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 15563 results

CSV Download

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

Title:

Common Forms Associated with Federal Subsistence Regulations, 43 CFR 51 and 36 CFR 242

Reference Number:

Omb Control Number:

-

Agency:

DOI/ASPMB

Received:

2025-07-21

Concluded:

None

Action:

None

Status:

Received in OIRA

Request Type:

New collection (Request for a new OMB Control Number)
Common Forms Associated with Federal Subsistence Regulations, 43 CFR 51 and 36 CFR 242

Key Information

Abstract

The Alaska National Interest Lands Conservation Act (ANILCA) mandates that rural residents of Alaska receive priority for subsistence uses of fish and wildlife. In 1989, the Alaska Supreme Court ruled that ANILCA's rural priority violated the Alaska Constitution. As a result, the Federal Government manages subsistence uses on Federal public lands and waters in Alaska--about 230 million acres or 60 percent of the land within the State. Title VIII of ANILCA (16 U.S.C. 3111-3126) designates the Departments of the Interior and Agriculture as the key agencies responsible for implementing the subsistence priority on Federal public lands. To help carry out subsistence management responsibilities, the Secretaries of the Interior and Agriculture established the Federal Subsistence Management Program. Regulations implementing the Federal Subsistence Management Program on Federal public lands within Alaska are in the Code of Federal Regulations (50 CFR 100 and 36 CFR 242). The Federal Subsistence Management Program is a multi-agency effort to provide the opportunity for a subsistence way of life by rural Alaskans on Federal public lands and waters while maintaining healthy populations of fish and wildlife. Subsistence fishing and hunting provide a large share of the food consumed in rural Alaska. The State's rural residents harvest about 22,000 tons of wild foods each year--an average of 375 pounds per person. Fish make up about 60 percent of this harvest Statewide.Emergency Justfication:See attached "Justification for Emergency Clearance" uploaded as a supplemental document.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

16 USC 3111-3126

Presidential Action:

-

Title:

NOP Market Development for Mushrooms and Pet Food

Reference Number:

Omb Control Number:

0581-0347

Agency:

USDA/AMS

Received:

2025-07-21

Concluded:

2026-02-09

Action:

Approved without change

Status:

Active

Request Type:

New collection (Request for a new OMB Control Number)
NOP Market Development for Mushrooms and Pet Food

Key Information

Abstract

This action is to increase uniformity in organic mushroom production practices and organic pet food handling and reduce organic certification discrepancies between certifying agents.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

7 USC 6501-6524

Presidential Action:

-

Title:

Dairy Market News

Reference Number:

Omb Control Number:

0581-0350

Agency:

USDA/AMS

Received:

2025-07-21

Concluded:

2026-01-16

Action:

Approved without change

Status:

Active

Request Type:

Existing collection in use without an OMB Control Number
Dairy Market News

Key Information

Abstract

Since 1941, Dairy Market News (DMN) has been voluntarily collecting and publishing dairy commodity price information. The DMN's goal is to provide timely and unbiased market insight that helps American farmers and businesses understand market trends and make informed decisions about the marketing, sale, and delivery of their products. Respondents are members of the dairy industry, including manufacturers, brokers, traders, and end users of dairy products.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

7 USC 1621 et seq

Presidential Action:

-

Title:

National Longitudinal Survey of Youth 1997

Reference Number:

Omb Control Number:

1220-0157

Agency:

DOL/BLS

Received:

2025-07-21

Concluded:

2025-11-24

Action:

Approved without change

Status:

Active

Request Type:

Revision of a currently approved collection
National Longitudinal Survey of Youth 1997

Key Information

Abstract

The National Longitudinal Survey of Youth 1997 (NLSY97) includes 8,984 respondents who were born in the years 1980 through 1984 and lived in the United States when the survey began in 1997. The primary objective of the survey is to study the transition from full-time schooling to the establishment of careers and families. The longitudinal focus of the survey requires information to be collected about the same individuals over many years in order to trace their education, training, work experience, fertility, income, and program participation. One of the goals of the Department of Labor is to produce and disseminate timely, accurate, and relevant information about the U.S. labor force. BLS contributes to this goal by gathering information about the labor force and labor market and disseminating it to policymakers and the public so that participants in those markets can make more informed, and thus more efficient, choices. Research based on the NLSY97 contributes to the formation of national policy in the areas of education, training, employment programs, and school-to-work transitions.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

