Vetting of Certain Surface Transportation Employees, 33472-33522 [2023-10131]
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Federal Register / Vol. 88, No. 99 / Tuesday, May 23, 2023 / Proposed Rules
DEPARTMENT OF HOMELAND
SECURITY
Transportation Security Administration
49 CFR Parts 1500, 1530, 1570, 1572,
1580, 1582, 1584
[Docket No. TSA–2023–0001]
RIN 1652–AA69
Vetting of Certain Surface
Transportation Employees
Transportation Security
Administration, DHS.
ACTION: Notice of proposed rulemaking
(NPRM).
AGENCY:
The Transportation Security
Administration (TSA) is proposing a
regulation to implement provisions of
the Implementing Recommendations of
the 9/11 Commission Act of 2007 (9/11
Act) that require security vetting of
certain public transportation, railroad,
and over-the-road-bus (OTRB)
employees. In accordance with the 9/11
Act, TSA proposes to require securitysensitive employees of certain public
transportation operators and railroads to
undergo a Level 2 security threat
assessment (STA) that includes an
immigration check and terrorism
watchlist check to determine whether
the applicant may pose a security threat.
Further, TSA proposes to require
security coordinators of certain public
transportation, railroad, and OTRB
operators to undergo a Level 3 STA,
which includes the Level 2 check plus
a criminal history records check. TSA
proposes appeal and waiver procedures
for individuals who are adversely
impacted by the vetting. Finally, TSA
proposes to establish user fees to
recover TSA’s costs for vetting, as
required by law.
DATES: Submit comments on or August
21, 2023.
ADDRESSES: You may submit comments,
identified by the TSA docket number to
this rulemaking, to the Federal Docket
Management System (FDMS), a
government-wide, electronic docket
management system. To avoid
duplication, please use only one of the
following methods:
• Electronic Federal eRulemaking
Portal: https://www.regulations.gov.
Follow the online instructions for
submitting comments.
• Mail: Docket Management Facility
(M–30), U.S. Department of
Transportation, 1200 New Jersey
Avenue SE, West Building Ground
Floor, Room W12–140, Washington, DC
20590–0001. The U.S. Department of
Transportation (DOT), which maintains
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SUMMARY:
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and processes TSA’s official regulatory
dockets, will scan the submission and
post it to FDMS.
• Fax: (202) 493–2251.
See SUPPLEMENTARY INFORMATION
section for format and other information
about comment submissions.
FOR FURTHER INFORMATION CONTACT: For
program questions: Victor Parker,
Surface Division, Policy, Plans, and
Engagement, TSA–28, Transportation
Security Administration, 6595
Springfield Center Drive, Springfield,
VA 20598–6002; telephone (571) 227–
1039; email VettingPolicy@tsa.dhs.gov.
For legal questions: Christine Beyer,
Chief Counsel’s office, TSA–2,
Transportation Security Administration,
6595 Springfield Center Drive,
Springfield, VA 20598–6002; telephone
(571) 227–3653; email christine.beyer@
tsa.dhs.gov.
SUPPLEMENTARY INFORMATION:
Public Participation
TSA invites interested persons to
participate in this rulemaking by
submitting written comments, data, or
views. We also invite comments relating
to the economic, environmental, energy,
or federalism impacts that might result
from this rulemaking action, as well as
on TSA’s collections of information
under the Paperwork Reduction Act as
described further below. You may
submit comments, identified by the TSA
docket number for this rulemaking, to
the ADDRESSES noted above. With each
comment, please include this docket
number at the beginning of your
comments. You may submit comments
and material electronically, in person,
by mail, or fax as provided under
ADDRESSES, but please submit your
comments and material by only one
means. If you submit comments by mail
or in person submit them in an unbound
format, no larger than 8.5 by 11 inches,
suitable for copying and electronic
filing. If you would like TSA to
acknowledge receipt of comments
submitted by mail, include with your
comments a self-addressed, stamped
postcard or envelope on which the
docket number appears. TSA will stamp
the date on the postcard and we will
mail it to you.
All comments, except those that
include confidential information and
sensitive security information (SSI) 1
will be posted to https://
1 ‘‘Sensitive Security Information’’ or ‘‘SSI’’ is
information obtained or developed in the conduct
of security activities, the disclosure of which would
constitute an unwarranted invasion of privacy,
reveal trade secrets or privileged or confidential
information, or be detrimental to the security of
transportation. The protection of SSI is governed by
49 CFR part 1520.
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www.regulations.gov, and will include
any personal information you have
provided. Should you wish your
personally identifiable information
redacted prior to filing in the docket,
please clearly indicate this request in
your submission. TSA will consider all
comments that are in the docket on or
before the closing date for comments
and will consider comments filed late to
the extent practicable. The docket is
available for public inspection before
and after the comment closing date.
Handling of Confidential or Proprietary
Information and SSI Submitted in
Public Comments
Do not submit comments that include
trade secrets, confidential commercial
or financial information, or SSI to the
public regulatory docket. Comments
containing this type of information
should be submitted separately from
other comments, appropriately marked
as containing such information, and
submitted by mail to one of the
addresses listed in the FOR FURTHER
INFORMATION CONTACT section. TSA will
take the following actions for all
submissions containing SSI:
• TSA will not place comments
containing SSI in the public docket and
will handle them in accordance with
applicable safeguards and restrictions
on access.
• TSA will hold documents
containing SSI, confidential business
information, or trade secrets in a
separate file to which the public does
not have access, and place a note in the
public docket explaining that
commenters have submitted such
documents.
• TSA may include a redacted
version of the comment in the public
docket.
• TSA will treat requests to examine
or copy information that is not in the
public docket as any other request
under the Freedom of Information Act
(FOIA) (5 U.S.C. 552) and the
Department of Homeland Security’s
(DHS’) FOIA regulation found in 6 CFR
part 5.
Privacy Act
Please be aware that anyone is able to
search the electronic form of all
comments in any of our dockets by the
name of the individual who submitted
(or signed the comment (e.g., if
submitted by an association, business,
labor union, etc.) For more about
privacy and the docket, review the
Privacy and Security Notice for the
FDMS at https://www.regulations.gov/
privacyNotice, as well as the System of
Records Notice DOT/ALL 14—Federal
Docket Management System (73 FR
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3316, January 17, 2008) and the System
of Records Notice DHS/ALL 044—
eRulemaking (85 FR 14226, March 11,
2020).
Reviewing Docket Comments and
Documents
You can review TSA’s electronic
public docket at https://
www.regulations.gov. In addition, DOT’s
Docket Management Facility provides a
physical facility, staff, equipment, and
assistance to the public. To obtain
assistance or to review items in TSA’s
public docket, you may visit this facility
between 9 a.m. and 5 p.m., Monday
through Friday, excluding legal
holidays, or call (202) 366–9826. This
DOT operations facility is located in the
West Building Ground Floor, Room
W12–140 at 1200 New Jersey Avenue
SE, Washington, DC 20590.
You can find an electronic copy of
rulemaking documents through the
internet by-searching the electronic
FDMS web page at https://
www.regulations.gov; or at https://
www.federalregister.gov. In addition,
copies are available by writing or calling
the individual in the FOR FURTHER
INFORMATION CONTACT section. Make sure
to identify the docket number of this
rulemaking.
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Abbreviations and Terms Used in This
Document
ALJ—Administrative Law Judge
ATSA—Aviation and Transportation
Security Act
CBP—U.S. Customs and Border Protection
CFR—Code of Federal Regulations
CHRC—Criminal History Records Check
CJIS—Criminal Justice Information Services
DHS—U.S. Department of Homeland
Security
DOE—Determination of Eligibility
ESVP—Enrollment Services and Vetting
Programs
FAST—Free and Secure Trade Program
FBI—Federal Bureau of Investigation
FDI—Final Determination of Ineligibility
HME—Hazardous Materials Endorsement
IDENT—Automated Biometrics Identification
System
NPRM—Notice of Proposed Rulemaking
OTRB—Over-the-Road Bus
PDI—Preliminary Determination of
Ineligibility
PDIIR—Preliminary Determination of
Ineligibility with Immediate Revocation
SAVE—Systematic Alien Verification for
Entitlements Program
SENTRI—Secure Electronic Network for
Travelers Rapid Inspection Program
SSI—Sensitive Security Information
STA—Security Threat Assessment
TSA—Transportation Security
Administration
TWIC—Transportation Worker Identification
Credential
U.S.C.—United States Code
USCIS—U.S. Citizenship and Immigration
Services
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Table of Contents
I. Executive Summary
A. Purpose of the Regulation
B. Summary of Major Provisions
II. Background
A. Statutory and Regulatory History
B. Specific Provisions
1. Security-Sensitive Employees
2. Security Coordinators
3. IDENT and Rap Back
4. Identity Verification
5. Use of TSA Enrollment Centers
6. Vetting Structure
7. Effective Dates and Compliance
III. Analysis of Proposed Part 1530
A. Introduction
B. Proposed Subpart A—General
1. Proposed § 1530.1
2. Proposed § 1530.3
3. Proposed § 1530.5
4. Proposed § 1530.7
5. Proposed § 1530.9
6. Proposed § 1530.11
7. Proposed § 1530.13
C. Proposed Subpart B—Individual
Enrollment Requirements Continuing
Responsibilities
1. Introduction
2. Proposed § 1530.101
3. Proposed § 1530.103
4. Proposed § 1530.105
5. Proposed § 1530.107
6. Proposed § 1530.109
D. Proposed Subpart C—Reserved
E. Proposed Subpart D—Fees
1. Introduction
2. Costs
3. Populations
4. Fees
5. Proposed § 1530.301
6. Proposed § 1530.303
7. Proposed § 1530.305
8. Proposed § 1530.307
9. Proposed § 1530.309
F. Proposed Subpart E—Adjudication
Procedures
1. Introduction
2. Proposed § 1530.401
3. Proposed § 1530.403
4. Proposed § 1530.405
5. Sections 1530.407, 1530.409, 1530.411—
Reserved
6. Proposed § 1530.413
7. Proposed § 1530.415
8. Proposed § 1530.417
9. Proposed § 1530.419
G. Proposed Subpart F—Standards
1. Introduction
2. Proposed § 1530.501
3. Proposed § 1530.503
4. Proposed § 1530.505
5. Proposed § 1530.507
6. Proposed § 1530.509
H. Proposed Subpart G—Appeal and
Waiver Procedures for Security Threat
Assessments
1. Introduction
2. Proposed § 1530.601
3. Proposed § 1530.603
4. Exhaustion of Administrative Remedies
5. Proposed § 1530.605
6. Proposed § 1530.607
7. Proposed § 1530.609
8. Proposed § 1530.611
9. Proposed § 1530.613
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IV. Analysis of Proposed Changes to Parts
1500, 1570, 1572, 1580, 1582, and 1584
A. Introduction
B. Proposed Changes to Part 1500
C. Proposed Changes to Part 1570
D. Proposed Changes to Part 1572
E. Proposed Changes to Part 1580
1. Proposed § 1580.301
2. Proposed § 1580.303
3. Proposed § 1580.305
4. Proposed § 1580.307
F. Proposed Changes to Part 1582
1. Proposed § 1582.201
2. Proposed § 1582.203
3. Proposed § 1582.205
4. Proposed § 1582.207
G. Proposed Changes to Part 1584
1. Proposed § 1584.201
2. Proposed § 1584.203
3. Proposed § 1584.205
4. Proposed § 1584.207
I. Executive Summary
A. Purpose of the Regulation
This proposed rulemaking would
serve three purposes:
(1) Surface transportation security
vetting. The NPRM proposes to
implement requirements in the 9/11
Act 2 to vet certain public
transportation, railroad, and OTRB
employees:
• Conduct a ‘‘name-based security
background check against the
consolidated terrorist watchlist and an
immigration check’’ for frontline public
transportation employees 3 and frontline
railroad employees.4
• Require security coordinators of
railroads 5 and OTRBs 6 to be U.S.
citizens, unless TSA waives this
requirement after an appropriate
background check of the individual and
a satisfactory review of the consolidated
terrorist watchlist.
(2) Fees. TSA is proposing an
equitable fee schedule to recover the
costs of vetting services. TSA must
sustain vetting programs, like those
proposed in this rulemaking, through
user fees in accordance with 6 U.S.C.
469, Fees for Credentialing and
Background Investigations in
Transportation.
(3) Redress. The 9/11 Act provides
that if TSA issues a regulation requiring
operators to conduct vetting of public
transportation 7 and railroad
employees,8 TSA must require the
operators to provide appeal and waiver
procedures, like the procedures TSA
2 The Implementing Recommendations of the 9/
11 Commission Act, Public Law 110–53 (121 Stat.
266; Aug. 3, 2007).
3 9/11 Act, sec. 1411; codified at 6 U.S.C. 1140.
4 9/11 Act, sec. 1520.
5 9/11 Act, sec. 1512; codified at 6 U.S.C.
1162(e)(2).
6 9/11 Act, sec. 1531; codified at 6 U.S.C. 1181.
7 9/11 Act sec. 1414; codified at 6 U.S.C. 1143(d).
8 9/11 Act sec. 1522; codified at 6 U.S.C. 1170(d).
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established in the Transportation
Worker Identification Credential (TWIC)
program in accordance with 46 U.S.C.
70105 and codified at 49 CFR parts
1515, 1572. TSA proposes appeals,
waivers, review by Administrative Law
Judges (ALJs), and review by the TSA
Final Decision Maker for individuals
who are adversely affected by the
vetting.
B. Summary of Major Provisions
In accordance with the 9/11 Act and
risk-based principles, TSA proposes to
require frontline or ‘‘security-sensitive’’
employees of public transportation and
railroad operators to undergo a Level 2
STA, which includes an immigration
check and a terrorism check and other
analyses (terrorism/other analyses).9
Specifically, sections 1411 and 1520 of
the 9/11 Act require TSA to conduct
terrorist and immigration status vetting
of public transportation and railroad
employees, similar to the check TSA
conducted in 2006 in the maritime
sector. In sections 1143 and 1170 of the
Act, Congress defines a security
background check as vetting that
includes criminal, immigration and
terrorist checks, and provides that if
TSA issues a rulemaking to require
operators to conduct security
background checks, TSA must require
use of the criminal standards and
redress required by 46 U.S.C. 70105,
and 49 CFR part 1572.
Further, TSA proposes to require
security coordinators of public
transportation, railroad, and OTRB
operators to complete a Level 3 STA,
which includes an immigration check,
criminal check, and terrorism/other
analyses check. Table 1 below provides
a summary of these proposed vetting
requirements. Also, TSA proposes a
robust redress process for individuals
who are deemed ineligible for a position
as a result of the vetting, to ensure that
they are not disqualified in error.
