Adoption of Recommendations, 78161-78166 [2015-31575]
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Notices
Federal Register
Vol. 80, No. 241
Wednesday, December 16, 2015
This section of the FEDERAL REGISTER
contains documents other than rules or
proposed rules that are applicable to the
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ADMINISTRATIVE CONFERENCE OF
THE UNITED STATES
Adoption of Recommendations
Administrative Conference of
the United States.
ACTION: Notice.
AGENCY:
The Administrative
Conference of the United States adopted
three recommendations at its Sixtyfourth Plenary Session. The appended
recommendations address: Technical
Assistance by Federal Agencies in the
Legislative Process; Declaratory Orders;
and Designing Federal Permitting
Programs.
FOR FURTHER INFORMATION CONTACT: For
Recommendation 2015–2, Alissa Ardito;
for Recommendation 2015–3, Amber
Williams; and for Recommendation
2015–4, Connie Vogelmann. For all
three of these actions the address and
telephone number are: Administrative
Conference of the United States, Suite
706 South, 1120 20th Street NW.,
Washington, DC 20036; Telephone 202–
480–2080.
SUPPLEMENTARY INFORMATION: The
Administrative Conference Act, 5 U.S.C.
591–596, established the Administrative
Conference of the United States. The
Conference studies the efficiency,
adequacy, and fairness of the
administrative procedures used by
Federal agencies and makes
recommendations to agencies, the
President, Congress, and the Judicial
Conference of the United States for
procedural improvements (5 U.S.C.
594(1)). For further information about
the Conference and its activities, see
www.acus.gov. At its Sixty-fourth
Plenary Session, held December 4, 2015,
the Assembly of the Conference adopted
three recommendations.
Recommendation 2015–2, Technical
Assistance by Federal Agencies in the
Legislative Process. This
recommendation offers best practices for
agencies when providing Congress with
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SUMMARY:
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technical drafting assistance. It is
intended to apply to situations in which
Congress originates the draft legislation
and asks an agency to review and
provide expert technical feedback on
the draft without necessarily taking an
official substantive position. The
recommendation urges agencies and
Congress to engage proactively in
mutually beneficial outreach and
education. It highlights the practice of
providing congressional requesters with
redline drafts showing how proposed
bills would affect existing law; suggests
that agencies consider ways to involve
appropriate agency experts in the
process; and urges agencies to maintain
a strong working relationship between
legislative affairs and legislative counsel
offices.
Recommendation 2015–3, Declaratory
Orders. This recommendation identifies
contexts in which agencies should
consider the use of declaratory orders in
administrative adjudications. It also
highlights best practices relating to the
use of declaratory orders, including
explaining the agency’s procedures for
issuing declaratory orders, ensuring
adequate opportunities for public
participation in the proceedings,
responding to petitions for declaratory
orders in a timely manner, and making
declaratory orders and other
dispositions of petitions readily
available to the public.
Recommendation 2015–4, Designing
Federal Permitting Programs. This
recommendation describes different
types of permitting systems and
provides factors for agencies to consider
when designing or reviewing permitting
programs. The recommendation
discusses both ‘‘general’’ permits (which
are granted so long as certain
requirements are met) and ‘‘specific’’
permits (which involve fact-intensive,
case-by-case determinations), as well as
intermediate or hybrid permitting
programs. It encourages agencies that
adopt permitting systems to design them
so as to minimize burdens on the agency
and regulated entities while maintaining
required regulatory protections.
The Appendix below sets forth the
full texts of these three
recommendations. The Conference will
transmit them to affected agencies,
Congress, and the Judicial Conference of
the United States. The
recommendations are not binding, so
the entities to which they are addressed
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will make decisions on their
implementation.
The Conference based these
recommendations on research reports
that are posted at: https://www.acus.gov/
64th. A video of the Plenary Session is
available at: new.livestream.com/ACUS/
64thPlenarySession, and a transcript of
the Plenary Session will be posted when
it is available.
Dated: December 10, 2015.
Shawne C. McGibbon,
General Counsel.
APPENDIX—RECOMMENDATIONS OF
THE ADMINISTRATIVE CONFERENCE
OF THE UNITED STATES
Administrative Conference Recommendation
2015–2 Technical Assistance by Federal
Agencies in the Legislative Process
Adopted December 4, 2015
Federal agencies play a significant role in
the legislative process.1 While agencies can
be the primary drafters of the statutes they
administer, it is more common for agencies
to respond to Congressional requests to
provide technical assistance in statutory
drafting. Despite the extent of agency
involvement in drafting legislation, the
precise nature of the interactions between
agencies and Congress in the drafting process
remains obscure.
Generally speaking, federal agencies
engage in two kinds of legislative drafting
activities: substantive and technical.
Legislative activities considered
‘‘substantive’’ are subject to the Office of
Management and Budget (OMB) coordination
and preclearance process governed by OMB
Circular A–19, which does not explicitly
define substantive legislative activities or
technical legislative assistance.2 Substantive
legislative activities include the submission
of agencies’ annual legislative programs,
proposed legislation such as draft bills and
supporting documents an agency may
present to Congress, any endorsement of
federal legislation, and the submission of
agency views on pending bills before
Congress as well as official agency testimony
before a Congressional committee.3
Agencies also provide Congress with
technical drafting assistance. Rather than
originating with the agency or the
Administration, in the case of technical
assistance, Congress originates the draft
1 See Christopher J. Walker, Federal Agencies in
the Legislative Process: Technical Assistance in
Statutory Drafting 1–4 (November 2015), available
at https://www.acus.gov/report/technicalassistance-draft-report [hereinafter Walker Report].
2 Office of Management and Budget, Circular A–
19 (revised Sept. 20, 1979), https://
www.whitehouse.gov/omb/circulars_a019/
[hereinafter OMB Circular A–19].
3 Id. sections (6)(a) and (7)(a).
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legislation and asks an agency to review and
provide feedback on the draft. Circular A–19
advises agencies to keep OMB informed of
their activities and to clarify that agency
feedback does not reflect the views or
policies of the agency or Administration.4 No
other standard procedures or requirements
apply when agencies respond to
Congressional requests—from committee
staff, staff of individual Members of
Congress, or Members themselves—for
technical assistance. In consequence, agency
procedures and practices appear
multifarious.
Congress frequently requests technical
assistance from agencies on proposed
legislation. Congressional requests for
technical assistance in statutory drafting can
range from review of draft legislation to
requests for the agency to draft legislation
based on specifications provided by the
Congressional requester. Despite the fact that
technical assistance does not require OMB
preclearance, there is some consistency in
the assistance process across agencies.
Agencies often provide technical drafting
assistance on legislation that directly affects
those agencies and respond to Congressional
requests regardless of factors such as the
likelihood of the legislation being enacted, its
effect on the agency, or the party affiliation
of the requesting Member. Agency actors
involved in the process include the agency’s
legislative affairs office, program and policy
experts, and legislative counsel.5 In some
agencies, regulatory counsel also participate
routinely. Moreover, agency responses range
from oral discussions of general feedback to
written memoranda to suggested legislative
language or redlined suggestions on the draft
legislation.
A well-run program to provide Congress
with technical assistance on draft legislation
yields important benefits to the agency.
Responding to such Congressional requests
assists the agency in maintaining a healthy
and productive relationship with Congress,
ensures the proposed legislation is consonant
with the existing statutory and regulatory
scheme, helps educate Congressional staff
about the agency’s statutory and regulatory
framework, and keeps the agency informed of
potential legislative action that could affect
the agency.
Although agencies, as a rule, strive to
respond to all requests, they continue to face
challenges in providing technical assistance.
Congressional staff may be unfamiliar with
an agency’s enabling legislation and
governing statutes. Technical assistance
provided informally does not always involve
the offices of legislative counsel or legislative
affairs, although both offices should be kept
informed and involved. The distinction
between substantive and technical drafting
assistance is not always self-evident, and
Congressional requesters of technical drafting
4 Id. section 7(i). Independent agencies routinely
provide technical assistance, outside of the OMB
Circular A–19 process, in line with their enabling
statutes.
5 While this recommendation uses the term
‘‘legislative affairs office,’’ some agencies may have
different offices or individuals responsible for
legislative affairs, and this recommendation
encompasses such arrangements.
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assistance often are actually seeking
substantive feedback from the agency experts
on the proposed legislation. The provision of
technical assistance on appropriations
legislation presents unique demands on both
agency legislative counsel and budget offices.
Various agencies have developed distinct
practices and procedures to address the
provision of technical assistance that the
Conference believes should be considered
best practices. For example, many agencies
have established internal guidelines
governing the agency procedures for
providing technical assistance.
Memorializing agency procedures ensures
that the provision of technical assistance is
consistent throughout the agency. By stating
in written guidance that legislative counsel
and legislative affairs offices must be
involved, for instance, agencies can help
diminish the prospect of substantive
assistance being provided under the guise of
technical assistance. Although agencies
should have flexibility to adopt procedures
that are tailored to their agency-specific
structures, norms, and internal processes,
memorializing their legislative drafting
processes, as the Departments of Homeland
Security, Interior, and Labor have done, can
ensure that all agency officials involved
understand the processes and can help
educate personnel new to the agency.
Some agencies, the Department of Housing
and Urban Development among them, utilize
a practice of providing Congressional
requesters with a Ramseyer/Cordon draft as
part of the technical assistance response. A
Ramseyer/Cordon draft is a redline of the
existing law that shows how the proposed
legislation would affect current law by
underscoring proposed additions to existing
law and bracketing the text of proposed
deletions. Providing such drafts, when
feasible, helps Congressional staffers
unfamiliar with the agency’s governing
statutes to better comprehend the
ramifications of the contemplated legislation.
Maintaining separate roles for legislative
affairs and legislative counsel offices also has
proven beneficial. Legislative affairs staff
engage Congress directly and must often
make politically sensitive decisions when
communicating with Congress. By contrast,
legislative counsel offices, by providing
expert drafting assistance regardless of the
Administration’s official policy stance on the
legislation, maintain the non-partisan status
of the agency in the legislative process. These
offices play important yet distinct roles in an
agency’s legislative activities that help
maintain a healthy working relationship with
Congress and enhance the recognition of the
agency’s expertise in legislative drafting and
in the relevant subject matter. This division,
especially when both offices communicate
regularly, can help agencies monitor the line
between legislative assistance that is purely
technical and assistance that merges into an
agency’s official views on pending
legislation.