29 USC 1
29 USC 2

Presidential Action:

-

Title:

Rural Education Achievement Program: Small, Rural School Achievement Program and Rural and Low-Income School Program Application

Reference Number:

Omb Control Number:

1810-0646

Agency:

ED/OESE

Received:

2025-07-21

Concluded:

2025-09-19

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Rural Education Achievement Program: Small, Rural School Achievement Program and Rural and Low-Income School Program Application

Key Information

Abstract

The Department administers two formula grant programs under Title V, Part B (Rural Education Achievement Program (REAP)) of the Elementary and Secondary Education Act of 1965 (ESEA): the Small, Rural School Achievement (SRSA) program, administered by the Department, which makes awards directly to local educational agencies (LEAs); and the Rural and Low-Income School (RLIS) program, awarded by the Department to State Educational Agencies (SEAs), which then make awards to and administer the program for LEAs. The Department may also make RLIS awards directly to LEAs in States that do not submit an approvable RLIS application to the Department. These LEAs that apply directly to the Department for RLIS funding are known as Specially Qualified Agencies (SQAs). The information provided to the Department enables the Department to make eligibility determinations for LEAs and to calculate formula allocations for each eligible LEA. Form 1 consists of the REAP Eligibility Spreadsheet through which SEAs provide to the Department eligibility and allocation data for both the RLIS and SRSA programs. Form 2 consists of the application package for LEAs under the SRSA program. Form 3 consists of the application package for SQAs under the RLIS program. This is a request for extension of the current information collection package (OMB #1810-0646), updated for the future fiscal years in which the collection would apply.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

Pub.L. 89 - 10 5201

Presidential Action:

-

Title:

Subordinated Debt, 12 CFR Part 702, Subpart D

Reference Number:

Omb Control Number:

3133-0207

Agency:

NCUA

Received:

2025-07-21

Concluded:

None

Action:

None

Status:

Received in OIRA

Request Type:

Extension without change of a currently approved collection
Subordinated Debt, 12 CFR Part 702, Subpart D

Key Information

Abstract

Subpart D of Part 702 addresses limits on loans to other credit unions; an expansion of the borrowing rule to clarify that federal credit unions (FCUs) can borrow from any source; revisions to the risk-based capital (RBC) rule, and the payout priorities in an involuntary liquidation rule to account for Subordinated Debt and Grandfathered Secondary Capital; and cohering changes to part 741 to account for the other changes proposed in this rule that apply to federally insured, state-chartered credit unions (FISCUs). The borrowing authority granted to FCUs by the FCU Act, along with FCUs’ statutory authority to enter into contracts and exercise incidental powers necessary or required to enable the FCUs to effectively carry on their business, supports the legal analysis that FCUs are authorized to incur indebtedness through the issuance of debt securities of the type contemplated by this proposed rule. This rule would permit LICUs, Complex Credit Unions, and New Credit Unions to issue Subordinated Debt Notes for purposes of regulatory capital treatment. It contains a series of requirements in respect of the Subordinated Debt and Subordinated Debt Note, disclosures and offering materials, repayment (including prepayment), and regulatory capital treatment.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

12 USC 1757(9)

Presidential Action:

-

Title:

NCUA Template - Large Credit Union Data Collection

Reference Number:

Omb Control Number:

3133-0209

Agency:

NCUA

Received:

2025-07-21

Concluded:

None

Action:

None

Status:

Received in OIRA

Request Type:

Extension without change of a currently approved collection
NCUA Template - Large Credit Union Data Collection

