Surrender of License of Small Business Investment Company, 75226-75227 [2014-29517]
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75226
Federal Register / Vol. 79, No. 242 / Wednesday, December 17, 2014 / Notices
FOR FURTHER INFORMATION CONTACT:
Curtis Rich, Agency Clearance Officer,
(202) 205–7030 curtis.rich@sba.gov.
Copies: A copy of the Form OMB 83–
1, supporting statement, and other
documents submitted to OMB for
review may be obtained from the
Agency Clearance Officer.
SUPPLEMENTARY INFORMATION: Lenders
requesting SBA to purchase the
guaranty portion of a loan are required
to supply the Agency with a certified
transcript of the loan account. This form
is uniform and convenient means for
lenders to report and certify loan
accounts to purchase by SBA. The
Agency uses the information to
determine date of loan default and
whether Lender disbursed and serviced
the loan according to Loan Guaranty
agreement.
Solicitation of Public Comment
Comments may be submitted on (a)
whether the collection of information is
necessary for the agency to properly
perform its functions; (b) whether the
burden estimates are accurate; (c)
whether there are ways to minimize the
burden, including through the use of
automated techniques or other forms of
information technology; and (d) whether
there are ways to enhance the quality,
utility, and clarity of the information.
Summary of Information Collections
(1) Title: Lender’s Transcript of
Account.
Description of Respondents: SBA
Lenders.
Form Number: SBA Form 1149.
Estimated Annual Respondents:
3,600.
Estimated Annual Responses: 3,600.
Estimated Annual Hour Burden:
36,000.
Curtis B. Rich,
Management Analyst.
[FR Doc. 2014–29471 Filed 12–16–14; 8:45 am]
BILLING CODE 8025–01–P
SMALL BUSINESS ADMINISTRATION
Reporting and Recordkeeping
Requirements Under OMB Review
Small Business Administration.
30-Day notice.
AGENCY:
ACTION:
The Small Business
Administration (SBA) is publishing this
notice to comply with requirements of
the Paperwork Reduction Act (PRA) (44
U.S.C. Chapter 35), which requires
agencies to submit proposed reporting
and recordkeeping requirements to
OMB for review and approval, and to
publish a notice in the Federal Register
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SUMMARY:
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notifying the public that the agency has
made such a submission. This notice
also allows an additional 30 days for
public comments.
DATES: Submit comments on or before
January 16, 2015.
ADDRESSES: Comments should refer to
the information collection by name and/
or OMB Control Number and should be
sent to: Agency Clearance Officer, Curtis
Rich, Small Business Administration,
409 3rd Street SW., 5th Floor,
Washington, DC 20416; and SBA Desk
Officer, Office of Information and
Regulatory Affairs, Office of
Management and Budget, New
Executive Office Building, Washington,
DC 20503.
FOR FURTHER INFORMATION CONTACT:
Curtis Rich, Agency Clearance Officer,
(202) 205–7030 curtis.rich@sba.gov.
Copies: A copy of the Form OMB 83–
1, supporting statement, and other
documents submitted to OMB for
review may be obtained from the
Agency Clearance Officer.
SUPPLEMENTARY INFORMATION: The
objective of the debt collection activities
is to obtain immediate repayment or
arrive at a satisfactory arrangement for
future repayment of debts owed to the
Government. SBA uses the financial
information provided by the debtor on
Form 770 in making a determination
regarding the compromise of such debts
and other liquidation proceedings
including litigation by the Agency and/
or the Department of Justice.
Solicitation of Public Comments
Comments may be submitted on (a)
whether the collection of information is
necessary for the agency to properly
perform its functions; (b) whether the
burden estimates are accurate; (c)
whether there are ways to minimize the
burden, including through the use of
automated techniques or other forms of
information technology; and (d) whether
there are ways to enhance the quality,
utility, and clarity of the information.
Summary of Information Collections
(1) Title: Financial Statement of Debt.
Description of Respondents: SBA
Lenders.
Form Number: SBA Form 770.
Estimated Annual Respondents:
5,000.
Estimated Annual Responses: 5,000.
Estimated Annual Hour Burden:
5,000.
Curtis B. Rich,
Management Analyst.
[FR Doc. 2014–29469 Filed 12–16–14; 8:45 am]
BILLING CODE 8025–01–P
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SMALL BUSINESS ADMINISTRATION
RLJ Credit Opportunity Fund I, L.P.
