts, DOT Order 5610.1C, applicants are required to submit environmental information concerning proposed new launch sites and launch vehicles that are not currently described in the environmental impact statements, as well as payloads that may have significant environmental impacts in the event of a launch or reentry accident. .

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

51 USC 509

Presidential Action:

-

Title:

Business Trends and Outlook Survey

Reference Number:

Omb Control Number:

0607-1022

Agency:

DOC/CENSUS

Received:

2024-08-29

Concluded:

2024-10-08

Action:

Approved with change

Status:

Active

Request Type:

Revision of a currently approved collection
Business Trends and Outlook Survey

Key Information

Abstract

The Business Trends and Outlook Survey (BTOS) will be a new experimental survey with bi-weekly data collection and publication. This continuous near real time data publication will provide a baseline of the U.S. economy and will measure change as a result of current and future economic shocks. The ongoing nature of the BTOS is in response to stakeholder feedback on the Small Business Pulse Survey (SBPS), which was that economic baseline or ‘norms’ data would have been helpful to have in comparison to the SBPS data on pandemic impact.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

13 USC 131, 182

Presidential Action:

-

Title:

Southeast Region Vessel Monitoring System (VMS) and Related Requirements

Reference Number:

Omb Control Number:

0648-0544

Agency:

DOC/NOAA

Received:

2024-08-29

Concluded:

2024-11-12

Action:

Approved without change

Status:

Active

Request Type:

Revision of a currently approved collection
Southeast Region Vessel Monitoring System (VMS) and Related Requirements

Key Information

Abstract

The NMFS, Office of Law Enforcement, Southeast Enforcement Division is submitting this request for a revision and an extension of a currently approved information collection. Pursuant to proposed rule 0648-BM98, the changes proposed to this collection are the elimination of the current paper-based “Vessel Monitoring System Mobile Transceiver Unit (MTU) Power-Down Exemption Request for Vessels in the Gulf of Mexico Reef Fish Fishery” to be replaced with an online form submission. The online form also includes the addition of two data elements; the email address of the submitter, and an option for the submitter to identify themselves as the “permit holder” or “vessel operator.” Additionally, the change proposes to eliminate the current requirement for vessel owners to submit the Vessel Monitoring System (VMS) Installation and Activation Certification for the Reef Fish Fishery of the Gulf of Mexico form. The Magnuson-Stevens Fishery Conservation and Management Act (Magnuson-Stevens Act) authorizes the Gulf of Mexico Fishery Management Council (Gulf Council) and South Atlantic Fishery Management Council (South Atlantic Council) to prepare and amend fishery management plans (FMP) for any fishery in Federal waters under their respective jurisdictions. NMFS and the Gulf Council manage the reef fish fishery in the Gulf of Mexico (Gulf) under the FMP for the Reef Fish Resources of the Gulf of Mexico (Reef Fish FMP). NMFS and the South Atlantic Council manage the fishery for rock shrimp in the South Atlantic under the FMP for the Shrimp Fishery in the South Atlantic Region (Shrimp FMP). The FMPs and the implementing regulations contain several specific management areas where fishing is restricted; enforcement for which is most effectively conducted using VMS technology. The information collected on the soon-to-be-eliminated ‘‘Vessel Monitoring System Installation and Activation Certification for the Reef Fish Fishery of the Gulf of Mexico’’ form provides NMFS assurance that vessels are compliant with the requirements to install and activate an approved VMS unit. The requirement for vessel owners to install a VMS unit properly will remain in regulation, but there is little utility to requiring vessel owners to submit a form attesting to their compliance. Accordingly, we no longer seek to require that documentation. Information collected on the current ‘‘Vessel Monitoring System Mobile Transceiver Unit (MTU) Power-Down Exemption Request for Vessels in the Gulf of Mexico Reef Fish Fishery’’ form and online “Power Down Exemption Request form” provide information that allows NMFS to exempt a vessel from the VMS reporting requirement under specific criteria. Information collected in fishing activity declarations is used to identify fishing activities, necessary for law enforcement operational planning, so law enforcement will know in real time, with what fishing activities the vessels are engaged.

Federal Register Notices

60-Day FRN

Authorizing Statutes

Pub.L. 194 - 265 303

Presidential Action:

-
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