Appropriations legislation presents
agencies with potential coordination
problems as substantive provisions or
‘‘riders’’ may require technical drafting
assistance, but agency processes for
reviewing appropriations legislation are
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channeled through agency budget or finance
offices. It is crucial for the budget office to
communicate with an agency’s legislative
counsel office to anticipate and later address
requests for technical assistance related to
appropriations bills. Agencies have taken a
variety of approaches to address this issue,
ranging from tasking a staffer in an agency
legislative counsel office with tracking
appropriations bills; to holding weekly
meetings with budget, legislative affairs, and
legislative counsel staff; to emphasizing less
informally that the offices establish a strong
working relationship.
Educational outreach on the part of both
agencies and Congress, by further developing
expertise on both sides and by cultivating
professional working relationships, has the
potential to enhance the provision of
technical assistance over time. In-person
educational efforts may include briefings of
Members and their staff on an agency’s
statutory and regulatory scheme as well as its
programs and initiatives, face-to-face
meetings with legislative counsel and
Congressional staff, and training in statutory
drafting for both Congressional staff and
agency legislative counsel attorneys.
The following recommendations derive
from the best practices that certain agencies
have developed to navigate these challenges
and focus on both external practices that may
strengthen agencies’ relationship with
Congress in the legislative process and
internal agency practices to improve the
technical drafting assistance process and
external practices that may strengthen
agencies’ relationship with Congress in the
legislative process.
Recommendation
Congress–Agency Relationship in the
Legislative Process
1. Congressional committees and
individual Members should aim to reach out
to agencies for technical assistance early in
the legislative drafting process.
2. Federal agencies should endeavor to
provide Congress with technical drafting
assistance when asked. A specific
Administration directive or policy may make
the provision of technical assistance
inappropriate in some instances. Agencies
should recognize that they need not expend
the same amount of time and resources on
each request.
3. To improve the quality of proposed
legislation and strengthen their relations with
Congress, agencies should be actively
engaged in educational efforts, including inperson briefings and interactions, to educate
Congressional staff about the agencies’
respective statutory and regulatory
frameworks and agency technical drafting
expertise.
Agency Technical Drafting Assistance
4. To improve intra-agency coordination
and processing of Congressional requests for
drafting assistance, agencies should consider
memorializing their agency-specific
procedures for responding to technical
assistance requests. These procedures should
provide that requests for technical assistance
be referred to the agency’s office with
responsibility for legislative affairs.
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5. Similarly, agencies should consider
ways to better identify and involve the
appropriate agency experts—in particular,
the relevant agency policy and program
personnel in addition to the legislative
drafting experts—in the technical drafting
assistance process. These efforts may involve,
for example, establishing an internal agency
distribution list for technical drafting
assistance requests and maintaining an
internal list of appropriate agency policy and
program contacts.
6. When feasible and appropriate, agencies
should provide the Congressional requester
with a redline draft showing how the bill
would modify existing law (known as a
Ramseyer/Cordon draft) as part of the
technical assistance response.
7. Agencies should maintain the distinct
roles of, and strong working relationships
among, their legislative affairs personnel,
policy and program experts, and legislative
counsel.
8. Agencies also should strive to ensure
that the budget office and legislative counsel
communicate so that legislative counsel will
be able to provide appropriate advice on
technical drafting of substantive provisions
in appropriations legislation.
Administrative Conference Recommendation
2015–3
Declaratory Orders
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Adopted December 4, 2015
Providing clarity and certainty is an
enduring challenge of administrative
governance, particularly in the regulatory
context. Sometimes statutes and regulations
fail to provide sufficient clarity with regard
to their applicability to a particular project or
transaction. In such instances, businesses
and individuals may be unable or unwilling
to act, and the consequences for the
economy, society, and technological progress
can be significant and harmful. The
predominant way agencies address this
problem is by providing guidance to
regulated parties.1 Although the many forms
of agency guidance—such as interpretive
rules and policy statements—do much to
dispel regulatory uncertainty, they cannot
eliminate it entirely. This is because they are
generally informal and not legally binding on
1 The Administrative Conference has adopted a
number of recommendations on agency guidance.
See Recommendation 2014–3, Guidance in the
Rulemaking Process, 79 FR 35992 (June 25, 2014),
available at https://www.acus.gov/
recommendation/guidance-rulemaking-process;
Recommendation 92–2, Agency Policy Statements,
57 FR 30103 (July 8, 1992), available at https://
www.acus.gov/recommendation/agency-policystatements; Recommendation 76–5, Interpretive
Rules of General Applicability and Statements of
General Policy, 41 FR 56769 (Dec. 30, 1976),
available at https://www.acus.gov/
recommendation/interpretive-rules-generalapplicability-and-statements-general-policy;
Recommendation 75–9, Internal Revenue Service
Procedures: Taxpayer Services and Complaints, 41
FR 3986 (Jan. 27, 1976), available at https://
www.acus.gov/recommendation/ internal-revenueservice-procedures-taxpayer-services-andcomplaints; Recommendation 71–3, Articulation of
Agency Policies, 38 FR 19788 (July 23, 1973),
available at https://www.acus.gov/
recommendation/articulation-agency-policies.
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the agency that issues them. Regulated
parties may usually be able to rely upon
them, but if an agency changes its position
after a transaction is completed, the
consequences for the affected party can be
severe. As the potential costs of misplaced
reliance rise, even a small chance that an
agency will not adhere to a position offered
in guidance can become intolerable.
When it enacted the Administrative
Procedure Act (APA) in 1946, Congress
included a provision designed to address this
difficult problem. In 5 U.S.C. 554(e), it
provided that an ‘‘agency, with like effect as
in the case of other orders, and in its sound
discretion, may issue a declaratory order to
terminate a controversy or remove
uncertainty.’’ 2 The declaratory order is a
type of adjudication that serves an important
advice-giving function. It may be issued in
response to a petition filed with the agency 3
(as is usually the case) or on the agency’s
own motion. It is well tailored to provide a
level of certainty that may not be achievable
using more informal kinds of guidance. This
is because it is non-coercive and yet legally
binds the agency and the named party, but
only on the facts assumed in the order. The
agency remains free to change its position
with adequate explanation in a subsequent
proceeding. It is a device that affords
substantial administrative discretion—the
agency may decline a request to institute a
declaratory proceeding or to issue a
declaratory order. An agency’s decision, be it
a denial of a petition or the issuance of a
declaratory order, is judicially reviewable.
But the scope of review is limited, and the
position an agency takes in a declaratory
order is typically afforded deference,4 both
on judicial review and when relevant to
matters at issue in subsequent or parallel
litigation.
An agency may properly use a declaratory
order for a wide variety of purposes,
including to: (1) Interpret the agency’s
governing statute or own regulations; (2)
define terms of art; (3) clarify whether a
matter falls within federal regulatory
authority; or (4) address questions of
preemption.5 One occasion for doing so is in
2 5 U.S.C. 554(e) (2012); see generally
Administrative Procedure in Government Agencies,
Final Report of the Attorney General’s Committee
on Administrative Procedure, S. Doc. No. 77–8, at
30–34 (1941) (urging Congress to include the
declaratory order provision in the APA).
3 An agency so authorized may assess a filing fee
to help defray the cost of issuing declaratory orders
in response to petitions.
4 The level of deference may depend on the
formality of the procedure used, see United States
v. Mead Corp., 553 U.S. 218 (2001), though
‘‘[c]ourts have afforded Chevron deference to
declaratory orders issued through both formal and
informal adjudication.’’ Emily S. Bremer,
Declaratory Orders 25 (Oct. 30, 2015) available at
https://www.acus.gov/report/declaratory-ordersfinal-report [hereinafter Bremer] (citing City of
Arlington v. FCC, 133 S. Ct. 1863 (2013) (giving
Chevron deference to a declaratory ruling issued by
the FCC through informal adjudication)).
5 See generally Ill. Terminal R.R. v. ICC, 671 F.2d
1214 (8th Cir. 1992); N.Y. State Comm’n on Cable
Television v. FCC, 669 F.2d 58 (2d Cir. 1982); N.C.
Utils. Comm’n, 537 F.2d 787 (4th Cir. 1976);
Ashland Oil & Ref. Co. v. FPC, 421 F.2d 17 (6th Cir.
1970).
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response to a court’s request for a ruling
when the court has found that the agency has
primary jurisdiction over a matter being
litigated. By presenting the agency’s views
through a document of easily ascertainable
legal effect, declaratory orders may reduce or
eliminate litigation.6 By using declaratory
orders to address narrow questions raised by
specific and uncontested facts, an agency can
precisely define the legal issues it addresses
and reserve related issues for future
resolution, thereby facilitating an
incremental approach to the provision of
guidance. The resulting body of agency
precedent will not only be useful to regulated
and other interested parties, but may also
prove invaluable to the agency when it later
decides to conduct a rulemaking or other
proceeding for formulating policy on a
broader scale. Other uses may be possible as
well. For example, an agency that conducts
mass adjudication could use the declaratory
order to promote uniformity by choosing to
give practical and detailed guidance while
also making decisional law binding on the
parties to the proceeding regarding the
proper application of the law to commonly
encountered factual circumstances.
There are several benefits to an agency
when it uses declaratory orders. First,
declaratory orders promote voluntary
compliance, which saves agency resources
that would otherwise be spent on
enforcement. Second, declaratory orders
promote uniformity and fairness in treatment
among the agency’s regulated parties. Third,
declaratory orders facilitate communication
between the agency and its regulated parties,
which can help highlight issues before they
become problems. Finally, declaratory orders
help the agency stay current by allowing
regulated parties to communicate how they
are doing business so that agency officials
can understand and address emerging issues.
