Aviation Safety Inspector Airport Access, 53504-53509 [E7-18349]
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was requested to be mandated by NAA’s
(National Aviation Authorities) using JAR
(Joint Aviation Regulation) § 25.901(c),
§ 25.1309.
In August 2005 EASA published a policy
statement on the process for developing
instructions for maintenance and inspection
of Fuel Tank System ignition source
prevention (EASA D 2005/CPRO, https://
www.easa.eu.int/home/
cert_policy_statements_en.html) that also
included the EASA expectations with regard
to compliance times of the corrective actions
on the unsafe and the not unsafe part of the
harmonised design review results. On a
global scale the TC (type certificate) holders
committed themselves to the EASA
published compliance dates (see EASA
policy statement). The EASA policy
statement has been revised in March 2006:
The date of 31–12–2005 for the unsafe related
actions has now been set at 01–07–2006.
Fuel Airworthiness Limitations are items
arising from a systems safety analysis that
have been shown to have failure mode(s)
associated with an ‘‘unsafe condition’’ as
defined in FAA’s memo 2003–112–15 ‘‘SFAR
88—Mandatory Action Decision Criteria’’.
These are identified in Failure Conditions for
which an unacceptable probability of ignition
risk could exist if specific tasks and/or
practices are not performed in accordance
with the manufacturers’ requirements.
This EASA Airworthiness Directive
mandates the Fuel System Airworthiness
Limitations (comprising maintenance/
inspection tasks and Critical Design
Configuration Control Limitations (CDCCL))
for the type of aircraft, that resulted from the
design reviews and the JAA recommendation
and EASA policy statement mentioned
above.
The corrective action is revising the
Airworthiness Limitations Section of the
Instructions for Continued Airworthiness to
incorporate new limitations for fuel tank
systems.
Actions and Compliance
(f) Unless already done, do the following
actions.
(1) Within 3 months after the effective date
of this AD, revise the Airworthiness
Limitations Section (ALS) of the Instructions
for Continued Airworthiness to incorporate
the maintenance and inspection instructions
in Part 1 of Saab 340 Fuel Airworthiness
Limitations Document 340 LKS 009033,
dated February 14, 2006. For all tasks
identified in Part 1 of Saab 340 Fuel
Airworthiness Limitations Document 340
LKS 009033, dated February 14, 2006, the
initial compliance times start from the
effective date of this AD, and the repetitive
inspections must be accomplished thereafter
at the interval specified in Part 1 of Saab 340
Fuel Airworthiness Limitations Document
340 LKS 009033, dated February 14, 2006.
(2) Within 12 months after the effective
date of this AD, revise the ALS of the
Instructions for Continued Airworthiness to
incorporate the CDCCLs as defined in Part 2
of Saab 340 Fuel Airworthiness Limitations
Document 340 LKS 009033, dated February
14, 2006.
(3) Except as provided by paragraph (g) of
this AD: After accomplishing the actions
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specified in paragraphs (f)(1) and (f)(2) of this
AD, no alternative inspection, inspection
intervals, or CDCCLs may be used.
(4) Where Saab 340 Fuel Airworthiness
Limitations Document 340 LKS 009033,
dated February 14, 2006, allows for
exceptional short-term extensions, an
exception is acceptable to the FAA if it is
approved by the appropriate principal
inspector in the FAA Flight Standards
Certificate Holding District Office.
DEPARTMENT OF TRANSPORTATION
FAA AD Differences
AGENCY:
Note 2: This AD differs from the MCAI
and/or service information as follows: No
differences.
Other FAA AD Provisions
(g) The following provisions also apply to
this AD:
(1) Alternative Methods of Compliance
(AMOCs): The Manager, International
Branch, ANM–116, Transport Airplane
Directorate, FAA, has the authority to
approve AMOCs for this AD, if requested
using the procedures found in 14 CFR 39.19.
Send information to ATTN: Mike Borfitz,
Aerospace Engineer, International Branch,
ANM–116, FAA, Transport Airplane
Directorate, 1601 Lind Avenue, SW., Renton,
Washington 98057–3356; telephone (425)
227–2677; fax (425) 227–1149. Before using
any approved AMOC on any airplane to
which the AMOC applies, notify your
appropriate principal inspector (PI) in the
FAA Flight Standards District Office (FSDO),
or lacking a PI, your local FSDO.
(2) Airworthy Product: For any
requirement in this AD to obtain corrective
actions from a manufacturer or other source,
use these actions if they are FAA-approved.
Corrective actions are considered FAAapproved if they are approved by the State
of Design Authority (or their delegated
agent). You are required to assure the product
is airworthy before it is returned to service.
(3) Reporting Requirements: For any
reporting requirement in this AD, under the
provisions of the Paperwork Reduction Act,
the Office of Management and Budget (OMB)
has approved the information collection
requirements and has assigned OMB Control
Number 2120–0056.
Related Information
(h) Refer to MCAI European Aviation
Safety Agency (EASA) Airworthiness
Directive 2006–0221, dated July 20, 2006,
and Saab 340 Fuel Airworthiness Limitations
Document 340 LKS 009033, dated February
14, 2006, for related information.
Issued in Renton, Washington, on
September 10, 2007.
Ali Bahrami,
Manager, Transport Airplane Directorate,
Aircraft Certification Service.
[FR Doc. E7–18478 Filed 9–18–07; 8:45 am]
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Federal Aviation Administration
14 CFR Part 153
[Docket No. FAA–2007–29237]
RIN 2120—AJ07
Aviation Safety Inspector Airport
Access
Federal Aviation
Administration, DOT.
ACTION: Notice of proposed rulemaking
(NPRM).
SUMMARY: Two rulemakings finalized
several years ago removed regulatory
language that implemented FAA
Aviation Safety Inspector (ASI) statutory
authority to access air operations areas,
secured areas, and security
identification display areas. This
proposal reiterates and clarifies the
authority of an ASI with the proper
credentials to access air operations
areas, secured areas, and security
identification areas of an airport. The
proposal would make sure ASIs have
access to these areas of an airport so
they can perform official duties in
support of the FAA’s safety mission.
DATES: Send your comments on or
before October 19, 2007.
ADDRESSES: You may send comments
identified by Docket Number FAA–
2007–29237 by any of the following
methods:
• DOT Docket Web site: Go to
https://dms.dot.gov and follow the
instructions for sending your comments
electronically.
• Government-wide rulemaking Web
site: Go to https://www.regulations.gov
and follow the instructions for sending
your comments electronically.
• Mail: Docket Management Facility;
U.S. Department of Transportation, 400
Seventh Street, SW., Nassif Building,
Room PL–401, Washington, DC 20590–
001.
• Fax: 1–202–493–2251.
• Hand Delivery: Room PL–401 on
the plaza level of the Nassif Building,
400 Seventh Street, SW., Washington,
DC, between 9 a.m. and 5 p.m., Monday
through Friday, except Federal holidays.
You may also read background
documents or comments received at the
addresses above.
FOR FURTHER INFORMATION CONTACT: Pat
Hempen, Federal Aviation
Administration, Flight Standards
Service, Air Transportation Division
(AFS–200), 800 Independence Avenue,
SW., Washington, DC 20591; Telephone
202–267–8166, E-mail
patrick.hempen@faa.gov.
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Later in
this preamble under the Additional
Information section, we discuss how
you can comment on this proposal and
how we will handle your comments.
Included in this discussion is related
information about the docket, privacy,
and the handling of proprietary or
confidential business information. We
also discuss how you can get a copy of
this proposal and related rulemaking
documents.
SUPPLEMENTARY INFORMATION:
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Authority for This Rulemaking
The FAA’s authority to issue rules on
aviation safety is found in Title 49 of the
United States Code. Subtitle I, section
106 describes the authority of the FAA
Administrator. Subtitle VII, Aviation
Programs, describes in more detail the
scope of the agency’s authority.
