Formations of, Acquisitions by, and Mergers of Bank Holding Companies, 32560-32561 [2015-14075]
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32560
Federal Register / Vol. 80, No. 110 / Tuesday, June 9, 2015 / Notices
mail to the Office of Information and
Regulatory Affairs, Office of
Management and Budget, New
Executive Office Building, Room 10235
725 17th Street NW., Paperwork
Reduction Project (1505–0204 for
Treasury or 7100–0317 for the Board),
Washington, DC 20503 or by fax to 202–
395–6974.
FOR FURTHER INFORMATION CONTACT:
Requests for additional information or a
copy of the collection may be obtained
by contacting:
Board: Federal Reserve Board Acting
Clearance Officer—Mark Tokarski—
Office of the Chief Data Officer, Board
of Governors of the Federal Reserve
System, Washington, DC 20551 (202)
452–3829. Telecommunications Device
for the Deaf (TDD) users may contact
(202) 263–4869, Board of Governors of
the Federal Reserve System,
Washington, DC 20551.
Treasury: Steven D. Laughton, Deputy
Assistant General Counsel (Banking and
Finance), (202) 622–8413, U.S.
Department of the Treasury, 1500
Pennsylvania Avenue NW., Room 2001,
Washington, DC 20220.
SUPPLEMENTARY INFORMATION:
tkelley on DSK3SPTVN1PROD with NOTICES
Request for Comment on Information
Collection
The public is invited to submit
comments concerning:
a. Whether the proposed collection of
information is necessary for the proper
performance of the Agencies’ functions;
including whether the information has
practical utility;
b. The accuracy of the Agencies’
estimate of the burden of the proposed
information collection, including the
validity of the methodology and
assumptions used;
c. Ways to enhance the quality,
utility, and clarity of the information to
be collected;
d. Ways to minimize the burden of
information collection on respondents,
including through the use of automated
collection techniques or other forms of
information technology; and
e. Estimates of capital or start up costs
and costs of operation, maintenance,
and purchase of services to provide
information.
Comments submitted in response to
this notice will be shared between the
Agencies. All comments received,
including attachments and other
supporting materials, are part of the
public record and will be included in
the submission to the Office of
Management and Budget (OMB).
Title: Prohibition on Funding of
Unlawful Internet Gambling.
OMB Control Numbers:
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Board: 7100–0317.
Treasury: 1505–0204.
Abstract: On November 18, 2008, the
Agencies published a joint notice of
final rulemaking in the Federal Register
(73 FR 69382) adopting a rule on a
prohibition on the funding of unlawful
Internet gambling pursuant to the Act.
Identical sets of the final joint rule with
identically numbered sections were
adopted by the Board and the Treasury
within their respective titles of the Code
of Federal Regulations (12 CFR part 233
for the Board and 31 CFR part 132 for
the Treasury). The compliance date for
the joint rule was June 1, 2010 (74 FR
62687). The collection of information is
set out in sections 5 and 6 of the joint
rule.1 Section 5 of the joint rule, as
required by the Act, requires all nonexempt participants in designated
payment systems to establish and
implement written policies and
procedures reasonably designed to
identify and block or otherwise prevent
or prohibit transactions in connection
with unlawful Internet gambling.2
Section 6 of the joint rule provides nonexclusive examples of policies and
procedures deemed by the Agencies to
be reasonably designed to identify and
block or otherwise prevent or prohibit
transactions restricted by the Act.
Type of Review: Extension of a
currently approved collection.
Affected Public: Businesses or other
for-profit and not-for-profit
organizations.
Respondent burden: For the purpose
of estimating burden and accounting for
it with OMB, the total number of
depository institutions listed for each
Agency includes the number of entities
regulated by the Agency and half of the
remaining depository institutions and
third-party processors. Each Agency is
also accounting for the burden for half
of the card system operators and money
transmitting business operators to
which the Agencies estimate the final
rule applies.