Despite the apparent usefulness of the
declaratory order as a tool of administrative
governance, agencies have demonstrated a
persistent reluctance to use it. Several
developments may encourage agencies to
overcome this traditional reluctance to use
declaratory orders. First, it is now reasonably
clear that agencies may issue declaratory
orders in informal adjudication.7 This
development expands the availability of the
device and also reduces the cost and
procedural burden of using declaratory
orders.8 Second, courts today are often
6 Cf. Mitchell Rogovin & Donald L. Korb, The
Four R’s Revisited: Regulations, Rulings, Reliance,
and Retroativity in the 21st Century: A View from
Within, 46 Duq. L. Rev. 323,331 (2008).
7 See Am. Airlines, Inc. v. DOT, 202 F.3d 788,
796–97 (5th Cir. 2000); Wilson v. A.H. Belo Corp.,
87 F.3d 393, 397 (9th Cir. 1996); Texas v. United
States, 866 F.2d 1546, 1555–56 (5th Cir. 1989);
Bremer, supra note 4 at 12–13, 32–33, 36–37. For
example, courts have affirmed the sufficiency of
basic notice-and-comment procedures when
agencies issue a declaratory order in informal
adjudication. See City of Arlington v. FCC, 668 F.3d
229, 243–45 (5th Cir. 2012), aff’d 133 S. Ct. 1863
(2013).
8 Even if the matter is one subject by statute to
formal adjudication under the APA, an agency may
be able to streamline the process of issuing a
declaratory order. Cf. Administrative Conference of
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willing to review guidance documents and to
question an agency’s characterization of its
action as non-binding. Agencies may be able
to enhance their chances of prevailing in
court by using declaratory orders—a binding,
but targeted form of instruction—in lieu of
non-binding, legislative guidance. Agencies
may also be able to use declaratory orders to
provide requisite notice to regulated parties
of the agency’s intention to enforce in the
future a rule or principle that has previously
been communicated only via non-binding
guidance. Finally, new programs and new
challenges facing old programs may create
opportunities to beneficially expand the use
of declaratory orders.
The Administrative Conference recognizes
the declaratory order as a useful device to be
used in appropriate circumstances. To that
end, this recommendation provides guidance
and best practices to agencies as they
consider implementing or improving their
use of declaratory orders.
Recommendation
1. Agencies should consider issuing
declaratory orders as authorized by 5 U.S.C.
554(e), either sua sponte or by petition. A
declaratory order can provide a legally
binding decision to the parties to the
proceeding, without imposing a penalty,
sanction, or other liability, in order to
terminate an actual or emerging controversy
or to remove uncertainty in the application
of existing legal requirements. With respect
to entities other than the parties to the
proceeding, it can provide non-binding
guidance.
2. Any filing fees for issuing declaratory
orders should be reasonable within the fee
structure of the agency and contain
appropriate exemptions and waivers.
Potential Uses of Declaratory Orders
3. An agency should consider issuing
declaratory orders in several ways, including,
but not limited, to:
(a) Communicating the agency’s considered
views regarding the meaning of its governing
statute, regulations, or other legal documents
(such as permits, licenses, certificates, or
other authorizations the agency has issued);
(b) Explaining how existing legal
requirements apply to proposed or
contemplated transactions or other activities;
(c) Defining terms of art that are used
within the agency’s regulatory scheme;
(d) Clarifying whether a matter falls within
the agency’s regulatory authority;
(e) Clarifying a division of jurisdiction
between or among federal agencies that
operate in a shared regulatory space; and
(f) Addressing questions of preemption.
4. Agencies should look for opportunities
to experiment with innovative uses of
declaratory orders to improve regulatory
programs.
procedures explaining how the agency
initiates, conducts, and terminates
declaratory proceedings. An agency should
also communicate in a written and publicly
available way its preferred uses of
declaratory orders.
6. When designing the procedures for its
declaratory proceedings, an agency should
begin by determining whether or not the
matter is one that must be adjudicated
according to the formal adjudication
provisions of the APA. If the matter is not
required by statute to be conducted under the
APA’s formal adjudication provisions, an
agency has substantial procedural discretion,
but at a minimum should provide a basic
form of notice and opportunity for comment,
although it need not be equivalent to the
notice-and-comment process used in
rulemaking.
7. Agency procedures should provide
guidance regarding the information that
petitioners should include in a petition for
declaratory order.
Giving Notice and Collecting Information
8. Each agency should provide a way for
petitioners and other interested parties to
learn when the agency has received a petition
for declaratory order or intends to issue a
declaratory order on its own motion. The
agency should tailor this communication
according to the nature of the proceeding and
the needs of potential commenters.
9. Each agency should provide a way for
interested parties to participate in declaratory
order proceedings.
(a) If the matter is one of broad interest or
general policy, the agency should allow
broad public participation.
(b) If the declaratory proceeding involves a
narrow question of how existing regulations
would apply to an individual party’s
proposed actions, the agency may choose to
manage the submission of comments via an
intervention process.
Timeliness and Availability of Declaratory
Orders
10. Agencies that receive a petition for
declaratory order should respond to that
petition within a reasonable period of time.
If an agency declines to act on the petition,
it should give prompt notice of its decision,
accompanied by a brief explanation of its
reasons.
11. Agencies should make their declaratory
orders and other dispositions on petitions
available to the public in a centralized and
easy-to-find location on their Web sites.
Administrative Conference Recommendation
2015–4
Designing Federal Permitting Programs
Determining Minimal Procedural
Requirements for Declaratory Orders
5. Each agency that uses declaratory orders
should have written and publicly available
Adopted December 4, 2015
Regulatory permits are ubiquitous in
modern society, and each year dozens of
federal agencies administering their
regulatory permit authority issue tens of
thousands of permits covering a broad and
diverse range of actions.1 The APA includes
the United States, Recommendation 70–3, Summary
Decision in Agency Adjudication, 38 FR 19785 (July
23, 1973). See generally Weinberger v. Hynson,
Westcott & Dunning, 412 U.S. 625 (1973).
1 Eric Biber & J.B. Ruhl, Designing Regulatory
Permits 2 (2015), https://www.acus.gov/report/
licensing-and-permitting-final-report. For a more
complete discussion of different types of permits
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the term ‘‘permit’’ in its definition of
‘‘license.’’ In addition to agency permits, the
APA defines licenses to include ‘‘the whole
or part of an agency . . . certificate, approval,
registration, charter, membership, statutory
exemption or other form of permission.’’ 2
Otherwise, the APA provides little
elaboration on the definition of a permit.3 For
purposes of this recommendation, a
regulatory permit is defined as any
administrative agency’s statutorily
authorized, discretionary, judicially
reviewable granting of permission to do
something that would otherwise be
statutorily prohibited. This recommendation
treats any agency action that meets this
definition as a permit, regardless of how it is
styled by the agency (e.g., ‘‘license,’’
‘‘conditional exemption’’).
Permits exist on a continuum of agency
regulation, falling between exemptions (in
which an activity is not regulated at all) and
prohibitions. Broadly speaking, there are two
contrasting approaches to permitting.4 In
specific permitting, upon receiving an
application, an agency engages in extensive
fact gathering and deliberation particular to
the individual circumstances of the
applicant’s proposed action, after which the
agency issues a detailed permit tailored to
the applicant’s situation. In their strictest
form, specific permits can demand so much
of the permit applicant in terms of cost,
information, and time that they closely
resemble prohibitions. However, some
specific permits can be lenient, with
relatively few conditions placed on regulated
entities.
In general permitting, an agency issues a
permit that defines and approves a category
of activity on its own initiative, and allows
entities engaging in that activity to readily
take advantage of the permit. Agency review
of specific facts in any particular case is
generally limited unless the agency finds
good cause to condition or withdraw the
general approval. In their most flexible form,
general permits can resemble exemptions in
form and effect, with few requirements on
regulated entities and relatively little agency
oversight. On the other hand, general permits
may place requirements on regulated entities
that aid agency oversight and enforcement.
Some permits toward the more general end
of the spectrum require the regulated entity
to provide notice to the regulator and others
do not.
Between general and specific permits lie
many possible intermediate forms of
permitting that can exhibit traits of both
general and specific permitting.5 These
and permitting systems, see Eric Biber & J.B. Ruhl,
The Permit Power Revisited: The Theory and
Practice of Regulatory Permits in the Administrative
State, 64 Duke L.J. 133 (2014).
2 5 U.S.C. 551(8).
3 See Biber & Ruhl, supra note 1, at 3–4
(discussing lack of APA definition).
4 Id. at 2–6.
5 Id. at 8–10 (discussing possible hybrid
permitting and providing an example). For instance,
some of the nationwide permits utilized by the
Army Corps of Engineers to regulate the fill of
wetlands pursuant to Section 404 of the Clean
Water Act require permittees to provide notice to
the agency before proceeding with development
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permits, referred to in this recommendation
interchangeably as ‘‘intermediate’’ or
‘‘hybrid’’ permits, may call for intermediate
levels of agency review or intermediate
requirements to be met by regulated parties,
or may contain a mix of features from both
general and specific permitting. Intermediate
permits provide agencies with significant
flexibility, allowing them to tailor permitting
to the regulated activity.
This recommendation focuses on the
distinction between general and specific
permits, and considers intermediate permits
as well. It does not specify situations in
which exemptions are appropriate or
evaluate the extent to which general permits
may be preferable to exemptions. Marketable
permits, in which permits are bought and
traded by regulated entities, may also prove
beneficial to agencies, the regulated
community, and the public in many
circumstances.6
General and specific permitting differ in
both the system used to issue the permit and
in the way permits are issued under the
system.7 In specific permitting, the agency
issues a rule outlining the process and
standards for obtaining permits, after which
regulated entities apply for permits and the
agency reviews the submissions, often with
public input and judicial review. In general
permitting, the agency often promulgates a
rule outlining the precise conditions under
which regulated entities may take advantage
of the permit. This approach imposes
significant burdens on the agency upfront;
however, once in place, the process of
permitting is relatively streamlined and
sometimes provides fewer opportunities for
public input and judicial review. Although
some agencies have traditionally relied
primarily on specific permits, general
permits may offer agencies advantages in
efficiency or resource use.
