Executive Branch Qualified Trust Documents (see items 1.-2. in Supporting Statement for titles of all documents)

Executive Branch Qualified Trust Documents (see items 1. and 2. in Supporting Statement for precise titles of all documents)

Doc A_model_comm (2024)

Executive Branch Qualified Trust Documents (see items 1.-2. in Supporting Statement for titles of all documents)

OMB: 3209-0007

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Form Approved: OMB No. 3209-0007

(Revised 2/2023, Expires 2/28/2026)


U.S. OFFICE OF GOVERNMENT ETHICS


Blind Trust Communications



Expedited procedure for securing approval of proposed communications.

Under the requirements of Chapter 131, title 5 of the United States Code, the regulations of the U.S. Office of Government Ethics, and the provisions of trust instruments that have been approved by this Office, all communications between the trustee of a qualified trust and the interested parties or their representatives must be in writing and specifically approved by the Director of the U.S. Office of Government Ethics prior to being transmitted. No oral communications are permitted. The only exceptions to the prior approval requirement for written communications relate to quarterly and annual reports conforming to standard formats, which are distributed by the trustee.

The most expedient manner of securing prior approval is to email a copy of the proposed communication to the U.S. Office of Government Ethics attorney assigned to your trust.

Our staff is always available to discuss a proposed communication or any other concerns which may arise by telephone: 202-482-9300. Please direct your telephone calls to the attorney assigned to your trust.





January 15, 2022



MODEL QUARTERLY REPORT TO SETTLOR



Honorable Marcus M. Mandarin

Chairman, Regulatory Commission

Washington, DC 20415


Re: Qualified Blind Trust

of March 20, 2020



Dear Mr. Mandarin:


Pursuant to Paragraph (A) of Article SIXTH of your Qualified Blind Trust, this is to inform you that as of December 31, 2021, the aggregate market value of the assets representing your interest in the Trust was $1,894,532.00.


Sincerely,



Metropolis Trust Company

by:



__________________________

Trust Officer



cc: Director, U.S. Office of Government Ethics

Suite 750

250 E Street, SW

Washington, DC 20024




January 15, 2022



MODEL REPORT OF ASSET SOLD OR VALUE LESS THAN $1,000



Honorable Marcus M. Mandarin

Chairman, Regulatory Commission

Washington, DC 20415


Re: Qualified Blind Trust

of March 20, 2020



Dear Mr. Mandarin:


Pursuant to Article Fourth of your Qualified Blind Trust, this is to inform you that as of December 31, 2021, ____________ has been completely disposed of or has a value of less than $1,000.


Sincerely,



Metropolis Trust Company

by:



__________________________

Trust Officer




cc: Director, U.S. Office of Government Ethics

Suite 750

250 E Street, SW

Washington, DC 20024




January 15, 2022



MODEL QUARTERLY REPORT TO SETTLOR



Honorable Marcus M. Mandarin

Chairman, Regulatory Commission

Washington, DC 20415


Re: Qualified Diversified

Trust of March 20, 2020



Dear Mr. Mandarin:


Pursuant to Paragraph (A) of Article SEVENTH of your Qualified Diversified Trust, this is to inform you that as of December 31, 2021, the aggregate market value of the assets representing your interest in the Trust was $1,894,532.00.


Sincerely,



Metropolis Trust Company

by:



__________________________

Trust Officer


cc: Director, U.S. Office of Government Ethics

Suite 750

250 E Street, SW

Washington, DC 20024




January 15, 2022



MODEL ANNUAL REPORT TO SETTLOR



Honorable Marcus M. Mandarin

Chairman, Regulatory Commission

Washington, DC 20415


Re: Qualified Blind Trust

of March 20, 2020



Dear Mr. Mandarin:


Pursuant to Paragraph (B) of Article SIXTH of your Qualified Blind Trust, your K-1 for the Trust with respect to the calendar year 2021 is hereby transmitted to you.