License No. 03/03–0256; Notice
Seeking Exemption Under Section 312
of the Small Business Investment Act,
Conflicts of Interest
Notice is hereby given that RLJ Credit
Opportunity Fund I, L.P., 3 Bethesda
Metro Center, Suite 1000, Bethesda, MD
20814, a Federal Licensee under the
Small Business Investment Act of 1958,
as amended (the ‘‘Act’’), in connection
with the financing of a small concern,
has sought an exemption under Section
312 of the Act and Section 107.730,
Financings which Constitute Conflicts
of Interest of the Small Business
Administration (‘‘SBA’’) Rules and
Regulations (13 CFR 107.730). RLJ
Credit Opportunity Fund I, L.P. has
provided debt financing to Naylor, LLC,
5950 NW 1st Place, Gainesville, FL
32607. The proceeds were used to
finance the acquisition of Boxwood
Technology, Inc.
The financing is brought within the
purview of § 107.730(a)(1) of the
Regulations because RLJ Equity Partners
Fund I, L.P., an Associate of RLJ Credit
Opportunity Fund I, L.P., owns more
than ten percent of Naylor, LLC, and
therefore this transaction is considered
a financing to an Associate requiring
SBA prior written exemption.
Notice is hereby given that any
interested person may submit written
comments on the transaction, within
fifteen days of the date of this
publication, to the Associate
Administrator for the Office of
Investment and Innovation, U.S. Small
Business Administration, 409 Third
Street SW., Washington, DC 20416.
Dated: December 10, 2014.
Javier E. Saade,
Associate Administrator for Office of
Investment and Innovation.
[FR Doc. 2014–29518 Filed 12–16–14; 8:45 am]
BILLING CODE P
SMALL BUSINESS ADMINISTRATION
Surrender of License of Small
Business Investment Company
Pursuant to the authority granted to
the United States Small Business
Administration (‘‘SBA’’) under Section
309 of the Small Business Investment
Act of 1958, as amended, and Section
107.1900 of the Small Business
Administration Rules and Regulations,
SBA by this notice declares null and
void the license to function as a small
business investment company under the
Small Business Investment Company
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17DEN1
Federal Register / Vol. 79, No. 242 / Wednesday, December 17, 2014 / Notices
License No. 06/06–0325 issued to
Jefferson Capital Partners I, L.P.
United States Small Business
Administration.
Dated: December 10, 2014.
Javier E. Saade,
Associate Administrator, Office of Investment
and Innovation.
[FR Doc. 2014–29517 Filed 12–16–14; 8:45 am]
BILLING CODE P
DEPARTMENT OF STATE
[Public Notice 8975]
In the Matter of the Review of the
Designation of Palestinian Islamic
Jihad as a Foreign Terrorist
Organization Pursuant to Section 219
of the Immigration and Nationality Act
Based upon a review of the
Administrative Record assembled in
this matter pursuant to Section
219(a)(4)(C) and (b) of the Immigration
and Nationality Act, as amended (8
U.S.C. 1189(a)(4)(C), (b)) (‘‘INA’’), and in
consultation with the Attorney General
and the Secretary of the Treasury, the
Secretary of State concludes that the
circumstances that were the basis for the
2008 decision to maintain the
designation of the aforementioned
organization as a foreign terrorist
organization have not changed in such
a manner as to warrant revocation of the
designation and that the national
security of the United States does not
warrant a revocation of the designation
of Palestinian Islamic Jihad.
Therefore, the Secretary of State
hereby determines that the designation
of the aforementioned organization as a
foreign terrorist organization, pursuant
to Section 219 of the INA (8 U.S.C.
1189), shall be maintained.
This determination shall be published
in the Federal Register.
Dated: December 5, 2014.
John F. Kerry,
Secretary of State.
[FR Doc. 2014–29599 Filed 12–16–14; 8:45 am]
BILLING CODE 4710–AD–P
DEPARTMENT OF STATE
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[Public Notice 8976]
U.S. Department of State Advisory
Committee on Private International
Law (ACPIL): Public Meeting on the
Hague Trusts Convention
The Office of the Assistant Legal
Adviser for Private International Law in
the Department of State gives notice of
a public meeting to discuss the
Convention on the Law Applicable to
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Trusts and on Their Recognition, which
was done at The Hague on July 1, 1985
(hereinafter ‘‘Hague Trusts Convention’’
or ‘‘Convention’’). The public meeting
will take place on Wednesday, January
21, 2015, from 10:30 a.m. until 12:30
p.m. EST. This is not a meeting of the
full Advisory Committee.
The purpose of the public meeting is
to assess the current level of interest
among domestic stakeholders in the
Hague Trusts Convention. The
Convention was signed on behalf of the
United States on June 13, 1988, but the
United States is not a party. Eleven
countries, in whole or in part, are
parties to the Convention, including
most common-law jurisdictions and a
small number of civil-law countries in
Europe.
