Privacy Act of 1974: Implementation of Exemptions; Export-Import Bank of the United States Office of Inspector General-Office of Inspector General Investigative Records, 27140-27142 [2012-10903]
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27140
Federal Register / Vol. 77, No. 90 / Wednesday, May 9, 2012 / Proposed Rules
Register document reflects
recommendations made by the NACMPI
HACCP Systems Validation SubCommittee. Most of the revisions
recommended by NACMPI were to
improve the clarity of the document. For
example, in response to a NACMPI
recommendation, the draft compliance
guidance now clearly and concisely
describes the distinction between
validation and verification and explains
how the establishment’s HACCP plan
reassessment fits into the process. The
draft guidance reiterates that the
establishment is required to reassess its
HACCP plan annually and whenever
changes occur that affect the hazard
analysis or HACCP plan (9 CFR
417.2(a)). The draft guidance also makes
clear that that to conduct an effective
reassessment, establishments should
review the records generated by the
entire HACCP system and analyze these
records to determine how the HACCP
system is performing as a whole. Prerequisite programs are a critical part of
the environment in which HACCP plans
function and are therefore an important
part of any HACCP plan reassessment.
FSIS also updated the guidance to
include guidance for validating cooking
instructions for ground poultry patties.
The NACMPI report is available on
the FSIS Web site at: https://
www.fsis.usda.gov/PDF/
Validation_Issue_Paper_Final.pdf.
In addition to comments on the draft
guidance document, the NACMPI also
made recommendations on FSIS’s
implementation and verification
activities after the Agency issues final
validation guidance. The NACMPI
recommended that FSIS ‘‘phase in’’ its
activities to ensure that establishments
have appropriately validated HACCP
systems by focusing first on those
product categories that present the
greatest public health risk. The NACMPI
also recommended that at their next
annual reassessment, existing
establishments should be expected to
have determined whether they need to
collect additional in-plant data to
complete their validation or whether the
data they have collected meet the
validation requirements. FSIS believes
that both recommendations have merit
and requests comments on them.
The revised draft guidance document
is available for public viewing in the
FSIS docket room and on the FSIS Web
site at https://www.fsis.usda.gov/
Regulations_&_Policies/
Compliance_Assistance/index.asp. FSIS
again invites comments on the revised
guidance document, as well as on the
issues discussed in this Federal Register
document. The Agency will also hold a
public meeting to discuss the revised
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draft guidance and to solicit additional
input on validation requirements.
Next Steps
After considering the public input
and comments it receives on the revised
draft guidance document, FSIS will
issue a final guidance document on
HACCP system validation and publish a
Federal Register document to announce
its availability. At that time, FSIS will
also announce when Agency personnel
will begin to take enforcement actions if
it finds that an establishment has failed
to conduct and document in-plant
validation.
Until then, FSIS inspection personnel
will continue to issue a noncompliance
record (NR) if an establishment lacks the
required scientific or technical support
for its HACCP system, or if the scientific
or technical support is inadequate. FSIS
will also continue to issue an NOIE if,
taken together with other relevant
findings, an establishment’s scientific or
technical support is inadequate, and the
Agency can support a determination
that the establishment’s HACCP system
is inadequate for any of the reasons
provided in 9 CFR 417.6.
FSIS will also continue to conduct
Food Safety Assessments (FSAs). If,
when conducting an FSA, an EIAO
finds that an establishment has not
completed the in-plant demonstration,
the EIAO will note this finding in the
FSA and inform the establishment.
Until the enforcement date, FSIS will
not issue NRs or take enforcement
actions based solely on a finding that an
establishment lacks in-plant validation
data.
Additional Public Notification
Public awareness of all segments of
rulemaking and policy development is
important. Consequently, in an effort to
ensure that minorities, women, and
persons with disabilities are aware of
this document, FSIS will announce it
online through the FSIS Web page
located at https://www.fsis.usda.gov/
regulations/2012_Notices_Index/. FSIS
will also make copies of this Federal
Register publication available through
the FSIS Constituent Update, which is
used to provide information regarding
FSIS’ policies, procedures, regulations,
Federal Register notices, public
meetings, and other types of information
that could affect or would be of interest
to constituents and stakeholders. The
Update is communicated via Listserv, a
free electronic mail subscription service
for industry, trade groups, consumer
interest groups, health professionals,
and other individuals who have asked
to be included. The Update is also
available on the FSIS Web page.