Finally, TSA proposes user fees to cover
the costs of TSA’s vetting, as required
by statute.10
TABLE 1—AFFECTED POPULATION BY MODE AND STA REQUIREMENT
Proposed rule requirements
Mode
Risk level
Freight Rail ................
PTPR .........................
OTRB .........................
Affected population
Terrorism/
other analyses
Immigration
check
CHRC
High Risk ..................
Security-Sensitive Employees ......................
b
b
....................
...................................
Security Coordinators
b
b
b
Non-High-Risk ...........
Security-Sensitive Employees ......................
............................
........................
....................
...................................
Security Coordinators
b
b
b
High-Risk ..................
Security-Sensitive Employees ......................
b
b
....................
...................................
Security Coordinators
b
b
b
Non-High-Risk ...........
Security-Sensitive Employees ......................
............................
........................
....................
...................................
Security Coordinators
b
b
b
High-Risk ..................
Security-Sensitive Employees ......................
............................
........................
....................
...................................
Security Coordinators
b
b
b
Non-High-Risk ...........
Security-Sensitive Employees ......................
............................
........................
....................
...................................
Security Coordinators
............................
........................
....................
public transportation and passenger
railroad (PTPR) operators, OTRB
C. Costs and Benefits
Table 2 identifies estimated 10-year
costs to certain freight railroad carriers,
operators, and TSA; and the overall cost
of this proposed rule.
TABLE 2—COST OF THE PROPOSED RULE
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Estimated costs
(millions, over 10 years,
discounted at 7 percent)
Freight Railroad .........................................................................................................................................................
Public Transportation and Passenger Railroads .......................................................................................................
(PTPR) .......................................................................................................................................................................
OTRB .........................................................................................................................................................................
TSA ............................................................................................................................................................................
$31.43
Total ....................................................................................................................................................................
86.58
9 This portion of the STA is called ‘‘terrorism
check and other analyses.’’ This portion of the STA
may include searches of many data sources, such
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as the consolidated terrorist watchlist (TSDB), U.S.
Marshal’s Service wants and warrants, U.S.
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52.96
0.92
1.27
Department of State lost and stolen passports, and
Interpol.
10 See 6 U.S.C. 469.
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As compared to attacks carried out by
passengers, attacks carried out by
employees pose a higher likelihood of
success and/or a larger impact due to
employees’ knowledge of the systems,
infrastructure, vulnerabilities and
operations. Also, employees possess
unique access to critical operations and
areas, which permits them to move with
ease in sensitive areas where similar
actions by passengers would be more
readily identified as suspicious activity,
and increases the opportunity and
confidence to commit an attack. Known
or suspected terrorists (KSTs) are more
likely to be responsible for a
disproportionate number of all attacks
as compared to their proportion of the
population, and thus moving KSTs and
other higher-risk individuals out of the
‘insider’ positions employees hold
reduces risk, while affecting a very
small percentage of all employees.
Initial vetting inhibits applicants or
existing employees from commencing or
continuing their employment, which
deters their ability to carry out an act.
Recurrent vetting ensures employees
who become threats can be removed
quickly, reducing the overall net risk to
this industry. While is it not possible to
quantify the net risk reduction
employee vetting creates, TSA’s
comprehensive vetting of transportation
workers has effectively identified
insider threats. The effort creates a
meaningful reduction of risk of an
insider attack, which benefits
transportation security.
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II. Background
A. Statutory and Regulatory History
Following the terrorist attacks of
September 11, 2001, Congress created
the National Commission on Terrorist
Attacks Upon the United States (9/11
Commission).11 The 9/11 Commission
investigated the facts and circumstances
relating to the attacks, and, on July 22,
2004, issued its Report.12
In the Report, the 9/11 Commission
recognized that transportation involves
more than just aviation, noting that
‘‘[a]bout 6,000 agencies provide transit
services through buses, subways, ferries,
and light-rail service to about 14 million
Americans.’’ 13 The 9/11 Commission
also recognized that ‘‘[o]pportunities to
do harm are as great, or greater, in
maritime or surface transportation’’ as
they are in aviation.14 The Commission
11 Title VI, Intelligence Authorization Act for
Fiscal Year 2003, Public Law 107–306 (116 Stat.
2383; Nov. 7, 2002).
12 The 9/11 Commission Report is available at
https://www.9-11commission.gov/.
13 Report, p. 390–1.
14 Report, p. 391.
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specifically noted the ‘‘use of insiders’’
as a possible terrorist tactic.15 The
Commission included in its report
numerous recommendations for further
action by the U.S. Government and
other actors.16
In the 9/11 Act, Congress
implemented many of the 9/11
Commission’s recommendations.
Congress requires TSA to issue
regulations on security training, vetting,
vulnerability assessments, and security
plans for surface transportation entities.
TSA is complying with the statute by
issuing separate, but related
rulemakings.17 This rulemaking
addresses the 9/11 Act requirements to
conduct ‘‘security background checks’’
of certain public transportation, railroad
carrier, and OTRB employees. For
purposes of this rulemaking and
consistent with common vetting
terminology, TSA uses the term
‘‘security threat assessment (STA)’’ in
place of ‘‘security background checks’’
and the terms have the same meaning.
The 9/11 Act requires TSA to evaluate
an individual in the STA process to
identify ‘‘individuals who may pose a
threat to transportation security or
national security, or of terrorism.’’ 18
Individuals who may pose such threats
are not eligible to perform securitysensitive or security coordinator
functions. TSA proposes to use this
standard set forth in the 9/11 Act for all
individuals who apply for an STA
under this rulemaking.
Under the 9/11 Act, TSA must
conduct an STA of frontline public
transportation employees 19 and railroad
employees 20 that includes a terrorism
and immigration check. TSA calls this
a Level 2 check. The 9/11 Act does not
require a Level 2 check of frontline
OTRB employees. The 9/11 Act also
states that public transportation 21 and
railroad 22 employees who are subject to
security vetting should have an
adequate redress process available to
them to ensure that they are not
removed or deemed ineligible in error.
Finally, the 9/11 Act requires security
coordinators of railroads 23 and OTRB 24
owner/operators to be U.S. citizens,
15 Report,
p. 392.
pp. 367–398.
17 See Security Training for Surface
Transportation Employees Final Rule, 85 FR 16456
(March 23, 2020), as amended by 85 FR 25315 (May
1, 2020), 85 FR 67681 (Oct. 26, 2020), and 86 FR
23629 (May 4, 2021) (Security Training Final Rule).
18 See 6 U.S.C. 1143(a)(1), 1170(a)(1).
19 See 6 U.S.C. 1140.
20 9/11 Act sec. 1520.
21 See 6 U.S.C. 1143(d).
22 See 6 U.S.C. 1170(d).
23 See 6 U.S.C. 1162(e)(2).
24 See 6 U.S.C. 1181(e)(2).
16 Report,
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unless TSA waives this requirement
after conducting an appropriate STA.
TSA has extensive responsibility for
and experience in vetting individuals
who access the nation’s transportation
system. TSA has broad general authority
to ‘‘require background checks for
airport security screening personnel,
individuals with access to secure areas
of airports, and other transportation
security personnel.’’ 25 In addition, there
are statutes that require TSA to conduct
STAs of specific individuals, such as:
(1) certain airport and airline workers; 26
(2) certain merchant mariners and
individuals who require unescorted
access to secure areas of vessels and
maritime facilities; 27 (3) individuals
seeking hazardous materials
endorsements (HMEs) on commercial
driver’s licenses issued by the States; 28
and (4) applicants for trusted traveler
status to participate in the TSA
PreCheck® Application Program.29
An STA is an inquiry to confirm an
individual’s identity and determine
whether the individual poses or may
pose a security threat to transportation
or national security, or of terrorism.
Individuals who TSA determines do not
to pose a threat may be eligible for
access to transportation infrastructure or
assets, or other privileges and
credentials. An STA consists of one or
more checks against certain data
sources, which may include terrorist or
other government or intelligence
watchlists, Interpol, immigration
records, and criminal history records.
As explained below, the specific checks
TSA performs vary depending on the
governing statutory requirements and
the security needs associated with the
access, privilege, or credential the
individual seeks. In this NPRM, we
propose the vetting standards and
redress required by the 9/11 Act. In
addition, we propose to conduct
recurrent vetting and renewal of the
STA every 5 years. The recurrent vetting
and STA renewal is not required by the
9/11 Act, but is necessary to create a
useful and effective inquiry into these
transportation workers.
B. Specific Provisions
1. Security-Sensitive Employees. Like
the 9/11 Act training requirements that
were the subject of a separate
25 See
49 U.S.C. 114(f)(12).
49 U.S.C. 44936; 49 CFR 1542.209,
1544.229, 1544.230.
27 See 46 U.S.C. 70105; 49 CFR part 1572.
28 See 49 U.S.C. 5103a; 49 CFR part 1572.
29 See 49 U.S.C 114 note; 78 FR 72922 (Dec. 4,
2013).
26 See
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rulemaking,30 the 9/11 Act vetting
requirements refer to ‘‘frontline’’
employees (that is, ‘‘public
transportation frontline employees’’ in
section 1411 and ‘‘frontline railroad
employees’’ in section 1520). The 9/11
Act provides definitions for ‘‘frontline
employee’’ within each mode of
transportation.31 For instance, the
statute defines the term ‘‘railroad
frontline employees’’ to mean security
personnel, dispatchers, locomotive
engineers, conductors, trainmen, other
onboard employees, maintenance and
maintenance support personnel, bridge
tenders, and any other railroad
employees that the Secretary of
Homeland Security determines should
receive security training. The statute
provides similar definitions for OTRB
and public transportation operations.
As part of the Security Training
rulemaking, TSA adopted the term
‘‘security-sensitive employees’’ instead
of ‘‘frontline employees’’ to capture the
individuals who are subject to the 9/11
Act requirements.32 TSA analyzed the
employees listed in the 9/11 Act’s
definitions of ‘‘frontline employees’’
and considered whether employees are
in a position to detect suspicious
activity because of where they work,
their interaction with the public, or
their access to information. TSA also
considered which individuals may need
to know how to report or respond to
these potential threats. As a result of
this analysis, TSA determined that
employees who perform functions with
a direct nexus to, or impact on
transportation security, should be called
‘‘security-sensitive employees’’ rather
than ‘‘frontline employees.’’
In this rulemaking, consistent with
the 9/11 Act (which, as noted above,
uses the ‘‘frontline employee’’
terminology with respect to both
training and vetting), and the
applicability and terminology of the
Security Training rulemaking, TSA
proposes to implement the requirement
to vet ‘‘frontline’’ rail and public
transportation employees by issuing
vetting regulations that apply to the
same population of ‘‘security-sensitive’’
rail and public transportation
employees covered by the Security
Training rulemaking.33 The following
tables, taken from the Security Training
rulemaking, describe the securitysensitive functions that, under this rule,
would be subject to new vetting
requirements.34
TABLE 3—SECURITY-SENSITIVE FUNCTIONS FOR FREIGHT RAIL
Examples of job titles applicable to
these functions *
Categories
Security-sensitive job functions for freight rail
A. Operating a vehicle .....................
1. Employees who operate or directly control the movements of locomotives or other
self-powered rail vehicles.
2. Train conductor, trainman, brakeman, or utility employee or performs acceptance inspections, couples and uncouples rail cars, applies handbrakes, or similar functions.
3. Employees covered under the Federal hours of service laws as ‘‘train employees.’’
See 49 U.S.C. 21101(5) and 21103.
Employees who inspect or repair rail cars and locomotives ................................................
B. Inspecting and maintaining vehicles.
C. Inspecting or maintaining build1. Employees who—
ing or transportation infrastructure.
a. Maintain, install, or inspect communications and signal equipment.
b. Maintain, install, or inspect track and structures, including, but not limited to,
bridges, trestles, and tunnels.
D. Controlling dispatch or movement of a vehicle.
E. Providing security of the owner/
operator’s equipment and property.
F. Loading or unloading cargo or
baggage.
G. Interacting with travelling public
(on board a vehicle or within a
transportation facility).
H. Complying with security programs or measures, including
those required by Federal law.
2. Employees covered under the Federal hours of service laws as ‘‘signal employees.’’
See 49 U.S.C. 21101(3) and 21104.
1. Employees who—
a. Dispatch, direct, or control the movement of trains.
b. Operate or supervise the operations of moveable bridges.
c. Supervise the activities of train crews, car movements, and switching operations
in a yard or terminal.
2. Employees covered under the Federal hours of service laws as ‘‘dispatching service
employees.’’ See 49 U.S.C. 21101(2) and 21105.
Employees who provide for the security of the railroad carrier’s equipment and property,
including acting as a railroad police officer (as that term is defined in 49 CFR 207.2).
Engineer, conductor.
Carman, car repairman, car inspector, engineer, conductor.
Signalman, signal maintainer,
trackman, gang foreman, bridge
and building laborer, roadmaster,
bridge, and building inspector/operator.
Yardmaster, dispatcher, block operator, bridge operator.
Police officer, special agent; patrolman; watchman; guard.
Includes, but is not limited to, employees that load or unload hazardous materials ...........
Service track employee.
Employees of a freight railroad operating in passenger service ..........................................
Conductor, engineer, agent.
1. Employees who serve as security coordinators designated in § 1570.201 of this subchapter, as well as any designated alternates or secondary security coordinators.
2. Employees who—
a. Conduct training and testing of employees when the training or testing is required
by TSA’s security regulations.
b. Perform inspections or operations required by § 1580.205 of this subchapter.
c. Manage or direct implementation of security plan requirements.
Security coordinator, train master,
assistant train master,
roadmaster, division roadmaster.
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* These job titles are provided solely as a resource to help understand the functions described; whether an employee must be trained is based upon the function,
not the job title.
30 See Security Training for Surface
Transportation Employees Final Rule, 85 FR 16456
(March 23, 2020), as amended by 85 FR 25315 (May
1, 2020), 85 FR 67681 (Oct. 26, 2020), and 86 FR
23629 (May 4, 2021).
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31 See 6 U.S.C. 1151(6) (railroads), 6 U.S.C.
1131(4) (public transportation), and 6 U.S.C.
1151(5) (OTRB).
32 See 81 FR 91336, 91353–91355; 85 FR 16456,
16475.
33 See 49 CFR 1580.3, 1582.3, and 1584.3 in the
Security Training Final Rule.
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34 Note that we are not providing a chart of the
OTRB employees who are considered ‘‘securitysensitive’’ because the statute does not require TSA
to conduct STAs of OTRB security-sensitive
employees, and TSA has determined that it is
unnecessary to impose such a requirement at this
time.