The FAA is issuing this rulemaking
under the authority set forth in 49
U.S.C. section 44701(a)(5), section
40113, and section 44713. Under section
44701(a)(5), the Administrator is
charged with promoting safe flight of
civil aircraft by, among other things,
prescribing regulations the
Administrator finds necessary for safety
in air commerce. Sections 40113 and
44713 relate to the Administrator’s
authority to conduct safety inspections.
Purpose of This Rule
The FAA proposes to re-codify in
Title 14 of the Code of Federal
Regulations existing statutory authority
concerning Federal Aviation
Administration (FAA) safety
inspections. In order to execute such
authority, FAA aviation safety
inspectors (ASIs) must have access to air
operations areas (AOA), secured areas,
and security identification display areas
(SIDAs) in airports. Airport operators
grant authority to access these areas in
airports in accordance with an Airport
Security Program (ASP). An airport
operator develops and submits an ASP
to the Transportation Security
Administration (TSA) for approval. It is
the airport operator that implements the
ASP and grants access to AOAs, secured
areas, and SIDAs, to individuals such as
ASIs, Customs Inspectors, Postal
Inspectors, and other Federal Inspectors.
This rulemaking will not require
changes in TSA documents for airport
operators, such as the ASP, or for part
119 certificate holders, such as the
Aircraft Operator’s Standard Security
Program (AOSSP). However, an airport
operator or aircraft operator may decide
to submit to TSA proposed changes to
its security program, or TSA may decide
to require changes to the program. The
FAA has coordinated this rulemaking
with TSA.
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Background
ASI Authority
Congress has granted the FAA and its
inspectors broad authority to carry out
the Agency’s mission by performing any
necessary tests, inspections,
surveillance, and investigations without
limitations as to when and where those
activities may be carried out to preserve
the safety and integrity of the national
airspace system.
Under Title 49 U.S.C. Section 40113,
the FAA Administrator is empowered to
conduct such investigations and
inspections as necessary to ensure the
safety of civil aviation (https://
uscode.house.gov/search/criteria.shtml).
The statute does not restrict such
activities by time and place. Section
40113 states, in part, that the
Administrator may take action that the
Administrator ‘‘considers necessary to
carry out this part, including conducting
investigations, prescribing regulations,
standards, and procedures, and issuing
orders.’’
Title 49 U.S.C. 44713 also clearly
outlines the inspection duties and
inspection authority of ASIs and does
not restrict such activities by time and
place (https://uscode.house.gov/search/
criteria.shtml). This section states, in
part, that the Administrator employs
ASIs to ‘‘inspect aircraft, aircraft
engines, propellers, and appliances
designed for use in air transportation,
during manufacture and when in use by
an air carrier in air transportation, to
enable the Administrator to decide
whether the aircraft, aircraft engines,
propellers, or appliances are in safe
condition and maintained properly.’’
Statement of the Problem
Recently, two rulemaking events have
occurred that have unintentionally
removed some rule language in Title 14
of the Code of Federal Regulations (14
CFR) that gave ASIs specific regulatory
authority to access sterile areas, AOAs,
secured areas, and SIDAs of an airport
to conduct official duties.
Removal of 14 CFR parts 107 and 108
The Aviation and Transportation
Security Act (ATSA) (Pub. L. 107–71,
115 Stat. 597, November 19, 2001)
vested TSA with broad authorities and
responsibilities over the security of all
modes of transportation. These include
authorities relating specifically to
aviation security that were formerly
vested in the FAA as well as general
inter-modal authorities.1 FAA security
1 Generally, the Assistant Secretary for Homeland
Security (Transportation Security Administrator)
(hereinafter ‘‘Administrator’’), ‘‘shall be responsible
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rules, which clearly addressed FAA’s
authority to access airports to perform
official security duties, were contained
in 14 CFR parts 107 and 108. When
responsibility for aviation security was
transferred to TSA, the rules contained
in parts 107 and 108 were removed from
14 CFR (67 FR 8339; February 22, 2002)
and placed in TSA’s regulations at 49
CFR parts 1542 and 1544.
A few months before the enactment of
the Aviation and Transportation
Security Act, the FAA issued the
Airport Security Final Rule (66 FR
37274; July 17, 2001), which included
extensive revisions to parts 107 and 108.
When parts 107 and 108 were revised
the FAA had a continuum of inspection
authority sections showing its authority
to inspect for compliance with aircraft
operator safety rules (see 14 CFR
119.59), airport safety rules (see 14 CFR
139.105), and aircraft operator and
airport operator security rules (see 14
CFR 107.7 and 108.5). Reading all these
FAA rules together, it was evident that
FAA inspectors, both security and
safety, had the necessary authority to
conduct inspections at any place on
airports necessary to perform their
official duties, including those areas
that otherwise are controlled for
security purposes. However, since parts
107 and 108 were removed and these
authorities transferred to TSA, there has
been some misunderstanding about the
continuing authority of FAA safety
inspectors to access various areas of the
airport that are controlled for security
purposes. This proposed rule makes
clear that FAA aviation safety inspectors
continue to have authority to access
such areas as needed to perform their
duties.
14 CFR Part 139 Certification of
Airports, Final Rule (69 FR 6380)
(https://dmses.dot.gov/docimages/pdf89/
268866_web.pdf)
On February 10, 2004, the FAA
revised the airport certification
regulations and established certification
requirements for airports serving
scheduled air carrier operations in
aircraft designed for more than 9
passenger seats. One change to
§ 139.105, Inspection Authority,
updated language referencing statutory
authority and deleted terms that were
no longer applicable. The revised
language in new § 139.105 was not as
clear regarding ASI airport access.
for security in all modes of transportation,
including—(1) Carrying out chapter 449, relating to
civil aviation security, and related research and
development activities; and (2) security
responsibilities over other modes of transportation
that are exercised by the Department of
Transportation.’’ 49 U.S.C. 114(d).
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The original § 139.105 required
airport operators to allow ASIs to make
any inspection to determine compliance
with the broad safety provisions
contained in the Federal Aviation Act of
1958. This included inspections of
airports, aircraft, aircraft operators, and
operations personnel. Revised § 139.105
deleted the reference to the Federal
Aviation Act of 1958 and instead
referenced the authority for ASIs to
make inspections to determine
compliance with the more current 49
U.S.C. 44706 and part 139, Certification
of Airports. This revision to the
regulatory language unintentionally
made the operational implementation of
FAA’s statutory authority to conduct
inspections more challenging.
ASI access to AOAs, secured areas,
and SIDAs of airports extends beyond
part 139 airports. Part 139 airports,
which serve scheduled air carrier
operations in aircraft designed for more
than 9 passenger seats, represent only a
portion of the airports in the United
States. The intent of this proposed rule
is to re-codify FAA statutory authority
for ASI access to perform any necessary
tests, inspections, surveillance, and
investigations without limitations as to
when and where those activities may be
carried out, not just at part 139 airports.
Therefore, we are not proposing to
change part 139, but instead we propose
adding a new part 153, with a subpart
A devoted to ASI access.
New Part 153
This proposal would require airport
operators to grant ASIs with proper
credentials free and uninterrupted
access to airports and facilities to
conduct safety inspections. The FAA
issues ASIs credentials (FAA Form
110A) for identification during the
performance of official safety inspection
duties. The FAA will continue the
policy that its local inspectors should
display access or identification media
(such as the SIDA identification badge)
issued or approved by the airport
operator. However due to the transient
nature of an FAA inspector, the 110A
credential will continue as a stand-alone
identification media. For example,
during unannounced inspections, FAA
personnel display their FAA credentials
in the same manner they would display
access or identification media issued by
the airport to establish their authority to
conduct such inspections. In addition,
when entering the sterile area through
the TSA screening checkpoint, FAA
personnel will continue to comply with
TSA’s screening procedures.
This proposal would also define
several terms previously contained in
part 107 and currently used by TSA.
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Conclusion
This proposal clearly defines FAA’s
statutory authority to access secure
areas by ASIs with proper credentials.
Such access is necessary so ASIs can
perform official duties in support of the
FAA’s safety mission. This proposal
does not substantively change any
requirements in 14 CFR. Also,
reestablishing these requirements in
new part 153 would not impose any
additional requirements on operators
affected by these rules.