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Through the Listserv and Web page,
FSIS is able to provide information to a
much broader and more diverse
audience. In addition, FSIS offers an
email subscription service which
provides automatic and customized
access to selected food safety news and
information. This service is available at
https://www.fsis.usda.gov/
news_and_events/email_subscription/.
Information is available about a variety
of topics including recalls, exports,
regulations, directives, and notices.
Customers can add or delete
subscriptions themselves, and they have
the option to password protect their
accounts.
Done at Washington, DC, on May 1, 2012.
Alfred V. Almanza,
Administrator.
[FR Doc. 2012–10895 Filed 5–8–12; 8:45 am]
BILLING CODE 3410–DM–P
EXPORT-IMPORT BANK OF THE
UNITED STATES
12 CFR Part 404
[EXIM–OIG–2012–0010]
RIN 3048–AA02
Privacy Act of 1974: Implementation of
Exemptions; Export-Import Bank of the
United States Office of Inspector
General—Office of Inspector General
Investigative Records
The Export-Import Bank of the
United States.
ACTION: Notice of proposed rulemaking.
AGENCY:
The Export-Import Bank of
the United States (hereafter known as
‘‘Ex-Im Bank’’), Office of Inspector
General (hereafter known as ‘‘OIG’’ or
‘‘Ex-Im Bank OIG’’) is giving concurrent
notice of a new system of records
entitled, ‘‘EIB–35–Office of Inspector
General Investigative Records.’’ In this
proposed rulemaking, Ex-Im Bank
proposes to exempt portions of this
system of records from one or more
provisions of the Privacy Act because of
criminal, civil, and administrative
enforcement requirements.
DATES: Comments should be received on
or before July 9, 2012 to be assured of
consideration.
ADDRESSES: You may submit comments,
identified by Docket Number EIB–2011–
0010 by one of the following methods:
• Electronically through the
eRulemaking Portal at https://
www.regulations.gov. Follow the
instructions for submitting comments.
Please search for EIB–2011–0010.
• By Mail/Hand Delivery/Courier:
Alberto Rivera-Fournier, Ex-Im Bank,
SUMMARY:
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sroberts on DSK5SPTVN1PROD with PROPOSALS
Federal Register / Vol. 77, No. 90 / Wednesday, May 9, 2012 / Proposed Rules
Office of Inspector General/811 Vermont
Avenue NW., Rm. 976, Washington, DC
20571. Please allow sufficient time for
mailed comments to be received before
the close of the comment period.
Instructions: All submissions received
must include the agency name and
docket number for this notice. All
comments received before the end of the
comment period will be posted on
https://www.regulations.gov for public
viewing, including any personal
information provided.
Docket: For access to the docket to
read background documents or
comments received, go to https://
www.regulations.gov.
FOR FURTHER INFORMATION CONTACT:
Alberto Rivera-Fournier, Ex-Im Bank,
Office of Inspector General, 811
Vermont Avenue NW., Rm. 976,
Washington, DC 20571 or by telephone
(202) 565–3908 or facsimile (202) 565–
3988.
SUPPLEMENTARY INFORMATION:
Concurrently with the publication of
this notice of proposed rulemaking, the
Ex-Im Bank OIG is publishing a new
system of records notice that is subject
to the Privacy Act of 1974, 5 U.S.C.
552a. The system is entitled, ‘‘EIB–35–
Office of Inspector General Investigative
Records’’. The system of records is
necessary in order for Ex-Im Bank OIG
to carry out its investigative
responsibilities pursuant to the
Inspector General Act of 1978, as
amended.