The Office of the Assistant Legal
Adviser for Private International Law is
considering whether U.S. ratification of
the Convention would be beneficial, as
part of a more general initiative to try
to address the domestic implementation
of private international law treaties. For
example, it would be useful to learn of
the types of issues that may be
confronted by those persons involved in
handling trusts that have cross-border
aspects, and the potential impact that
the Convention would have on these
issues.
Time and Place: The meeting will
take place from 10:30 a.m. until 12:30
p.m. EST on January 21, in Room 240,
South Building, State Department
Annex 4, Washington, DC 20037.
Participants should plan to arrive at the
Navy Hill gate on the west side of 23rd
Street NW., at the intersection of 23rd
Street NW., and D Street NW., by 10:00
a.m. for visitor screening. If you are
unable to attend the public meeting and
would like to participate from a remote
location, teleconferencing will be
available. Those who cannot attend but
wish to comment are welcome to do so
by email to John Kim at kimmjj@
state.gov.
Public Participation: This meeting is
open to the public, subject to the
capacity of the meeting room. Access to
the building is strictly controlled. For
pre-clearance purposes, those planning
to attend should email pil@state.gov
providing full name, address, date of
birth, citizenship, driver’s license or
passport number, and email address.
This information will greatly facilitate
entry into the building. A member of the
public needing reasonable
accommodation should email pil@
state.gov not later than January 14, 2015.
Requests made after that date will be
considered, but might not be able to be
fulfilled. If you would like to participate
by telephone, please email pil@state.gov
PO 00000
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75227
to obtain the call-in number and other
information.
Data from the public is requested
pursuant to Public Law 99–399
(Omnibus Diplomatic Security and
Antiterrorism Act of 1986), as amended;
Public Law 107–56 (USA PATRIOT
Act); and Executive Order 13356. The
purpose of the collection is to validate
the identity of individuals who enter
Department facilities.
The data will be entered into the
Visitor Access Control System (VACS–
D) database. Please see the Security
Records System of Records Notice
(State–36) at https://www.state.gov/
documents/organization/103419.pdf for
additional information.
Dated: December 5, 2014.
John J. Kim,
Assistant Legal Adviser, Office of Private
International Law, Office of the Legal Adviser,
U.S. Department of State.
[FR Doc. 2014–29596 Filed 12–16–14; 8:45 am]
BILLING CODE 4710–08–P
DEPARTMENT OF STATE
[Public Notice 8977]
Overseas Schools Advisory Council
Notice of Meeting
The Overseas Schools Advisory
Council, Department of State, will hold
its Annual Committee Meeting on
Thursday, January 22, 2015, at 9:30 a.m.
in Conference Room 1105, Department
of State Building, 2201 C Street NW.,
Washington, DC. The meeting is open to
the public and will last until
approximately 12:00 p.m.
The Overseas Schools Advisory
Council works closely with the U.S.
business community in improving those
American-sponsored schools overseas
that are assisted by the Department of
State and attended by dependents of
U.S. Government employees, and the
children of employees of U.S.
corporations and foundations abroad.
This meeting will deal with issues
related to the work and the support
provided by the Overseas Schools
Advisory Council to the Americansponsored overseas schools. There will
be a report and discussion about the
status of the Council-sponsored project
to expand the World Virtual School.
The Regional Education Officers in the
Office of Overseas Schools will make a
presentations on the activities and
initiatives in the American-sponsored
overseas schools.
Members of the public may attend the
meeting and join in the discussion,
subject to the instructions of the Chair.
Admittance of public members will be
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Agencies
[Federal Register Volume 79, Number 242 (Wednesday, December 17, 2014)]
[Notices]
[Pages 75226-75227]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2014-29517]
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SMALL BUSINESS ADMINISTRATION
Surrender of License of Small Business Investment Company
Pursuant to the authority granted to the United States Small
Business Administration (``SBA'') under Section 309 of the Small
Business Investment Act of 1958, as amended, and Section 107.1900 of
the Small Business Administration Rules and Regulations, SBA by this
notice declares null and void the license to function as a small
business investment company under the Small Business Investment Company
[[Page 75227]]
License No. 06/06-0325 issued to Jefferson Capital Partners I, L.P.
United States Small Business Administration.
Dated: December 10, 2014.
Javier E. Saade,
Associate Administrator, Office of Investment and Innovation.
[FR Doc. 2014-29517 Filed 12-16-14; 8:45 am]
BILLING CODE P