30 Day FRN

FR 30 2014.pdf

Customs Regulations Pertaining to Customhouse Brokers

30 Day FRN

OMB: 1651-0034

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Federal Register / Vol. 79, No. 47 / Tuesday, March 11, 2014 / Notices

DEPARTMENT OF HOMELAND
SECURITY
Coast Guard
[Docket No. USCG–2010–0316]

National Boating Safety Advisory
Council; Vacancies
Coast Guard, DHS.
Request for applications.

AGENCY:
ACTION:

The Coast Guard seeks
applications for membership on the
National Boating Safety Advisory
Council (NBSAC). This Council advises
the Coast Guard on recreational boating
safety regulations and other major
boating safety matters.
DATES: Completed applications should
reach the Coast Guard on or before May
12, 2014.
ADDRESSES: Applicants should send
their cover letter and resume via one of
the following methods:
• By mail: Commandant (CG–BSX–2)/
NBSAC, Attn: Mr. Jeff Ludwig, U.S.
Coast Guard, 2703 Martin Luther King
Ave. SE., Stop 7581, Washington, DC
20593–7581.
• By email: [email protected].
FOR FURTHER INFORMATION CONTACT: Mr.
Jeff Ludwig, ADFO of National Boating
Safety Advisory Committee; telephone
202–372–1061 or email at
[email protected].
SUMMARY:

The
National Boating Safety Advisory
Council (NBSAC) is a federal advisory
committee under the Federal Advisory
Committee Act, (Pub. L. 92–463; 5
U.S.C. Appendix). It was established
under authority of 46 U.S.C. 13110 and
advises the Coast Guard on boating
safety regulations and other major
boating safety matters. NBSAC has 21
members: Seven representatives of State
officials responsible for State boating
safety programs, seven representatives
of recreational boat manufacturers and
associated equipment manufacturers,
and seven representatives of national
recreational boating organizations and
the general public, at least five of whom
are representatives of national
recreational boating organizations.
Members are appointed by the Secretary
of the Department of Homeland
Security.
The Council usually meets at least
twice each year at a location selected by
the Coast Guard. It may also meet for
extraordinary purposes. Subcommittees
or working groups may also meet to
consider specific problems.
We will consider applications for
seven positions that expire or become
vacant on December 31, 2014:

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SUPPLEMENTARY INFORMATION:

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• Three representatives of State
officials responsible for State boating
safety programs;
• Two representatives of recreational
boat and associated equipment
manufacturers; and
• Two representatives of national
recreational boating organizations or the
general public.
Applicants are considered for
membership on the basis of their
particular expertise, knowledge, and
experience in recreational boating
safety. Appointments for the 2014
vacancies remain pending. The
vacancies announced in this notice do
not include the 2014 vacancies. The
vacancies announced in this notice
apply to membership positions that
become vacant on January 1st, 2015.
Applicants for the 2014 vacancies
announced in the Federal Register on
January 9, 2013, (78 FR 1865) will
automatically be considered for the
2015 vacancies and do not need to
submit another application. Individuals,
who submitted an application for any
year prior to 2014, are asked to resubmit an application if the individual
wishes to apply for any of the vacancies
announced in this notice.
To be eligible, you should have
experience in one of the categories
listed above. Registered lobbyists are not
eligible to serve on Federal advisory
committees. Registered lobbyists are
lobbyists required to comply with
provisions contained in The Lobbying
Disclosure Act of 1995 (Pub. L. 104–65;
as amended by Title II of Pub. L. 110–
81). Each member serves for a term of
three years. Members may be considered
to serve consecutive terms. All members
serve at their own expense and receive
no salary, or other compensation from
the Federal Government. The exception
to this policy is when attending NBSAC
meetings; members may be reimbursed
for travel expenses and provided per
diem in accordance with Federal Travel
Regulations.
The Department of Homeland
Security (DHS) does not discriminate in
employment on the basis of race, color,
religion, sex, national origin, political
affiliation, sexual orientation, gender
identity, marital status, disability and
genetic information, age, membership in
an employee organization, or other nonmerit factor. DHS strives to achieve a
widely diverse candidate pool for all of
its recruitment actions.
If you are selected as a nonrepresentative member or as member
from the general public, you will be
appointed and serve as a special
Government employee (SGE) as defined
in section 202(a) of title 18, United
States Code. As a candidate for