Key Information

Abstract

The NCUA issued regulation under 12 CFR part 702, subpart E, “Capital Planning and Stress Testing” regarding capital planning and stress testing for federally insured credit unions with $10 billion or more in assets and supervised by Office of National Examinations and Supervision (covered credit unions). The rule authorizes covered credit unions to conduct stress tests in accordance with the NCUA’s requirements. Section 702.506 provides for the necessary requirements for those credit unions to conduct supervisory stress tests. The ‘‘NCUA Template - Large Credit Union Data Collection’’ was developed for the credit unions to provide NCUA with the specific data needed to evaluate their internal assessments of capital adequacy and to ensure their capital resources are sufficient.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

12 USC 1766(a); 1790d

Presidential Action:

-

Title:

Medicare Outpatient Prospective Payment System (OPPS) Drug Acquisition Cost Survey (CMS-10931)

Reference Number:

Omb Control Number:

0938-1487

Agency:

HHS/CMS

Received:

2025-07-21

Concluded:

2025-09-20

Action:

Comment filed on proposed rule

Status:

Historical Inactive

Request Type:

New collection (Request for a new OMB Control Number)
Medicare Outpatient Prospective Payment System (OPPS) Drug Acquisition Cost Survey (CMS-10931)

Key Information

Abstract

On April 18, 2025, President Trump signed Executive Order (E.O.) 14273, “Lowering Drug Prices by Once Again Putting Americans First.” Section 5 of the E.O., “Appropriately Accounting for Acquisition Costs of Drugs in Medicare,” directs the Secretary of HHS to publish in the Federal Register a plan to conduct a survey under section 1833(t)(14)(D)(ii) of the Act so he can determine the hospital acquisition cost for covered outpatient drugs at hospital outpatient departments. This survey corresponds to this executive order. The acquisition cost data hospitals submit in response to this survey will be considered when formulating proposed payment rates for drug payment under the Medicare Outpatient Prospective Payment System (OPPS). The respondents of the survey will be the approximately 3,500 hospitals that are paid under the OPPS.

Federal Register Notices

60-Day FRN

Authorizing Statutes

42 USC 1833(t)(14)(D)(ii)

Presidential Action:

-

Title:

Southeast Region Logbook Family of Forms

Reference Number:

Omb Control Number:

0648-0016

Agency:

DOC/NOAA

Received:

2025-07-21

Concluded:

2025-09-24

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Southeast Region Logbook Family of Forms

Key Information

Abstract

The National Oceanic and Atmospheric Administration’s (NOAA’s) National Marine Fisheries Service (NMFS) is seeking to extend the information collections currently approved under OMB Control No. 0648-0016. The NMFS Southeast Region manages commercial and recreational fisheries in Federal waters of the Gulf of America (Gulf), South Atlantic, and Caribbean under the authority of the Magnuson-Stevens Fishery Conservation and Management Act (Magnuson-Stevens Act), 16 U.S.C. 1801 et seq., through regulations implemented at 50 CFR part 622. Participants in most of these federally managed fisheries are required to keep and submit logbooks of their fishing effort and catch from their fishing trips. Some fishermen on these vessels also provide information on the species and quantities of fish, shellfish, marine turtles, and marine mammals that are caught and discarded or have interacted with the fishing gear. These fishermen may also provide information about dockside prices, trip operating costs, and annual fixed costs. NOAA is currently drafting revised regulations to comply with a court order from the U.S. Fifth Circuit Court of Appeals, which effectively invalidated previous regulations implemented by NMFS. That rule is not yet available or effective during this time and therefore, this collection still reflects those requirements. In the future, a request for a revision will be submitted to comply with the approved court order.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

Pub.L. 94 - 265 303

Presidential Action:

-

Title:

Request for New Recognition, Renewal of Recognition, Extension of Recognition of a Non-profit Religious, Charitable, Social Service, or Similar Organization

Reference Number:

Omb Control Number:

1125-0012

Agency:

DOJ/EOIR

Received:

2025-07-21

Concluded:

None

Action:

None

Status:

Received in OIRA

Request Type:

Revision of a currently approved collection
Request for New Recognition, Renewal of Recognition, Extension of Recognition of a Non-profit Religious, Charitable, Social Service, or Similar Organization