Board:
Estimated number of recordkeepers:
3,039 depository institutions, 3,170
credit unions, 7 card system operators,
1 Section 802 of the Act requires the Agencies to
prescribe joint regulations requiring each
designated payment system, and all participants in
such systems, to identify and block or otherwise
prevent or prohibit restricted transactions through
the establishment of policies and procedures
reasonably designed to identify and block or
otherwise prevent or prohibit the acceptance of
restricted transactions. 31 U.S.C. 5364(a). Section
802 also requires the Agencies to include in the
joint rule non-exclusive examples of reasonably
designed policies and procedures. 31 U.S.C.
5364(b).
2 12 CFR 233.5 and 233.6; and 31 CFR 132.5 and
132.6.
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Fmt 4703
Sfmt 4703
10 money transmitting business
operators, and 3 new or de novo
institutions.
Estimated average annual burden
hours per recordkeeper: Ongoing annual
burden of 8 hours per recordkeeper for
depository institutions, credit unions,
card system operators, and money
transmitting business operators. Onetime burden of 100 hours for new or de
novo institutions.
Estimated frequency: Annually.
Estimated total annual recordkeeping
burden: Ongoing burden, 49,808 hours
and one-time burden, 300 hours.
Treasury:
Estimated number of recordkeepers:
3,748 depository institutions, 3,170
credit unions, 7 card system operators,
10 money transmitting business
operators, and 3 new or de novo
institutions.
Estimated average annual burden
hours per recordkeeper: Ongoing annual
burden of 8 hours per recordkeeper for
depository institutions, credit unions,
card system operators, and money
transmitting business operators. Onetime burden of 100 hours for new or de
novo institutions.
Estimated frequency: Annually.
Estimated total annual recordkeeping
burden: Ongoing burden, 55,480 hours
and one-time burden, 300 hours.
The Agencies may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
unless the collection of information
displays a valid OMB control number.
By the Board of Governors of the Federal
Reserve System on May 27, 2015.
Robert deV Frierson,
Secretary of the Board.
Dated: May 28, 2015.
By the Department of the Treasury.
Dawn D. Wolfgang,
Treasury PRA Clearance Officer.
[FR Doc. 2015–14104 Filed 6–8–15; 8:45 am]
BILLING CODE 6210–01–P; 4810–25–P
FEDERAL RESERVE SYSTEM
Formations of, Acquisitions by, and
Mergers of Bank Holding Companies
The companies listed in this notice
have applied to the Board for approval,
pursuant to the Bank Holding Company
Act of 1956 (12 U.S.C. 1841 et seq.)
(BHC Act), Regulation Y (12 CFR part
225), and all other applicable statutes
and regulations to become a bank
holding company and/or to acquire the
assets or the ownership of, control of, or
the power to vote shares of a bank or
bank holding company and all of the
banks and nonbanking companies
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Federal Register / Vol. 80, No. 110 / Tuesday, June 9, 2015 / Notices
owned by the bank holding company,
including the companies listed below.
The applications listed below, as well
as other related filings required by the
Board, are available for immediate
inspection at the Federal Reserve Bank
indicated. The applications will also be
available for inspection at the offices of
the Board of Governors. Interested
persons may express their views in
writing on the standards enumerated in
the BHC Act (12 U.S.C. 1842(c)). If the
proposal also involves the acquisition of
a nonbanking company, the review also
includes whether the acquisition of the
nonbanking company complies with the
standards in section 4 of the BHC Act
(12 U.S.C. 1843). Unless otherwise
noted, nonbanking activities will be
conducted throughout the United States.
Unless otherwise noted, comments
regarding each of these applications
must be received at the Reserve Bank
indicated or the offices of the Board of
Governors not later than July 3, 2015.