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appointment as a SGE, applicants are
required to complete a Confidential
Financial Disclosure Report (OGE Form
450). DHS may not release the reports or
the information in them to the public
except under an order issued by a
Federal court or as otherwise provided
under the Privacy Act (5 U.S.C. 552a).
Applicants can obtain this form by
going to the Web site of the Office of
Government Ethics (www.oge.gov) or by
contacting the individual listed above in
‘‘FOR FURTHER INFORMATION CONTACT’’.
Applications which are not
accompanied by a completed OGE Form
450 will not be considered.
If you are interested in applying to
become a member of the Committee,
send your cover letter and resume to Mr.
Jeff Ludwig, Alternate Designated
Federal Officer (ADFO) of NBSAC by
email or mail according to the
instructions in the ADDRESSES section by
the deadline in the DATES section of
this notice. Indicate the specific
position you request to be considered
for and specify your area of expertise
that qualifies you to serve on NBSAC.
Note that during the vetting process,
applicants may be asked to provide date
of birth and social security number. All
email submittals will receive email
receipt confirmation.
To visit our online docket, go to
http://www.regulations.gov. Enter the
docket number for this notice (USCG–
2010–0316) in the Search box, and click
‘‘Search.’’ Please do not post your
resume or OGE–450 Form on this site.
Jonathan C. Burton,
Captain, U.S. Coast Guard, Director of
Inspections and Compliance.
[FR Doc. 2014–05293 Filed 3–10–14; 8:45 am]
BILLING CODE 9110–04–P

DEPARTMENT OF HOMELAND
SECURITY
U.S. Customs and Border Protection
Agency Information Collection
Activities: CBP Regulations Pertaining
to Customs Brokers
U.S. Customs and Border
Protection, Department of Homeland
Security.
ACTION: 30-Day Notice and request for
comments; Extension of an existing
collection of information: 1651–0034.
AGENCY:

U.S. Customs and Border
Protection (CBP) of the Department of
Homeland Security will be submitting
the following information collection
request to the Office of Management and
Budget (OMB) for review and approval
in accordance with the Paperwork

SUMMARY:

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Federal Register / Vol. 79, No. 47 / Tuesday, March 11, 2014 / Notices
Reduction Act: CBP Regulations
Pertaining to Customs Brokers (19 CFR
part 111). This is a proposed extension
of an information collection that was
previously approved. CBP is proposing
that this information collection be
extended with no change to the burden
hours. This document is published to
obtain comments from the public and
affected agencies. This proposed
information collection was previously
published in the Federal Register (78
FR 76851) on December 19, 2013,
allowing for a 60-day comment period.
This notice allows for an additional 30
days for public comments. This process
is conducted in accordance with 5 CFR
1320.10.
DATES: Written comments should be
received on or before April 10, 2014 to
be assured of consideration.
ADDRESSES: Interested persons are
invited to submit written comments on
this proposed information collection to
the Office of Information and Regulatory
Affairs, Office of Management and
Budget. Comments should be addressed
to the OMB Desk Officer for Customs
and Border Protection, Department of
Homeland Security, and sent via
electronic mail to oira_submission@
omb.eop.gov or faxed to (202) 395–5806.
FOR FURTHER INFORMATION CONTACT:
Requests for additional information
should be directed to Tracey Denning,
U.S. Customs and Border Protection,
Regulations and Rulings, Office of
International Trade, 90 K Street, NE.,
10th Floor, Washington, DC 20229–
1177, at 202–325–0265.
SUPPLEMENTARY INFORMATION: CBP
invites the general public and other
Federal agencies to comment on
proposed and/or continuing information
collections pursuant to the Paperwork
Reduction Act of 1995 (Pub. L. 104–13;
44 U.S.C. 3507). The comments should
address: (a) Whether the collection of
information is necessary for the proper
performance of the functions of the
agency, including whether the
information shall have practical utility;
(b) The accuracy of the agency’s
estimates of the burden of the collection
of information; (c) ways to enhance the
quality, utility, and clarity of the
information to be collected; (d) ways to
minimize the burden including the use
of automated collection techniques or
the use of other forms of information
technology; and (e) the annual costs
burden to respondents or record keepers
from the collection of information (a
total capital/startup costs and