Most statutes delegate considerable
discretion to agencies to decide at what point
on the spectrum from general to specific to
implement a permitting system.8 Whether an
agency adopts a general or specific
permitting system, or an intermediate system,
can have significant impacts on the agency,
the regulated entities, and third parties
activities. The notice may require substantial
amounts of information (including detailed
mitigation plans), and the permittee may not be able
to proceed with development until directly
authorized by the agency. These nationwide
permits have elements of both a general permit
(they apply to a category of activities, do not require
the full range of applicant information that
individual permits under Section 404, require and
do not require the agency to do the full amount of
environmental review associated with individual
permits) and a specific permit (they still require
substantial information to be submitted by the
applicant and may require prior approval by the
agency before permitted activities can be initiated).
6 Permit marketability lies outside the continuum
of general permits to specific permits.
7 Id. at 6–7.
8 For example, the Migratory Bird Treaty Act
provides almost no guidance as to the use of general
versus specific permits. See 16 U.S.C. 703 and 704.
Section 404 of the Clean Water Act lays out specific
factors that must be met in order to use general
permits. See 33 U.S.C. 1344(e)(1) and (2). Both of
these programs are described in case studies
accompanying the report.
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affected by the permitting action. If Congress
decides to specify which type of permitting
system an agency should adopt, Congress
may want to consider the guidance provided
in this recommendation.
In recent years, there has been increasing
public concern over the extent to which
inefficiencies in the permitting process delay
necessary infrastructure reform.9 As an initial
step, in 2012, Executive Order 13604
established a steering committee to ‘‘facilitate
improvements in Federal permitting and
review processes for infrastructure
projects.’’ 10 The order also established an
online permit-tracking tool, the Federal
Infrastructure Projects Dashboard. The
Steering Committee and Dashboard serve to
enhance interagency coordination and
provide permit tracking to improve agency
timeliness.11 Congress has also been
considering modifying the permitting process
in various ways.12 In seeking to reform
existing permitting systems or establish a
new permitting system, Congress and
agencies should also be aware of the
comparative advantages of general and
specific permits and design or modify such
systems accordingly.
Although each permitting system is
different, and an agency must tailor its
procedures to meet both its statutory
mandate and the needs of the particular
program at issue, agencies face a number of
common considerations when designing or
reviewing a permitting system. There are
many circumstances in which general
permits may save agencies time or resources
over specific permits without compromising
the goals and standards of the regulatory
program, and this recommendation provides
guidance on when an agency might benefit
most from using a general permitting system.
This recommendation identifies a number of
elements that should be considered in
determining whether an agency should adopt
a general permitting system, a specific
permitting system, or an intermediate or
hybrid system somewhere between the two.
Recommendation
Congressional Delegation of Permitting
Power
1. When Congress delegates permitting
power to an agency, it should consider
9 See, e.g., Philip K. Howard, Common Good, Two
Years Not Ten Years: Redesigning Infrastructure
Approvals (2015), https://commongood.3cdn.net/
c613b4cfda258a5fcb_e8m6b5t3x.pdf.
10 Performance of Federal Permitting and Review
of Infrastructure Projects, 77 FR 18885, 18888 (Mar.
28, 2012) (to be codified at 3 CFR part 100).
11 Id. at 18,887–8. The reforms promoted by E.O.
13604 are largely in accord with the Administrative
Conference’s Recommendation 1984–1, Public
Regulation of Siting of Industrial Development
Projects, 49 FR 29938 (July 25, 1984). Specifically,
Recommendation 1984–1 encouraged interagency
coordination of permitting, the establishment of
permitting deadlines, and timely processing of
permit applications.
12 See, e.g., H.R. 348, 114th Cong. (2015); H.R.
351, 114th Cong. (2015); H.R. 89, 114th Cong.
(2015); S. 33, 114th Cong. (2015); H.R. 161, 114th
Cong. (2015). These bills are cited merely as
indications of Congressional interest in the
permitting process, and the Conference has not
reviewed and does not endorse any of their
provisions.
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78165
whether to specify which type(s) of
permitting system(s) on the spectrum from
general to specific permitting systems an
agency may adopt.
2. If Congress decides to limit an agency’s
permitting power to a certain type of permit,
it should consider the factors discussed in
recommendations 3–4 when determining the
preferred type of permitting system to
mandate. If Congress decides to give agencies
discretion on which system to adopt,
Congress should consider requiring that
agencies make specific findings about the
factors discussed in recommendations 3–4 in
order to ensure agencies use general or
specific permitting authority appropriately.
Agency Establishment of Permitting Systems
3. When an agency designs a permitting
system, the agency should be cognizant of the
resources, both present and future, that are
required to develop and operate the system.
In particular, the agency should consider that
a general permitting system may require
significant resources during the design phase
(especially if system design triggers
additional procedural or environmental
review requirements), but relatively fewer
resources once the system is in place. A
specific permitting system may require fewer
resources upfront but significant resources in
its application. The agency should balance
resource constraints with competing
priorities and opportunity costs.
4. An agency should consider the following
additional factors when deciding what type
of permitting system, if any, to adopt.
(a) The following conditions weigh in favor
of designing a permitting system toward the
general end of the spectrum:
i. The effects of the regulated activity are
small in magnitude, both in individual
instances and from the cumulative impact of
the activity;
ii. The variability of effects expected across
instances of the regulated activity is low;
iii. The agency is able to expend the
upfront resources to design a general
permitting system and can subsequently
benefit from the reduced administration costs
a general permitting system requires to
enforce;
iv. The agency wishes to encourage the
regulated activity or desires to keep barriers
to entry low;
v. The agency does not need to collect
detailed information about the regulated
activity or regulated parties;
vi. The agency does not need to tailor
permits to context-specific instances of the
activity;
vii. The agency does not need to monitor
the regulated activity closely and does not
believe that the information that might be
provided by specific permits is needed to
facilitate enforcement; or
viii. The agency does not need to exercise
significant enforcement discretion to readily
enforce the permitting system.
(b) The following conditions weigh in favor
of designing a permitting system toward the
specific end of the spectrum:
i. The effects of the regulated activity are
large in magnitude, either in individual
instances or from the cumulative impact of
the activity;
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Federal Register / Vol. 80, No. 241 / Wednesday, December 16, 2015 / Notices
ii. The variability of effects expected across
instances of the regulated activity is high;
iii. The agency is unable to expend the
upfront resources necessary to design a
general permitting system or the agency can
absorb the higher administration costs
necessary to enforce a specific permitting
system;
iv. The agency believes that specific
controls on particular regulated activities are
desirable to reduce, control, or mitigate the
negative effects of the regulated activity, or
is less concerned about relatively high
barriers to entry;
v. The agency needs detailed information
about the regulated activity or regulated
parties;
vi. The agency needs to tailor permits to
context-specific instances of the activity;
vii. The agency needs to monitor the
regulated activity closely, and concludes the
information provided in specific permits will
facilitate enforcement; or
viii. The agency needs to have discretion
in enforcing the permitting system against
individual entities.
(c) An agency should weigh all the factors
and consider implementing a hybrid
permitting system that has features of both
general and specific permits if the factors
described above do not weigh strongly in
favor of either general or specific permits or
cut against each other.
Agency Review of Existing Permitting
Structures
5. Subject to budgetary constraints and
other priorities, agencies are encouraged to
conduct periodic reviews of their existing
permitting structures, consistent with the
Administrative Conference’s
Recommendation 2014–5, Retrospective
Review of Agency Rules.
6. In reviewing existing permitting
structures, agencies should consider the
factors in recommendations 3–4 and, where
appropriate and consistent with statutory
mandates, consider reforming existing
permitting systems to align more closely with
the goals the agency seeks to accomplish.
7. Subject to budgetary and legal
constraints, including the Paperwork
Reduction Act and other statutory
restrictions on data collection and
dissemination, agencies should consider
incorporating data-collection into new and
existing permitting systems to aid analysis
and review.
[FR Doc. 2015–31575 Filed 12–15–15; 8:45 am]
BILLING CODE 6110–01–P
DEPARTMENT OF AGRICULTURE
tkelley on DSK9F6TC42PROD with NOTICES
Food Safety and Inspection Service
[Docket No. FSIS–2014–0034]
Availability of FSIS Compliance
Guideline for Controlling Salmonella
and Campylobacter in Raw Poultry
Food Safety and Inspection
Service, USDA.
AGENCY:
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Notice of availability and
opportunity for comment.
ACTION:
The Food Safety and
Inspection Service (FSIS) is announcing
the availability of and requesting
comment on the revised guideline to
assist poultry establishments in
controlling Salmonella and
Campylobacter in raw poultry. The
Agency has revised its guideline to
provide updated information for
establishments to use to control
pathogens in raw poultry products with
the goal of reducing human illnesses
associated with consuming poultry
contaminated with Salmonella and
Campylobacter. The guideline
represents the best practice
recommendations of FSIS based on
scientific and practical considerations.
This document does not represent
regulatory requirements. By following
this guideline, poultry establishments
should be able to produce raw poultry
products that have less contamination
with pathogens, including Salmonella
and Campylobacter, than would
otherwise be the case.
DATES: Submit comments on or before
February 16, 2016.
ADDRESSES: A downloadable version of
the compliance guideline is available to
view and print at https://
www.fsis.usda.gov/Regulations_&_
Policies/Compliance_Guides_Index/
index.asp. No hard copies of the
compliance guideline have been
published.
FSIS invites interested persons to
submit comments on this notice.
Comments may be submitted by one of
the following methods:
Federal eRulemaking Portal: This Web
site provides the ability to type short
comments directly into the comment
field on this Web page or attach a file
for lengthier comments. Go to https://
www.regulations.gov/. Follow the online instructions at that site for
submitting comments.
Mail, including CD–ROMs: Send to
Docket Clerk, U.S. Department of
Agriculture, Food Safety and Inspection
Service, Patriots Plaza 3, 1400
Independence Avenue SW., Mailstop
3782, Room 8–163B, Washington, DC
20250–3700.
Hand- or courier-delivered submittals:
Deliver to Patriots Plaza 3, 355 E Street
SW., Room 8–163A, Washington, DC
20250–3700.
Instructions: All items submitted by
mail or electronic mail must include the
Agency name and docket number FSIS–
2014–0034. Comments received in
response to this docket will be made
available for public inspection and
posted without change, including any
SUMMARY:
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personal information, to https://
www.regulations.gov.