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TABLE 4—SECURITY-SENSITIVE FUNCTIONS FOR PUBLIC TRANSPORTATION AND PASSENGER RAILROADS
Categories
Security-sensitive job functions for Public Transportation and Passenger Railroads (PTPR)
A. Operating a vehicle ...................................
1. Employees who—
a. Operate or control the movements of trains, other rail vehicles, or transit buses.
b. Act as train conductor, trainman, brakeman, or utility employee or performs acceptance inspections, couples
and uncouples rail cars, applies handbrakes, or similar functions.
2. Employees covered under the Federal hours of service laws as ‘‘train employees.’’ See 49 U.S.C. 21101(5) and
21103.
Employees who—
1. Perform activities related to the diagnosis, inspection, maintenance, adjustment, repair, or overhaul of electrical or
mechanical equipment relating to vehicles, including functions performed by mechanics and automotive technicians.
2. Provide cleaning services to vehicles owned, operated, or controlled by an owner/operator regulated under this subchapter.
Employees who—
1. Maintain, install, or inspect communication systems and signal equipment related to the delivery of transportation
services.
2. Maintain, install, or inspect track and structures, including, but not limited to, bridges, trestles, and tunnels.
3. Provide cleaning services to stations and terminals owned, operated, or controlled by an owner/operator regulated
under this subchapter that are accessible to the general public or passengers.
4. Provide maintenance services to stations, terminals, yards, tunnels, bridges, and operation control centers owned,
operated, or controlled by an owner/operator regulated under this subchapter.
5. Employees covered under the Federal hours of service laws as ‘‘signal employees.’’ See 49 U.S.C. 21101(4) and
21104.
Employees who—
1. Dispatch, report, transport, receive or deliver orders pertaining to specific vehicles, coordination of transportation
schedules, tracking of vehicles and equipment.
2. Manage day-to-day management delivery of transportation services and the prevention of, response to, and redress
of service disruptions.
3. Supervise the activities of train crews, car movements, and switching operations in a yard or terminal.
4. Dispatch, direct, or control the movement of trains or buses.
5. Operate or supervise the operations of moveable bridges.
6. Employees covered under the Federal hours of service laws as ‘‘dispatching service employees.’’ See 49 U.S.C.
21101(2) and 21105.
Employees who—
1. Provide for the security of PTPR equipment and property, including acting as a police officer.
2. Patrol and inspect property of an owner/operator regulated under this subchapter to protect the property, personnel,
passengers and/or cargo.
Employees who load, or oversee loading of, property tendered by or on behalf of a passenger on or off of a portion of
a train that will be inaccessible to the passenger while the train is in operation.
Employees who provide services to passengers on-board a train or bus, including collecting tickets or cash for fares,
providing information, and other similar services. Including:
1. On-board food or beverage employees.
2. Functions on behalf of an owner/operator regulated under this subchapter that require regular interaction with travelling public within a transportation facility, such as ticket agents.
1. Employees who serve as security coordinators designated in § 1570.201 of this subchapter, as well as any designated alternates or secondary security coordinators.
2. Employees who—
a. Conduct training and testing of employees when the training or testing is required by TSA’s security regulations.
b. Manage or direct implementation of security plan requirements.
B. Inspecting and maintaining vehicles .........
C. Inspecting or maintaining building or
transportation infrastructure.
D. Controlling dispatch or movement of a vehicle.
E. Providing security of the owner/operator’s
equipment and property.
F. Loading or unloading cargo or baggage ...
G. Interacting with travelling public (on board
a vehicle or within a transportation facility).
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H. Complying with security programs or
measures, including those required by
Federal law.
The 9/11 Act uses the term
‘employees’ when discussing the
individuals who must undergo an STA.
However, TSA understands this term to
include any individual who performs
the security-sensitive functions outlined
in the charts above or acts as a security
coordinator, regardless of whether they
have a strict employer/employee
relationship with the operator. If an
operator enters into a contract with a
company to provide on-board food and
beverage service on public
transportation, as described in Line G in
the chart above, the individuals who
perform those security-sensitive services
are in positions to create security
vulnerabilities regardless of whether
they are ‘employees’ or authorized
representatives, including contract
personnel, of the operator.
TSA defines an authorized
representative in 49 CFR 1500.3 as a
person who is not a direct employee of
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the operator, but is authorized to act on
the operator’s behalf to perform required
security measures. The term ‘authorized
representative’ includes agents,
contractors, and subcontractors. Also,
TSA defines contractor in 49 CFR
1570.3 as a person or organization that
provides a service for an owner/operator
regulated under this subchapter
consistent with a specific understanding
or arrangement. The understanding can
be a written contract or an informal
arrangement that reflects an ongoing
relationship between the parties.
For purposes of this proposed
rulemaking, TSA intends that an
employee or authorized representative
(including contractor) of an operator
who performs security-sensitive
functions or acts as a security
coordinator would be subject to the
vetting requirements set forth in the 9/
11 Act. TSA believes Congress intends
TSA to apply the same level of scrutiny
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to employees or authorized
representatives (including contractors)
who perform these security functions.
An alternate view in which an
authorized representative performing
security functions would not be subject
to the STA an employee must undergo
for performing the same functions
would undermine the purpose of the 9/
11 Act provisions and create obvious
security risks. In all modes of
transportation where TSA requires
individuals who perform security
functions or have access to secured
areas to undergo an STA, an employer/
employee relationship is not required to
trigger the STA. For purposes of the
vetting standards TSA administers, the
individual’s access or function that can
impact the security of operations is the
factor that determines whether an STA
is required. If TSA adopted standards in
which an employer could evade vetting
requirements altogether by using
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authorized representatives/contractors,
the vetting framework would be a sieve
permitting individuals with bad intent
to move undetected in the
transportation system.
The 9/11 Act provides that TSA must
complete a ‘‘name-based security
background check against the
consolidated terrorist watchlist and an
immigration status check’’ 35 that is
similar to the threat assessment
screening program that TSA conducted
for maritime employees and
longshoremen pursuant to a notice
issued by the U.S. Coast Guard (USCG)
in 2006.36 That Notice required port
facility owner/operators to provide
biographic information of all
longshoremen and other individuals
who enter the port regularly on
spreadsheets to the USCG. The USCG
then delivered the information to TSA,
and TSA conducted a name-based
terrorism and immigration status check
using the biographic information
provided. The Notice required facility
operators and unions to ‘‘provide, on a
continuing basis, the above-listed
information for all new facility
employees or longshoremen in a timely
manner.’’ 37 The use of spreadsheets was
necessary because TSA had not yet
established enrollment centers to collect
the necessary information
electronically. TSA conducted this
vetting while preparing the TWIC
rulemaking that established the
enrollment and vetting process it now
uses for maritime employees. After
publication of the Notice, TSA and
USCG issued a joint rulemaking in
January 2007 that established the TWIC
vetting program. The rule established
tiers of vetting, disqualification
standards, and the requirement to renew
the STA every 5 years. Once the TWIC
rule became effective, it supplanted any
vetting that was being done under the
Notice.
While this process achieved the
purpose of conducting vetting of the
maritime workforce, it was resourceintensive and subject to errors due to
the manual data collection and entry
process. Since 2006, TSA’s enrollment
and vetting capabilities have matured
substantially, and the new electronic
processes are faster, more accurate, and
more efficient. Also, various terrorist
databases administered by other
agencies have matured and grown. TSA
is better positioned now to collect the
necessary data and conduct recurrent 38
35 9/11
Act, sec. 1411, 1520.
FR 25066 (April 28, 2006).
37 Id. at 25067.
38 The term ‘recurrent vetting’ means TSA vets a
name against the database each time the database
36 71
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(daily) vetting electronically. Therefore,
TSA proposes to conduct the STA
called for in the 9/11 Act using the
improved procedures and capabilities
we now possess and use regularly in
other vetting programs. Also, TSA
proposes to conduct recurrent vetting of
the terrorism/other analysis check for
this population, as TSA does for all
other vetting programs. A one-time vet
of names would be viewed as
substandard and the cost reduction
would not justify the loss of security
benefits. All of the vetting databases
change daily, and thus a snapshot of a
workforce in place for one day in time
serves minimal long-term security
benefit. An individual who passes a
terrorism check Monday, may be newly
identified as a threat and appear on a
terrorist watchlist Tuesday. TSA’s
recurrent vetting does not require the
vetted individual to perform any
additional efforts; TSA’s systems simply
continue to run the biographic data
collected against the watchlists each
time they are amended, permitting TSA
to conduct an investigation if any new
information is discovered during the
course of an individual’s authorized
access to indicate that they may pose a
security threat. While the 9/11 Act does
not expressly require recurrent vetting
or renewal of the STA, TSA is
authorized 39 to use its discretion and
expertise in vetting to propose these
procedures. Moreover, we believe
Congress fully intends that TSA
establish programs that are effective in
identifying risks to transportation
security.
Consistent with the 9/11 Act, TSA
proposes to require security-sensitive
employees of covered public
transportation and railroad operators to
undergo a Level 2 check that includes
an immigration check and terrorism/
other analyses check. For the terrorism/
other analyses check, TSA reviews
biographic information, documents, and
databases to confirm an individual’s
identity, and searches government and
non-government databases, including
terrorist watchlists, criminal wants and
warrants, Interpol, and other domestic
and international sources, relevant to
determining whether an individual may
pose or poses a threat to transportation
or national security, or of terrorism. If
TSA determines that the individual
poses or may pose a threat, the
individual is not eligible for the
security-sensitive position.
is amended with new or revised information. This
typically happens on a daily basis, and often more
than once a day. TSA continues to recurrently
conduct the terrorism check for the duration of the
STA, which is typically 5 years.
39 See 49 U.S.C. 114(f).
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TSA conducts the terrorism/other
analyses check recurrently for the
duration of the STA, which is 5 years
in most TSA vetting programs, and we
propose the same for surface employees.
Thus, if an individual initially ‘‘passes’’
the STA, but is later placed on a
watchlist, TSA can quickly take
appropriate action to disqualify the
worker or otherwise minimize the
threat.
The immigration check TSA proposes
for security-sensitive employees would
verify that the individual is a U.S.
citizen or national, or a non-citizen who
is a lawful permanent resident, refugee,
asylee, lawful nonimmigrant, paroled
into the U.S., or is otherwise authorized
to work in the U.S. TSA conducts
immigration checks by using the U.S.
Citizenship and Immigration Services’
(USCIS) Systematic Alien Verification
for Entitlements (SAVE) Program. The
SAVE Program is a government system
designed to assist Federal, State, tribal,
and local government agencies in
determining an individual’s
immigration category to ensure that
authorized individuals lawfully receive
benefits or licenses.
As noted above, the 9/11 Act does not
require TSA to conduct STAs of OTRB
security-sensitive employees, and we
are not proposing a Level 2 check of
these individuals in this NPRM.
However, TSA is considering adding
that requirement in the final rule and
invites comment from industry
stakeholders on such a requirement.
TSA is concerned that new terrorismrelated tactics have emerged since
passage of the 9/11 Act, including the
use of vehicles in crowds to injure and
kill innocent pedestrians. Beginning
with the attack in Nice, France in 2016,
vehicle ramming attacks have escalated.
In 2017, 17 vehicle ramming attacks
throughout the world were verified as
terrorist-based, resulting in 173 fatalities
and 667 injuries.
Moreover, buses, including those used
for OTRB routes, are often provided
extraordinary access and proximity to
special events, athletic games, concerts
or shopping venues, as a convenience to
event-goers and as a traffic congestion
tool for organizers. An ‘‘insider,’’ such
as an OTRB driver, would have greater
opportunity to harm event attendees by
using a vehicle-borne improvised
explosive device or simply conducting a
ramming attack at passenger staging
areas. The opportunity for harm using
an OTRB may be greater than with use
of a public transportation vehicle
because OTRB operations include
interstate business, which requires the
vehicles to be capable of travelling
much greater distances with much
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heavier loads than transit buses. As a
result, the typical OTRB is larger,
heavier, and equipped with underfloor
luggage storage areas not found in
transit buses. Based upon its design, the
OTRB is capable of transporting large
volumes of dangerous materials that
could be used in a terrorist attack.
TSA estimates that the addition of
OTRB security-sensitive employee
vetting would affect an additional
estimated 47,423 OTRB employees,
compared with the current public
transportation/passenger rail population
of approximately 179,337 and freight
rail population estimated at 122,236.
TSA estimates that the total annualized
cost of compliance would increase by
$2.2 million.
TSA invites comment on requiring
Level 2 vetting for OTRB securitysensitive employees as part of this
rulemaking. TSA has broad statutory
authority to assess the need for and
require vetting of transportation
workers.40 Under this authority, TSA
may require OTRB workers to undergo
the same vetting that we are proposing
to require for security-sensitive public
transportation and railroad workers. We
invite stakeholders to comment on the
relative security risks that are associated
with OTRB operations, including
insider threats and public sector
vulnerabilities. Also, TSA invites
comment and data on the costs to
owner/operators and individuals as a
result of new vetting requirements, and
ways to reduce costs.
2. Security Coordinators. In the
Security Training rulemaking, TSA
requires covered public transportation,
railroad, and OTRB owner/operators to
employ security coordinators.41
Security coordinators perform important
security functions, including
coordinating the owner/operator’s
security procedures internally and with
appropriate law enforcement and
emergency response agencies. These
individuals typically have access to SSI,
Personally Identifiable Information and
sensitive information from government
threat briefings, all of which require
responsible handling. For these reasons,
TSA proposes to require a more
comprehensive Level 3 STA for security
coordinators. TSA proposes that
security coordinators must successfully
complete a fingerprint-based criminal
history records check (CHRC) in
addition to the immigration and
terrorism/other analyses checks. TSA
40 See
49 U.S.C. 114(f).
Security Training for Surface
Transportation Employees Final Rule, 85 FR 16456
(March 23, 2020), as amended by 85 FR 25315 (May
1, 2020), 85 FR 67681 (Oct. 26, 2020), and 86 FR
23629 (May 4, 2021) (Security Training Final Rule).
41 See
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requires security coordinators in other
modes of transportation and certain
individuals with access to SSI to
undergo this more thorough STA as
well.
TSA is proposing the same CHRC
standards that currently apply in the
TWIC and HME programs, codified at 49
CFR part 1572, for the Level 3 STA in
this rulemaking. In the 9/11 Act,
Congress provided that if TSA chose to
require a CHRC for these surface
workers, the TWIC/HME standards for
CHRCs and redress should apply.42
Also, TSA proposes to codify the
redress procedures in place for TWIC
and HME applicants that are currently
codified in 49 CFR part 1515, for
security coordinators covered by this
NPRM. Depending on the nature of the
disqualification, individuals may appeal
TSA’s eligibility decision by asserting
that the records on which TSA made its
decision are incorrect; apply for a
waiver of the criminal standards by
asserting that the individual is
rehabilitated; appeal TSA’s waiver
denial to an Administrative Law Judge;
or seek review by the TSA Decision
Maker.