Key Information

Abstract

This information collection is necessary to determine whether an organization meets the regulatory and relevant case law requirements for recognition by EOIR's Office of Policy as a legal service provider, which would then allow it to seek full or partial accreditation for its representative(s) to practice before EOIR and/or the Department of Homeland Security.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

8 USC 1103
8 USC 1229a
8 USC 1362

Presidential Action:

-

Title:

Agency Information Collection Activities: Generic Clearance for Pre testing Instruments and Procedures for Evaluation, Research, and Evidence Building

Reference Number:

Omb Control Number:

1601-0036

Agency:

DHS/OS

Received:

2025-07-21

Concluded:

2025-07-24

Action:

Approved with change

Status:

Active

Request Type:

No material or nonsubstantive change to a currently approved collection
Agency Information Collection Activities: Generic Clearance for Pre testing Instruments and Procedures for Evaluation, Research, and Evidence Building

Key Information

Abstract

The U.S. Department of Homeland Security (DHS) intends to request approval from OMB for a generic clearance to pretest data collection instruments and procedures with more than nine participants to identify and resolve any question or procedural problems in DHS's survey administration. The Generic Clearance for Pre testing Instruments and Procedures for Evaluation, Research, and Evidence-Building is a new information collection request.

Federal Register Notices

60-Day FRN
30-Day FRN

Presidential Action:

-

Title:

Personal Identity Verification – ATF Form 8620.40

Reference Number:

Omb Control Number:

1140-0123

Agency:

DOJ/ATF

Received:

2025-07-21

Concluded:

None

Action:

None

Status:

Received in OIRA

Request Type:

Revision of a currently approved collection
Personal Identity Verification – ATF Form 8620.40

Key Information

Abstract

Candidates tentatively selected for positions must meet basic qualification requirements before accessing ATF information, IT systems, and facilities. ATF conducts personnel security and suitability background investigations for this purpose, in accordance with IRTPA, HSPD-12, Trusted Workforce 2.0, and other requirements. A first step in this process is verifying the person's identity, which this form documents.

Federal Register Notices

60-Day FRN
30-Day FRN

Presidential Action:

-

Title:

Request for Temporary Eligibility to Hold a Sensitive Position – ATF Form 8620.69

Reference Number:

Omb Control Number:

1140-0122

Agency:

DOJ/ATF

Received:

2025-07-21

Concluded:

None

Action:

None

Status:

Received in OIRA

Request Type:

Revision of a currently approved collection
Request for Temporary Eligibility to Hold a Sensitive Position – ATF Form 8620.69

Key Information

Abstract

ATF uses ATF Form 8620.69, Request for Temporary Eligibility to Hold a Sensitive Position, to notify candidates of the option to receive temporary employment after a certain stage in the background check process and request their decision. ATF also uses the form to collect information to determine if the candidate (respondent) can be granted temporary eligibility to hold a sensitive position prior to completion and adjudication of their full background investigation.

Federal Register Notices

60-Day FRN
30-Day FRN

Presidential Action:

-

Title:

NCUA Call Report

Reference Number:

Omb Control Number:

3133-0004

Agency:

NCUA

Received:

2025-07-21

Concluded:

2025-09-18

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
NCUA Call Report

Key Information

Abstract

Sections 106 and 202 of the Federal Credit Union Act require federally insured credit unions (FICUs) to make financial reports to the NCUA. Section 741.6 of the NCUA Rules and Regulations requires all FICUs to submit a Call Report (NCUA Form 5300) quarterly. Financial information collected through the Call Report is essential to NCUA supervision of federal credit unions. This information also facilitates NCUA monitoring of other credit unions with share accounts insured by the National Credit Union Share Insurance Fund (NCUSIF).