Docket: For access to background
documents or to comments received, go
to the FSIS Docket Room at Patriots
Plaza 3, 355 E. Street SW., Room 164–
A, Washington, DC 20250–3700
between 8:00 a.m. and 4:30 p.m.,
Monday through Friday.
FOR FURTHER INFORMATION CONTACT:
Daniel L. Engeljohn, Ph.D., Assistant
Administrator, Office of Policy and
Program Development; Telephone: (202)
205–0495, or by Fax: (202) 720–2025.
SUPPLEMENTARY INFORMATION:
Background
FSIS is responsible for verifying that
the nation’s commercial supply of meat,
poultry, and egg products is safe,
wholesome, and properly labeled and
packaged.
Salmonella and Campylobacter
bacteria are among the most frequent
causes of foodborne illness. These
bacteria can reside in the intestinal tract
of animals, including birds. Salmonella
and Campylobacter contamination of
raw poultry products occurs during
slaughter operations as well as during
the live-animal rearing process (e.g., onfarm contamination can coat the exterior
of the bird and remain attached to the
skin). Contamination with pathogens on
poultry can be minimized through the
use of preventative pre-harvest
practices, with the use of proper
sanitary dressing procedures, by
maintaining sanitary conditions before
and during production, and by the
application of antimicrobial
interventions during slaughter and
thereafter during fabrication of the
carcasses into parts and comminuted
product.
In 2010, FSIS issued a guideline (third
edition) for poultry establishments with
recommendations on how to identify
hazards of public health concern when
conducting their hazard analysis and
how to prevent and control these
hazards through Hazard Analysis and
Critical Control Plans (HACCP),
Sanitation Standard Operating
Procedures, or other prerequisite
programs. FSIS has revised its guideline
(fourth edition) to provide updated
information for establishments to use to
control pathogens in raw poultry
products. FSIS has also revised the
guideline to include recommendations
for establishments regarding lotting and
sanitary dressing procedures, preharvest interventions and management
practices, antimicrobial interventions
during slaughter and thereafter during
fabrication, and the use of establishment
sampling results to inform decision
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[Federal Register Volume 80, Number 241 (Wednesday, December 16, 2015)]
[Notices]
[Pages 78161-78166]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2015-31575]
========================================================================
Notices
Federal Register
________________________________________________________________________
This section of the FEDERAL REGISTER contains documents other than rules
or proposed rules that are applicable to the public. Notices of hearings
and investigations, committee meetings, agency decisions and rulings,
delegations of authority, filing of petitions and applications and agency
statements of organization and functions are examples of documents
appearing in this section.
========================================================================
Federal Register / Vol. 80, No. 241 / Wednesday, December 16, 2015 /
Notices
[[Page 78161]]
ADMINISTRATIVE CONFERENCE OF THE UNITED STATES
Adoption of Recommendations
AGENCY: Administrative Conference of the United States.
ACTION: Notice.
-----------------------------------------------------------------------
SUMMARY: The Administrative Conference of the United States adopted
three recommendations at its Sixty-fourth Plenary Session. The appended
recommendations address: Technical Assistance by Federal Agencies in
the Legislative Process; Declaratory Orders; and Designing Federal
Permitting Programs.
FOR FURTHER INFORMATION CONTACT: For Recommendation 2015-2, Alissa
Ardito; for Recommendation 2015-3, Amber Williams; and for
Recommendation 2015-4, Connie Vogelmann. For all three of these actions
the address and telephone number are: Administrative Conference of the
United States, Suite 706 South, 1120 20th Street NW., Washington, DC
20036; Telephone 202-480-2080.
SUPPLEMENTARY INFORMATION: The Administrative Conference Act, 5 U.S.C.
591-596, established the Administrative Conference of the United
States. The Conference studies the efficiency, adequacy, and fairness
of the administrative procedures used by Federal agencies and makes
recommendations to agencies, the President, Congress, and the Judicial
Conference of the United States for procedural improvements (5 U.S.C.
594(1)). For further information about the Conference and its
activities, see www.acus.gov. At its Sixty-fourth Plenary Session, held
December 4, 2015, the Assembly of the Conference adopted three
recommendations.
Recommendation 2015-2, Technical Assistance by Federal Agencies in
the Legislative Process. This recommendation offers best practices for
agencies when providing Congress with technical drafting assistance. It
is intended to apply to situations in which Congress originates the
draft legislation and asks an agency to review and provide expert
technical feedback on the draft without necessarily taking an official
substantive position. The recommendation urges agencies and Congress to
engage proactively in mutually beneficial outreach and education. It
highlights the practice of providing congressional requesters with
redline drafts showing how proposed bills would affect existing law;
suggests that agencies consider ways to involve appropriate agency
experts in the process; and urges agencies to maintain a strong working
relationship between legislative affairs and legislative counsel
offices.
Recommendation 2015-3, Declaratory Orders. This recommendation
identifies contexts in which agencies should consider the use of
declaratory orders in administrative adjudications. It also highlights
best practices relating to the use of declaratory orders, including
explaining the agency's procedures for issuing declaratory orders,
ensuring adequate opportunities for public participation in the
proceedings, responding to petitions for declaratory orders in a timely
manner, and making declaratory orders and other dispositions of
petitions readily available to the public.
Recommendation 2015-4, Designing Federal Permitting Programs. This
recommendation describes different types of permitting systems and
provides factors for agencies to consider when designing or reviewing
permitting programs. The recommendation discusses both ``general''
permits (which are granted so long as certain requirements are met) and
``specific'' permits (which involve fact-intensive, case-by-case
determinations), as well as intermediate or hybrid permitting programs.
It encourages agencies that adopt permitting systems to design them so
as to minimize burdens on the agency and regulated entities while
maintaining required regulatory protections.
The Appendix below sets forth the full texts of these three
recommendations. The Conference will transmit them to affected
agencies, Congress, and the Judicial Conference of the United States.
The recommendations are not binding, so the entities to which they are
addressed will make decisions on their implementation.
The Conference based these recommendations on research reports that
are posted at: https://www.acus.gov/64th. A video of the Plenary Session
is available at: new.livestream.com/ACUS/64thPlenarySession, and a
transcript of the Plenary Session will be posted when it is available.
Dated: December 10, 2015.
Shawne C. McGibbon,
General Counsel.
APPENDIX--RECOMMENDATIONS OF THE ADMINISTRATIVE CONFERENCE OF THE
UNITED STATES
Administrative Conference Recommendation 2015-2 Technical Assistance by
Federal Agencies in the Legislative Process
Adopted December 4, 2015
Federal agencies play a significant role in the legislative
process.\1\ While agencies can be the primary drafters of the
statutes they administer, it is more common for agencies to respond
to Congressional requests to provide technical assistance in
statutory drafting. Despite the extent of agency involvement in
drafting legislation, the precise nature of the interactions between
agencies and Congress in the drafting process remains obscure.
---------------------------------------------------------------------------
\1\ See Christopher J. Walker, Federal Agencies in the
Legislative Process: Technical Assistance in Statutory Drafting 1-4
(November 2015), available at https://www.acus.gov/report/technical-assistance-draft-report [hereinafter Walker Report].
---------------------------------------------------------------------------
Generally speaking, federal agencies engage in two kinds of
legislative drafting activities: substantive and technical.
Legislative activities considered ``substantive'' are subject to the
Office of Management and Budget (OMB) coordination and preclearance
process governed by OMB Circular A-19, which does not explicitly
define substantive legislative activities or technical legislative
assistance.\2\ Substantive legislative activities include the
submission of agencies' annual legislative programs, proposed
legislation such as draft bills and supporting documents an agency
may present to Congress, any endorsement of federal legislation, and
the submission of agency views on pending bills before Congress as
well as official agency testimony before a Congressional
committee.\3\
---------------------------------------------------------------------------
\2\ Office of Management and Budget, Circular A-19 (revised
Sept. 20, 1979), https://www.whitehouse.gov/omb/circulars_a019/
[hereinafter OMB Circular A-19].
\3\ Id. sections (6)(a) and (7)(a).
---------------------------------------------------------------------------
Agencies also provide Congress with technical drafting
assistance. Rather than originating with the agency or the
Administration, in the case of technical assistance, Congress
originates the draft
[[Page 78162]]
legislation and asks an agency to review and provide feedback on the
draft. Circular A-19 advises agencies to keep OMB informed of their
activities and to clarify that agency feedback does not reflect the
views or policies of the agency or Administration.\4\ No other
standard procedures or requirements apply when agencies respond to
Congressional requests--from committee staff, staff of individual
Members of Congress, or Members themselves--for technical
assistance. In consequence, agency procedures and practices appear
multifarious.
---------------------------------------------------------------------------
\4\ Id. section 7(i). Independent agencies routinely provide
technical assistance, outside of the OMB Circular A-19 process, in
line with their enabling statutes.
---------------------------------------------------------------------------
Congress frequently requests technical assistance from agencies
on proposed legislation. Congressional requests for technical
assistance in statutory drafting can range from review of draft
legislation to requests for the agency to draft legislation based on
specifications provided by the Congressional requester. Despite the
fact that technical assistance does not require OMB preclearance,
there is some consistency in the assistance process across agencies.
Agencies often provide technical drafting assistance on legislation
that directly affects those agencies and respond to Congressional
requests regardless of factors such as the likelihood of the
legislation being enacted, its effect on the agency, or the party
affiliation of the requesting Member. Agency actors involved in the
process include the agency's legislative affairs office, program and
policy experts, and legislative counsel.\5\ In some agencies,
regulatory counsel also participate routinely. Moreover, agency
responses range from oral discussions of general feedback to written
memoranda to suggested legislative language or redlined suggestions
on the draft legislation.
---------------------------------------------------------------------------
\5\ While this recommendation uses the term ``legislative
affairs office,'' some agencies may have different offices or
individuals responsible for legislative affairs, and this
recommendation encompasses such arrangements.
---------------------------------------------------------------------------
A well-run program to provide Congress with technical assistance
on draft legislation yields important benefits to the agency.