Ex-Im Bank is proposing to exempt
this system, in part, from certain
provisions of the Privacy Act. The OIG
is responsible for conducting and
supervising independent and objective
audits, inspections, and investigations
of the programs and operations of Ex-Im
Bank. The OIG promotes economy,
efficiency, and effectiveness within the
Ex-Im Bank and prevents and detects
fraud, waste, and abuse in its programs
and operations. The OIG’s Office of
Investigations investigates allegations of
criminal, civil, and administrative
misconduct involving Ex-Im Bank
employees, contractors, programs and
activities. These investigations can
result in criminal prosecutions, fines,
civil monetary penalties, and
administrative sanctions.
The new system of records assists the
OIG with receiving and processing
allegations of violation of criminal,
civil, and administrative laws and
regulations relating to Ex-Im Bank
employees, contractors, and other
individuals and entities associated with
Ex-Im Bank. The system includes both
paper investigative files and the
‘‘Inspector General Information System’’
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(IGIS), an electronic case management
and tracking information system, which
also generates reports. IGIS allows the
OIG to manage information provided
during the course of its investigations,
and, in the process, to facilitate its
management of investigations and
investigative resources.
The Privacy Act embodies fair
information principles in a statutory
framework governing the means by
which the United States Government
collects, maintains, uses, and
disseminates personally identifiable
information. The Privacy Act applies to
information that is maintained in a
‘‘system of records.’’ A ‘‘system of
records’’ is a group of any records under
the control of an agency from which
information is retrieved by the name of
the individual or by some identifying
number, symbol, or other identifying
particular assigned to the individual.
Individuals may request their own
records that are maintained in a system
of records in the possession or under the
control of Ex-Im Bank by complying
with Ex-Im Bank Privacy Act
regulations, 12 CFR part 404.
The Privacy Act requires each agency
to publish in the Federal Register a
description of the type and character of
each system of records that the agency
maintains, and the routine uses that are
contained in each system in order to
make agency recordkeeping practices
transparent, to notify individuals
regarding the uses to which personally
identifiable information is put, and to
assist individuals in finding such files
within the agency.
The Privacy Act allows government
agencies to exempt certain records from
the access and amendment provisions. If
an agency claims an exemption,
however, it must issue a Notice of
Proposed Rulemaking to make clear to
the public the reasons why a particular
exemption is claimed.
Ex-Im Bank is claiming exemptions
from certain requirements of the Privacy
Act for the ‘‘EIB–35–Office of Inspector
General Investigative Records’’ because
information in this system of records
relates to official law enforcement
activities. These exemptions are needed
to protect information relating to Ex-Im
Bank OIG activities from disclosure to
subjects of investigations and others
related to these activities.
Specifically, the exemptions are
required to preclude subjects of
investigations from frustrating the
investigative process; to avoid
disclosure of investigative techniques;
to protect the identities and physical
safety of confidential informants and
law enforcement personnel; to ensure
Ex-Im Bank OIG’s ability to obtain
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27141
information from third parties and other
sources; to protect the privacy of third
parties; to fulfill commitments made to
protect the confidentiality of sources;
and to safeguard confidential
information. Disclosure of information
to the subject of the inquiry could also
permit the subject to avoid detection or
apprehension.
The exemptions proposed here are
standard law enforcement exemptions
exercised by a large number of Federal
law enforcement and intelligence
agencies. In appropriate circumstances,
where compliance would not appear to
interfere with or adversely affect the law
enforcement purposes of this system
and the overall law enforcement
process, the applicable exemptions may
be waived on a case by case basis.
List of Subjects in 12 CFR Part 404
Information disclosure.
For the reasons stated in the
preamble, Ex-Im Bank proposes to
amend chapter IV of Title 12, Code of
Federal Regulations, as follows:
PART 404—INFORMATION
DISCLOSURE
1. The authority citation for part 404
continues to read as follows:
Authority: 5 U.S.C. 552 and 552a. Section
404.7 also issued under E.O. 12600, 52 FR
23781, 3 CFR, 1987 Comp., p. 235. Section
404.21 also issued under 5 U.S.C. 552a note.
Subpart C also issued under 5 U.S.C. 301, 12
U.S.C. 635.