The 9/11 Act provides that an
individual serving as a security
coordinator for a rail carrier or an OTRB
owner/operator must be a citizen of the
United States, unless TSA conducts an
STA in place of the citizenship
requirement.43 TSA proposes more
thorough vetting for security
coordinators, and this level of vetting
satisfies the 9/11 Act as a substitute for
the U.S. citizenship requirement. The
security coordinator vetting
requirements would apply to all rail
carrier and OTRB security coordinators,
including individuals who are not U.S.
citizens.
3. Rap Back and IDENT. For all STAs
that require a CHRC, TSA plans to
conduct the CHRC through the Federal
Bureau of Investigation (FBI), as is
customary. Also, TSA plans to
implement the FBI’s Criminal Justice
Information System (CJIS) ‘‘Rap Back’’
service for these individuals. Rap Back
enables TSA to receive new criminal
history information after the initial
submission of fingerprints. Prior to the
implementation of Rap Back, TSA had
to submit new fingerprints and fees to
obtain any new criminal history on an
individual. The Rap Back service
42 See 6 U.S.C. 1143(c)–(d) for public
transportation; 6 U.S.C. 1170(c)–(d) for railroads.
Because TSA is conducting the vetting, rather than
requiring the operator to do so, TSA would
implement the redress standards Congress intended
to apply to individuals who receive adverse vetting
results, and not the operators.
43 See 6 U.S.C. 1162(e)(2), 1181(e)(2).
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provides a ‘‘recurrent’’ criminal vetting
capability that will enhance security
significantly by providing TSA with
timely criminal history information,
rather than waiting for long periods,
sometimes several years, to obtain the
most recent criminal information. With
Rap Back, TSA can determine that an
individual who initially passed the
CHRC and was eligible for access has
become ineligible due to a recent
disqualifying criminal offense. Rap Back
has become an integral part of a CHRC
and is now the industry standard for
criminal vetting. TSA has implemented
Rap Back for other vetting programs
such as airport and aircraft operator
employees and TWIC holders, and
proposes to use it for the CHRCs that
would be conducted under this
proposed rule. The implementation of
Rap Back will not affect the type or
amount of information TSA must collect
from each individual at enrollment.
TSA also plans to submit the
fingerprints to the Automated
Biometrics Identification System
(IDENT), which is operated by the
DHS’s Office of Biometric Identity
Management. IDENT is the
Departmental biometric repository and
provides additional, important
information for TSA to use as part of the
vetting process.
4. Identity (ID) Verification. TSA is
proposing to require in-person ID
verification at a TSA enrollment center
as part of the vetting process. Accurately
verifying the identity of each individual
whom TSA vets remains one of the most
important aspects of combatting insider
threats and fraud. In-person ID
verification provides a higher level of
confidence that individuals are who
they claim to be. TSA’s enrollment
personnel are trained to examine
documents for evidence of fraud and
may use electronic software that scores
the identity documents for fraud. Also,
if the documents presented are of
concern to the enrollment agents, the
agents can flag them for further analysis
during the adjudication process, when
adjudicators can compare the biographic
information presented with other
government or public records.
TSA considered proposing an entirely
on-line ID verification and enrollment
process, particularly where there is no
need to collect fingerprints or take a
photograph. However, TSA believes online ID verification creates opportunities
for fraud relative to TSA’s capacity to
detect fraud at a physical enrollment
center. TSA invites comments from
stakeholders on potential ways to instill
the same or greater level of reliability in
on-line ID verification as we have for inperson ID verification.
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5. Use of TSA enrollment centers.
TSA proposes in this rulemaking to use
its established enrollment process for
vetting the individuals covered by this
rule. TSA operates a network of more
than 300 enrollment centers that are
widely dispersed throughout the United
States and abroad, and currently service
TSA’s TWIC, HME, and TSA PreCheck®
programs. In addition to the stationary
sites, TSA’s enrollment contractor offers
opportunities for setting up mobile
enrollment sites at specific workplaces.
Each employer would be able to contact
TSA’s provider directly to discuss the
number of employees who must enroll,
potential locations, whether the
provider would charge a fee for the
service, and other details necessary to
finalize an on-site, mobile enrollment
center. These mobile sites minimize
work disruption and employee travel
time to an enrollment center. Also,
employers can ensure that the entire
workforce enrolls in a finite, relatively
short period of time.
TSA’s contractor also provides
employers the capability to conduct
their own enrollments. This enrollment
method is called an ‘‘authorized nonpublic enrollment capability.’’ If an
employer is interested in hosting their
own enrollment center to service their
employees, they work directly with the
contractor to reach a mutually
acceptable agreement regarding the
requirements and any associated costs
for this arrangement. Employers would
provide the enrollment center space and
resources (such as Trusted Agents to act
as enrollment personnel) to operate the
enrollment center. The space and
personnel must meet the contractual
requirements, which include internet
connectivity, sufficient furniture, and
privacy screens to protect an applicant’s
personal information as it is entered
into the enrollment system. The
employer’s Trusted Agents would have
to undergo a Level 3 STA, given their
access to personally identifiable
information, just as TSA’s contractor
Trusted Agents do. TSA’s contractor
would provide the enrollment
hardware, software, and other
equipment required to conduct
enrollments. Additionally, the
contractor would provide training and
quality assurance oversight for the
authorized non-public enrollment
center. The agreement to operate an
authorized non-public enrollment
center is a contract between the
interested employer and TSA’s
contractor, and not an agreement with
TSA directly. Under this scenario, the
owner/operators are not ‘regulated’ by
TSA as an enrollment provider, but
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work directly with the contractor and
ensure that they satisfy the contractual
requirements.
TSA considered the alternative of
requiring or permitting owner/operators
subject to this NPRM to act as
enrollment providers, rather than using
the TSA enrollment contractor for these
services. Under this scenario, the
owner/operators would be directly
regulated by TSA to meet standards that
are similar to the contractual
requirements TSA and TSA’s
enrollment provider have developed.
The owner/operators would provide
their own trained Trusted Agents to
collect information and fees from STA
applicants and develop secure
connections to TSA’s systems that meet
all Federal cyber security requirements.
The employers would be required to
ensure that the Trusted Agents adhere to
minimum enrollment standards for
verifying identity, protecting personal
information, accurately collecting
biometric and biographic information,
and processing TSA’s fees correctly.
This alternative would eliminate the
need for employees to travel to an
enrollment site outside the workplace.
However, owner/operators would be
subject to compliance inspections and
potentially civil penalties if their
enrollment procedures were
noncompliant. Also, the owner/
operators would have to bear the
significant costs associated with
establishing and maintaining the
electronic systems and staff to conduct
enrollment. An owner/operator would
have to undergo significant system
testing, certification, and accreditation
to connect to TSA’s vetting systems to
meet heightened Federal security and
privacy requirements, and maintain a
high level of security and performance
to remain certified. Firewalls would
have to be developed and used to ensure
that an owner/operator could access
only their employee data, and to prevent
any damage to TSA’s systems if the
owner/operator’s system malfunctioned.
Given the nature of cyber threats and
capabilities, TSA’s previous experience
with shared enrollment roles, and the
extremely sensitive information that
must be transmitted, TSA is currently
unwilling to permit private employers
to connect to its vetting systems.
TSA invites public comment on using
TSA enrollment services or permitting
owner/operators to conduct enrollment
for this population.
6. Vetting structure. In this
rulemaking, TSA proposes to add a new
part 1530 where the vetting standards,
fees, and redress procedures would be
codified. TSA proposes to organize all
facets of the vetting process in one part
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for the convenience of the parties who
must undergo vetting, and to aid in
providing consistent standards and fees.
TSA currently operates approximately
30 different vetting programs, such as
the aviation workers (airport and aircraft
owner/operators), TWIC, HME, and TSA
PreCheck® programs and proposes to
leverage the experience and best
practices from them in new part 1530.
As discussed above, TSA proposes
three ‘‘levels’’ of STAs, labeled Level 1,
Level 2, and Level 3. The ‘‘lowest’’ level
STA (Level 1) would provide the
minimum vetting TSA would conduct
and the ‘‘higher’’ levels (Level 2 and
Level 3) would provide increased
scrutiny, given statutory requirements
and the risks associated with the
functions that an individual performs.
This modular, standardized approach
would increase the ability for
individuals to reuse all or part of an
earlier STA to satisfy a later STA
requirement. For example, an employee
who successfully completes a Level 2
STA for a public transportation agency
will be able, in most circumstances, to
use that Level 2 STA for a position that
requires a Level 2 STA with a railroad
operator, as long as the STA has not
expired. As described below, all STAs
would expire at the end of 5 years. Also,
even if the entire STA is not
comparable, one or more of the checks
that comprise the STA may be re-usable.
Consider the example of a securitysensitive employee for a public
transportation operator who
successfully completes a Level 2 STA,
and who subsequently takes a job as a
security coordinator, which would
require a Level 3 STA under this
rulemaking. Even though the Level 2
and Level 3 STAs are different and thus
not comparable in their entirety, they
nonetheless share certain checks in
common. In this example, both levels of
STA require an immigration check and
terrorism/other analyses check. TSA
would be able re-use the earlier
terrorism/other analyses and
immigration checks (assuming they are
still valid) for purposes of the second
STA. This means the individual would
only have to complete the CHRC
required for the Level 3 STA. Note that
the Level 3 STA would expire when the
Level 2 STA expired.
7. Effective dates and compliance.
TSA recognizes that this rulemaking
would affect many surface
transportation owner/operators and
many individuals who have not
previously had to comply with security
vetting requirements. There may be
logistical issues involved with achieving
initial compliance, including
implementing new management
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policies, employee education, and
related administrative tasks. Therefore,
TSA proposes to take a risk-based,
phased approach to implementation of
this rule. TSA anticipates that there are
far fewer security coordinators than
security-sensitive workers, and
understands that security coordinators
play a more critical role in the overall
security regime contemplated by the 9/
11 Act. For these reasons, TSA proposes
an implementation period of 6 months
for requirements relating to security
coordinators, and 12 months for
requirements relating to securitysensitive employees. These timeframes
represent our initial judgment about
how to balance security against the
burden on regulated parties. TSA invites
comment on how the rule’s
requirements should be phased in and
become effective, including the
appropriate timeframes.
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III. Analysis of Proposed Part 1530
A. Introduction
Proposed part 1530 would provide a
complete framework for conducting
vetting, collecting user fees, and
administering appeals and waivers. TSA
is using 49 CFR part 1515, which
currently applies to individuals
required to undergo STAs for TWIC,
HME, or Indirect Air Carrier credentials,
as a model for proposed part 1530.
Proposed 1530 includes organizational
and language improvements over part
1515 to address issues that TSA has
become aware of over time, but it is
substantively very similar to part 1515.
The proposed procedures and standards
for conducting STAs set out in part 1530
would apply to the surface
transportation owner/operators and
employees covered by this rulemaking.
When finalized, part 1530 will address
these surface workers and TSA will take
the appropriate regulatory action to
apply part 1530 to the populations
currently covered by 1515.
We propose to organize part 1530 into
six subparts. Subpart A would address
topics generally applicable to the STA
process, such as definitions. Each
subsequent subpart would address a
particular stage in the STA process.
Subpart B would focus on the
individual, addressing topics such as
the information he or she must provide
when applying for the STA, procedures
for verifying the individual’s identity
and immigration category in the United
States, procedures for collecting
fingerprints, and establishing the
individual’s continuing responsibilities
throughout the process. Subpart C
would be reserved, and subpart D would
address the fees necessary to recover the
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costs of conducting STAs, and how TSA
must process the fees. Subpart E would
set out the procedures that TSA
proposes to use to conduct the various
checks that comprise an STA, such as
how TSA would conduct a CHRC or
immigration check. Subpart F would
establish the standards or criteria that
TSA uses to adjudicate the results of the
checks conducted during the STA. For
example, a section of subpart F would
explain the lists of crimes TSA would
use to determine whether the individual
has a disqualifying criminal conviction.
Subpart G would establish the appeal
and waiver procedures for individuals
who receive an adverse STA result.
B. Proposed Subpart A—General
1. Proposed § 1530.1. This section
would set out the scope of the proposed
part. Paragraph (a) would establish that
part 1530 applies to individuals
required to apply for an STA. In this
rulemaking, this includes individuals
who perform security-sensitive
functions and are required to receive
security training under 49 CFR 1580.101
(rail) and 49 CFR 1582.101 (public
transportation, passenger rail), or act as
security coordinators of owner/
operators regulated under parts 1580,
1582, and 1584.
Paragraph (b) would establish that
part 1530 applies to operators who must
ensure that individuals who perform
security-sensitive functions in rail and
public transportation, or act as security
coordinators for the owner/operators
regulated under parts 1580, 1582, and
1584, as established in the Security
Training rulemaking.
2. Proposed § 1530.3. In this section,
TSA proposes definitions for key terms
used in part 1530, and proposes that the
definitions from parts 1500, 1503, 1540,
1570, and 1572 apply if those terms
appear in part 1530. TSA proposes a
definition for ‘‘individual’’ to accurately
identify the person who applies for the
STA, holds a valid STA, or is seeking
redress. TSA also proposes definitions
for standard redress terms that are
consistent with 49 CFR 1515.3 and are
largely self-explanatory.
TSA is proposing to add a definition
to part 1530 for the term
‘‘incarceration.’’ Currently, TSA has
defined ‘‘incarceration’’ as well as
‘‘imprisoned/imprisonment’’ in 49 CFR
1570.3, but TSA believes two
definitions for this concept are
confusing and unnecessary. We propose
to eliminate ‘‘imprisoned/
imprisonment’’ and revise the definition
of incarceration for part 1530. The new
proposed definition of ‘‘incarceration’’
means under the custody of a bureau of
prisons and confined to a prison, jail, or
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institution for the criminally insane
pursuant to a sentence imposed as the
result of a criminal conviction or
finding of not guilty by reason of
insanity. Time spent under the custody
of a bureau of prisons or confined or
restricted to a half-way house, treatment
facility, home incarceration, or similar
institution, pursuant to a sentence
imposed as the result of a criminal
conviction or finding of not guilty by
reason of insanity, constitutes
incarceration for purposes of this rule.
The primary difference between this
proposed definition and the current
definitions of incarceration and
imprisoned in 49 CFR 1570.3 is that the
definition of incarceration now
explicitly includes a sentence to home
confinement as a result of a criminal
conviction or finding of not guilty by
reason of insanity.
3. Proposed § 1530.5. This section
would define the three ‘‘levels’’ of STAs
that TSA proposes to conduct. Each
STA level would be generically defined
in terms of the particular kinds of
vetting (called ‘‘checks’’) that comprise
the level.