Paperwork Reduction Act
The Paperwork Reduction Act of 1995
(44 U.S.C. 3507(d)) requires that the
FAA consider the impact of paperwork
and other information collection
burdens imposed on the public. We
have determined that this rulemaking
would impose no new information
collection requirements.
International Compatibility
In keeping with U.S. obligations
under the Convention on International
Civil Aviation, it is FAA policy to
comply with International Civil
Aviation Organization (ICAO) Standards
and Recommended Practices to the
maximum extent practicable. The FAA
has determined that there are no ICAO
Standards and Recommended Practices
that correspond to these proposed
regulations.
Executive Order 12866 and DOT
Regulatory Policies and Procedures
Executive Order 12866, ‘‘Regulatory
Planning and Review,’’ dated September
30, 1993 (58 FR 51736) directs the FAA
to assess both the costs and the benefits
of a regulatory change. We are not
allowed to propose or adopt a regulation
unless we make a reasoned
determination that the benefits of the
intended regulation justify the costs.
Our assessment of this rulemaking
indicates that its economic impact is
minimal because it does not impose any
costs on airport operators. Because the
costs and benefits of this action do not
make it a ‘‘significant regulatory action’’
as defined in the Order, we have not
prepared a ‘‘regulatory evaluation,’’
which is the written cost/benefit
analysis ordinarily required for all
rulemaking under the DOT Regulatory
Policies and Procedures. We do not
need to do a full evaluation where the
economic impact of a rule is minimal.
Economic Evaluation, Regulatory
Flexibility Act, Trade Impact
Assessment, and Unfunded Mandates
Assessment
Proposed changes to Federal
regulations must undergo several
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economic analyses. First, Executive
Order 12866 directs each Federal agency
to propose or adopt a regulation only
after a reasoned determination that the
benefits of the intended regulation
justify its costs. Second, the Regulatory
Flexibility Act of 1980 (Pub. L. 96–354)
requires agencies to analyze the
economic impact of regulatory changes
on small entities. Third, the Trade
Agreements Act (Pub. L. 96–39)
prohibits agencies from setting
standards that create unnecessary
obstacles to the foreign commerce of the
United States. In developing U.S.
standards, this Trade Act also requires
agencies to consider international
standards and, where appropriate, use
them as the basis of U.S. standards. And
fourth, the Unfunded Mandates Reform
Act of 1995 (Pub. L. 104–04) requires
agencies to prepare a written assessment
of the costs, benefits and other effects of
proposed or final rules that include a
Federal mandate likely to result in the
expenditure by State, local or tribal
governments, in the aggregate, or by the
private sector, of $100 million or more
annually (adjusted for inflation.)
The Department of Transportation
Order DOT 2100.5 prescribes policies
and procedures for simplification,
analysis, and review of regulations. If it
is determined that the expected cost
impact is so minimal that a rule does
not warrant a full evaluation, this order
permits that a statement to that effect
and the basis for it be included in the
preamble; a full regulatory evaluation
need not, then, be prepared. Such a
determination has been made for this
rule. The reasoning for that
determination follows.
When parts 107 and 108 were revised
the FAA had a continuum of inspection
authority sections showing its authority
to inspect for compliance with aircraft
operator safety rules (see 14 CFR
119.59), airport safety rules (see 14 CFR
139.105), and aircraft operator and
airport operator security rules (see 14
CFR 107.7 and 108.5). Reading all these
FAA rules together, it was evident that
FAA inspectors, both security and
safety, had the authority to conduct
inspections at any place on airports
necessary to perform their official
duties, including those areas that
otherwise are controlled for security
purposes. However, since parts 107 and
108 were removed and these authorities
transferred to TSA, there has been some
misunderstanding about the continuing
authority of FAA safety inspectors to
access various areas of the airport that
are controlled for security purposes.
This proposed rule makes clear that
FAA aviation safety inspectors continue
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to have authority to access such areas as
needed to perform their duties.
This proposed rule would put the
specific regulatory authority into a new
part 153 and clearly defines the
authority of properly credentialed ASIs
to access AOAs, secured areas, and
SIDAs of an airport so they can perform
official duties in support of the FAA’s
safety mission. Adding this language
has a positive safety impact, because
properly credentialed ASIs will be able
to perform necessary inspections that
support the FAA’s safety mission. The
intended effect of this proposed rule is
to make sure ASIs have access to AOAs,
secured areas, and SIDAs of an airport
so they can perform official duties in
support of the FAA’s safety mission. Its
economic impact on airport operators is
minimal.
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Regulatory Flexibility Act
Determination
The Regulatory Flexibility Act of 1980
(RFA) directs the FAA to fit regulatory
requirements to the scale of the
business, organizations, and
governmental jurisdictions subject to
the regulation. We are required to
determine whether a proposed or final
action will have a ‘‘significant economic
impact on a substantial number of small
entities’’ as they are defined in the Act.
If we find that the action will have a
significant impact, we must do a
‘‘regulatory flexibility analysis.’’
However, if an agency determines that
a proposed or final rule is not expected
to have a significant economic impact
on a substantial number of small
entities, section 605(b) of the RFA
provides that the head of the agency
may so certify and a regulatory
flexibility analysis is not required. The
certification must include a statement
providing the factual basis for this
determination, and the reasoning should
be clear.
The proposed rule clearly defines the
authority of properly credentialed ASIs
to access AOAs, secured areas, and
SIDAs of an airport so they can perform
official duties in support of the FAA’s
safety mission. Its economic impact for
airport operators is minimal. Therefore,
the FAA certifies that this action would
not have a significant economic impact
on a substantial number of small
entities. The FAA solicits comments
about this determination.
Trade Impact Assessment
The Trade Agreements Act of 1979
(Pub. L. 96–39) prohibits Federal
agencies from engaging in any standards
or related activities that create
unnecessary obstacles to the foreign
commerce of the United States.
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Legitimate domestic objectives, such as
safety, are not considered unnecessary
obstacles. The statute also requires
consideration of international standards
and where appropriate, that they be the
basis for U.S. standards. The FAA has
assessed the potential effect of this
proposed rule and has determined that
it would have only a domestic impact,
and, therefore, no effect on international
trade.
Unfunded Mandates Assessment
The Unfunded Mandates Reform Act
of 1995 (Pub. L. 104–04) requires each
Federal agency to prepare a written
statement assessing the effects of any
Federal mandate in a proposed or final
agency rule that may result in a $100
million or more expenditure (adjusted
annually for inflation). The FAA
currently uses an inflation-adjusted
value of $128.1 million in lieu of $100
million.
This NPRM does not contain such a
mandate. Therefore, the requirements of
Title II of the Unfunded Mandates
Reform Act of 1995 do not apply to this
regulation.
Executive Order 13132, Federalism
The FAA has analyzed this proposed
rule under the principles and criteria of
Executive Order 13132, Federalism. We
determined that this action would not
have a substantial direct effect on the
States, or the relationship between the
national Government and the States, or
on the distribution of power and
responsibilities among the various
levels of government. Therefore, we
determined that this proposed rule
would not have federalism implications.
Environmental Analysis
FAA Order 1050.1E identifies FAA
actions that are categorically excluded
from preparation of an environmental
assessment or environmental impact
statement under the National
Environmental Policy Act in the
absence of extraordinary circumstances.
The FAA has determined this proposed
rule qualifies for the categorical
exclusion identified in paragraph 312f
and involves no extraordinary
circumstances.
Regulations That Significantly Affect
Energy Supply, Distribution, or Use
The FAA has analyzed this proposed
rule under Executive Order 13211,
Actions Concerning Regulations that
Significantly Affect Energy Supply,
Distribution, or Use (66 FR 28355, May
18, 2001). We have determined that it is
not a ‘‘significant energy action’’ under
the executive order because it is not a
‘‘significant regulatory action’’ under
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53507
Executive Order 12866, and it is not
likely to have a significant adverse effect
on the supply, distribution, or use of
energy.