Subpart B—Access to Records Under
the Privacy Act of 1974
2. Add § 404.24 to subpart B to read
as follows:
§ 404.24 Exemptions: EIB–35—Office of
Inspector General Investigative Records
(a) Criminal Law Enforcement. (1)
Exemption. Under the authority granted
by 5 U.S.C. 552a(j)(2), Ex-Im Bank
hereby exempts the system of records
entitled ‘‘EIB–35—Office of Inspector
General Investigative Records’’ from the
provisions of 5 U.S.C. 552a(c)(3), (c)(4),
(d)(1) through (4), (e)(1) through (3),
(e)(4)(G) and (H), (e)(5), (e)(8), (f), and (g)
because the system contains information
pertaining to the enforcement of
criminal laws. ‘‘EIB–35—Office of
Inspector General Investigative
Records’’ is maintained by the Ex-Im
Bank Office of Inspector General (‘‘OIG’’
or ‘‘Ex-Im Bank OIG’’).
(2) Reasons for exemption. The
reasons for asserting this exemption are:
(i) Disclosure to the individual named
in the record pursuant to 5 U.S.C.
552a(c)(3), (c)(4), or (d)(1) through (4)
could seriously impede or compromise
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the investigation by alerting the
target(s), subjecting a potential witness
or witnesses to intimidation or improper
influence, and leading to destruction of
evidence. Disclosure could enable
suspects to take action to prevent
detection of criminal activities, conceal
evidence, or escape prosecution.
(ii) Application of 5 U.S.C. 552a(e)(1)
is impractical because the relevance of
specific information might be
established only after considerable
analysis and as the investigation
progresses. Effective law enforcement
requires the OIG to keep information
that may not be relevant to a specific
OIG investigation, but which may
provide leads for appropriate law
enforcement and to establish patterns of
activity that might relate to the
jurisdiction of the OIG and/or other
agencies.
(iii) Application of 5 U.S.C. 552a(e)(2)
would be counterproductive to the
performance of a criminal investigation
because it would alert the individual to
the existence of an investigation. In any
investigation, it is necessary to obtain
evidence from a variety of sources other
than the subject of the investigation in
order to verify the evidence necessary
for successful litigation or prosecution.
(iv) Application of 5 U.S.C. 552a(e)(3)
could discourage the free flow of
information in a criminal law
enforcement inquiry.
(v) The requirements of 5 U.S.C.
552a(e)(4)(G) and (H), and (f) would be
counterproductive to the performance of
a criminal investigation. To notify an
individual at the individual’s request of
the existence of records in an
investigative file pertaining to such
individual, or to grant access to an
investigative file could interfere with
investigative and enforcement
proceedings, deprive co-defendants of a
right to a fair trial or other impartial
adjudication, constitute an unwarranted
invasion of personal privacy of others,
disclose the identity or confidential
sources, reveal confidential information
supplied by these sources and disclose
investigative techniques and
procedures. Nevertheless, Ex-Im Bank
OIG has published notice of its
notification, access, and contest
procedures because access may be
appropriate in some cases.
(vi) Although the OIG endeavors to
maintain accurate records, application
of 5 U.S.C. 552a(e)(5) is impractical
because maintaining only those records
that are accurate, relevant, timely, and
complete and that assure fairness in
determination is contrary to established
investigative techniques. Information
that may initially appear inaccurate,
irrelevant, untimely, or incomplete may,
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when collated and analyzed with other
available information, become more
pertinent as an investigation progresses.
(vii) Application of 5 U.S.C. 552a(e)(8)
could prematurely reveal an ongoing
criminal investigation to the subject of
the investigation.
(viii) The provisions of 5 U.S.C.
552a(g) do not apply to this system if an
exemption otherwise applies.
(b) Other Law Enforcement.
(1) Exemption. Under the authority
granted by 5 U.S.C. 552a(k)(2), Ex-Im
Bank hereby exempts the system of
records entitled ‘‘EIB–35—Office of
Inspector General Investigative
Records’’ from the provisions of 5 U.S.C.