A ‘‘Level 1’’ STA would consist of a
terrorism check and other analyses
(referred to as ‘terrorism/other analyses
check’ throughout the preamble of this
NPRM). TSA is not proposing use of a
Level 1 STA in this NPRM, but may
propose it for other populations in the
future. A ‘‘Level 2’’ STA would consist
of the terrorism/other analyses and
immigration checks. A ‘‘Level 3’’ STA
would consist of the checks required for
a Level 2 STA, plus a CHRC. In
accordance with the 9/11 Act, TSA
proposes that the security-sensitive
employees, as described in the Surface
Training rulemaking and codified in 49
CFR parts 1580, 1582, and 1584, would
be required to undergo a Level 2 STA.
TSA proposes to require security
coordinators under 49 CFR parts 1580,
1582, and 1584 to undergo a Level 3
STA.
4. Proposed § 1530.7. This section
proposes a standard duration of 5 years
for the STAs that TSA conducts and the
associated determinations of eligibility
(DOE) that TSA issues. This 5-year term
begins on the date TSA completes the
STA, determines the individual is
eligible for the security-sensitive or
security coordinator position, and issues
a DOE. This timeframe aligns with
similar governmental programs such as
Top Secret and Q security clearances
issued by the Office of Personnel
Management; other TSA vetting
programs such as TWIC and HME; and
U.S. Customs and Border Protection’s
(CBP)’s Trusted Traveler programs, such
as Free and Secure Trade (FAST),
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NEXUS, Secure Electronic Network for
Travelers Rapid Inspection (SENTRI),
and Global Entry.
TSA proposes that the general 5-year
term would be subject to two
exceptions. The exceptions would apply
if: (1) an individual uses a comparable
STA completed earlier as the basis of
the new STA; or (2) an initially
successful individual no longer meets
the eligibility standards for the STA. As
to the first exception, the duration of the
STA would be 5 years from the date on
which the initial or comparable check
was issued. Therefore, if TSA issues a
DOE based on an immigration check
conducted 2 years earlier in connection
with a previous STA, the duration of the
new STA would be 3 years.
The second exception, proposed in
paragraph (b), would occur if TSA
determines that an approved individual
no longer meets the STA eligibility
standards. In this case, the STA would
expire on the date that TSA serves a
Final Determination of Ineligibility
(FDI) or a Preliminary Determination of
Ineligibility with Immediate Revocation
(PDIIR) on the individual. Issuance of an
FDI means that the adjudication on any
redress processes has run its course and
TSA has finalized its determination that
the individual does not meet the STA
standards. In such cases, the DOE is no
longer valid, and is deemed expired. As
explained in the discussion of proposed
§ 1530.417 below, TSA issues a PDIIR
when it determines that an imminent
security threat may exist and the DOE
must be revoked immediately.
Paragraph (b)(3) would apply to
individuals who have successfully
completed a Level 3 STA, but who
subsequently are indicted, convicted, or
found not guilty by reason of insanity,
of any of the disqualifying crimes under
proposed § 1530.503. These individuals
would no longer meet the STA
standards as of the date of indictment,
conviction, or finding of not guilty by
reason of insanity. Paragraph (b)(3),
therefore, provides notice that the DOE
of such an individual expires as of the
date of indictment, conviction, or
finding, regardless of whether TSA has
yet issued an FDI or PDIIR.
Paragraph (b)(4) would apply to
individuals who have been issued a
DOE, but whose immigration category
subsequently changes and no longer
meet the standards in section 1530.505.
Paragraph (b)(4) provides notice that the
DOE of such an individual expires as of
the date that individual no longer meets
the immigration standard, regardless of
whether TSA has yet issued an FDI or
PDIIR.
5. Proposed § 1530.9. Paragraph (a)(1)
would forbid any person from making,
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or causing to be made, fraudulent or
intentionally false statements in
documents required by, or used to show
compliance with, proposed part 1530.
Paragraph (a)(2) would forbid any
person from making or causing to be
made, for fraudulent purposes, any
reproduction or alteration of any report,
record, security program, access
medium, identification medium,
biometric data (fingerprints or
photographs), or credential issued under
proposed part 1530. The purpose of
paragraph (a) is to provide a regulatory
basis for enforcement action against a
person who takes these actions, which
undermine transportation security.
Paragraph (b) explains that anyone
who violates paragraph (a) is ineligible
for the access, privileges, or credential
associated with the STA.
6. Proposed § 1530.11. This section
would forbid the fraudulent use of, or
representation concerning, a DOE or
STA conducted under part 1530.
Paragraph (a) would forbid the use, or
attempted use, of an STA issued or
conducted for another person.
Paragraph (b) would forbid a person
from causing or attempting to cause
another to violate paragraph (a).
Collectively, these provisions are
intended to protect the integrity and
reliability of STAs. Paragraph (c) would
establish that any person who violates
this section is ineligible for the access,
privileges, or credential associated with
the STA.
7. Proposed § 1530.13. Paragraph (a)
pertains to compliance, inspection, and
enforcement activities associated with
the vetting process. Specifically, TSA
proposes that each individual who is
required to undergo an STA, and each
owner/operator whose employees or
authorized representatives must
undergo an STA, must permit DHS, at
any time or place, to make inspections
or tests, including the copying of
records, to determine compliance with
this part and part 1520, which pertains
to sensitive security information.
Paragraph (b) would provide that TSA
may require each person with
responsibilities under proposed part
1530 to provide evidence of compliance
with parts 1530 and 1520, including
copies of records.
C. Proposed Subpart B—Individual’s
Enrollment Requirements and
Continuing Responsibilities
1. Introduction. Proposed subpart B
would focus on the information the
individual must provide when applying
for the STA. Subpart B would also
establish the individual’s continuing
responsibilities throughout the duration
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of the STA, such as disclosing any new
disqualifying information.
TSA must collect and process
information, documents, and fees from
individuals in order to conduct the
checks that make up an STA. TSA refers
generally to this part of the STA as
‘‘processing.’’ Subpart B proposes the
procedures TSA would use in the
enrollment process. TSA uses this
enrollment model in existing vetting
programs, such as for TWIC and HME
applicants under part 1572, and has a
high level of confidence in this
approach. TSA operates over 300
enrollment sites throughout the United
States and abroad 44 where individuals
who are required to undergo certain
STAs go to provide biographic,
documentary, and if necessary,
biometric information. Many of these
individuals also have the option to
provide some of this information online. The enrollment method set out in
proposed subpart B has been designed
to provide as much flexibility as
possible for individuals and their
employers, while maintaining efficient,
manageable, and secure interaction with
TSA systems.
TSA generally uses a contractor to
provide enrollment services and,
throughout this document, we refer to
‘‘TSA’’ to include TSA’s contractor
engaged in enrollment activities.
Through the contracting process, TSA
can provide cost-effective services to a
large number of individuals at all sorts
of locations. A TSA contractor under
this proposed rulemaking would
perform functions similar to the
functions performed by a ‘‘TSA Agent’’
under current 49 CFR part 1572,
subparts E and F, for the current HME
and TWIC programs. TSA conducts a
comprehensive Level 3 STA on these
agents before they may work at a TSA
enrollment center.
The proposed rule offers optional
enrollment processes through the TSA
contractor separate from the alternative
in which enrollment is completely
performed by the regulated party. To
maximize the benefits of TSA-run
enrollment services and minimize
employee time away from work to
enroll, TSA’s enrollment provider may
establish ‘‘mobile enrollment’’ sites at
particular workplaces where a large
volume of individuals need to apply for
an STA. Also, the enrollment provider
may enter into agreements with a
private employer to share some
enrollment duties at the workplace, and
44 A complete list of the more than 300
enrollment centers, along with information about
the locations, hours of service, contact information,
etc., will be made available on the TSA website.
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whether the provider would charge a fee
for this service.
As discussed in greater detail above in
section II.B.5., TSA considered the
alternative of requiring or permitting
owner/operators subject to this NPRM to
act as enrollment providers, providing
their own trained and vetted ‘‘trusted
agents’’ to collect information and fees
from STA applicants, verify their
identity, and send all information
through secure pathways to TSA. Under
this alternative, the employers would be
required to ensure that the trusted
agents adhere to minimum enrollment
standards for verifying identity,
protecting privacy information,
accurately collecting biometric and
biographic information, and processing
TSA’s fees correctly. This alternative
would eliminate the need for employees
to travel to an enrollment site outside
the workplace. However, owner/
operators would also bear the significant
costs required to establish and maintain
secure systems and the staff to conduct
enrollment.
TSA invites public comment on the
use of TSA enrollment services, and the
alternative to permit owner/operators to
conduct enrollment for this population.
2. Proposed § 1530.101. Paragraph (a)
would provide a road map to the
section. Paragraph (b) would list the
biographic information and copies of
documents that each STA applicant
must provide. Paragraphs (b)(1)–(9)
would require standard items of
biographic information, such as name,
address, gender, date of birth, and
country of citizenship, which are
necessary to identify the individual
conclusively and to accomplish the
vetting process.
Paragraph (b)(10) would require the
individual’s employer information,
including address, telephone number,
and facsimile number (if available),
which are important if TSA needs to
take follow-up action regarding the
individual. For example, if an
individual ‘‘passes’’ initial vetting as a
security-sensitive employee, but is
subsequently disqualified, TSA would
have to contact the relevant owner/
operator to communicate that the
individual is no longer authorized to
work as a security-sensitive employee.
Paragraph (b)(11) is related to the
immigration check explained in the
discussion of the standards in subpart F
of part 1530. The purpose of this
proposed requirement is to obtain
documentary evidence to improve the
reliability of the immigration check.
Under paragraph (b)(11), each
individual would be required at the
time of the STA application, to present
documentation in a form and manner
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specified by TSA, to verify the
immigration category they maintain. For
individuals claiming to be U.S. citizens
or U.S. nationals by birth, examples of
such documentation would include a
passport book or passport card; a
certified copy of a birth certificate from
one of the 50 States, the District of
Columbia, American Samoa, Swain’s
Island, Puerto Rico, U.S. Virgin Islands,
Northern Mariana Islands, or Guam; an
American Indian Tribal Card with photo
indicating U.S. citizenship (Form I–
872); an unexpired Native American
Tribal Card approved by the Secretary to
denote identity and U.S. citizenship; a
U.S. Coast Guard Merchant Mariner
Credential or Document; a U.S.
Enhanced Driver’s license; and a
Trusted Traveler Program Card (FAST,
NEXUS, SENTRI, or Global Entry). For
individuals claiming U.S. citizenship
who were born abroad, in addition to
many of the documents listed above,
examples would include a Certificate of
Citizenship and Consular Report of
Birth Abroad, or a naturalization
certificate. For individuals not claiming
U.S. citizenship, examples would
include visas and proof of U.S. lawful
permanent residence status. During the
enrollment process, TSA proposes to
scan the documentation presented by
the individual into the electronic
enrollment record.
The information requested in
proposed paragraphs (c)(1)–(5),
including social security number,
passport information, Department of
State Consular Report of Birth Abroad,
information about previous STA
applications, and information about the
individual’s Federal security clearance,
is voluntary. Failure to provide this
information would not prevent TSA
from processing the application.
However, providing the information
requested in paragraph (c), if available,
may speed up the process for the
individual.
In addition to the biographic
information and documentation
specified in proposed paragraphs (b)
and (c), TSA proposes to require every
individual to sign certain statements as
part of the application process.
Paragraph (d) would require each
individual to sign a statement attesting
that the information provided in the
application is true, complete, and
correct to the best of the individual’s
knowledge, and that the individual
acknowledges that knowing and willful
false statements or material omissions
may result in criminal prosecution and
other consequences.
Paragraph (e) would require all
individuals to certify in writing that
they understand that if TSA determines
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an individual does not meet the STA
standards, TSA may notify the
employer, and, in the case of an
imminent threat to an owner/operator,
TSA may provide the employer limited
information necessary to reduce risk of
injury or damage.
Paragraph (f) would require all
individuals to certify that there is a
continuing obligation to report certain
events to TSA. Not every event listed in
this proposed section will necessarily
apply to every individual. For example,
one of the events that must be reported
is a conviction, or finding of not guilty
by reason of insanity, for a disqualifying
criminal offense. This event is relevant
only for security coordinator applicants
applying for an STA that includes a
CHRC.
3. Proposed § 1530.103. This section
would require individuals whose STA
includes a CHRC to provide fingerprints
in a form and manner prescribed by
TSA. TSA must collect and transmit
fingerprints electronically according to
procedures and standards the FBI
requires of all agencies that submit
fingerprints for a CHRC.
In addition to using the fingerprints to
obtain criminal history information
from the FBI, TSA will use the
fingerprints to conduct biometric vetting
through IDENT. IDENT is the DHS
repository for all biometrics collected by
agencies within DHS, and some external
agencies, such as the Department of
Defense. Using IDENT biometric vetting
capabilities enhances TSA’s STA
process. TSA would receive the results
of these searches and use the
information as part of the STA
eligibility decision. We invite comment
from all interested parties on the use of
IDENT for TSA vetting purposes.
4. Proposed § 1530.105. This section
proposes that each individual applying
for an STA must pay the fee associated
with the STA at the time of application.
TSA is statutorily required to fund all
vetting and credentialing services
through user fees,45 and consequently,
TSA will not process STA applications
until the fees are paid. TSA begins
incurring costs as soon as it begins
processing the application. Also, TSA
cannot refund fees, even if the
individual decides at a later date to
withdraw the application, because TSA
has already expended resources that
must be covered through fees.
5. Proposed § 1530.107. Each
individual who applies for an STA has
continuing responsibilities for the life of
the STA. Paragraph (a) would establish
the requirement to report certain events
to TSA within 24 hours of occurrence.
45 See
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Each of the events that must be reported
relate directly to whether the individual
is still eligible to serve as a securitysensitive employee or security
coordinator.
Paragraph (a)(1) involves individuals
whose STA includes a CHRC (in this
rulemaking, security coordinators), both
those who have applied for an STA, and
those who have already successfully
completed an STA that included a
CHRC. These individuals would be
required to report an occurrence,
indictment, conviction, or finding of not
guilty by reason of insanity of
disqualifying crimes within 24 hours.
The list of disqualifying crimes is in
proposed § 1530.503, and is explained
below. The 24-hour reporting
requirement would also apply to
individuals who are adjudicated as
lacking mental capacity, or committed
to a mental health facility.
Paragraph (a)(2) would apply to all
individuals whose STA includes an
immigration check, which are security
coordinators and security-sensitive
employees in this rulemaking. These
individuals would be required to report
any change in immigration category that
results in no longer meeting the
immigration standards.