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

12 USC 1756
12 USC 1782

Presidential Action:

-

Title:

USMS Medical Forms

Reference Number:

Omb Control Number:

1105-0099

Agency:

DOJ/LA

Received:

2025-07-21

Concluded:

2026-01-30

Action:

Approved with change

Status:

Active

Request Type:

Reinstatement with change of a previously approved collection
USMS Medical Forms

Key Information

Abstract

As a law enforcement agency, the United States Marshals Service has unique medical requirements that prevent USMS from using current medical-related Standard and Optional forms. These forms have been developed to allow USMS to ensure that the applicants, contract employees and current federal employees who work in operational law enforcement positions are physically fit enough to perform their duties safely and successfully.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

28 USC 566
5 USC 3301
5 USC 3312
5 USC 552a
28 USC 561

Presidential Action:

-

Title:

Loans in Areas Having Special Flood Hazards

Reference Number:

Omb Control Number:

3064-0207

Agency:

FDIC

Received:

2025-07-21

Concluded:

2026-01-16

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Loans in Areas Having Special Flood Hazards

Key Information

Abstract

Each supervised lending institution is required to provide a notice of special flood hazards to a borrower acquiring a loan secured by a building on real property located in an area identified by FEMA as subject to special flood hazards, and various other notices to borrowers, servicers and FEMA.. The Riegle Community Development Act requires that each institution also provide a copy of the notice to the servicer of the loan (if different from the originating lender). Section 100239 of the Biggert-Waters Flood Insurance Reform Act of 2012 requires each federal banking agency (including the FDIC), and the Farm Credit Administration, to adopt implementing regulations to direct regulated lending institutions to accept “private flood insurance,” as defined by the Biggert-Waters Act. A lending institution would be required to implement policies and procedures to comply with the Biggert-Waters Act provision and verify in writing that a private insurance policy satisfies the criteria included in the definition or document findings that separate required criteria have been met when accepting a private flood insurance policy in satisfaction of the mandatory flood insurance purchase requirement of the Flood Disaster Protection Act. The institution must also maintain records to permit examination staff to ascertain how the institution has met the requirements of the regulation.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

12 USC 5412(b)(2)(c)
42 USC 4001 - 4129
12 USC 1462a
12 USC 1463
12 USC 1464
12 USC 1819 (Tenth)

Presidential Action:

-

Title:

Request by Organization for Accreditation of Non-Attorney Representative

Reference Number:

Omb Control Number:

1125-0013

Agency:

DOJ/EOIR

Received:

2025-07-21

Concluded:

None

Action:

None

Status:

Received in OIRA

Request Type:

Revision of a currently approved collection
Request by Organization for Accreditation of Non-Attorney Representative

Key Information

Abstract

This voluntary information collection (Form EOIR-31A) will allow an organization to seek accreditation for a non-attorney representative to appear before the Executive Office for Immigration Review and/or the Department of Homeland Security. The Form EOIR-31A will elicit, in a uniform manner all of the required information for EOIR to determine whether a proposed representative meets the eligibility requirements for accreditation. There is no other form for accreditation.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

8 USC 1103
8 USC 1229a
8 USC 1362

Presidential Action:

-

Title:

Conflict of Interest Policies and Procedures by Future Commission Merchants and introducing Brokers

Reference Number:

Omb Control Number:

3038-0078

Agency:

CFTC

Received:

2025-07-21

Concluded:

2025-09-10

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Conflict of Interest Policies and Procedures by Future Commission Merchants and introducing Brokers

Key Information

Abstract

Section 732 of Title VII of the Dodd-Frank Wall Street Reform and Consumer Protection Act (Dodd-Frank Act, Pub L. No. 111-203, 124 Stat. 1376 (2010)) amended section 4d of the Commodity Exchange Act (“CEA”) to require each futures commission merchant (“FCM”) and introducing broker (“IB”) to implement conflicts of interest systems and procedures that: (1) establish structural and institutional safeguards reasonably designed to ensure that any persons within the firm researching or analyzing the price or market for any commodity are separated by appropriate informational partitions within the firm from the review, pressure or oversight of persons whose involvement in trading or clearing activities might potentially bias their judgment or supervision, and (2) address other issues that the Commission determines to be appropriate. Pursuant to section 4d(c) of the CEA, the Commission adopted regulation 1.71. The regulation generally requires FCMs and IBs to: (1) develop conflicts of interest systems, procedures and disclosures; (2) adopt and implement written policies and procedures reasonably designed to ensure compliance with its conflicts of interest and disclosure obligations; and (3) maintain specified records related to those requirements. “Small introducing brokers,” as defined within the regulation, are subject to modified requirements, but are obligated to adopt certain policies and procedures and to provide specified disclosures. The regulation does not require reporting to the Commission. The recordkeeping obligations imposed by the regulation are essential to ensuring that FCMs and IBs develop and maintain the conflicts of interest systems, procedures, and disclosures required by the CEA and Commission regulations and to the effective evaluation of such registrants’ actual compliance with the CEA and Commission regulations