552a(c)(3), (d)(1) through (4), (e)(1),
(e)(4)(G) and (H), and (f) for the same
reasons as stated in paragraph (a)(2) of
this section, that is, because the system
contains investigatory material
compiled for law enforcement purposes
other than material within the scope of
5 U.S.C. 552a(j)(2).
(2) Reasons for exemption. The
reasons for asserting this exemption are
because the disclosure and other
requirements of the Privacy Act could
substantially compromise the efficacy
and integrity of OIG operations.
Disclosure could invade the privacy of
other individuals and disclose their
identity when they were expressly
promised confidentiality. Disclosure
could interfere with the integrity of
information which would otherwise be
subject to privileges (see, e.g., 5 U.S.C.
552(b)(5)), and which could interfere
with other important law enforcement
concerns (see, e.g., 5 U.S.C. 552(b)(7)).
(c) Federal Civilian or Contract
Employment. (1) Exemption. Under the
authority granted by 5 U.S.C. 552a(k)(5),
Ex-Im Bank hereby exempts the system
of records entitled ‘‘EIB–35—Office of
Inspector General Investigative
Records’’ from the provisions of 5 U.S.C.
552a(c)(3), (d)(1) through (4), (e)(1),
(e)(4)(G) and (H), and (f) because the
system contains investigatory material
compiled for the purpose of determining
eligibility or qualifications for federal
civilian or contract employment.
(2) Reasons for exemption. The
reasons for asserting this exemption are
the same as described in paragraph
(a)(2) of this section.
Dated: May 1, 2012.
Sharon A. Whitt,
Agency Clearance Officer.
[FR Doc. 2012–10903 Filed 5–8–12; 8:45 am]
BILLING CODE 6690–01–P
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DEPARTMENT OF TRANSPORTATION
Federal Aviation Administration
14 CFR Part 39
[Docket No. FAA–2012–0425; Directorate
Identifier 2011–NM–273–AD]
RIN 2120–AA64
Airworthiness Directives; The Boeing
Company Airplanes
Federal Aviation
Administration (FAA), DOT.
ACTION: Notice of proposed rulemaking
(NPRM).
AGENCY:
We propose to adopt a new
airworthiness directive (AD) for all The
Boeing Company Model 717–200
airplanes. This proposed AD was
prompted by multiple reports of cracks
of overwing frames. This proposed AD
would require repetitive inspections for
cracking of the overwing frames, and
related investigative and corrective
actions if necessary. We are proposing
this AD to detect and correct such
cracking that could sever a frame, which
may increase the loading of adjacent
frames, and result in damage to the
adjacent structure and consequent loss
of structural integrity of the airplane.
DATES: We must receive comments on
this proposed AD by June 25, 2012.
ADDRESSES: You may send comments,
using the procedures found in 14 CFR
11.43 and 11.45, by any of the following
methods:
• Federal eRulemaking Portal: Go to
https://www.regulations.gov. Follow the
instructions for submitting comments.
• Fax: 202–493–2251.
• Mail: U.S. Department of
Transportation, Docket Operations,
M–30, West Building Ground Floor,
Room W12–140, 1200 New Jersey
Avenue SE., Washington, DC 20590.
• Hand Delivery: Deliver to Mail
address above between 9 a.m. and
5 p.m., Monday through Friday, except
Federal holidays.
For service information identified in
this proposed AD, contact Boeing
Commercial Airplanes, Attention: Data
& Services Management, 3855
Lakewood Boulevard, MC D800–0019,
Long Beach, California 90846–0001;
telephone 206–544–5000, extension 2;
fax 206–766–5683; email
dse.boecom@boeing.com; Internet
https://www.myboeingfleet.com. You
may review copies of the referenced
service information at the FAA,
Transport Airplane Directorate, 1601
Lind Avenue SW., Renton, Washington.
For information on the availability of
this material at the FAA, call 425–227–
1221.