Paragraph (b) would require all
individuals who have successfully
completed an STA to notify TSA if
certain contact information changes.
Specifically, each individual would be
required to notify TSA of any legal
name changes (proposed
§ 1530.101(b)(1)), address changes
(proposed § 1530.101(b)(2)), or daytime
telephone number changes (proposed
§ 1530.101(b)(9)). TSA needs reliable
contact information in order to
administer the STA after the DOE is
issued. For example, TSA may have to
contact an individual to provide a
notice of ineligibility and redress
procedures, if TSA discovers potentially
adverse information about an
individual. This notification
requirement would continue until the
DOE expires.
6. Proposed § 1530.109. This section
proposes the procedures TSA would use
to verify the individual’s identity.
Paragraph (a) would provide that TSA
must be able to verify each individual’s
identity at the time of enrollment. This
element is critical to attain a high a
degree of certainty that the individual is
who he or she claims to be.
Paragraph (b) would require the
individual to present two forms of
identification, at least one of which
must be a government-issued photo
identification. Government-issued photo
identification is relatively reliable and is
not burdensome or costly for
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individuals to obtain. TSA uses fraud
detection software as part of the
enrollment process at some locations
and continues to explore expanding and
improving the use of technology to aid
the identification verification process.
As of the writing of this NPRM, some
biometric technologies other than
fingerprints, including facial recognition
and iris scans, are being used by
governmental entities to produce
identity documents. However, this
practice is not yet widespread or
reliable enough to ensure identity
verification in this rulemaking. As a
result, TSA believes that requiring
government-issued photo identification
is the most practical balance between
trustworthiness and burden to ensure
accurate identify verification at this
time. To the extent new technologies
become more widespread and
trustworthy, TSA will consider
alternative means of providing identity
verification. Paragraph (c) would require
examination of the documents
presented by the individual to
determine whether they appear to be
genuine, unexpired, and relate to the
individual presenting them.
D. Subpart C Is Reserved
E. Proposed Subpart D—Fees
1. Introduction. The fee structure
proposed in this rulemaking is designed
to cover TSA’s anticipated costs of
conducting and administering STA
services over the 5-year duration of each
STA. TSA calculated the proposed fees
based on estimates for the cost of each
respective service and the expected
populations that will receive benefit
from the services.
2. Costs. TSA incurs costs during all
phases of the vetting process. During the
initial phase of vetting, resources are
required to establish and operate
physical locations for individuals to
complete certain parts of the application
process. As noted previously, TSA uses
contractors to find, lease, and operate
these enrollment centers. The resources
needed to establish, equip, and staff
such locations throughout the country
have been grouped together and labeled
‘‘Processing.’’
Similarly, some interactions with TSA
to perform a vetting function may be
accomplished entirely by using an
online platform, and resources are
required to establish and operate such a
platform for individuals to complete
certain aspects of the vetting process.
Additionally, TSA assumes that some
online interactions would result in
customer service expenses that would
also be covered by this fee. The
resources to design, establish, maintain,
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and staff such a platform and offer
customer service are grouped together
and labeled ‘‘Reduced Processing.’’
Once individual information is
captured and records are established,
TSA incurs costs to administer the
information through the various
databases that comprise the STA. As
explained in the discussion of proposed
§ 1530.5, TSA performs different levels
of STAs. The three levels of STAs vary
depending on the specific checks
included in the STA, such as terrorism/
other analyses, immigration, or criminal
history. Thus, the cost to conduct the
STA depends on the resources TSA
needs to complete the STA services.
TSA proposes to segment the costs
according to how individuals interact
with TSA and the consumption of
services to complete the STA. Thus, the
Processing Fee or Reduced Processing
Fee would be imposed when an
individual uses processing services, the
criminal check fee would be imposed
for each individual required to complete
a CHRC, and so on. Each individual
would pay fees only for the services
TSA provides for his or her STA.
To complete the terrorism/other
analyses check, TSA incurs costs to
construct, maintain, and operate the
information technology (IT) platform
that enables comparing the applicant’s
biographic information to multiple
terrorism and law enforcement
databases, and other information
sources. TSA incurs additional expenses
to evaluate the information received
from these sources, make decisions as to
whether an individual poses or may
pose a threat, engage in redress with the
individual when necessary, and
communicate with other entities, such
as the individual’s employer or
governmental agencies. TSA must also
recover the cost of staffing this service
through fees. TSA has labeled this
grouping of costs ‘‘terrorism/other
analyses’’ fees.
TSA incurs costs similar to those
discussed above for completion of
immigration checks and CHRCs. Those
fees are segmented respectively and
labeled accordingly.
With respect to the CHRC fee, TSA
must collect the fees the FBI charges to
process the initial criminal check and
the Rap Back recurrent criminal history
service, in addition to TSA’s costs to
adjudicate the results of the initial
criminal check and any subsequent Rap
Back notifications, and provide redress.
TSA’s cost-estimating methodology
includes both an analysis of actual costs
TSA has incurred for existing STAs and
an analysis of future investments that
are necessary to develop, operate, and
maintain a robust STA platform. In
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some instances, TSA has been able to
develop a unit cost for a particular STArelated service. In other instances, TSA
developed a resource investment
estimate that is equitably shared by all
individuals who benefit from the
investment. TSA has consulted with
programmatic and industry experts, and
acquired data from internal sources,
other governmental agencies, and
publicly available sources. Table 5
below is a summary of costs that TSA
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estimates it will incur over the first 5year period of this effort.46 Additional
details regarding the cost estimates used
to determine the service fees can be
found in the Fee Report in the
rulemaking docket.
TABLE 5—ESTIMATED TSA SERVICE COSTS OVER FIRST FIVE-YEAR PERIOD
[$ Thousands]
TSA estimated costs
Service
Total
Year 1
Year 2
Year 3
Year 4
Year 5
a
b
c
d
e
f = Sa,b,c,d,e
Processing ...........................................................................
Terrorism/Other Analyses ....................................................
Immigration ..........................................................................
Criminal History ....................................................................
$16,700
2,429
911
43
$1,422
207
78
4
$1,423
207
78
4
$1,423
207
78
4
$1,424
207
78
4
$22,393
3,257
1,221
59
Total ..............................................................................
20,084
1,710
1,711
1,712
1,713
26,930
Note: Calculations may not be exact in the table due to rounding.
3. Populations. TSA has consulted
with programmatic and industry
experts, and acquired data from internal
sources, other governmental agencies,
and public sources to analyze the
number of transportation workers who
would be covered under this
rulemaking. Table 6 below is a summary
of populations that TSA estimates it
would impact over the first 5-year
period of this effort. Additional details
regarding the population estimates used
to determine fees can be found in the
Fee Report and the Preliminary
Regulatory Impact Analysis in the
rulemaking docket.
TABLE 6—NUMBER OF EMPLOYEES AFFECTED BY THE PROPOSED RULE OVER FIRST FIVE-YEAR PERIOD BY INDUSTRY
[Thousands]
Number of employees affected by year
Industry
Total
Year 1
Year 2
Year 3
Year 4
Year 5
a
b
c
d
e
f = Sa,b,c,d,e
Freight Rail Total .................................................................
Security-Sensitive Employees ......................................
Security Coordinators ...................................................
PTPR Total ..........................................................................
Security-Sensitive Employees ......................................
Security Coordinators ...................................................
OTRB Total ..........................................................................
123.13
122.24
0.90
179.57
179.34
0.23
0.44
4.93
4.89
0.04
20.82
20.79
0.03
0.06
4.88
4.84
0.04
20.89
20.86
0.03
0.06
4.83
4.78
0.04
20.95
20.92
0.03
0.06
4.77
4.73
0.04
21.01
20.98
0.03
0.06
142.55
141.47
1.07
263.24
262.88
0.36
0.69
Total .......................................................................
303.14
25.82
25.83
25.84
25.85
406.47
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Calculations may not be exact in the table due to rounding.
4. Fees. To comply with 6 U.S.C. 469,
which requires TSA to fund vetting and
credentialing programs through user
fees, TSA proposes to establish user fees
for individuals who receive STA
services under this proposed rule. TSA
determined the proposed fees in
accordance with Office of Management
and Budget (OMB) Circular No. A–25.
The proposed fees are set to recover a
share of the service costs from all
individuals that use a particular service,
and a description of the processes that
went into estimating the proposed fees
is available in the Fee Report in the
rulemaking docket. TSA may increase or
decrease the fees described in this
regulation for changes in cost due to, for
instance, new efficiencies, inflation,
changes in contractual services, changes
in populations, or other factors
following publication of the final rule.
TSA will publish a notice in the Federal
Register notifying the public of any fee
changes.
46 The costs in this table reflect the total
population of STAs in this proposed rule using
services for processing and checks equivalent to
Levels 2 and 3, for security sensitive employees and
security coordinators, respectively. TSA does not
have data on the newly regulated industries to
estimate the number of covered individuals who
may have a comparable STA and could pay the
reduced processing fee, but acknowledges that costs
could be less those reported in this table.
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TABLE 7—FEES BY TYPE OF SERVICE
Service fee
Low
Processing Fee ............................................................................................................................
Reduced Processing Fee ............................................................................................................
Terrorism/Other Analyses Fee ....................................................................................................
Immigration Fee ...........................................................................................................................
CHRC/Initial Fee ..........................................................................................................................
CHRC/Renewal Fee ....................................................................................................................
Primary
$44.00
24.00
6.00
2.00
17.00
8.00
$55.00
30.00
8.00
3.00
21.00
10.00
High
$66.00
36.00
10.00
4.00
25.00
12.00
The following table presents
combinations of services that coincide
with STA levels in the proposed rule.
TABLE 8—FEES BY STA LEVEL WITH IN-PERSON ENROLLMENT
STA level
Low
Level 1 (Processing, Terrorism/Other Analyses) ........................................................................
Level 2 (Processing, Terrorism/Other Analyses, Immigration) ...................................................
Level 3 (Processing, Terrorism/Other Analyses, Immigration, Initial CHRC) .............................
Primary
$50.00
52.00
69.00
$63.00
66.00
87.00
High
$76.00
80.00
105.00
TABLE 9—FEES BY STA LEVEL WITH ONLINE RENEWAL
STA level
Low
Level 1 (Reduced Processing, Terrorism/Other Analyses) .........................................................
Level 2 (Reduced Processing, Terrorism/Other Analyses, Immigration .....................................
Level 3 (Reduced Processing, Terrorism/Other Analyses, Immigration, CHRC/Renewal) ........
Primary
$30.00
32.00
40.00
$38.00
41.00
51.00
High
$46.00
50.00
62.00
TABLE 10—FEES BY STA LEVEL WITH IN-PERSON RENEWAL
STA level
Low
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Level 1 (Processing, Terrorism/Other Analyses) ........................................................................
Level 2 (Processing, Terrorism/Other Analyses, Immigration) ...................................................
Level 3 (Reduced Processing, Terrorism/Other Analyses, Immigration, CHRC/Renewal) ........
5. Proposed § 1530.301. Paragraph (a)
would explain that TSA calculates the
fees using widely accepted accounting
principles and practices, in accordance
with the provisions of 31 U.S.C. 9701,
which direct agencies to make their
services self-sustaining to the extent
possible, and in accordance with other
applicable laws. Generally, TSA totals
all costs associated with the vetting
program over the life of the STAs (5
years), divides the total by the number
of individuals vetted, and sets aside a
small portion of the funds collected to
cover emergencies, such as necessary
system changes, natural disasters such
as pandemics, or other unforeseen
events. At least every 2 years, TSA
would review the costs of conducting
the STAs and the associated fees
collected, using the same method of
analysis, to ensure that fees recover, but
do not exceed, the full cost of services.
TSA prepared a Fee Report for this
proposed rule, which discusses the
methodology and factors TSA used to
arrive at the proposed fees, and placed
the Report in the rulemaking docket.
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TSA would revise the fees, if necessary,
following this evaluation, by publishing
a notice in the Federal Register.
Paragraph (b) explains the procedures
that TSA would use to make inflation
adjustments to the fees, as necessary.
6. Proposed § 1530.303. This
proposed section describes each STA
service for which TSA charges a fee,
service-by-service, computed as
explained above. TSA provides an
estimate of the fees based on
information concerning population
numbers and the costs of the services.
TSA will be able to finalize these fees
after receiving information concerning
the number of employees subject to
proposed vetting requirements from
affected entities as part of this
rulemaking process, and an accounting
of internal costs at the time the
proposed rule would become final. TSA
will publish the final fee amounts
through a notice in the Federal Register.
Paragraph (b) proposes the fees that
would cover TSA’s processing costs.
Paragraph (b)(1) proposes that the
Processing Fee would cover the costs
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Primary
$50.00
52.00
60.00
$63.00
66.00
76.00
High
$76.00
80.00
92.00
associated with an applicant’s
interaction with TSA, such as
enrollment center operations, collecting
applicant information, verifying
applicant identity, processing the
vetting information, and program
management. TSA estimates the
processing fee to be $43 to $65, and
proposes to codify that range in the rule.
Paragraph (b)(2) proposes the Reduced
Processing Fee that would apply when
an individual’s interaction with TSA
can be completed entirely online and
does not involve services at an
enrollment center. TSA estimates the
Reduced Processing Fee to be $24 to
$36.
Paragraph (c) describes the fee to
cover TSA’s costs of conducting the
terrorism/other analyses check, the
substance of which is explained in the
discussion of proposed § 1530.507. This
service includes the costs of querying
the relevant data sources, adjudicating
the information TSA receives from the
queries, and processing appeal requests.
TSA estimates the Terrorism/other
analyses Check Fee to be $6.00 to
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$10.00, and proposes to codify that
range in the rulemaking.
Paragraph (d) describes the fee to
cover TSA’s costs of conducting the
Immigration check in the United States.
This service includes the costs of
querying the relevant data sources,
adjudicating the information TSA
receives from the queries, and
processing appeal requests. TSA
estimates the Immigration Check Fee to
be $2.00 to $4.00, and proposes to
codify that range in the rulemaking.
Paragraph (e) proposes the fee to
cover the costs of conducting the CHRC.
This service includes the cost of
collecting fingerprints electronically;
transmitting them to the FBI;
adjudicating any rap sheets associated
with the fingerprints to determine
whether the individual has a
disqualifying conviction, arrest, or
indictment in accordance with section
1530.503; adjudicating new criminal
information that the FBI’s Rap Back
service provides; and conducting an
appeal or waiver, where applicable.