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

Pub.L. 11 - 203 124 stat. 1376 (2010)
7 USC 6d(c)

Presidential Action:

-

Title:

Consolidated Reports of Condition and Income (Call Report)

Reference Number:

Omb Control Number:

3064-0052

Agency:

FDIC

Received:

2025-07-18

Concluded:

2025-09-15

Action:

Approved without change

Status:

Active

Request Type:

Revision of a currently approved collection
Consolidated Reports of Condition and Income (Call Report)

Key Information

Abstract

Insured financial institutions must provide quarterly reports of condition and income (Call Reports) to the appropriate regulatory agency for supervisory, surveillance, regulatory, research, insurance assessment and informational purposes. Section 7 of the Federal Deposit Insurance Act requires all insured depository institutions to submit four "reports of condition" each year to their primary federal bank supervisory authority, i.e., the FDIC, the OCC, or the FRB, as appropriate. FDIC-supervised institutions, i.e., insured state nonmember banks and state savings associations, submit these reports to the FDIC. The FDIC uses the quarterly Call Reports to monitor the condition and performance of individual institutions and the industry as a whole. In addition, Call Reports provide the FDIC with the most current statistical data available for evaluating depository institution corporate applications such as mergers; identifying areas of focus for both on-site and off-site examinations; calculating all insured institutions' deposit insurance and Financing Corporation assessments; and other public purposes. Within the Call Report information collection system as it is proposed to be revised, separate report forms apply to institutions that have domestic and foreign offices (FFIEC 031) and to institutions with domestic offices only (FFIEC 041 and, for those with total assets less than $5 billion, FFIEC 051).

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

12 USC 1817(a)

Presidential Action:

-

Title:

Core Principles & Other Requirements for DCMs

Reference Number:

Omb Control Number:

3038-0052

Agency:

CFTC

Received:

2025-07-18

Concluded:

2025-09-05

Action:

Approved without change

Status:

Active

Request Type:

Revision of a currently approved collection
Core Principles & Other Requirements for DCMs

Key Information

Abstract

Part 38 of the U.S. Commodity Futures Trading Commission’s (“Commission”) regulations governs the activities of DCMs. The information collected pursuant to part 38 is necessary for the Commission to evaluate whether entities operating as, or applying to become, designated contract markets (“DCMs”) comply with the part 38, other Commission requirements, and the CEA’s statutory requirements. Collection 3038-0052 was created in response to the part 38 regulatory requirements for DCMs. In general, OMB Control Number 3038-0052 covers all information collections in part 38, including Subpart A and the DCM core principles (i.e., Subparts B through X) as well as the related appendices thereto (i.e., Appendix A—Form DCM; Appendix B—Guidance on, and Acceptable Practices in, Compliance with Core Principles; and Appendix C—Demonstration of Compliance That a Contract Is Not Readily Susceptible to Manipulation). Further, this OMB control number, 3038-0052, also includes all information collections related to part 9 (“Rules Relating to Review of Exchange Disciplinary, Access Denial Or Other Adverse Actions”) to the extent part 9 is applicable to DCMs. This collection also includes the requirements under regulation 38.251(g) in connection with the reporting of specific market disruption events to the Commission. This OMB control number, 3038-0052, also includes collections under Rule 1.52 regarding the Enhanced Protections Afforded Customer and Customer Funds Held by Futures Clearing Merchants and Derivatives Clearing Organizations. Commission regulation 1.52 imposes information collection burdens on DCMs. Additionally, this OMB control number, 3038-0052, also includes collections under regulation 38.1051(n) that relate to system safeguards and cybersecurity testing requirements and requires DCMs to provide the Commission with annual trading volume information.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