Responding to such Congressional requests assists the agency in
maintaining a healthy and productive relationship with Congress,
ensures the proposed legislation is consonant with the existing
statutory and regulatory scheme, helps educate Congressional staff
about the agency's statutory and regulatory framework, and keeps the
agency informed of potential legislative action that could affect
the agency.
Although agencies, as a rule, strive to respond to all requests,
they continue to face challenges in providing technical assistance.
Congressional staff may be unfamiliar with an agency's enabling
legislation and governing statutes. Technical assistance provided
informally does not always involve the offices of legislative
counsel or legislative affairs, although both offices should be kept
informed and involved. The distinction between substantive and
technical drafting assistance is not always self-evident, and
Congressional requesters of technical drafting assistance often are
actually seeking substantive feedback from the agency experts on the
proposed legislation. The provision of technical assistance on
appropriations legislation presents unique demands on both agency
legislative counsel and budget offices.
Various agencies have developed distinct practices and
procedures to address the provision of technical assistance that the
Conference believes should be considered best practices. For
example, many agencies have established internal guidelines
governing the agency procedures for providing technical assistance.
Memorializing agency procedures ensures that the provision of
technical assistance is consistent throughout the agency. By stating
in written guidance that legislative counsel and legislative affairs
offices must be involved, for instance, agencies can help diminish
the prospect of substantive assistance being provided under the
guise of technical assistance. Although agencies should have
flexibility to adopt procedures that are tailored to their agency-
specific structures, norms, and internal processes, memorializing
their legislative drafting processes, as the Departments of Homeland
Security, Interior, and Labor have done, can ensure that all agency
officials involved understand the processes and can help educate
personnel new to the agency.
Some agencies, the Department of Housing and Urban Development
among them, utilize a practice of providing Congressional requesters
with a Ramseyer/Cordon draft as part of the technical assistance
response. A Ramseyer/Cordon draft is a redline of the existing law
that shows how the proposed legislation would affect current law by
underscoring proposed additions to existing law and bracketing the
text of proposed deletions. Providing such drafts, when feasible,
helps Congressional staffers unfamiliar with the agency's governing
statutes to better comprehend the ramifications of the contemplated
legislation.
Maintaining separate roles for legislative affairs and
legislative counsel offices also has proven beneficial. Legislative
affairs staff engage Congress directly and must often make
politically sensitive decisions when communicating with Congress. By
contrast, legislative counsel offices, by providing expert drafting
assistance regardless of the Administration's official policy stance
on the legislation, maintain the non-partisan status of the agency
in the legislative process. These offices play important yet
distinct roles in an agency's legislative activities that help
maintain a healthy working relationship with Congress and enhance
the recognition of the agency's expertise in legislative drafting
and in the relevant subject matter. This division, especially when
both offices communicate regularly, can help agencies monitor the
line between legislative assistance that is purely technical and
assistance that merges into an agency's official views on pending
legislation.
Appropriations legislation presents agencies with potential
coordination problems as substantive provisions or ``riders'' may
require technical drafting assistance, but agency processes for
reviewing appropriations legislation are channeled through agency
budget or finance offices. It is crucial for the budget office to
communicate with an agency's legislative counsel office to
anticipate and later address requests for technical assistance
related to appropriations bills. Agencies have taken a variety of
approaches to address this issue, ranging from tasking a staffer in
an agency legislative counsel office with tracking appropriations
bills; to holding weekly meetings with budget, legislative affairs,
and legislative counsel staff; to emphasizing less informally that
the offices establish a strong working relationship.
Educational outreach on the part of both agencies and Congress,
by further developing expertise on both sides and by cultivating
professional working relationships, has the potential to enhance the
provision of technical assistance over time. In-person educational
efforts may include briefings of Members and their staff on an
agency's statutory and regulatory scheme as well as its programs and
initiatives, face-to-face meetings with legislative counsel and
Congressional staff, and training in statutory drafting for both
Congressional staff and agency legislative counsel attorneys.
The following recommendations derive from the best practices
that certain agencies have developed to navigate these challenges
and focus on both external practices that may strengthen agencies'
relationship with Congress in the legislative process and internal
agency practices to improve the technical drafting assistance
process and external practices that may strengthen agencies'
relationship with Congress in the legislative process.
Recommendation
Congress-Agency Relationship in the Legislative Process
1. Congressional committees and individual Members should aim to
reach out to agencies for technical assistance early in the
legislative drafting process.
2. Federal agencies should endeavor to provide Congress with
technical drafting assistance when asked. A specific Administration
directive or policy may make the provision of technical assistance
inappropriate in some instances. Agencies should recognize that they
need not expend the same amount of time and resources on each
request.
3. To improve the quality of proposed legislation and strengthen
their relations with Congress, agencies should be actively engaged
in educational efforts, including in-person briefings and
interactions, to educate Congressional staff about the agencies'
respective statutory and regulatory frameworks and agency technical
drafting expertise.
Agency Technical Drafting Assistance
4. To improve intra-agency coordination and processing of
Congressional requests for drafting assistance, agencies should
consider memorializing their agency-specific procedures for
responding to technical assistance requests. These procedures should
provide that requests for technical assistance be referred to the
agency's office with responsibility for legislative affairs.
[[Page 78163]]
5. Similarly, agencies should consider ways to better identify
and involve the appropriate agency experts--in particular, the
relevant agency policy and program personnel in addition to the
legislative drafting experts--in the technical drafting assistance
process. These efforts may involve, for example, establishing an
internal agency distribution list for technical drafting assistance
requests and maintaining an internal list of appropriate agency
policy and program contacts.
6. When feasible and appropriate, agencies should provide the
Congressional requester with a redline draft showing how the bill
would modify existing law (known as a Ramseyer/Cordon draft) as part
of the technical assistance response.
7. Agencies should maintain the distinct roles of, and strong
working relationships among, their legislative affairs personnel,
policy and program experts, and legislative counsel.
8. Agencies also should strive to ensure that the budget office
and legislative counsel communicate so that legislative counsel will
be able to provide appropriate advice on technical drafting of
substantive provisions in appropriations legislation.
Administrative Conference Recommendation 2015-3
Declaratory Orders
Adopted December 4, 2015
Providing clarity and certainty is an enduring challenge of
administrative governance, particularly in the regulatory context.
Sometimes statutes and regulations fail to provide sufficient
clarity with regard to their applicability to a particular project
or transaction. In such instances, businesses and individuals may be
unable or unwilling to act, and the consequences for the economy,
society, and technological progress can be significant and harmful.
The predominant way agencies address this problem is by providing
guidance to regulated parties.\1\ Although the many forms of agency
guidance--such as interpretive rules and policy statements--do much
to dispel regulatory uncertainty, they cannot eliminate it entirely.
This is because they are generally informal and not legally binding
on the agency that issues them. Regulated parties may usually be
able to rely upon them, but if an agency changes its position after
a transaction is completed, the consequences for the affected party
can be severe. As the potential costs of misplaced reliance rise,
even a small chance that an agency will not adhere to a position
offered in guidance can become intolerable.
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\1\ The Administrative Conference has adopted a number of
recommendations on agency guidance. See Recommendation 2014-3,
Guidance in the Rulemaking Process, 79 FR 35992 (June 25, 2014),
available at https://www.acus.gov/recommendation/guidance-rulemaking-process; Recommendation 92-2, Agency Policy Statements,
57 FR 30103 (July 8, 1992), available at https://www.acus.gov/recommendation/agency-policy-statements; Recommendation 76-5,
Interpretive Rules of General Applicability and Statements of
General Policy, 41 FR 56769 (Dec. 30, 1976), available at https://www.acus.gov/recommendation/interpretive-rules-general-applicability-and-statements-general-policy; Recommendation 75-9,
Internal Revenue Service Procedures: Taxpayer Services and
Complaints, 41 FR 3986 (Jan. 27, 1976), available at https://www.acus.gov/recommendation/ internal-revenue-service-procedures-
taxpayer-services-and-complaints; Recommendation 71-3, Articulation
of Agency Policies, 38 FR 19788 (July 23, 1973), available at
https://www.acus.gov/recommendation/articulation-agency-policies.
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When it enacted the Administrative Procedure Act (APA) in 1946,
Congress included a provision designed to address this difficult
problem. In 5 U.S.C. 554(e), it provided that an ``agency, with like
effect as in the case of other orders, and in its sound discretion,
may issue a declaratory order to terminate a controversy or remove
uncertainty.'' \2\ The declaratory order is a type of adjudication
that serves an important advice-giving function. It may be issued in
response to a petition filed with the agency \3\ (as is usually the
case) or on the agency's own motion. It is well tailored to provide
a level of certainty that may not be achievable using more informal
kinds of guidance. This is because it is non-coercive and yet
legally binds the agency and the named party, but only on the facts
assumed in the order. The agency remains free to change its position
with adequate explanation in a subsequent proceeding. It is a device
that affords substantial administrative discretion--the agency may
decline a request to institute a declaratory proceeding or to issue
a declaratory order. An agency's decision, be it a denial of a
petition or the issuance of a declaratory order, is judicially
reviewable. But the scope of review is limited, and the position an
agency takes in a declaratory order is typically afforded
deference,\4\ both on judicial review and when relevant to matters
at issue in subsequent or parallel litigation.
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\2\ 5 U.S.C. 554(e) (2012); see generally Administrative
Procedure in Government Agencies, Final Report of the Attorney
General's Committee on Administrative Procedure, S. Doc. No. 77-8,
at 30-34 (1941) (urging Congress to include the declaratory order
provision in the APA).
\3\ An agency so authorized may assess a filing fee to help
defray the cost of issuing declaratory orders in response to
petitions.
\4\ The level of deference may depend on the formality of the
procedure used, see United States v. Mead Corp., 553 U.S. 218
(2001), though ``[c]ourts have afforded Chevron deference to
declaratory orders issued through both formal and informal
adjudication.'' Emily S. Bremer, Declaratory Orders 25 (Oct. 30,
2015) available at https://www.acus.gov/report/declaratory-orders-final-report [hereinafter Bremer] (citing City of Arlington v. FCC,
133 S. Ct. 1863 (2013) (giving Chevron deference to a declaratory
ruling issued by the FCC through informal adjudication)).