TSA estimates the CHRC fee for the
initial CHRC, which occurs in-person at
a TSA enrollment center to be $17.00 to
$25.00, which is proposed in paragraph
(e)(1) of this section. Given the benefits
of the Rap Back system, applicants
would not be required to provide new
fingerprints for a new CHRC when
renewing the STA. The individual’s
fingerprints would be enrolled in Rap
Back and thus, any criminal history
associated with those prints would be
transmitted to TSA. Therefore, the
renewal of an STA would not require inperson enrollment at an enrollment
center to provide fingerprints, and
consequently, the fees for a renewal
CHRC are lower than for the initial
CHRC. In paragraph (e)(2), TSA
proposes the renewal CHRC fee of $8.00
to $12.00. TSA proposes to codify these
ranges in the rulemaking.
TSA will continue to work to
minimize all costs and would finalize
fee amounts in conjunction with
publication of the final rule. Following
publication of the final rule, TSA may,
by notice in the Federal Register,
increase or decrease the fees to reflect
changes in costs. The total TSA fee for
any given STA would be the sum of the
33487
fees for each service that comprises that
level of STA. These total fees, broken
out by level of STA, are explained in
proposed § 1530.305 discussed below.
7. Proposed § 1530.305. This section
would set out the fees TSA must charge
for each STA proposed in this
rulemaking, organized by level of STA,
with paragraphs (a)–(c) corresponding to
STA Levels 1–3, respectively. Each
paragraph lists the fees associated with
the relevant STA.
8. Proposed § 1530.307. This section
on fee comparability explains how TSA
computes fees when TSA is able to rely
on an earlier STA to complete a new
STA. This concept of comparability is
explained more completely in the
discussion of proposed § 1530.509,
below. If TSA can rely on an earlier
check, rather than conducting a new
check, paragraph (b) provides that we
would only charge the fee for the
services that we must provide for the
current STA. This results in a lower fee
for the applicant and lower costs for
TSA. Table 10 below provides examples
of how using a comparable STA affects
fees.
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TABLE 11—HOW A COMPARABLE STA AFFECTS FEES
If I have a . . .
And I need a . . .
I will not have to repeat
. . .
I may . . .
I must . . .
TWIC (Level 3) ..................
Level 2 for Security-Sensitive position.
Terrorism/other analyses
or Immigration.
Enroll online ......................
Pay Reduced Processing
Fee.
If I have a . . .
And I need a . . .
I will not have to repeat
. . .
I must . . .
I must . . .
Level 2 (security-sensitive
position).
Level 3 for Security Coordinator position.
Terrorism/other analyses
or Immigration.
Visit Enrollment Center to
provide fingerprints and
complete CHRC.
Pay Processing and
CHRC Fees.
9. Proposed § 1530.309. This section
proposes that fees must be paid through
a method approved by TSA. Currently,
TSA accepts STA fees through a thirdparty vendor or through the
www.pay.gov website during processing,
and we may continue to use that
process. TSA is exploring other methods
of payment that may be equally costeffective and resistant to fraud.
Paragraph (b) would make it clear that
TSA cannot act on an STA until the
required fees have been recognized by
TSA. Paragraph (c) provides that TSA
would not issue refunds. TSA will not
begin processing an STA until the
individual pays the fee. Once TSA
begins the STA, TSA incurs costs that
must be recovered through fees.
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F. Proposed Subpart E—Adjudication
Procedures
1. Introduction. Once TSA collects
biographic information, biometrics
(where needed for a CHRC), and fees
from an individual, TSA transmits the
information to the various databases
associated with the checks. TSA then
evaluates the information that is
returned from the databases to
determine if it contains data that is
disqualifying according to the standards
that apply. TSA then makes an initial
determination on eligibility and notifies
the individual. This process is called
adjudication.
2. Proposed § 1530.401. This
proposed section sets out procedures for
conducting CHRCs, which in this
rulemaking apply to security
coordinators. Paragraphs (a) and (b)
explain that TSA would transmit the
fingerprints collected during enrollment
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to the FBI, and receive and adjudicate
the results of the check.
3. Proposed § 1530.403. This section
explains the procedures for conducting
the terrorism/other analyses check,
which in this rulemaking would apply
to security coordinators and securitysensitive employees. TSA would check
certain domestic and international
databases that include information on
terrorists, individuals with ties to
terrorism or international criminal
networks, fugitives from justice, and
databases that assist in confirming an
individual’s identity. In paragraph (a)
TSA proposes the procedures that TSA
would use to conduct a terrorism/other
analyses check.
Paragraph (b) provides notice that
TSA may send the individual’s
information to the appropriate law
enforcement or immigration agency if
the terrorism/other analyses check
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reveals that the individual has an
outstanding want or warrant, or is
subject to a removal order. Under these
circumstances, TSA would share the
individual’s information with the
agency that posted the want, warrant, or
removal order to ensure that the issue
can be resolved lawfully.
4. Proposed § 1530.405. This section
proposes the procedure TSA would use
to conduct the immigration check. This
check would verify that the individual
is in one of the following categories: a
U.S. citizen, U.S. National, lawful
permanent resident, refugee, asylee,
lawful nonimmigrant, granted parole, or
is otherwise authorized to work in the
U.S. TSA proposes to use relevant
Federal databases, primarily the SAVE
program administered by USCIS to
verify that an individual’s alien
registration number, I–94 ArrivalDeparture Form number, or other
pertinent document number is valid and
associated with the individual.
5. Sections 1530.407, 1530.409, and
1530.411. These sections would be
reserved.
6. Proposed § 1530.413. This section
applies to all individuals who must
undergo an STA and proposes that TSA
issue a DOE if TSA determines that an
individual meets the STA standards.
TSA would notify the individual of the
DOE and would make that information
available to the owner/operator. TSA
may notify the individual via letter in
the U.S. postal service, an email, or
another method yet to be determined.
TSA intends to create a web portal that
owner/operators would access to
determine whether a particular worker
has passed the appropriate STA for the
position in which he or she works. TSA
invites comment on this proposal from
all interested parties, as to preferences
for notifications. In current vetting
programs, TSA asks individuals how
they wish to be notified of the final STA
determination, and then uses that
method, if possible. Workers who are
relatively stationary often prefer a letter,
and those who are mobile may prefer
email or other electronic notification.
7. Proposed § 1530.415. This section
describes the procedures that would
apply when an individual may not
meet, or may no longer meet, the STA
standards set out in proposed
§ 1530.501. When this occurs, TSA
would notify the individual or holder of
the STA of the factors that may be
disqualifying by issuing a Preliminary
Determination of Ineligibility (PDI) to
the individual.47
47 In existing vetting regulations, TSA uses the
term ‘‘Initial Determination of Threat Assessment.’’
See 49 CFR 1572.15(d). However, TSA believes
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As set forth in paragraph (b), TSA
would also state the basis for the
determination in the PDI.
Under paragraphs (c)(1) and (2), the
PDI would include information about
how the individual may appeal or, if
applicable, request a waiver of
ineligibility, including the time
deadlines associated with these
requests. TSA proposes that the
individual must appeal the PDI, request
a waiver of the PDI, or request an
extension of time, generally within 60
days of service of the PDI. TSA may
consider requests for extensions of time
beyond 60 days for good cause. If the
individual does not appeal, the PDI
would automatically convert to a FDI.
TSA uses these timelines in other
vetting programs, and believes they
provide sufficient time for an individual
to seek redress.
Paragraph (d), ‘‘Determination of
Arrest Status,’’ would apply when the
results of the CHRC show an arrest for
a potentially disqualifying crime, but no
indication of whether the arrest resulted
in a conviction, dismissal, or acquittal.
In such cases, TSA would notify the
individual of the arrest without
disposition, and provide instructions on
how to clear the disposition under
paragraph (d)(2). Under this paragraph,
the burden would be on the individual
to provide written proof to TSA that the
arrest did not result in a conviction for
a disqualifying criminal offense. Such
written proof may include a record of
conviction for a misdemeanor that is not
disqualifying, or a dismissal of the
charges from the prosecution.
Individuals who do not provide the
evidence that the arrest did not result in
a conviction within 60 days of service
of the PDI, or request an extension of
time, would be disqualified.
In paragraph (e), TSA proposes to
permit an individual to take certain
corrective action if the CHRC discloses
an arrest for a disqualifying crime.
Specifically, the individual may contact
the local jurisdiction responsible for the
criminal information and the FBI to
complete or correct the information.
Paragraph (d) would also establish a 60day timeframe in which TSA must
receive a certified true copy of the
revised record.
8. Proposed § 1530.417. This section
would apply if TSA determines that an
individual who initially passed the STA
may no longer meet the STA standards,
‘‘preliminary’’ better describes this step. TSA also
proposes to use the word ‘‘ineligibility’’ rather than
the term ‘‘threat assessment’’ to more clearly
identify the type of determination TSA is making.
The STA is used to determine whether an employee
is eligible or ineligible for certain roles or functions
and thus, we propose to use that terminology.
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may pose an imminent threat, and
immediate revocation of the associated
credential, access, or authorization is
warranted. In these cases, TSA would
issue a PDIIR. This scenario would arise
where new information creates
significant security concerns about the
individual’s continued eligibility and
suggests the access should be revoked
until a final determination is possible. If
TSA determines that the information is
not disqualifying, TSA would reinstate
the DOE.
Under paragraph (a), TSA proposes to
issue the PDIIR to the individual and, as
applicable, the owner/operator, facility,
or employer. Paragraph (b) would
provide that a PDIIR would otherwise be
processed in accordance with proposed
§ 1530.415, which addresses PDIs.
Paragraph (c) would apply when TSA
does not issue a FDI (see proposed
§ 1530.419 below) after having issued a
PDIIR. In such cases, the individual’s
access, privileges, and/or credentials
would be reinstated, at no cost to the
individual. TSA would also notify the
individual, and if applicable, the
employer, of the reinstatement.
9. Proposed § 1530.419. In paragraph
(a) TSA proposes that if an individual
does not appeal or a request a waiver of
a PDI or PDIIR, the preliminary finding
automatically converts to an FDI and the
individual’s eligibility is revoked.
Paragraph (b) would apply when an
individual appeals or requests a waiver
of a PDI or PDIIR, and TSA denies the
appeal or waiver request. In these cases,
TSA would serve the FDI on the
individual, and the employer where
applicable.
G. Proposed Subpart F—Standards
1. Introduction. Subpart F proposes
the standards that TSA would use to
make decisions about eligibility based
on the information obtained from the
checks that comprise an STA.
2. Proposed § 1530.501. This section
would set out the standards that an
individual must meet to successfully
complete an STA and receive a DOE.
Each of the standards in paragraph
(a)(1)-(4) is related to the checks that
may be included in an STA. Not every
standard will apply in every
adjudication because not every check is
included in every STA. For example, in
adjudicating the results of a Level 2 STA
for a security-sensitive employee, which
does not include a CHRC, the standard
in paragraph (a)(4), which applies to the
results of CHRCs, would not apply.
Under paragraph (a)(1), TSA would
not issue a DOE unless the individual’s
identity could be verified. See the
discussion of proposed § 1530.109
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regarding identity verification
procedures.
Paragraph (a)(2) pertains to the
terrorism/other analyses check. TSA
would review the information returned
from the data sources queried as part of
this check, which are described in
proposed § 1530.507, to determine
whether the individual is eligible. If
TSA determines that information
indicates the individual poses or may
pose a threat to transportation or
national security, or of terrorism, TSA
would deem the individual ineligible to
serve in a security-sensitive position.
Paragraph (a)(3) would apply to
individuals whose STAs include a
check for immigration in the United
States. If the individual is not in a
permissible immigration category, TSA
would not issue a DOE. The substantive
requirements of the immigration check
are explained in the discussion of
proposed § 1530.505, below.
Paragraph (a)(4) would apply to the
individuals whose STA includes a
CHRC (Level 3 STA). Under this
paragraph, an individual would be
disqualified if he or she has a
disqualifying criminal offense or lacks
mental capacity, as described in
proposed § 1530.503.
Based on TSA’s vetting experience,
the issue of mental incapacity comes to
light in the course of the criminal check,
such as when an individual is found not
guilty by reason of insanity. TSA does
not have access to health records of STA
applicants, and therefore, the primary
way TSA becomes aware of an
individual’s mental capacity is through
the criminal check. For this reason, we
propose to place the mental capacity
standard in the same paragraph as the
criminal standards.
Paragraph (b) explains that
individuals may reapply for an STA if
the condition that originally made them
ineligible no longer exists.
3. Proposed § 1530.503. Paragraph (a)
proposes the criminal look-back
periods, crimes, and other factors that
would be disqualifying for an individual
required to complete a Level 3 STA. An
individual who has a conviction, or
finding of not guilty by reason of
insanity, for one or more of these crimes
would not be eligible if a Level 3 STA
is required. TSA proposes to use the
disqualifying crimes and lookback
period that currently apply to the HME
and TWIC programs 48 for the surface
employees subject to this NPRM for two
reasons. First, this population is part of
surface transportation, like the HME
drivers, and the security threats are
similar for all surface modes, and differ
48 See
49 CFR 1572.103.
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from aviation. Second, the list of crimes
and lookback period that apply to HME
and TWIC workers constitute Congress’
most recent expression as to the
appropriate disqualifying criteria for
transportation programs. Congress
adopted these criminal standards in
2007,49 whereas the standards for
aviation were adopted prior to 9/11
when the security climate was quite
different.
Paragraph (a)(1) lists serious crimes
that would be deemed permanently
disqualifying. Paragraph (a)(2) lists
proposed look-back periods that would
apply to interim disqualifying offenses.
The proposed interim crimes would be
disqualifying if the conviction, or
finding of not guilty by reason of
insanity, is within 7 years of the date of
the application; or if the individual was
incarcerated for that crime and released
from incarceration within 5 years of the
date of the application.
Paragraph (a)(3) lists the interim
disqualifying criminal offenses we
propose to use for security coordinators
in this rulemaking. This list of crimes is
identical to the list of interim offenses
codified in section 1572.103 for the
TWIC and HME programs, except that it
also lists manslaughter as an interim
disqualifying offense. TSA has treated
manslaughter as a disqualifying offense
in the TWIC and HME programs as a
lesser included offense of murder, but it
has not been listed in section 1572.103.
Paragraph (b) would be reserved.
Paragraph (c) would be based on 49
CFR 1572.103(c), which provides that
an individual who is under want,
warrant, or indictment in any civilian or
military jurisdiction for a disqualifying
crime, is disqualified until the want or
warrant is released, or the indictment is
dismissed. TSA proposes to revise this
provision by adding the issuance of a
criminal complaint to the grounds for
disqualification pending release or
dismissal. The sole purpose of the
proposed revision is to account for cases
in which the jurisdiction begins a
criminal proceeding with a complaint
rather than an indictment. Under the
Federal Rules of Criminal Procedure, a
complaint is a written statement of the
essential facts constituting the offense
that is charged, and is under oath before
a magistrate judge or, if none is
reasonably available, before a state or
local judicial officer.50 In other vetting
programs, TSA has found cases in
which the jurisdiction initiates a
49 See Section 1309 of the Implementing
Recommendations of the 9/11 Commission Act of
2007, Public Law 110–53 (121 Stat. 397–400;
August 3, 2007).