SUMMARY:
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Agencies
[Federal Register Volume 77, Number 90 (Wednesday, May 9, 2012)]
[Proposed Rules]
[Pages 27140-27142]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2012-10903]
=======================================================================
-----------------------------------------------------------------------
EXPORT-IMPORT BANK OF THE UNITED STATES
12 CFR Part 404
[EXIM-OIG-2012-0010]
RIN 3048-AA02
Privacy Act of 1974: Implementation of Exemptions; Export-Import
Bank of the United States Office of Inspector General--Office of
Inspector General Investigative Records
AGENCY: The Export-Import Bank of the United States.
ACTION: Notice of proposed rulemaking.
-----------------------------------------------------------------------
SUMMARY: The Export-Import Bank of the United States (hereafter known
as ``Ex-Im Bank''), Office of Inspector General (hereafter known as
``OIG'' or ``Ex-Im Bank OIG'') is giving concurrent notice of a new
system of records entitled, ``EIB-35-Office of Inspector General
Investigative Records.'' In this proposed rulemaking, Ex-Im Bank
proposes to exempt portions of this system of records from one or more
provisions of the Privacy Act because of criminal, civil, and
administrative enforcement requirements.
DATES: Comments should be received on or before July 9, 2012 to be
assured of consideration.
ADDRESSES: You may submit comments, identified by Docket Number EIB-
2011-0010 by one of the following methods:
Electronically through the eRulemaking Portal at https://www.regulations.gov. Follow the instructions for submitting comments.
Please search for EIB-2011-0010.
By Mail/Hand Delivery/Courier: Alberto Rivera-Fournier,
Ex-Im Bank,
[[Page 27141]]
Office of Inspector General/811 Vermont Avenue NW., Rm. 976,
Washington, DC 20571. Please allow sufficient time for mailed comments
to be received before the close of the comment period.
Instructions: All submissions received must include the agency name
and docket number for this notice. All comments received before the end
of the comment period will be posted on https://www.regulations.gov for
public viewing, including any personal information provided.
Docket: For access to the docket to read background documents or
comments received, go to https://www.regulations.gov.
FOR FURTHER INFORMATION CONTACT: Alberto Rivera-Fournier, Ex-Im Bank,
Office of Inspector General, 811 Vermont Avenue NW., Rm. 976,
Washington, DC 20571 or by telephone (202) 565-3908 or facsimile (202)
565-3988.
SUPPLEMENTARY INFORMATION: Concurrently with the publication of this
notice of proposed rulemaking, the Ex-Im Bank OIG is publishing a new
system of records notice that is subject to the Privacy Act of 1974, 5
U.S.C. 552a. The system is entitled, ``EIB-35-Office of Inspector
General Investigative Records''. The system of records is necessary in
order for Ex-Im Bank OIG to carry out its investigative
responsibilities pursuant to the Inspector General Act of 1978, as
amended.
Ex-Im Bank is proposing to exempt this system, in part, from
certain provisions of the Privacy Act. The OIG is responsible for
conducting and supervising independent and objective audits,
inspections, and investigations of the programs and operations of Ex-Im
Bank. The OIG promotes economy, efficiency, and effectiveness within
the Ex-Im Bank and prevents and detects fraud, waste, and abuse in its
programs and operations. The OIG's Office of Investigations
investigates allegations of criminal, civil, and administrative
misconduct involving Ex-Im Bank employees, contractors, programs and
activities. These investigations can result in criminal prosecutions,
fines, civil monetary penalties, and administrative sanctions.
The new system of records assists the OIG with receiving and
processing allegations of violation of criminal, civil, and
administrative laws and regulations relating to Ex-Im Bank employees,
contractors, and other individuals and entities associated with Ex-Im
Bank. The system includes both paper investigative files and the
``Inspector General Information System'' (IGIS), an electronic case
management and tracking information system, which also generates
reports. IGIS allows the OIG to manage information provided during the
course of its investigations, and, in the process, to facilitate its
management of investigations and investigative resources.
The Privacy Act embodies fair information principles in a statutory
framework governing the means by which the United States Government
collects, maintains, uses, and disseminates personally identifiable
information. The Privacy Act applies to information that is maintained
in a ``system of records.'' A ``system of records'' is a group of any
records under the control of an agency from which information is
retrieved by the name of the individual or by some identifying number,
symbol, or other identifying particular assigned to the individual.