A. Federal Reserve Bank of Kansas
City (Dennis Denney, Assistant Vice
President) 1 Memorial Drive, Kansas
City, Missouri 64198–0001:
1. National Bank Holdings
Corporation, through its subsidiary,
NBH Colorado Corporation, both in
Greenwood Village, Colorado; to merge
with Pine River Bank Corporation, and
thereby indirectly acquire Pine River
Valley Bank, both in Bayfield, Colorado.
Immediately thereafter, NBH Colorado
Corporation will merge into National
Bank Holdings Corporation. In addition,
NBH Colorado Corporation, Greenwood
Village, Colorado, also has applied to
become a bank holding company.
Board of Governors of the Federal Reserve
System, June 4, 2015.
Margaret McCloskey Shanks,
Deputy Secretary of the Board.
[FR Doc. 2015–14075 Filed 6–8–15; 8:45 am]
BILLING CODE 6210–01–P
GENERAL SERVICES
ADMINISTRATION
[OMB Control No. 3090–0287; Docket 2015–
0001; Sequence 10]
Office of Mission Assurance;
Information Collection; Background
Investigations for Child Care Workers
Office of Mission Assurance,
General Services Administration (GSA).
ACTION: Notice of request for comments
regarding an existing OMB information
collection.
tkelley on DSK3SPTVN1PROD with NOTICES
AGENCY:
Under the provisions of the
Paperwork Reduction Act, the
Regulatory Secretariat Division will be
SUMMARY:
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17:12 Jun 08, 2015
Jkt 235001
submitting to the Office of Management
and Budget (OMB) a request to review
and approve a previously approved
information collection requirement
regarding the collection of personal data
for background investigations for child
care workers accessing GSA owned and
leased controlled facilities.
DATES: Submit comments on or before:
August 10, 2015.
ADDRESSES: Submit comments
identified by Information Collection
3090–0287, Background Investigations
for Child Care Workers by any of the
following methods:
• Regulations.gov: https://
www.regulations.gov. Submit comments
via the Federal eRulemaking portal by
searching the OMB control number.
Select the link ‘‘Submit a Comment’’
that corresponds with ‘‘Information
Collection 3090–0287, Background
Investigations for Child Care Workers’’.
Follow the instructions provided at the
‘‘Submit a Comment’’ screen. Please
include your name, company name (if
any), and ‘‘Information Collection 3090–
0287, Background Investigations for
Child Care Workers’’ on your attached
document.
• Mail: General Services
Administration, Regulatory Secretariat
Division (MVCB), 1800 F Street NW.,
Washington, DC 20405. ATTN: Ms.
Flowers/IC 3090–0287, Background
Investigations for Child Care Workers.
Instructions: Please submit comments
only and cite Information Collection
3090–0287, Background Investigations
for Child Care Workers, in all
correspondence related to this
collection. All comments received will
be posted without change to https://
www.regulations.gov, including any
personal and/or business confidential
information provided.
FOR FURTHER INFORMATION CONTACT: Mr.
Douglas Baker, Chief Security Officer,
Office of Mission Assurance, GSA by
telephone at 202–684–5005 or email at
douglas.baker@gsa.gov.
SUPPLEMENTARY INFORMATION:
A. Purpose
Homeland Security Presidential
Directive (HSPD) 12 ‘‘Policy for a
Common Identification Standard for
Federal Employees and Contractors’’
requires the implementation of a
governmentwide standard for secure
and reliable forms of identification for
Federal employees and contractors.
OMB’s implementing instructions
requires all contract employees
requiring routine access to federally
controlled facilities for greater than six
(6) months to receive a background
investigation. The minimum
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32561
background investigation is the National
Agency Check with Written Inquiries or
NACI and the Office of Personnel
Management offers a childcare NACI
(CNACI).
However, there is no requirement in
the law or HSPD–12 that requires child
care employees to be subject to the
NACI/CNACI since employees of child
care providers are neither government
employees nor government contractors.