Small Business Regulatory Enforcement
Fairness Act
The Small Business Regulatory
Enforcement Fairness Act (SBREFA) of
1996 requires FAA to comply with
small entity requests for information or
advice about compliance with statutes
and regulations within its jurisdiction.
Therefore, any small entity that has a
question regarding this document may
contact their local FAA official, or the
person listed under FOR FURTHER
INFORMATION CONTACT. You can find out
more about SBRFA on the Internet at
our site, https://www.faa.gov/
regulations_policies/rulemaking/
sbre_act/.
Additional Information
Comments Invited
The FAA invites interested persons to
participate in this rulemaking by
submitting written comments, data, or
views. We also invite comments relating
to the economic, environmental, energy,
or federalism impacts that might result
from adopting the proposals in this
document. The most helpful comments
reference a specific portion of the
proposal, explain the reason for any
recommended change, and include
supporting data. We ask that you send
us two copies of written comments.
We will file in the docket all
comments we receive, as well as a
report summarizing each substantive
public contact with FAA personnel
concerning this proposed rulemaking.
The docket is available for public
viewing before and after the comment
closing date, by any of the means
discussed in the ADDRESSES section
below.
Before acting on this proposal, we
will consider all comments we receive
on or before the closing date for
comments. We will consider comments
filed late if it is possible to do so
without incurring expense or delay. We
may change this proposal in light of the
comments we receive.
If you want the FAA to acknowledge
receipt of your comments on this
proposal, include with your comments
a pre-addressed, stamped postcard on
which the docket number appears. We
will stamp the date on the postcard and
mail it to you.
Privacy Act Statement
You should be aware that anyone can
find and read the comments received
into any of our dockets, including the
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name of the individual sending the
comment (or signing the comment on
behalf of an association, business, labor
union, etc.) via the Internet using the
Docket Number. You may review DOT’s
complete Privacy Act Statement in the
Federal Register published on April 11,
2000 (65 FR 19477–78) or you may visit
https://dms.dot.gov.
Proprietary or Confidential Business
Information
Do not file in the docket information
that you consider to be proprietary or
confidential business information. Send
or deliver this information directly to
the person identified in the FOR FURTHER
INFORMATION CONTACT section of this
document. You must mark the
information that you consider
proprietary or confidential. If you send
the information on a disk or CD–ROM,
mark the outside of the disk or CD–ROM
and identify electronically within the
disk or CD–ROM the specific
information that is proprietary or
confidential.
Under 14 CFR 11.35(b), when we are
aware of proprietary information filed
with a comment, we do not place it in
the docket. We hold it in a separate file
to which the public does not have
access, and place a note in the docket
that we have received it. If we receive
a request to examine or copy this
information, we treat it as any other
request under the Freedom of
Information Act (5 U.S.C. 552). We
process such a request under the DOT
procedures found in 49 CFR part 7.
mstockstill on PROD1PC66 with PROPOSALS
Sensitive Security Information
16:41 Sep 18, 2007
Jkt 211001
You can get an electronic copy using
the Internet by:
(1) Searching the Department of
Transportation’s electronic Docket
Management System (DMS) Web page
(https://dms.dot.gov/search);
(2) Visiting the FAA’s Regulations and
Policy Web page at https://www.faa.gov/
regulations_policies/; or
(3) Accessing the Government
Printing Office’s Web page at https://
www.gpoaccess.gov/fr/.
You can also get a copy by sending a
request to the Federal Aviation
Administration, Office of Rulemaking,
ARM–1, 800 Independence Avenue,
SW., Washington, DC 20591, or by
calling (202) 267–9680. Make sure to
identify the docket number, notice
number, or amendment number of this
rulemaking.
List of Subjects in 14 CFR Part 153
Airports, Aviation safety.
The Proposed Rule
In consideration of the foregoing the
Federal Aviation Administration
proposes to amend Chapter I of Title 14
Code of Federal Regulations by adding
part 153 to read as follows:
PART 153—AIRPORT OPERATIONS
Subpart A—Aviation Safety Inspector
Access
Sec.
153.1 Applicability.
153.3 Definitions.
153.5 Aviation safety inspector airport
access.
Subpart B—[Reserved]
Do not submit comments that include
sensitive security information (SSI) to
the public regulatory docket. Please
submit such comments separately from
other comments on the rulemaking.
Comments containing this type of
information should be appropriately
marked as containing such information
and submitted by mail to the address
listed in FOR FURTHER INFORMATION
CONTACT section.
Upon receipt of such comments, we
will not place the comments in the
public docket and will handle them in
accordance with applicable safeguards
and restrictions on access. FAA will
hold them in a separate file to which the
public does not have access and place
a note in the public docket that FAA has
received such materials from the
commenter. If we receive a request to
examine or copy this information, we
will treat it as any other request under
the Freedom of Information Act (FOIA)
(5 U.S.C. 552).
VerDate Aug<31>2005
Availability of Rulemaking Documents
Authority: 49 U.S.C. 106(g), 40113, and
44701.
Subpart A—Aviation Safety Inspector
Access
§ 153.1
Applicability.
This subpart prescribes requirements
governing Aviation Safety Inspector
access to airports to perform official
duties.
§ 153.3
Definitions.
The following definitions apply in
this subpart:
Air Operations Area (AOA) means a
portion of an airport, specified in the
airport security program, in which
security measures specified in Title 49
of the Code of Federal Regulations are
carried out. This area includes aircraft
movement areas, aircraft parking areas,
loading ramps, and safety areas, for use
by aircraft regulated under 49 CFR parts
1542, 1544, and 1546, and any adjacent
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Fmt 4702
Sfmt 4702
areas (such as general aviation areas)
that are not separated by adequate
security systems, measures, or
procedures. This area does not include
the secured area.
Airport means any public use airport,
including heliports, as defined in 49
U.S.C. 47501, including:
(1) Any airport which is used or to be
used for public purposes, under the
control of a public agency, the landing
area of which is publicly owned;
(2) Any privately owned reliever
airport; and
(3) Any privately owned airport
which is determined by the Secretary of
Transportation to enplane annually
2,500 or more passengers and receive
scheduled passenger service of aircraft,
which is used or to be used for public
purposes.
Airport Operator means the operator
of an airport as defined in 49 U.S.C.
47501.
Aviation Safety Inspector means a
properly credentialed individual who
bears FAA Form 110A and is authorized
under the provisions of 49 U.S.C. 40113
to perform inspections and
investigations.
FAA Form 110A means the
credentials issued to qualified Aviation
Safety Inspectors by the FAA for use in
the performance of official duties.
Secured area means a portion of an
airport, specified in the airport security
program, in which certain security
measures specified in Chapter 1 of Title
49 of the Code of Federal Regulations
are carried out. This area is where
aircraft operators and foreign air carriers
that have a security program under 49
CFR part 1544 or part 1546 enplane and
deplane passengers and sort and load
baggage and any adjacent areas that are
not separated by adequate security
systems, measures, or procedures.
Security Identification Display Area
(SIDA) means a portion of an airport,
specified in the airport security
program, in which security measures
specified in Chapter 1 of Title 49 of the
Code of Federal Regulations are carried
out. This area includes the secured area
and may include other areas of the
airport.
§ 153.5 Aviation safety inspector airport
access.
Airport operators, aircraft operators,
aircraft owners, airport tenants, and air
agencies must grant Aviation Safety
Inspectors bearing FAA Form 110A free
and uninterrupted access to airports and
facilities, including AOAs, secured
areas, SIDAs, and other restricted areas.
Aviation Safety Inspectors displaying
FAA Form 110A do not require access
media or identification media issued or
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Federal Register / Vol. 72, No. 181 / Wednesday, September 19, 2007 / Proposed Rules
approved by an airport operator or
aircraft operator in order to inspect or
test compliance, or perform other such
duties as the FAA may direct.
Dated: September 13, 2007.
Florence E. Harmon,
Deputy Secretary.