Sincerely,



Metropolis Trust Company

by:



__________________________

Trust Officer


Enclosure


cc (with enclosure):

Director, U.S. Office of Government Ethics

Suite 750

250 E Street, SW

Washington, DC 20024



January 15, 2022


MODEL ANNUAL REPORT TO SETTLOR



Honorable Marcus M. Mandarin

Chairman, Regulatory Commission

Washington, DC 20415


Re: Qualified Diversified

Trust of March 20, 2020



Dear Mr. Mandarin:


Pursuant to Paragraph (B) of Article SEVENTH of your Qualified Diversified Trust, this is to inform you that for the calendar year 2021, $46,589.54 was paid to you in respect of such Trust (or applied for your benefit therefrom).


Sincerely,



Metropolis Trust Company

by:



__________________________

Trust Officer



cc: Director, U.S. Office of Government Ethics

Suite 750

250 E Street, SW

Washington, DC 20024

Privacy Act Statement

The Ethics in Government Act of 1978 as amended and the regulations of the U.S. Office of Government Ethics (OGE) require the reporting of this information for the administration of qualified trusts. The consequences of failing to provide the requested information are as follows: for proposed qualified trusts, OGE may be unable to review or approve the trust; for existing qualified trusts, OGE may revoke the trust certification or trustee approval previously granted. The primary use of the information on the trust instrument, communication, or certification prepared based in part upon this model draft document is for review by Government officials of OGE and the agency of the Government employee for whom the trust is being established to determine compliance with applicable Federal laws and regulations as regards qualified trusts. Additional disclosures of the information may be made:


  1. To disclose information furnished in accordance with sections 105 and 402(b)(1) of the Ethics in Government Act of 1978, codified at 5 U.S.C. 13107 and 13122(b)(1), and subject to the limitations contained therein, to any requesting person.

  2. To disclose pertinent information to the appropriate Federal, State, or local agency responsible for investigating, prosecuting, enforcing, or implementing a statute, rule, regulation, or order where the disclosing agency becomes aware of an indication of a violation or potential violation of civil or criminal law or regulation.

  3. To disclose information to any source when necessary to obtain information relevant to a conflict-of-interest investigation or determination.

  4. To disclose information to the National Archives and Records Administration or the General Services Administration in records management inspections conducted under authority of 44 U.S.C. 2904 and 2906.

  5. To disclose information to the Office of Management and Budget at any stage in the legislative coordination and clearance process in connection with private relief legislation as set forth in OMB Circular No. A-19.

  6. To disclose information when the disclosing agency determines that the records are relevant and necessary to a proceeding before a court, grand jury, or administrative or adjudicative body; or in a proceeding before an administrative or adjudicative body when the adjudicator determines the records to be relevant to the proceeding.

  7. To disclose the public financial disclosure report and any accompanying documents to reviewing officials in a new office, department or agency when an employee transfers or is detailed from a covered position in one office, department or agency to a covered position in another office, department or agency.

  8. To disclose information to a Member of Congress or a congressional office in response to an inquiry made on behalf of, and at the request of, an individual who is the subject of the record.

  9. To disclose the information to contractors, grantees, experts, consultants, detailees, and other non-Government employees performing or working on a contract, service, or other assignment for the Federal Government, when necessary to accomplish an agency function related to this system of records.

  10. To disclose information to appropriate agencies, entities, and persons when: (1) the agency maintaining the records suspects or has confirmed that there has been a breach of the system of records; (2) the agency maintaining the records has determined that as a result of the suspected or confirmed breach there is a risk of harm to individuals, the agency (including its information systems, programs, and operations), the Federal Government, or national security; and (3) the disclosure made to such agencies, entities, and persons is reasonably necessary to assist in connection with the agency's efforts to respond to the suspected or confirmed breach or to prevent, minimize, or remedy such harm.

  11. To disclose information to another Federal agency or Federal entity, when the agency maintaining the record determines that information from this system of records is reasonably necessary to assist the recipient agency or entity in (1) responding to a suspected or confirmed breach or (2) preventing, minimizing, or remedying the risk of harm to individuals, the recipient agency or entity (including its information systems, programs, and operations), the Federal Government, or national security, resulting from a suspected or confirmed breach.


For additional information please see the OGE/GOVT-1 Governmentwide Privacy Act System of Records.


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