The child care providers are required to
complete the criminal history
background checks mandated in the
Crime Control Act of 1990, Public Law
101–647, dated November 29, 1990, as
amended by Public Law 102–190, dated
December 5, 1991. These statutes
require that each employee of a child
care center located in a Federal building
or in leased space must undergo a
background check.
According to GSA policy, child care
workers (as described above) will need
to submit the following:
1. An original signed copy of a Basic
National Agency Check Criminal
History, GSA Form 176; and
2. Two sets of fingerprints on FBI
Fingerprint Cards, for FD–87 and/or
electronic prints from an enrollment
center.
3. Electronically submit the e-qip
(SF85) application for completion of the
CNACI.
This is not a request to collect new
information; this is a request to change
the form that is currently being used to
collect this information. The new GSA
forms will be less of a public burden.
B. Annual Reporting Burden
Respondents: 1,200.
Responses per Respondent: 1.
Hours per Response: 1.
Total Burden Hours: 1,200.
C. Public Comments
Public comments are particularly
invited on: Whether this collection of
information is necessary and whether it
will have practical utility; whether our
estimate of the public burden of this
collection of information is accurate,
and based on valid assumptions and
methodology; ways to enhance the
quality, utility, and clarity of the
information to be collected.
Obtaining Copies of Proposals:
Requesters may obtain a copy of the
information collection documents from
the General Services Administration,
Regulatory Secretariat Division (MVCB),
1800 F Street NW., Washington, DC
20405, telephone 202–501–4755. Please
cite Background Investigations for Child
Care Workers, in all correspondence.
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Agencies
[Federal Register Volume 80, Number 110 (Tuesday, June 9, 2015)]
[Notices]
[Pages 32560-32561]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2015-14075]
-----------------------------------------------------------------------
FEDERAL RESERVE SYSTEM
Formations of, Acquisitions by, and Mergers of Bank Holding
Companies
The companies listed in this notice have applied to the Board for
approval, pursuant to the Bank Holding Company Act of 1956 (12 U.S.C.
1841 et seq.) (BHC Act), Regulation Y (12 CFR part 225), and all other
applicable statutes and regulations to become a bank holding company
and/or to acquire the assets or the ownership of, control of, or the
power to vote shares of a bank or bank holding company and all of the
banks and nonbanking companies
[[Page 32561]]
owned by the bank holding company, including the companies listed
below.
The applications listed below, as well as other related filings
required by the Board, are available for immediate inspection at the
Federal Reserve Bank indicated. The applications will also be available
for inspection at the offices of the Board of Governors. Interested
persons may express their views in writing on the standards enumerated
in the BHC Act (12 U.S.C. 1842(c)). If the proposal also involves the
acquisition of a nonbanking company, the review also includes whether
the acquisition of the nonbanking company complies with the standards
in section 4 of the BHC Act (12 U.S.C. 1843). Unless otherwise noted,
nonbanking activities will be conducted throughout the United States.
Unless otherwise noted, comments regarding each of these
applications must be received at the Reserve Bank indicated or the
offices of the Board of Governors not later than July 3, 2015.
A. Federal Reserve Bank of Kansas City (Dennis Denney, Assistant
Vice President) 1 Memorial Drive, Kansas City, Missouri 64198-0001:
1. National Bank Holdings Corporation, through its subsidiary, NBH
Colorado Corporation, both in Greenwood Village, Colorado; to merge
with Pine River Bank Corporation, and thereby indirectly acquire Pine
River Valley Bank, both in Bayfield, Colorado. Immediately thereafter,
NBH Colorado Corporation will merge into National Bank Holdings
Corporation. In addition, NBH Colorado Corporation, Greenwood Village,
Colorado, also has applied to become a bank holding company.
Board of Governors of the Federal Reserve System, June 4, 2015.
Margaret McCloskey Shanks,
Deputy Secretary of the Board.
[FR Doc. 2015-14075 Filed 6-8-15; 8:45 am]
BILLING CODE 6210-01-P