Individuals may request their own records that are maintained in a
system of records in the possession or under the control of Ex-Im Bank
by complying with Ex-Im Bank Privacy Act regulations, 12 CFR part 404.
The Privacy Act requires each agency to publish in the Federal
Register a description of the type and character of each system of
records that the agency maintains, and the routine uses that are
contained in each system in order to make agency recordkeeping
practices transparent, to notify individuals regarding the uses to
which personally identifiable information is put, and to assist
individuals in finding such files within the agency.
The Privacy Act allows government agencies to exempt certain
records from the access and amendment provisions. If an agency claims
an exemption, however, it must issue a Notice of Proposed Rulemaking to
make clear to the public the reasons why a particular exemption is
claimed.
Ex-Im Bank is claiming exemptions from certain requirements of the
Privacy Act for the ``EIB-35-Office of Inspector General Investigative
Records'' because information in this system of records relates to
official law enforcement activities. These exemptions are needed to
protect information relating to Ex-Im Bank OIG activities from
disclosure to subjects of investigations and others related to these
activities.
Specifically, the exemptions are required to preclude subjects of
investigations from frustrating the investigative process; to avoid
disclosure of investigative techniques; to protect the identities and
physical safety of confidential informants and law enforcement
personnel; to ensure Ex-Im Bank OIG's ability to obtain information
from third parties and other sources; to protect the privacy of third
parties; to fulfill commitments made to protect the confidentiality of
sources; and to safeguard confidential information. Disclosure of
information to the subject of the inquiry could also permit the subject
to avoid detection or apprehension.
The exemptions proposed here are standard law enforcement
exemptions exercised by a large number of Federal law enforcement and
intelligence agencies. In appropriate circumstances, where compliance
would not appear to interfere with or adversely affect the law
enforcement purposes of this system and the overall law enforcement
process, the applicable exemptions may be waived on a case by case
basis.
List of Subjects in 12 CFR Part 404
Information disclosure.
For the reasons stated in the preamble, Ex-Im Bank proposes to
amend chapter IV of Title 12, Code of Federal Regulations, as follows:
PART 404--INFORMATION DISCLOSURE
1. The authority citation for part 404 continues to read as
follows:
Authority: 5 U.S.C. 552 and 552a. Section 404.7 also issued
under E.O. 12600, 52 FR 23781, 3 CFR, 1987 Comp., p. 235. Section
404.21 also issued under 5 U.S.C. 552a note. Subpart C also issued
under 5 U.S.C. 301, 12 U.S.C. 635.
Subpart B--Access to Records Under the Privacy Act of 1974
2. Add Sec. 404.24 to subpart B to read as follows:
Sec. 404.24 Exemptions: EIB-35--Office of Inspector General
Investigative Records
(a) Criminal Law Enforcement. (1) Exemption. Under the authority
granted by 5 U.S.C. 552a(j)(2), Ex-Im Bank hereby exempts the system of
records entitled ``EIB-35--Office of Inspector General Investigative
Records'' from the provisions of 5 U.S.C. 552a(c)(3), (c)(4), (d)(1)
through (4), (e)(1) through (3), (e)(4)(G) and (H), (e)(5), (e)(8),
(f), and (g) because the system contains information pertaining to the
enforcement of criminal laws. ``EIB-35--Office of Inspector General
Investigative Records'' is maintained by the Ex-Im Bank Office of
Inspector General (``OIG'' or ``Ex-Im Bank OIG'').
(2) Reasons for exemption. The reasons for asserting this exemption
are:
(i) Disclosure to the individual named in the record pursuant to 5
U.S.C. 552a(c)(3), (c)(4), or (d)(1) through (4) could seriously impede
or compromise
[[Page 27142]]
the investigation by alerting the target(s), subjecting a potential
witness or witnesses to intimidation or improper influence, and leading
to destruction of evidence. Disclosure could enable suspects to take
action to prevent detection of criminal activities, conceal evidence,
or escape prosecution.