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An agency may properly use a declaratory order for a wide
variety of purposes, including to: (1) Interpret the agency's
governing statute or own regulations; (2) define terms of art; (3)
clarify whether a matter falls within federal regulatory authority;
or (4) address questions of preemption.\5\ One occasion for doing so
is in response to a court's request for a ruling when the court has
found that the agency has primary jurisdiction over a matter being
litigated. By presenting the agency's views through a document of
easily ascertainable legal effect, declaratory orders may reduce or
eliminate litigation.\6\ By using declaratory orders to address
narrow questions raised by specific and uncontested facts, an agency
can precisely define the legal issues it addresses and reserve
related issues for future resolution, thereby facilitating an
incremental approach to the provision of guidance. The resulting
body of agency precedent will not only be useful to regulated and
other interested parties, but may also prove invaluable to the
agency when it later decides to conduct a rulemaking or other
proceeding for formulating policy on a broader scale. Other uses may
be possible as well. For example, an agency that conducts mass
adjudication could use the declaratory order to promote uniformity
by choosing to give practical and detailed guidance while also
making decisional law binding on the parties to the proceeding
regarding the proper application of the law to commonly encountered
factual circumstances.
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\5\ See generally Ill. Terminal R.R. v. ICC, 671 F.2d 1214 (8th
Cir. 1992); N.Y. State Comm'n on Cable Television v. FCC, 669 F.2d
58 (2d Cir. 1982); N.C. Utils. Comm'n, 537 F.2d 787 (4th Cir. 1976);
Ashland Oil & Ref. Co. v. FPC, 421 F.2d 17 (6th Cir. 1970).
\6\ Cf. Mitchell Rogovin & Donald L. Korb, The Four R's
Revisited: Regulations, Rulings, Reliance, and Retroativity in the
21st Century: A View from Within, 46 Duq. L. Rev. 323,331 (2008).
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There are several benefits to an agency when it uses declaratory
orders. First, declaratory orders promote voluntary compliance,
which saves agency resources that would otherwise be spent on
enforcement. Second, declaratory orders promote uniformity and
fairness in treatment among the agency's regulated parties. Third,
declaratory orders facilitate communication between the agency and
its regulated parties, which can help highlight issues before they
become problems. Finally, declaratory orders help the agency stay
current by allowing regulated parties to communicate how they are
doing business so that agency officials can understand and address
emerging issues.
Despite the apparent usefulness of the declaratory order as a
tool of administrative governance, agencies have demonstrated a
persistent reluctance to use it. Several developments may encourage
agencies to overcome this traditional reluctance to use declaratory
orders. First, it is now reasonably clear that agencies may issue
declaratory orders in informal adjudication.\7\ This development
expands the availability of the device and also reduces the cost and
procedural burden of using declaratory orders.\8\ Second, courts
today are often
[[Page 78164]]
willing to review guidance documents and to question an agency's
characterization of its action as non-binding. Agencies may be able
to enhance their chances of prevailing in court by using declaratory
orders--a binding, but targeted form of instruction--in lieu of non-
binding, legislative guidance. Agencies may also be able to use
declaratory orders to provide requisite notice to regulated parties
of the agency's intention to enforce in the future a rule or
principle that has previously been communicated only via non-binding
guidance. Finally, new programs and new challenges facing old
programs may create opportunities to beneficially expand the use of
declaratory orders.
The Administrative Conference recognizes the declaratory order
as a useful device to be used in appropriate circumstances. To that
end, this recommendation provides guidance and best practices to
agencies as they consider implementing or improving their use of
declaratory orders.
Recommendation
1. Agencies should consider issuing declaratory orders as
authorized by 5 U.S.C. 554(e), either sua sponte or by petition. A
declaratory order can provide a legally binding decision to the
parties to the proceeding, without imposing a penalty, sanction, or
other liability, in order to terminate an actual or emerging
controversy or to remove uncertainty in the application of existing
legal requirements. With respect to entities other than the parties
to the proceeding, it can provide non-binding guidance.
2. Any filing fees for issuing declaratory orders should be
reasonable within the fee structure of the agency and contain
appropriate exemptions and waivers.
Potential Uses of Declaratory Orders
3. An agency should consider issuing declaratory orders in
several ways, including, but not limited, to:
(a) Communicating the agency's considered views regarding the
meaning of its governing statute, regulations, or other legal
documents (such as permits, licenses, certificates, or other
authorizations the agency has issued);
(b) Explaining how existing legal requirements apply to proposed
or contemplated transactions or other activities;
(c) Defining terms of art that are used within the agency's
regulatory scheme;
(d) Clarifying whether a matter falls within the agency's
regulatory authority;
(e) Clarifying a division of jurisdiction between or among
federal agencies that operate in a shared regulatory space; and
(f) Addressing questions of preemption.
4. Agencies should look for opportunities to experiment with
innovative uses of declaratory orders to improve regulatory
programs.
Determining Minimal Procedural Requirements for Declaratory Orders
5. Each agency that uses declaratory orders should have written
and publicly available procedures explaining how the agency
initiates, conducts, and terminates declaratory proceedings. An
agency should also communicate in a written and publicly available
way its preferred uses of declaratory orders.
6. When designing the procedures for its declaratory
proceedings, an agency should begin by determining whether or not
the matter is one that must be adjudicated according to the formal
adjudication provisions of the APA. If the matter is not required by
statute to be conducted under the APA's formal adjudication
provisions, an agency has substantial procedural discretion, but at
a minimum should provide a basic form of notice and opportunity for
comment, although it need not be equivalent to the notice-and-
comment process used in rulemaking.
7. Agency procedures should provide guidance regarding the
information that petitioners should include in a petition for
declaratory order.
Giving Notice and Collecting Information
8. Each agency should provide a way for petitioners and other
interested parties to learn when the agency has received a petition
for declaratory order or intends to issue a declaratory order on its
own motion. The agency should tailor this communication according to
the nature of the proceeding and the needs of potential commenters.
9. Each agency should provide a way for interested parties to
participate in declaratory order proceedings.
(a) If the matter is one of broad interest or general policy,
the agency should allow broad public participation.
(b) If the declaratory proceeding involves a narrow question of
how existing regulations would apply to an individual party's
proposed actions, the agency may choose to manage the submission of
comments via an intervention process.
Timeliness and Availability of Declaratory Orders
10. Agencies that receive a petition for declaratory order
should respond to that petition within a reasonable period of time.
If an agency declines to act on the petition, it should give prompt
notice of its decision, accompanied by a brief explanation of its
reasons.
11. Agencies should make their declaratory orders and other
dispositions on petitions available to the public in a centralized
and easy-to-find location on their Web sites.
Administrative Conference Recommendation 2015-4
Designing Federal Permitting Programs
---------------------------------------------------------------------------
\7\ See Am. Airlines, Inc. v. DOT, 202 F.3d 788, 796-97 (5th
Cir. 2000); Wilson v. A.H. Belo Corp., 87 F.3d 393, 397 (9th Cir.
1996); Texas v. United States, 866 F.2d 1546, 1555-56 (5th Cir.
1989); Bremer, supra note 4 at 12-13, 32-33, 36-37. For example,
courts have affirmed the sufficiency of basic notice-and-comment
procedures when agencies issue a declaratory order in informal
adjudication. See City of Arlington v. FCC, 668 F.3d 229, 243-45
(5th Cir. 2012), aff'd 133 S. Ct. 1863 (2013).
\8\ Even if the matter is one subject by statute to formal
adjudication under the APA, an agency may be able to streamline the
process of issuing a declaratory order. Cf. Administrative
Conference of the United States, Recommendation 70-3, Summary
Decision in Agency Adjudication, 38 FR 19785 (July 23, 1973). See
generally Weinberger v. Hynson, Westcott & Dunning, 412 U.S. 625
(1973).
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Adopted December 4, 2015
Regulatory permits are ubiquitous in modern society, and each
year dozens of federal agencies administering their regulatory
permit authority issue tens of thousands of permits covering a broad
and diverse range of actions.\1\ The APA includes the term
``permit'' in its definition of ``license.'' In addition to agency
permits, the APA defines licenses to include ``the whole or part of
an agency . . . certificate, approval, registration, charter,
membership, statutory exemption or other form of permission.'' \2\
Otherwise, the APA provides little elaboration on the definition of
a permit.\3\ For purposes of this recommendation, a regulatory
permit is defined as any administrative agency's statutorily
authorized, discretionary, judicially reviewable granting of
permission to do something that would otherwise be statutorily
prohibited. This recommendation treats any agency action that meets
this definition as a permit, regardless of how it is styled by the
agency (e.g., ``license,'' ``conditional exemption'').
---------------------------------------------------------------------------
\1\ Eric Biber & J.B. Ruhl, Designing Regulatory Permits 2
(2015), https://www.acus.gov/report/licensing-and-permitting-final-report. For a more complete discussion of different types of permits
and permitting systems, see Eric Biber & J.B. Ruhl, The Permit Power
Revisited: The Theory and Practice of Regulatory Permits in the
Administrative State, 64 Duke L.J. 133 (2014).
\2\ 5 U.S.C. 551(8).
\3\ See Biber & Ruhl, supra note 1, at 3-4 (discussing lack of
APA definition).
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Permits exist on a continuum of agency regulation, falling
between exemptions (in which an activity is not regulated at all)
and prohibitions. Broadly speaking, there are two contrasting
approaches to permitting.\4\ In specific permitting, upon receiving
an application, an agency engages in extensive fact gathering and
deliberation particular to the individual circumstances of the
applicant's proposed action, after which the agency issues a
detailed permit tailored to the applicant's situation. In their
strictest form, specific permits can demand so much of the permit
applicant in terms of cost, information, and time that they closely
resemble prohibitions. However, some specific permits can be
lenient, with relatively few conditions placed on regulated
entities.
---------------------------------------------------------------------------
\4\ Id. at 2-6.