[FR Doc. E7–18405 Filed 9–18–07; 8:45 am]
Subpart B—[Reserved]
BILLING CODE 8010–01–P
Issued in Washington, DC, on September
12, 2007.
James J. Ballough,
Director, Flight Standards Service.
[FR Doc. E7–18349 Filed 9–18–07; 8:45 am]
BILLING CODE 4910–13–P
Telecommunications Act Accessibility
Guidelines; Electronic and Information
Technology Accessibility Standards
Architectural and
Transportation Barriers Compliance
Board.
ACTION: Notice of meeting.
AGENCY:
17 CFR Parts 210, 228, 229, 230, 239,
240 and 249
[Release Nos. 33–8831A; 34–56217A; IC–
27924A; File No. S7–20–07]
RIN 3235–AJ93
Concept Release on Allowing U.S.
Issuers to Prepare Financial
Statements in Accordance With
International Financial Reporting
Standards
Securities and Exchange
Commission.
ACTION: Correcting amendment.
AGENCY:
SUMMARY: In Release No. 33–8831, the
Securities and Exchange Commission
issued a concept release on allowing
U.S. issuers to prepare financial
statements in accordance with
international financial reporting
standards which appeared in the
Federal Register of August 14, 2007 (72
FR 45599). The Commission is issuing
this correction to change the incorrect
web addresses listed in the concept
release.
mstockstill on PROD1PC66 with PROPOSALS
FOR FURTHER INFORMATION CONTACT:
Katrina A. Kimpel, Professional
Accounting Fellow, Office of the Chief
Accountant at (202) 551–5300.
SUPPLEMENTARY INFORMATION: In FR Doc.
E7–15865 appearing on page 45600 in
the Federal Register of Tuesday, August
14, 2007, the following corrections are
made:
1. In the first column, revise the first
bulleted point under the section titled
Electronic Comments to read, ‘‘Use the
Commission’s Internet comment form
(https://www.sec.gov/rules/
concept.shtml); or’’.
2. Revise the Web site address found
in the parenthetical beginning on line
three of the second column to read,
‘‘https://www.sec.gov/rules/
concept.shtml’’.
16:41 Sep 18, 2007
36 CFR Parts 1193 and 1194
RIN 3014–AA22
SECURITIES AND EXCHANGE
COMMISSION
VerDate Aug<31>2005
ARCHITECTURAL AND
TRANSPORTATION BARRIERS
COMPLIANCE BOARD
Jkt 211001
SUMMARY: The Architectural and
Transportation Barriers Compliance
Board (Access Board) has established a
Telecommunications and Electronic and
Information Technology Advisory
Committee (Committee) to assist it in
revising and updating accessibility
guidelines for telecommunications
products and accessibility standards for
electronic and information technology.
This notice announces the dates and
times of four upcoming conference calls.
DATES: The conference calls are
scheduled for October 9, October 16,
October 23 and October 30, 2007
(beginning at 1 p.m. and ending at 3
p.m. Eastern time each day).
ADDRESSES: Individuals can participate
in the conference calls by dialing into
the teleconference numbers which will
be posted on the Access Board’s Web
site at: https://www.access-board.gov/
sec508/update-index.htm.
FOR FURTHER INFORMATION CONTACT:
Timothy Creagan, Office of Technical
and Information Services, Architectural
and Transportation Barriers Compliance
Board, 1331 F Street, NW., suite 1000,
Washington, DC 20004–1111.
Telephone number: 202–272–0016
(Voice); 202–272–0082 (TTY).
Electronic mail address:
creagan@access-board.gov.
SUPPLEMENTARY INFORMATION: The
Architectural and Transportation
Barriers Compliance Board (Access
Board) established the
Telecommunications and Electronic and
Information Technology Advisory
Committee (Committee) to assist it in
revising and updating accessibility
guidelines for telecommunications
products and accessibility standards for
electronic and information technology.
The next committee meetings will take
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53509
place on October 9, 16, 23 and 30, 2007
(all four meetings will be from 1 p.m. to
3 p.m. Eastern time) by teleconference.
The meetings will focus on issues yet to
be resolved by the Committee. The
agendas, instructions (including
information on captioning), and dial-in
telephone numbers for the
teleconferences are available at: https://
www.access-board.gov/sec508/updateindex.htm. Notices of future meetings
will be published in the Federal
Register.
The Committee may cancel any one of
these four teleconferences before they
are scheduled to take place depending
on the needs of the committee and its
progress in discussing and resolving
outstanding issues. Notices of
cancellation of any of these
teleconferences will be posted at:
https://www.access-board.gov/sec508/
update-index.htm.
The conference calls are open to the
public and interested persons can dial
into the teleconferences and
communicate their views. Members of
the public will have opportunities to
address the committee on issues of
interest to them and the committee
during public comment periods
scheduled during each conference call.
Participants may call into the
teleconferences from any location of
their choosing.
Lawrence W. Roffee,
Executive Director.
[FR Doc. E7–18492 Filed 9–18–07; 8:45 am]
BILLING CODE 8150–01–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 300
[EPA–HQ–SFUND–2007–0685, EPA–HQ–
SFUND–2007–0686, EPA–HQ–SFUND–2007–
0687, EPA–HQ–SFUND–2007–0688, EPA–
HQ–SFUND–2007–0689, EPA–HQ–SFUND–
2007–0690, EPA–HQ–SFUND–2007–0691,
EPA–HQ–SFUND–2007–0692, EPA–HQ–
SFUND–2007–0693, EPA–HQ–SFUND–2007–
0694, EPA–HQ–SFUND–2007–0695, EPA–
HQ–SFUND–2007–0696; FRL–8468–5]
RIN 2050–AD75
National Priorities List, Proposed Rule
No. 47
Environmental Protection
Agency.
ACTION: Proposed rule.
AGENCY:
SUMMARY: The Comprehensive
Environmental Response,
Compensation, and Liability Act
(‘‘CERCLA’’ or ‘‘the Act’’), as amended,
requires that the National Oil and
E:\FR\FM\19SEP1.SGM
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Agencies
[Federal Register Volume 72, Number 181 (Wednesday, September 19, 2007)]
[Proposed Rules]
[Pages 53504-53509]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E7-18349]
-----------------------------------------------------------------------
DEPARTMENT OF TRANSPORTATION
Federal Aviation Administration
14 CFR Part 153
[Docket No. FAA-2007-29237]
RIN 2120--AJ07
Aviation Safety Inspector Airport Access
AGENCY: Federal Aviation Administration, DOT.
ACTION: Notice of proposed rulemaking (NPRM).
-----------------------------------------------------------------------
SUMMARY: Two rulemakings finalized several years ago removed regulatory
language that implemented FAA Aviation Safety Inspector (ASI) statutory
authority to access air operations areas, secured areas, and security
identification display areas. This proposal reiterates and clarifies
the authority of an ASI with the proper credentials to access air
operations areas, secured areas, and security identification areas of
an airport. The proposal would make sure ASIs have access to these
areas of an airport so they can perform official duties in support of
the FAA's safety mission.
DATES: Send your comments on or before October 19, 2007.
ADDRESSES: You may send comments identified by Docket Number FAA-2007-
29237 by any of the following methods:
DOT Docket Web site: Go to https://dms.dot.gov and follow
the instructions for sending your comments electronically.
Government-wide rulemaking Web site: Go to https://
www.regulations.gov and follow the instructions for sending your
comments electronically.
Mail: Docket Management Facility; U.S. Department of
Transportation, 400 Seventh Street, SW., Nassif Building, Room PL-401,
Washington, DC 20590-001.
Fax: 1-202-493-2251.
Hand Delivery: Room PL-401 on the plaza level of the
Nassif Building, 400 Seventh Street, SW., Washington, DC, between 9
a.m. and 5 p.m., Monday through Friday, except Federal holidays.
You may also read background documents or comments received at the
addresses above.
FOR FURTHER INFORMATION CONTACT: Pat Hempen, Federal Aviation
Administration, Flight Standards Service, Air Transportation Division
(AFS-200), 800 Independence Avenue, SW., Washington, DC 20591;
Telephone 202-267-8166, E-mail patrick.hempen@faa.gov.