(ii) Application of 5 U.S.C. 552a(e)(1) is impractical because the
relevance of specific information might be established only after
considerable analysis and as the investigation progresses. Effective
law enforcement requires the OIG to keep information that may not be
relevant to a specific OIG investigation, but which may provide leads
for appropriate law enforcement and to establish patterns of activity
that might relate to the jurisdiction of the OIG and/or other agencies.
(iii) Application of 5 U.S.C. 552a(e)(2) would be counterproductive
to the performance of a criminal investigation because it would alert
the individual to the existence of an investigation. In any
investigation, it is necessary to obtain evidence from a variety of
sources other than the subject of the investigation in order to verify
the evidence necessary for successful litigation or prosecution.
(iv) Application of 5 U.S.C. 552a(e)(3) could discourage the free
flow of information in a criminal law enforcement inquiry.
(v) The requirements of 5 U.S.C. 552a(e)(4)(G) and (H), and (f)
would be counterproductive to the performance of a criminal
investigation. To notify an individual at the individual's request of
the existence of records in an investigative file pertaining to such
individual, or to grant access to an investigative file could interfere
with investigative and enforcement proceedings, deprive co-defendants
of a right to a fair trial or other impartial adjudication, constitute
an unwarranted invasion of personal privacy of others, disclose the
identity or confidential sources, reveal confidential information
supplied by these sources and disclose investigative techniques and
procedures. Nevertheless, Ex-Im Bank OIG has published notice of its
notification, access, and contest procedures because access may be
appropriate in some cases.
(vi) Although the OIG endeavors to maintain accurate records,
application of 5 U.S.C. 552a(e)(5) is impractical because maintaining
only those records that are accurate, relevant, timely, and complete
and that assure fairness in determination is contrary to established
investigative techniques. Information that may initially appear
inaccurate, irrelevant, untimely, or incomplete may, when collated and
analyzed with other available information, become more pertinent as an
investigation progresses.
(vii) Application of 5 U.S.C. 552a(e)(8) could prematurely reveal
an ongoing criminal investigation to the subject of the investigation.
(viii) The provisions of 5 U.S.C. 552a(g) do not apply to this
system if an exemption otherwise applies.
(b) Other Law Enforcement. (1) Exemption. Under the authority
granted by 5 U.S.C. 552a(k)(2), Ex-Im Bank hereby exempts the system of
records entitled ``EIB-35--Office of Inspector General Investigative
Records'' from the provisions of 5 U.S.C. 552a(c)(3), (d)(1) through
(4), (e)(1), (e)(4)(G) and (H), and (f) for the same reasons as stated
in paragraph (a)(2) of this section, that is, because the system
contains investigatory material compiled for law enforcement purposes
other than material within the scope of 5 U.S.C. 552a(j)(2).
(2) Reasons for exemption. The reasons for asserting this exemption
are because the disclosure and other requirements of the Privacy Act
could substantially compromise the efficacy and integrity of OIG
operations. Disclosure could invade the privacy of other individuals
and disclose their identity when they were expressly promised
confidentiality. Disclosure could interfere with the integrity of
information which would otherwise be subject to privileges (see, e.g.,
5 U.S.C. 552(b)(5)), and which could interfere with other important law
enforcement concerns (see, e.g., 5 U.S.C. 552(b)(7)).
(c) Federal Civilian or Contract Employment. (1) Exemption. Under
the authority granted by 5 U.S.C. 552a(k)(5), Ex-Im Bank hereby exempts
the system of records entitled ``EIB-35--Office of Inspector General
Investigative Records'' from the provisions of 5 U.S.C. 552a(c)(3),
(d)(1) through (4), (e)(1), (e)(4)(G) and (H), and (f) because the
system contains investigatory material compiled for the purpose of
determining eligibility or qualifications for federal civilian or
contract employment.
(2) Reasons for exemption. The reasons for asserting this exemption
are the same as described in paragraph (a)(2) of this section.
Dated: May 1, 2012.
Sharon A. Whitt,
Agency Clearance Officer.
[FR Doc. 2012-10903 Filed 5-8-12; 8:45 am]
BILLING CODE 6690-01-P