7 USC 6k, 6l, 6m, 6n, 6o, 6p, 6r, 6s
7 USC 7, 7a-s, 7b, 7b-1, 7b-3
7 USC 8, 9, 10a, 12, 12a, 12c, 15
7 USC 13a, 13a-1, 15, 16, 16a, 19
7 USC 21, 23, 24
7 USC 1a, 2
7 USC 6, 6a, 6c, 6d, 6f, 6g, 6i, 6j

Presidential Action:

-

Title:

Application for Client Assistance Program

Reference Number:

Omb Control Number:

1820-0520

Agency:

ED/OSERS

Received:

2025-07-18

Concluded:

2025-09-19

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Application for Client Assistance Program

Key Information

Abstract

The purpose of Client Assistance Program (CAP) is to advise and inform applicants and individuals eligible for services and benefits available under the Rehabilitation Act of 1973 (Rehabilitation Act), as amended by the Workforce Innovation and Opportunity Act (WIOA), and title I of the Americans with Disabilities Act of 1990 (ADA), including students with disabilities under section 113 and individuals with disabilities employed at subminimum wage under section 511 of the Rehabilitation Act. In addition, applicants and eligible individuals may be provided advocacy and representation to ensure their rights in their relationship with projects, programs, and services to protect their rights provided under the Rehabilitation Act. In addition to providing assistance and advocacy under the Rehabilitation Act, a CAP agency may provide information on the assistance and benefits on title I of the ADA, especially those who have traditionally been unserved or underserved by the vocational rehabilitation program, with respect to services that are directly related to facilitating the employment for applicants or eligible individuals.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

Pub.L. 114 - 95 112
Pub.L. 113 - 128 421
29 USC 732(a)

Presidential Action:

-

Title:

Lead in Construction Standard (29 CFR 1926.62)

Reference Number:

Omb Control Number:

1218-0189

Agency:

DOL/OSHA

Received:

2025-07-18

Concluded:

None

Action:

None

Status:

Received in OIRA

Request Type:

Extension without change of a currently approved collection
Lead in Construction Standard (29 CFR 1926.62)

Key Information

Abstract

The standard requires employers to train employees about the hazards of lead, monitor employee exposure, provide medical surveillance, and maintain accurate records of employee exposure to lead. These records will be used by employers, employees, physicians and the Government to ensure that employees are not harmed by exposure to lead in the workplace.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

29 USC 655
29 USC 657
29 USC 651

Presidential Action:

-

Title:

NIH’s Usage of the Biographical Sketch and Current and Pending (Other) Support Common Forms

Reference Number:

Omb Control Number:

3145-0279

Agency:

HHS/NIH

Received:

2025-07-18

Concluded:

2025-07-22

Action:

Approved without change

Status:

Active

Request Type:

RCF New
NIH’s Usage of the Biographical Sketch and Current and Pending (Other) Support Common Forms

Key Information

Presidential Action:

-

Title:

mySocial Security – Security Authentication PIN (SAP)

Reference Number:

Omb Control Number:

0960-0846

Agency:

SSA

Received:

2025-07-18

Concluded:

2025-07-30

Action:

Withdrawn and continue

Status:

Historical Inactive

Request Type:

No material or nonsubstantive change to a currently approved collection
mySocial Security – Security Authentication PIN (SAP)