[[Page 53505]]
SUPPLEMENTARY INFORMATION: Later in this preamble under the Additional
Information section, we discuss how you can comment on this proposal
and how we will handle your comments. Included in this discussion is
related information about the docket, privacy, and the handling of
proprietary or confidential business information. We also discuss how
you can get a copy of this proposal and related rulemaking documents.
Authority for This Rulemaking
The FAA's authority to issue rules on aviation safety is found in
Title 49 of the United States Code. Subtitle I, section 106 describes
the authority of the FAA Administrator. Subtitle VII, Aviation
Programs, describes in more detail the scope of the agency's authority.
The FAA is issuing this rulemaking under the authority set forth in
49 U.S.C. section 44701(a)(5), section 40113, and section 44713. Under
section 44701(a)(5), the Administrator is charged with promoting safe
flight of civil aircraft by, among other things, prescribing
regulations the Administrator finds necessary for safety in air
commerce. Sections 40113 and 44713 relate to the Administrator's
authority to conduct safety inspections.
Purpose of This Rule
The FAA proposes to re-codify in Title 14 of the Code of Federal
Regulations existing statutory authority concerning Federal Aviation
Administration (FAA) safety inspections. In order to execute such
authority, FAA aviation safety inspectors (ASIs) must have access to
air operations areas (AOA), secured areas, and security identification
display areas (SIDAs) in airports. Airport operators grant authority to
access these areas in airports in accordance with an Airport Security
Program (ASP). An airport operator develops and submits an ASP to the
Transportation Security Administration (TSA) for approval. It is the
airport operator that implements the ASP and grants access to AOAs,
secured areas, and SIDAs, to individuals such as ASIs, Customs
Inspectors, Postal Inspectors, and other Federal Inspectors.
This rulemaking will not require changes in TSA documents for
airport operators, such as the ASP, or for part 119 certificate
holders, such as the Aircraft Operator's Standard Security Program
(AOSSP). However, an airport operator or aircraft operator may decide
to submit to TSA proposed changes to its security program, or TSA may
decide to require changes to the program. The FAA has coordinated this
rulemaking with TSA.
Background
ASI Authority
Congress has granted the FAA and its inspectors broad authority to
carry out the Agency's mission by performing any necessary tests,
inspections, surveillance, and investigations without limitations as to
when and where those activities may be carried out to preserve the
safety and integrity of the national airspace system.
Under Title 49 U.S.C. Section 40113, the FAA Administrator is
empowered to conduct such investigations and inspections as necessary
to ensure the safety of civil aviation (https://uscode.house.gov/search/
criteria.shtml). The statute does not restrict such activities by time
and place. Section 40113 states, in part, that the Administrator may
take action that the Administrator ``considers necessary to carry out
this part, including conducting investigations, prescribing
regulations, standards, and procedures, and issuing orders.''
Title 49 U.S.C. 44713 also clearly outlines the inspection duties
and inspection authority of ASIs and does not restrict such activities
by time and place (https://uscode.house.gov/search/criteria.shtml). This
section states, in part, that the Administrator employs ASIs to
``inspect aircraft, aircraft engines, propellers, and appliances
designed for use in air transportation, during manufacture and when in
use by an air carrier in air transportation, to enable the
Administrator to decide whether the aircraft, aircraft engines,
propellers, or appliances are in safe condition and maintained
properly.''
Statement of the Problem
Recently, two rulemaking events have occurred that have
unintentionally removed some rule language in Title 14 of the Code of
Federal Regulations (14 CFR) that gave ASIs specific regulatory
authority to access sterile areas, AOAs, secured areas, and SIDAs of an
airport to conduct official duties.
Removal of 14 CFR parts 107 and 108
The Aviation and Transportation Security Act (ATSA) (Pub. L. 107-
71, 115 Stat. 597, November 19, 2001) vested TSA with broad authorities
and responsibilities over the security of all modes of transportation.
These include authorities relating specifically to aviation security
that were formerly vested in the FAA as well as general inter-modal
authorities.\1\ FAA security rules, which clearly addressed FAA's
authority to access airports to perform official security duties, were
contained in 14 CFR parts 107 and 108. When responsibility for aviation
security was transferred to TSA, the rules contained in parts 107 and
108 were removed from 14 CFR (67 FR 8339; February 22, 2002) and placed
in TSA's regulations at 49 CFR parts 1542 and 1544.
---------------------------------------------------------------------------
\1\ Generally, the Assistant Secretary for Homeland Security
(Transportation Security Administrator) (hereinafter
``Administrator''), ``shall be responsible for security in all modes
of transportation, including--(1) Carrying out chapter 449, relating
to civil aviation security, and related research and development
activities; and (2) security responsibilities over other modes of
transportation that are exercised by the Department of
Transportation.'' 49 U.S.C. 114(d).
---------------------------------------------------------------------------
A few months before the enactment of the Aviation and
Transportation Security Act, the FAA issued the Airport Security Final
Rule (66 FR 37274; July 17, 2001), which included extensive revisions
to parts 107 and 108. When parts 107 and 108 were revised the FAA had a
continuum of inspection authority sections showing its authority to
inspect for compliance with aircraft operator safety rules (see 14 CFR
119.59), airport safety rules (see 14 CFR 139.105), and aircraft
operator and airport operator security rules (see 14 CFR 107.7 and
108.5). Reading all these FAA rules together, it was evident that FAA
inspectors, both security and safety, had the necessary authority to
conduct inspections at any place on airports necessary to perform their
official duties, including those areas that otherwise are controlled
for security purposes. However, since parts 107 and 108 were removed
and these authorities transferred to TSA, there has been some
misunderstanding about the continuing authority of FAA safety
inspectors to access various areas of the airport that are controlled
for security purposes. This proposed rule makes clear that FAA aviation
safety inspectors continue to have authority to access such areas as
needed to perform their duties.
14 CFR Part 139 Certification of Airports, Final Rule (69 FR 6380)
(https://dmses.dot.gov/docimages/pdf89/268866_web.pdf)
On February 10, 2004, the FAA revised the airport certification
regulations and established certification requirements for airports
serving scheduled air carrier operations in aircraft designed for more
than 9 passenger seats. One change to Sec. 139.105, Inspection
Authority, updated language referencing statutory authority and deleted
terms that were no longer applicable. The revised language in new Sec.
139.105 was not as clear regarding ASI airport access.
[[Page 53506]]
The original Sec. 139.105 required airport operators to allow ASIs
to make any inspection to determine compliance with the broad safety
provisions contained in the Federal Aviation Act of 1958. This included
inspections of airports, aircraft, aircraft operators, and operations
personnel. Revised Sec. 139.105 deleted the reference to the Federal
Aviation Act of 1958 and instead referenced the authority for ASIs to
make inspections to determine compliance with the more current 49
U.S.C. 44706 and part 139, Certification of Airports. This revision to
the regulatory language unintentionally made the operational
implementation of FAA's statutory authority to conduct inspections more
challenging.
ASI access to AOAs, secured areas, and SIDAs of airports extends
beyond part 139 airports. Part 139 airports, which serve scheduled air
carrier operations in aircraft designed for more than 9 passenger
seats, represent only a portion of the airports in the United States.
The intent of this proposed rule is to re-codify FAA statutory
authority for ASI access to perform any necessary tests, inspections,
surveillance, and investigations without limitations as to when and
where those activities may be carried out, not just at part 139
airports. Therefore, we are not proposing to change part 139, but
instead we propose adding a new part 153, with a subpart A devoted to
ASI access.