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In general permitting, an agency issues a permit that defines
and approves a category of activity on its own initiative, and
allows entities engaging in that activity to readily take advantage
of the permit. Agency review of specific facts in any particular
case is generally limited unless the agency finds good cause to
condition or withdraw the general approval. In their most flexible
form, general permits can resemble exemptions in form and effect,
with few requirements on regulated entities and relatively little
agency oversight. On the other hand, general permits may place
requirements on regulated entities that aid agency oversight and
enforcement. Some permits toward the more general end of the
spectrum require the regulated entity to provide notice to the
regulator and others do not.
Between general and specific permits lie many possible
intermediate forms of permitting that can exhibit traits of both
general and specific permitting.\5\ These
[[Page 78165]]
permits, referred to in this recommendation interchangeably as
``intermediate'' or ``hybrid'' permits, may call for intermediate
levels of agency review or intermediate requirements to be met by
regulated parties, or may contain a mix of features from both
general and specific permitting. Intermediate permits provide
agencies with significant flexibility, allowing them to tailor
permitting to the regulated activity.
---------------------------------------------------------------------------
\5\ Id. at 8-10 (discussing possible hybrid permitting and
providing an example). For instance, some of the nationwide permits
utilized by the Army Corps of Engineers to regulate the fill of
wetlands pursuant to Section 404 of the Clean Water Act require
permittees to provide notice to the agency before proceeding with
development activities. The notice may require substantial amounts
of information (including detailed mitigation plans), and the
permittee may not be able to proceed with development until directly
authorized by the agency. These nationwide permits have elements of
both a general permit (they apply to a category of activities, do
not require the full range of applicant information that individual
permits under Section 404, require and do not require the agency to
do the full amount of environmental review associated with
individual permits) and a specific permit (they still require
substantial information to be submitted by the applicant and may
require prior approval by the agency before permitted activities can
be initiated).
---------------------------------------------------------------------------
This recommendation focuses on the distinction between general
and specific permits, and considers intermediate permits as well. It
does not specify situations in which exemptions are appropriate or
evaluate the extent to which general permits may be preferable to
exemptions. Marketable permits, in which permits are bought and
traded by regulated entities, may also prove beneficial to agencies,
the regulated community, and the public in many circumstances.\6\
---------------------------------------------------------------------------
\6\ Permit marketability lies outside the continuum of general
permits to specific permits.
---------------------------------------------------------------------------
General and specific permitting differ in both the system used
to issue the permit and in the way permits are issued under the
system.\7\ In specific permitting, the agency issues a rule
outlining the process and standards for obtaining permits, after
which regulated entities apply for permits and the agency reviews
the submissions, often with public input and judicial review. In
general permitting, the agency often promulgates a rule outlining
the precise conditions under which regulated entities may take
advantage of the permit. This approach imposes significant burdens
on the agency upfront; however, once in place, the process of
permitting is relatively streamlined and sometimes provides fewer
opportunities for public input and judicial review. Although some
agencies have traditionally relied primarily on specific permits,
general permits may offer agencies advantages in efficiency or
resource use.
---------------------------------------------------------------------------
\7\ Id. at 6-7.
---------------------------------------------------------------------------
Most statutes delegate considerable discretion to agencies to
decide at what point on the spectrum from general to specific to
implement a permitting system.\8\ Whether an agency adopts a general
or specific permitting system, or an intermediate system, can have
significant impacts on the agency, the regulated entities, and third
parties affected by the permitting action. If Congress decides to
specify which type of permitting system an agency should adopt,
Congress may want to consider the guidance provided in this
recommendation.
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\8\ For example, the Migratory Bird Treaty Act provides almost
no guidance as to the use of general versus specific permits. See 16
U.S.C. 703 and 704. Section 404 of the Clean Water Act lays out
specific factors that must be met in order to use general permits.
See 33 U.S.C. 1344(e)(1) and (2). Both of these programs are
described in case studies accompanying the report.
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In recent years, there has been increasing public concern over
the extent to which inefficiencies in the permitting process delay
necessary infrastructure reform.\9\ As an initial step, in 2012,
Executive Order 13604 established a steering committee to
``facilitate improvements in Federal permitting and review processes
for infrastructure projects.'' \10\ The order also established an
online permit-tracking tool, the Federal Infrastructure Projects
Dashboard. The Steering Committee and Dashboard serve to enhance
interagency coordination and provide permit tracking to improve
agency timeliness.\11\ Congress has also been considering modifying
the permitting process in various ways.\12\ In seeking to reform
existing permitting systems or establish a new permitting system,
Congress and agencies should also be aware of the comparative
advantages of general and specific permits and design or modify such
systems accordingly.
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\9\ See, e.g., Philip K. Howard, Common Good, Two Years Not Ten
Years: Redesigning Infrastructure Approvals (2015), https://commongood.3cdn.net/c613b4cfda258a5fcb_e8m6b5t3x.pdf.
\10\ Performance of Federal Permitting and Review of
Infrastructure Projects, 77 FR 18885, 18888 (Mar. 28, 2012) (to be
codified at 3 CFR part 100).
\11\ Id. at 18,887-8. The reforms promoted by E.O. 13604 are
largely in accord with the Administrative Conference's
Recommendation 1984-1, Public Regulation of Siting of Industrial
Development Projects, 49 FR 29938 (July 25, 1984). Specifically,
Recommendation 1984-1 encouraged interagency coordination of
permitting, the establishment of permitting deadlines, and timely
processing of permit applications.
\12\ See, e.g., H.R. 348, 114th Cong. (2015); H.R. 351, 114th
Cong. (2015); H.R. 89, 114th Cong. (2015); S. 33, 114th Cong.
(2015); H.R. 161, 114th Cong. (2015). These bills are cited merely
as indications of Congressional interest in the permitting process,
and the Conference has not reviewed and does not endorse any of
their provisions.
---------------------------------------------------------------------------
Although each permitting system is different, and an agency must
tailor its procedures to meet both its statutory mandate and the
needs of the particular program at issue, agencies face a number of
common considerations when designing or reviewing a permitting
system. There are many circumstances in which general permits may
save agencies time or resources over specific permits without
compromising the goals and standards of the regulatory program, and
this recommendation provides guidance on when an agency might
benefit most from using a general permitting system. This
recommendation identifies a number of elements that should be
considered in determining whether an agency should adopt a general
permitting system, a specific permitting system, or an intermediate
or hybrid system somewhere between the two.
Recommendation
Congressional Delegation of Permitting Power
1. When Congress delegates permitting power to an agency, it
should consider whether to specify which type(s) of permitting
system(s) on the spectrum from general to specific permitting
systems an agency may adopt.
2. If Congress decides to limit an agency's permitting power to
a certain type of permit, it should consider the factors discussed
in recommendations 3-4 when determining the preferred type of
permitting system to mandate. If Congress decides to give agencies
discretion on which system to adopt, Congress should consider
requiring that agencies make specific findings about the factors
discussed in recommendations 3-4 in order to ensure agencies use
general or specific permitting authority appropriately.
Agency Establishment of Permitting Systems
3. When an agency designs a permitting system, the agency should
be cognizant of the resources, both present and future, that are
required to develop and operate the system. In particular, the
agency should consider that a general permitting system may require
significant resources during the design phase (especially if system
design triggers additional procedural or environmental review
requirements), but relatively fewer resources once the system is in
place. A specific permitting system may require fewer resources
upfront but significant resources in its application. The agency
should balance resource constraints with competing priorities and
opportunity costs.
4. An agency should consider the following additional factors
when deciding what type of permitting system, if any, to adopt.
(a) The following conditions weigh in favor of designing a
permitting system toward the general end of the spectrum:
i. The effects of the regulated activity are small in magnitude,
both in individual instances and from the cumulative impact of the
activity;
ii. The variability of effects expected across instances of the
regulated activity is low;
iii. The agency is able to expend the upfront resources to
design a general permitting system and can subsequently benefit from
the reduced administration costs a general permitting system
requires to enforce;
iv. The agency wishes to encourage the regulated activity or
desires to keep barriers to entry low;
v. The agency does not need to collect detailed information
about the regulated activity or regulated parties;
vi. The agency does not need to tailor permits to context-
specific instances of the activity;
vii. The agency does not need to monitor the regulated activity
closely and does not believe that the information that might be
provided by specific permits is needed to facilitate enforcement; or
viii. The agency does not need to exercise significant
enforcement discretion to readily enforce the permitting system.
(b) The following conditions weigh in favor of designing a
permitting system toward the specific end of the spectrum:
i. The effects of the regulated activity are large in magnitude,
either in individual instances or from the cumulative impact of the
activity;
[[Page 78166]]
ii. The variability of effects expected across instances of the
regulated activity is high;
iii. The agency is unable to expend the upfront resources
necessary to design a general permitting system or the agency can
absorb the higher administration costs necessary to enforce a
specific permitting system;
iv. The agency believes that specific controls on particular
regulated activities are desirable to reduce, control, or mitigate
the negative effects of the regulated activity, or is less concerned
about relatively high barriers to entry;
v. The agency needs detailed information about the regulated
activity or regulated parties;
vi. The agency needs to tailor permits to context-specific
instances of the activity;
vii. The agency needs to monitor the regulated activity closely,
and concludes the information provided in specific permits will
facilitate enforcement; or
viii. The agency needs to have discretion in enforcing the
permitting system against individual entities.
(c) An agency should weigh all the factors and consider
implementing a hybrid permitting system that has features of both
general and specific permits if the factors described above do not
weigh strongly in favor of either general or specific permits or cut
against each other.
Agency Review of Existing Permitting Structures
5. Subject to budgetary constraints and other priorities,
agencies are encouraged to conduct periodic reviews of their
existing permitting structures, consistent with the Administrative
Conference's Recommendation 2014-5, Retrospective Review of Agency
Rules.
6. In reviewing existing permitting structures, agencies should
consider the factors in recommendations 3-4 and, where appropriate
and consistent with statutory mandates, consider reforming existing
permitting systems to align more closely with the goals the agency
seeks to accomplish.
7. Subject to budgetary and legal constraints, including the
Paperwork Reduction Act and other statutory restrictions on data
collection and dissemination, agencies should consider incorporating
data-collection into new and existing permitting systems to aid
analysis and review.
[FR Doc. 2015-31575 Filed 12-15-15; 8:45 am]
BILLING CODE 6110-01-P