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operations and maintenance costs). The
comments that are submitted will be
summarized and included in the CBP
request for Office of Management and
Budget (OMB) approval. All comments
will become a matter of public record.
In this document CBP is soliciting
comments concerning the following
information collection:
Title: CBP Regulations Pertaining to
Customs Brokers (19 CFR part 111).
OMB Number: 1651–0034.
Form Numbers: CBP Forms 3124 and
3124E.
Abstract: The information contained
in Part 111 of the CBP regulations
governs the licensing and conduct of
customs brokers. An individual who
wishes to take the broker exam must
complete CBP Form 3124E,
‘‘Application for Customs Broker
License Exam’’, or to apply for a broker
license, CBP Form 3124, ‘‘Application
for Customs Broker License’’. The
procedures to request a local or national
broker permit can be found in 19 CFR
111.19, and a triennial report is required
under 19 CFR 111.30. This information
collected from customs brokers is
provided for by 19 U.S.C. 1641. CBP
Forms 3124 and 3124E may be found at
http://www.cbp.gov/xp/cgov/toolbox/
forms/. Further information about the
customs broker exam and how to apply
for it may be found at http://
www.cbp.gov/xp/cgov/trade/trade_
programs/broker/broker_exam/.
Current Actions: This submission is
being made to extend the expiration
date with no change to the burden hours
or to this collection of information.
Type of Review: Extension (without
change).
Affected Public: Businesses,
Individuals.
CBP Form 3124E, ‘‘Application for
Customs Broker License Exam’’
Estimated Number of Respondents:
2,300.
Estimated time per Response: 1 hour.
Estimated Total Annual Burden
Hours: 2,300.
Estimated Total Annual Cost to the
Public: $460,000.
CBP Form 3124, ‘‘Application for
Customs Broker License’’
Estimated Number of Respondents:
300.
Estimated time per Response: 1 hour.
Estimated Total Annual Burden
Hours: 300.
Estimated Total Annual Cost to the
Public: $6,000.

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Triennial Report (19 CFR 111.30)
Estimated Number of Respondents:
3,833.
Estimated time per Response: 5 hours.
Estimated Total Annual Burden
Hours: 1,917.
Estimated Total Annual Cost to the
Public: $383,300.
National Broker Permit Application (19
CFR 111.19)
Estimated Number of Respondents:
500.
Estimated time per Response: 1 hour.
Estimated Total Annual Burden
Hours: 500.
Estimated Total Annual Cost to the
Public: $112,500.
Dated: March 5, 2014.
Tracey Denning,
Agency Clearance Officer, U.S. Customs and
Border Protection.
[FR Doc. 2014–05238 Filed 3–10–14; 8:45 am]
BILLING CODE 9111–14–P

DEPARTMENT OF HOMELAND
SECURITY
U.S. Customs and Border Protection
Notice of Reinstatement of Customs
Broker Licenses
U.S. Customs and Border
Protection, Department of Homeland
Security.
ACTION: Reinstatement of customs broker
licenses that were revoked.
AGENCY:

This document announces
that certain customs brokers’ licenses
that have previously been revoked by
operation of law have been reinstated
and are currently active.
FOR FURTHER INFORMATION CONTACT:
Craig Briess, International Trade
Specialist, Broker Management Branch,
Office of International Trade, (202) 863–
6083.
SUPPLEMENTARY INFORMATION: In a notice
published in the Federal Register (76
FR 71584) on November 18, 2011, U.S.
Customs and Border Protection revoked
customs brokers’ licenses by operation
of law without prejudice pursuant to
section 641 of the Tariff Act of 1930, as
amended (19 U.S.C. 1641), and section
111.30(d) of title 19 of the Code of
Federal Regulations (19 CFR 111.30(d)).
The following customs brokers’ licenses
that were revoked in that notice have
been reinstated and are currently active.
SUMMARY:

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