New Part 153
This proposal would require airport operators to grant ASIs with
proper credentials free and uninterrupted access to airports and
facilities to conduct safety inspections. The FAA issues ASIs
credentials (FAA Form 110A) for identification during the performance
of official safety inspection duties. The FAA will continue the policy
that its local inspectors should display access or identification media
(such as the SIDA identification badge) issued or approved by the
airport operator. However due to the transient nature of an FAA
inspector, the 110A credential will continue as a stand-alone
identification media. For example, during unannounced inspections, FAA
personnel display their FAA credentials in the same manner they would
display access or identification media issued by the airport to
establish their authority to conduct such inspections. In addition,
when entering the sterile area through the TSA screening checkpoint,
FAA personnel will continue to comply with TSA's screening procedures.
This proposal would also define several terms previously contained
in part 107 and currently used by TSA.
Conclusion
This proposal clearly defines FAA's statutory authority to access
secure areas by ASIs with proper credentials. Such access is necessary
so ASIs can perform official duties in support of the FAA's safety
mission. This proposal does not substantively change any requirements
in 14 CFR. Also, reestablishing these requirements in new part 153
would not impose any additional requirements on operators affected by
these rules.
Paperwork Reduction Act
The Paperwork Reduction Act of 1995 (44 U.S.C. 3507(d)) requires
that the FAA consider the impact of paperwork and other information
collection burdens imposed on the public. We have determined that this
rulemaking would impose no new information collection requirements.
International Compatibility
In keeping with U.S. obligations under the Convention on
International Civil Aviation, it is FAA policy to comply with
International Civil Aviation Organization (ICAO) Standards and
Recommended Practices to the maximum extent practicable. The FAA has
determined that there are no ICAO Standards and Recommended Practices
that correspond to these proposed regulations.
Executive Order 12866 and DOT Regulatory Policies and Procedures
Executive Order 12866, ``Regulatory Planning and Review,'' dated
September 30, 1993 (58 FR 51736) directs the FAA to assess both the
costs and the benefits of a regulatory change. We are not allowed to
propose or adopt a regulation unless we make a reasoned determination
that the benefits of the intended regulation justify the costs. Our
assessment of this rulemaking indicates that its economic impact is
minimal because it does not impose any costs on airport operators.
Because the costs and benefits of this action do not make it a
``significant regulatory action'' as defined in the Order, we have not
prepared a ``regulatory evaluation,'' which is the written cost/benefit
analysis ordinarily required for all rulemaking under the DOT
Regulatory Policies and Procedures. We do not need to do a full
evaluation where the economic impact of a rule is minimal.
Economic Evaluation, Regulatory Flexibility Act, Trade Impact
Assessment, and Unfunded Mandates Assessment
Proposed changes to Federal regulations must undergo several
economic analyses. First, Executive Order 12866 directs each Federal
agency to propose or adopt a regulation only after a reasoned
determination that the benefits of the intended regulation justify its
costs. Second, the Regulatory Flexibility Act of 1980 (Pub. L. 96-354)
requires agencies to analyze the economic impact of regulatory changes
on small entities. Third, the Trade Agreements Act (Pub. L. 96-39)
prohibits agencies from setting standards that create unnecessary
obstacles to the foreign commerce of the United States. In developing
U.S. standards, this Trade Act also requires agencies to consider
international standards and, where appropriate, use them as the basis
of U.S. standards. And fourth, the Unfunded Mandates Reform Act of 1995
(Pub. L. 104-04) requires agencies to prepare a written assessment of
the costs, benefits and other effects of proposed or final rules that
include a Federal mandate likely to result in the expenditure by State,
local or tribal governments, in the aggregate, or by the private
sector, of $100 million or more annually (adjusted for inflation.)
The Department of Transportation Order DOT 2100.5 prescribes
policies and procedures for simplification, analysis, and review of
regulations. If it is determined that the expected cost impact is so
minimal that a rule does not warrant a full evaluation, this order
permits that a statement to that effect and the basis for it be
included in the preamble; a full regulatory evaluation need not, then,
be prepared. Such a determination has been made for this rule. The
reasoning for that determination follows.
When parts 107 and 108 were revised the FAA had a continuum of
inspection authority sections showing its authority to inspect for
compliance with aircraft operator safety rules (see 14 CFR 119.59),
airport safety rules (see 14 CFR 139.105), and aircraft operator and
airport operator security rules (see 14 CFR 107.7 and 108.5). Reading
all these FAA rules together, it was evident that FAA inspectors, both
security and safety, had the authority to conduct inspections at any
place on airports necessary to perform their official duties, including
those areas that otherwise are controlled for security purposes.
However, since parts 107 and 108 were removed and these authorities
transferred to TSA, there has been some misunderstanding about the
continuing authority of FAA safety inspectors to access various areas
of the airport that are controlled for security purposes. This proposed
rule makes clear that FAA aviation safety inspectors continue
[[Page 53507]]
to have authority to access such areas as needed to perform their
duties.
This proposed rule would put the specific regulatory authority into
a new part 153 and clearly defines the authority of properly
credentialed ASIs to access AOAs, secured areas, and SIDAs of an
airport so they can perform official duties in support of the FAA's
safety mission. Adding this language has a positive safety impact,
because properly credentialed ASIs will be able to perform necessary
inspections that support the FAA's safety mission. The intended effect
of this proposed rule is to make sure ASIs have access to AOAs, secured
areas, and SIDAs of an airport so they can perform official duties in
support of the FAA's safety mission. Its economic impact on airport
operators is minimal.
Regulatory Flexibility Act Determination
The Regulatory Flexibility Act of 1980 (RFA) directs the FAA to fit
regulatory requirements to the scale of the business, organizations,
and governmental jurisdictions subject to the regulation. We are
required to determine whether a proposed or final action will have a
``significant economic impact on a substantial number of small
entities'' as they are defined in the Act. If we find that the action
will have a significant impact, we must do a ``regulatory flexibility
analysis.'' However, if an agency determines that a proposed or final
rule is not expected to have a significant economic impact on a
substantial number of small entities, section 605(b) of the RFA
provides that the head of the agency may so certify and a regulatory
flexibility analysis is not required. The certification must include a
statement providing the factual basis for this determination, and the
reasoning should be clear.
The proposed rule clearly defines the authority of properly
credentialed ASIs to access AOAs, secured areas, and SIDAs of an
airport so they can perform official duties in support of the FAA's
safety mission. Its economic impact for airport operators is minimal.
Therefore, the FAA certifies that this action would not have a
significant economic impact on a substantial number of small entities.
The FAA solicits comments about this determination.
Trade Impact Assessment
The Trade Agreements Act of 1979 (Pub. L. 96-39) prohibits Federal
agencies from engaging in any standards or related activities that
create unnecessary obstacles to the foreign commerce of the United
States. Legitimate domestic objectives, such as safety, are not
considered unnecessary obstacles. The statute also requires
consideration of international standards and where appropriate, that
they be the basis for U.S. standards. The FAA has assessed the
potential effect of this proposed rule and has determined that it would
have only a domestic impact, and, therefore, no effect on international
trade.
Unfunded Mandates Assessment
The Unfunded Mandates Reform Act of 1995 (Pub. L. 104-04) requires
each Federal agency to prepare a written statement assessing the
effects of any Federal mandate in a proposed or final agency rule that
may result in a $100 million or more expenditure (adjusted annually for
inflation). The FAA currently uses an inflation-adjusted value of
$128.1 million in lieu of $100 million.
This NPRM does not contain such a mandate. Therefore, the
requirements of Title II of the Unfunded Mandates Reform Act of 1995 do
not apply to this regulation.
Executive Order 13132, Federalism
The FAA has analyzed this proposed rule under the principles and
criteria of Executive Order 13132, Federalism. We determined that this
action would not have a substantial direct effect on the States, or the
relationship between the national Government and the States, or on the
distribution of power and responsibilities among the various levels of
government. Therefore, we determined that this proposed rule would not
have federalism implications.
Environmental Analysis
FAA Order 1050.1E identifies FAA actions that are categorically
excluded from preparation of an environmental assessment or
environmental impact statement under the National Environmental Policy
Act in the absence of extraordinary circumstances. The FAA has
determined this proposed rule qualifies for the categorical exclusion
identified in paragraph 312f and involves no extraordinary
circumstances.