Key Information

Abstract

To mitigate fraud concerns, in April 2025, SSA increased the level of identity proofing needed for customers to make payment method changes during phone interactions. While necessary to protect the public and the integrity of SSA’s programs, this limits the accessibility of the phone as a service channel for direct deposit requests (including post entitlement/post-eligibility direct deposit changes). To bridge this gap, SSA developed a hybrid identity proofing process called the Security Authentication PIN (SAP) that will provide identity proofing parity with our online modality, as well as in-person verification. Utilizing the SAP process provides the necessary identity verification to allow payment method changes to direct deposit records via phone or in person, while ensuring fraud protection through verification of the identity of the individual prior to accessing or revising their account. SSA is implementing the new hybrid Security Authentication PIN (SAP) to digitally verify the identity of a telephone or in person customer when requesting changes to their direct deposit information. This supports the agency’s changes to its identity proofing policy for post-entitlement/ post-eligibility actions for direct deposit enrollments, updates or cancellations. To ease the burden on customers, SSA created a vanity URL that navigates customers directly to the Security Settings page within their online mySocial Security account, allowing them to quickly and easily generate the SAP after accessing their account. This feature reduces the burden on the customer to navigate within their online account to the Security Settings pages where they may generate the SAP. The code generates immediately once the customer selects the “Generate PIN” button. To allow for continued security for respondent’s personal information, and to ensure SSA is able to accurately verify the callers’ identities prior to accessing any SSA number holders’ sensitive information, we implemented this hybrid SAP process for telephone access to the direct deposit services. In this way, we continue to offer maximum flexibility and options to the public while ensuring the security of the public’s social security number and benefits payments. We expect this new identity proofing will be a powerful fraud prevention tool. The respondents are individuals who wish to do business with SSA over the telephone or in person for the purposes of direct deposit enrollments, updates or cancellations. We are submitting a Change Request to increase the scope of the SAP Process to include the following telephone services: (1) Generating a Benefit Verification Letter; (2) Obtaining a Tax Statement or replacement Form 1099, (3) Change of Address, and (4) Request for Claims Status. We will make no changes to the current SAP process; however, due to the sensitive nature of the information we need to divulge for these requests, we will now use the SAP process to conduct business with SSA over the phone for respondents requesting these additional 4 services. As we are planning to implement the SAP process for these four services by August 18, 2025, we are requesting approval of this Change Request by COB, August 15, 2025.Emergency Justfication:To allow for continued security for respondent’s personal information, and to ensure SSA is able to accurately verify the callers’ identities prior to accessing any SSA number holders’ sensitive information, we are implementing this hybrid SAP process for telephone access to the direct deposit services. In this way, we continue to offer maximum flexibility and options to the public while ensuring the security of the public’s social security number and benefits payments. We expect this new identity proofing will be a powerful fraud prevention tool. The respondents are individuals who wish to do business with SSA over the telephone or in person for the purposes of post-entitlement/post-eligibility actions for direct deposit enrollments, updates or cancellations, or to discuss flagged initial claims for all Title II non-disability benefits (Retirement, Survivors, Auxiliary Spouses, Lump Sum Death Payments (LSDP), and Children benefits applications).

Federal Register Notices

60-Day FRN

Presidential Action:

-

Title:

Futures Volume, Open Interest, Price, Deliveries, and Exchanges of Futures

Reference Number:

Omb Control Number:

3038-0012

Agency:

CFTC

Received:

2025-07-18

Concluded:

2025-09-05

Action:

Approved without change

Status:

Active

Request Type:

Extension without change of a currently approved collection
Futures Volume, Open Interest, Price, Deliveries, and Exchanges of Futures

Key Information

Abstract

Section 4g of the Commodity Exchange Act requires contract markets to make public the daily volume of trading on each type of contract and such other information as the Commission deems necessary in the public interest and prescribes by rule, order or regulation 7 U.S.C. §6g(5). The information is used by the trading public, futures industry researchers, and the Commission to analyze the commodity futures and option marketplace. The information is received from each exchange on a daily basis in conjunction with other data collected by the Commission to determine the potential for market disturbances and distortions. Additionally, Commission market analysts and researchers use this data on a frequent basis in contract market reviews and research projects. Ultimately, the Commission routinely incorporates verified data into its public reports.

Federal Register Notices

60-Day FRN
30-Day FRN

Authorizing Statutes

7 USC 6g

Presidential Action:

-
Subscribe