Regulations That Significantly Affect Energy Supply, Distribution, or
Use
The FAA has analyzed this proposed rule under Executive Order
13211, Actions Concerning Regulations that Significantly Affect Energy
Supply, Distribution, or Use (66 FR 28355, May 18, 2001). We have
determined that it is not a ``significant energy action'' under the
executive order because it is not a ``significant regulatory action''
under Executive Order 12866, and it is not likely to have a significant
adverse effect on the supply, distribution, or use of energy.
Small Business Regulatory Enforcement Fairness Act
The Small Business Regulatory Enforcement Fairness Act (SBREFA) of
1996 requires FAA to comply with small entity requests for information
or advice about compliance with statutes and regulations within its
jurisdiction. Therefore, any small entity that has a question regarding
this document may contact their local FAA official, or the person
listed under FOR FURTHER INFORMATION CONTACT. You can find out more
about SBRFA on the Internet at our site, https://www.faa.gov/
regulations_policies/rulemaking/sbre_act/.
Additional Information
Comments Invited
The FAA invites interested persons to participate in this
rulemaking by submitting written comments, data, or views. We also
invite comments relating to the economic, environmental, energy, or
federalism impacts that might result from adopting the proposals in
this document. The most helpful comments reference a specific portion
of the proposal, explain the reason for any recommended change, and
include supporting data. We ask that you send us two copies of written
comments.
We will file in the docket all comments we receive, as well as a
report summarizing each substantive public contact with FAA personnel
concerning this proposed rulemaking. The docket is available for public
viewing before and after the comment closing date, by any of the means
discussed in the ADDRESSES section below.
Before acting on this proposal, we will consider all comments we
receive on or before the closing date for comments. We will consider
comments filed late if it is possible to do so without incurring
expense or delay. We may change this proposal in light of the comments
we receive.
If you want the FAA to acknowledge receipt of your comments on this
proposal, include with your comments a pre-addressed, stamped postcard
on which the docket number appears. We will stamp the date on the
postcard and mail it to you.
Privacy Act Statement
You should be aware that anyone can find and read the comments
received into any of our dockets, including the
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name of the individual sending the comment (or signing the comment on
behalf of an association, business, labor union, etc.) via the Internet
using the Docket Number. You may review DOT's complete Privacy Act
Statement in the Federal Register published on April 11, 2000 (65 FR
19477-78) or you may visit https://dms.dot.gov.
Proprietary or Confidential Business Information
Do not file in the docket information that you consider to be
proprietary or confidential business information. Send or deliver this
information directly to the person identified in the FOR FURTHER
INFORMATION CONTACT section of this document. You must mark the
information that you consider proprietary or confidential. If you send
the information on a disk or CD-ROM, mark the outside of the disk or
CD-ROM and identify electronically within the disk or CD-ROM the
specific information that is proprietary or confidential.
Under 14 CFR 11.35(b), when we are aware of proprietary information
filed with a comment, we do not place it in the docket. We hold it in a
separate file to which the public does not have access, and place a
note in the docket that we have received it. If we receive a request to
examine or copy this information, we treat it as any other request
under the Freedom of Information Act (5 U.S.C. 552). We process such a
request under the DOT procedures found in 49 CFR part 7.
Sensitive Security Information
Do not submit comments that include sensitive security information
(SSI) to the public regulatory docket. Please submit such comments
separately from other comments on the rulemaking. Comments containing
this type of information should be appropriately marked as containing
such information and submitted by mail to the address listed in FOR
FURTHER INFORMATION CONTACT section.
Upon receipt of such comments, we will not place the comments in
the public docket and will handle them in accordance with applicable
safeguards and restrictions on access. FAA will hold them in a separate
file to which the public does not have access and place a note in the
public docket that FAA has received such materials from the commenter.
If we receive a request to examine or copy this information, we will
treat it as any other request under the Freedom of Information Act
(FOIA) (5 U.S.C. 552).
Availability of Rulemaking Documents
You can get an electronic copy using the Internet by:
(1) Searching the Department of Transportation's electronic Docket
Management System (DMS) Web page (https://dms.dot.gov/search);
(2) Visiting the FAA's Regulations and Policy Web page at https://
www.faa.gov/regulations_policies/; or
(3) Accessing the Government Printing Office's Web page at https://
www.gpoaccess.gov/fr/.
You can also get a copy by sending a request to the Federal
Aviation Administration, Office of Rulemaking, ARM-1, 800 Independence
Avenue, SW., Washington, DC 20591, or by calling (202) 267-9680. Make
sure to identify the docket number, notice number, or amendment number
of this rulemaking.
List of Subjects in 14 CFR Part 153
Airports, Aviation safety.
The Proposed Rule
In consideration of the foregoing the Federal Aviation
Administration proposes to amend Chapter I of Title 14 Code of Federal
Regulations by adding part 153 to read as follows:
PART 153--AIRPORT OPERATIONS
Subpart A--Aviation Safety Inspector Access
Sec.
153.1 Applicability.
153.3 Definitions.
153.5 Aviation safety inspector airport access.
Subpart B--[Reserved]
Authority: 49 U.S.C. 106(g), 40113, and 44701.
Subpart A--Aviation Safety Inspector Access
Sec. 153.1 Applicability.
This subpart prescribes requirements governing Aviation Safety
Inspector access to airports to perform official duties.
Sec. 153.3 Definitions.
The following definitions apply in this subpart:
Air Operations Area (AOA) means a portion of an airport, specified
in the airport security program, in which security measures specified
in Title 49 of the Code of Federal Regulations are carried out. This
area includes aircraft movement areas, aircraft parking areas, loading
ramps, and safety areas, for use by aircraft regulated under 49 CFR
parts 1542, 1544, and 1546, and any adjacent areas (such as general
aviation areas) that are not separated by adequate security systems,
measures, or procedures. This area does not include the secured area.
Airport means any public use airport, including heliports, as
defined in 49 U.S.C. 47501, including:
(1) Any airport which is used or to be used for public purposes,
under the control of a public agency, the landing area of which is
publicly owned;
(2) Any privately owned reliever airport; and
(3) Any privately owned airport which is determined by the
Secretary of Transportation to enplane annually 2,500 or more
passengers and receive scheduled passenger service of aircraft, which
is used or to be used for public purposes.
Airport Operator means the operator of an airport as defined in 49
U.S.C. 47501.
Aviation Safety Inspector means a properly credentialed individual
who bears FAA Form 110A and is authorized under the provisions of 49
U.S.C. 40113 to perform inspections and investigations.
FAA Form 110A means the credentials issued to qualified Aviation
Safety Inspectors by the FAA for use in the performance of official
duties.
Secured area means a portion of an airport, specified in the
airport security program, in which certain security measures specified
in Chapter 1 of Title 49 of the Code of Federal Regulations are carried
out. This area is where aircraft operators and foreign air carriers
that have a security program under 49 CFR part 1544 or part 1546
enplane and deplane passengers and sort and load baggage and any
adjacent areas that are not separated by adequate security systems,
measures, or procedures.
Security Identification Display Area (SIDA) means a portion of an
airport, specified in the airport security program, in which security
measures specified in Chapter 1 of Title 49 of the Code of Federal
Regulations are carried out. This area includes the secured area and
may include other areas of the airport.
Sec. 153.5 Aviation safety inspector airport access.
Airport operators, aircraft operators, aircraft owners, airport
tenants, and air agencies must grant Aviation Safety Inspectors bearing
FAA Form 110A free and uninterrupted access to airports and facilities,
including AOAs, secured areas, SIDAs, and other restricted areas.
Aviation Safety Inspectors displaying FAA Form 110A do not require
access media or identification media issued or
[[Page 53509]]
approved by an airport operator or aircraft operator in order to
inspect or test compliance, or perform other such duties as the FAA may
direct.
Subpart B--[Reserved]
Issued in Washington, DC, on September 12, 2007.
James J. Ballough,
Director, Flight Standards Service.
[FR Doc. E7-18349 Filed 9-18-07; 8:45 am]
BILLING CODE 4910-13-P