50 See Rule 3, Federal Rules of Criminal
Procedure, as amended December 1, 2019.
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criminal action through a complaint,
rather than a want or indictment, and
proposes to make it clear that this
would also be disqualifying under this
proposed rule.
Paragraph (d) of this section proposes
that an individual who has been
declared mentally incompetent or
involuntarily committed to mental
health facility would be disqualified.
This is the same standard that currently
applies to TWIC and HME applicants,
but TSA proposes to move it into the
criminal standards in this NPRM,
because TSA becomes aware of mental
incapacity through the criminal check.
4. Proposed § 1530.505. As explained
above, applicants for a Level 2 or Level
3 STA must be a U.S. citizen, U.S.
national, or non-citizen who is a lawful
permanent resident, a refugee, an asylee,
a lawful nonimmigrant, is paroled into
the U.S., or is otherwise authorized to
work in the U.S. Note that individuals
with Deferred Action for Childhood
Arrivals are authorized to work in the
U.S. and thus are eligible to apply for
a security sensitive or security
coordinator position under this
rulemaking. The standard proposed in
this section would require applicants to
be in one of these listed, permissible
categories at the time of application.
TSA is not proposing that individuals
must belong to a particular category of
noncitizen to successfully complete the
STA, because TSA does not assess a
particular level of security risk
associated with one immigration
category as compared to another.
Paragraph (b) explains that TSA
determines whether an individual is in
a listed, permissible category by
checking relevant Federal databases,
primarily the SAVE program
administered by the USCIS. Also, TSA
may verify an applicant’s social security
number, alien registration number, or I–
94 number as part of the vetting process,
to identify any instance of identity
fraud.
5. Proposed § 1530.507. In this
section, TSA proposes the standards for
the terrorism check and other analyses.
TSA would conduct this portion of the
STA recurrently, which means each
time a watchlist or database receives
new or updated information, TSA
compares the individual’s name to the
revised list. TSA would continue to
recurrently vet the individual for the life
of the STA, which TSA proposes to be
5 years in this NPRM. The recurrent
vetting process allows TSA to receive
notification if a vetted individual is
subsequently added to a terrorist
watchlist. If TSA determines, based on
the information generated during this
vetting, that an individual poses or may
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pose a threat to transportation or
national security, or of terrorism, TSA
would deem the individual to be
ineligible to work as a security
coordinator or security-sensitive
employee.
TSA searches several databases in this
portion of the STA, including the
consolidated terrorist database (TSDB),
the U.S. Marshals Service federal wants
and warrants, Interpol, the Department
of State lost and stolen passport file, and
the U.S. Treasury Office of Foreign
Asset Control database of individuals
who are sanctioned due to terrorism or
national security issues.51 If TSA
matches an applicant’s identity to an
identity included in one of these lists,
TSA conducts an investigation to
determine whether, under the totality of
the circumstances, an applicant is
ineligible.
Paragraph (b) proposes that TSA may
determine an individual is ineligible if
the check reveals extensive foreign or
domestic criminal convictions, a
conviction for a serious crime not
otherwise covered by the regulation, or
a period of foreign or domestic
imprisonment that exceeds 365
consecutive days. TSA sometimes
receives foreign criminal history records
when conducting this check, such as
through Interpol, which are not
identified in the CHRC we conduct
through the FBI’s database. This
paragraph would expressly provide TSA
the discretion to disqualify an
individual based on an overall view of
the individual’s record, even where
some of the criminal history does not
involve disqualifying offenses, but is
indicative of an individual who may
pose or poses a threat to national or
transportation security, or of terrorism.
6. Proposed § 1530.509. This section
proposes to permit the use of existing,
valid STA results for satisfying
requirements for a new STA. TSA’s goal
is to be able to rely, in whole or in part,
on an STA that was already conducted
on an individual when that individual
subsequently applies for another STA.
Relying on comparable STAs conserves
time and resources for TSA and
individuals by eliminating redundant
checks.
Paragraph (a) proposes that TSA may
deem an earlier check comparable to a
currently needed check based on certain
factors listed in proposed paragraph (d),
below, and if three conditions are met.
First, as proposed in paragraph (a)(1),
the original check cannot be expired.
51 Note that the complete list of data sources TSA
uses in this portion of the STA is Sensitive Security
Information and subject to protection in accordance
with 49 CFR part 1520.
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Second, as proposed in paragraph (a)(2),
the original check must be part of a DOE
that is not expired, revoked, or
suspended. Third, as proposed in
paragraph (a)(3), the earlier check must
be adjudicated under standards that are
comparable to the standards for the new
STA.
For example, individuals applying for
a security coordinator STA under this
NPRM who hold a current TWIC would
be able to use the CHRC conducted for
TWIC as a comparable check because
both the TWIC CHRC and the security
coordinator CHRC are adjudicated
against the same look-back period and
list of disqualifying crimes.
Paragraph (b) proposes that TSA may
accept a valid, unexpired STA,
background check, or investigation
conducted by TSA or another Federal
governmental agency to satisfy the STA
requirement. Unlike proposed
paragraph (a), which addresses the
comparability of a given check
(terrorism/other analyses, immigration,
or CHRC) from one STA to another,
proposed paragraph (b) addresses
whether an entire STA, background
check, or investigation may satisfy a
subsequent STA requirement without
the need for further checks. For
example, as explained below, TSA may
determine that a Level 3 STA is
comparable to a Level 2 STA (because
the former includes all of checks
included in the latter). Thus, TSA may
rely on the fact that an individual has
already successfully completed a Level
3 STA to satisfy a subsequent
requirement for a Level 2 STA under a
different regulatory program for the
same individual. Proposed paragraph (b)
would refer to the factors in proposed
paragraph (d) as the basis for the
determination.
Paragraph (c) would impose an
important constraint on comparability
based on timing. If TSA relies on a
comparable check from an earlier STA,
the duration of the new STA will be
backdated to the date of the earliest
check in the STA. This would ensure
that no part of the STA is older than 5
years.
Paragraph (d) sets out the criteria that
TSA would use to decide whether
STAs, background checks, or other
investigations are comparable in whole
or in part. Paragraph (d)(5) would allow
TSA to consider other factors it deems
appropriate when making a
comparability determination. For
instance, an agency may ask TSA to
consider the use of different databases
that TSA does not use as comparable
sources of information. TSA needs this
latitude because of the widely variable
factual and policy circumstances that
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can surround how a given governmental
agency may conduct the background
check or investigation on which TSA
may rely.
Paragraph (e) is reserved.
Paragraph (f) proposes the
responsibilities of an individual who
asserts completion of a comparable STA
to satisfy a new STA requirement.
Paragraph (f)(3) would require an
individual asserting completion of a
comparable STA to complete enrollment
and pay the associated STA fees. A new
enrollment is necessary because TSA
needs complete, up-to-date enrollment
information to accurately identify the
individual and notify him or her of the
outcome of the STA.
Paragraphs (g)–(i) would list certain
comparability determinations that TSA
would set forth in the regulatory text.
Each more thorough STA is comparable
to the less thorough STAs. For instance,
a Level 2 STA is comparable to a Level
1 STA, and a Level 3 STA is comparable
to both a Level 2 and a Level 1 STA.
TSA has already determined that an
STA for the FAST program,
administered by CBP, is comparable to
the TWIC and HME STA.52 Since the
requirements for the Level 3 STA
proposed in this rulemaking are
comparable to the TWIC and HME
programs, the STA for a FAST card is
comparable in whole to a Level 3 STA.
In addition to the FAST program, CBP
administers the NEXUS,53 SENTRI,54
and Global Entry 55 programs. These
programs include thorough criminal
history, terrorism, and immigration
checks conducted by CBP, and in the
case of Global Entry, also include an
interview conducted by a CBP law
enforcement officer. CBP’s criminal
checks view all of the disqualifying
offenses we propose in this NPRM as
disqualifying in their programs.
Similarly, the CBP terrorism and
immigration checks include comparable
data sources and standards. For these
reasons, TSA has determined that the
STAs for these programs are comparable
to the proposed Level 3 STA. Finally,
the TSA PreCheck® STA would be
comparable to the Level 3 STA in this
proposed rule. For TSA PreCheck®, TSA
uses TWIC and HME criminal offenses
and look-back period, and terrorism
standards. Also, the immigration
standard for TSA PreCheck® is more
stringent than the standards for TWIC
52 See
49 CFR 1572.5(e)(6).
information about the NEXUS program, see
https://www.cbp.gov/travel/trusted-travelerprograms/nexus.
54 For information about the SENTRI program, see
https://www.cbp.gov/travel/trusted-travelerprograms/sentri.
55 See 8 CFR parts 103 and 235.
53 For
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and HME. Consequently, individuals
who have successfully passed the TSA
PreCheck® STA have completed a
comparable Level 3 STA.
This proposed section on
comparability and proposed § 1530.307
on fee comparability are closely related.
As explained in the discussion of
proposed § 1530.307, the fee structure
proposed in this rulemaking is
portioned into segments based on the
services TSA provides when conducting
STAs. When processing an STA
application, if TSA can rely on a
comparable check from an earlier STA,
it does not have to perform that service
again, and it will not have to charge the
individual the full fee for that service.
This reduces the financial burden on
individuals requiring more than one
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H. Proposed Subpart G—Appeal and
Waiver Procedures for Security Threat
Assessments
1. Introduction. In subpart G, TSA
proposes redress provisions for
individuals adversely affected by the
STA requirements in 49 CFR part 1530.
These proposed standards are consistent
with the redress provisions codified in
49 CFR part 1515, Appeal and Waiver
Procedures for Security Threat
Assessments for Individuals, for
individuals who are required to undergo
STAs for the TWIC, HME, and certain
air cargo programs.56 Part 1515 will
continue to apply according to its terms
(although TSA may revise the part
heading in the final rule for this
rulemaking to clarify the scope of part
1515), and subpart G of part 1530 would
apply to individuals who work for
public transportation, railroads, and
OTRB operators and undergo an STA set
forth in this rulemaking. The standards
in part 1515 were previously subject to
notice and comment and have been in
place for over 10 years. TSA believes the
redress procedures we propose in
subpart G are effective, efficient, and
relatively easy to follow for individuals,
including those who do not wish to hire
an attorney for this process. However,
TSA welcomes comments from covered
entities that may be impacted by the
proposed rule and the public on ways
to improve the vetting process while
still reducing security risk in the
respective transportation modes.
Proposed subpart G describes the
procedures for: (1) requesting waivers of
the criminal standards; (2) appealing
disqualifications based on the criminal
56 For a full discussion of the development of the
provisions in 49 CFR part 1515, see the HME
interim final rule (68 FR 23852, May 5, 2003), and
the TWIC final rule (72 FR 3492, Jan. 25, 2007).
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history, immigration, or terrorism/other
analyses checks; (3) ALJ review of TSA’s
waiver and appeal determinations; and
(4) review of ALJ decisions by the TSA
Final Decision Maker.
2. Proposed § 1530.601. TSA proposes
the scope and general requirements for
subpart G in this section. Paragraphs (a)
and (b) would establish that individuals
who apply for an STA under part 1530
and who are eligible to request an
appeal or waiver, fall within the scope
of this part. Paragraph (c) explains that
TSA does not disclose classified
information or other information that is
protected by law, or for which
disclosure is not warranted. Paragraph
(d) explains that an individual may, but
is not required to, hire an attorney to
represent them in an appeal or waiver
proceeding, at the individual’s expense.
Paragraph (e) explains that the
individual may request an extension of
time for submitting appeal or waiver
paperwork to TSA. These requests must
be in writing, explain the reason for the
extension, and be served on TSA prior
to the deadline that needs to be
extended. TSA generally grants
extensions of time in the redress process
when individuals meet these proposed
standards.
3. Proposed § 1530.603. Reserved.
4. Exhaustion of Administrative
Remedies. Before explaining the redress
procedures an individual would use to
appeal a TSA final decision (which are
set forth below), it is important to
discuss the principle of exhausting the
administrative remedies TSA provides
in subpart G before seeking review by
the courts. The doctrine of exhaustion of
remedies is based on the need to
conserve judicial resources and ensure
that factual issues are resolved by the
agency with the expertise and
responsibility for administering the
program at issue. The doctrine allows
agencies to develop a full factual record,
correct errors, minimize costs, and
create a uniform approach to the issues
within its jurisdiction. This process
benefits individuals by resolving
disputes more quickly and at lower cost
through TSA rather than the Federal
courts. If the individual ultimately seeks
review in the Court of Appeals
following TSA’s final agency order, the
court will have a full record on which
to base its review and the issues will be
narrowed to those that truly require
judicial review. In a case where TSA
issued a preliminary denial of a TWIC
application and the individual sought
review by a U.S. District Court rather
than first appealing the decision to TSA,
the court dismissed his claim stating
that he must first exhaust the
administrative remedies in TSA’s
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33491
redress regulations.57 The court stated
that it needed a more developed factual
record to effectively evaluate the case.
Also, the court held that TSA should
have the opportunity to correct any
errors and narrow the issues, which can
be achieved through exhausting
administrative remedies, before
initiating judicial review.
For all of the foregoing reasons, TSA
is proposing to require individuals to
exhaust the administrative remedies set
forth in subpart G before seeking
judicial review.
Under this proposal, an individual
would not seek judicial review until
TSA has issued its ‘‘final agency order.’’
Throughout proposed subpart G, we
clearly identify the point at which a
TSA decision is a ‘‘final agency order,’’
and thus, when an individual may
pursue judicial review. Note that for
purposes of the rulemaking, ‘‘final
agency order’’ and ‘‘final agency action’’
have the same meaning.
5. Proposed § 1530.605. In this
section, TSA proposes the procedures
that would apply to appeals to TSA
concerning the criminal, immigration,
and mental capacity standards in part
1530.
Paragraph (a)(3) pertains to appeals
based on determinations that an
individual lacks mental capacity under
proposed §§ 1530.501 and 1530.503. It
is important to note that TSA does not
have access to health-related databases
and information concerning mental
health issues. However, TSA may
become aware of mental health issues
through the CHRC, when an individual
is found not guilty by reason of insanity
of a disqualifying criminal conviction.
Paragraph (b) of this section proposes
the grounds for appeal that may be
raised. Individuals may assert that they
do meet the eligibility standards and (1)
TSA’s decision was based on factually
incorrect information; or (2) TSA failed
to apply the eligibility standards in
accordance with the regulations. For
instance, if a criminal rap sheet reveals
a conviction for a disqualifying offense,
but fails to include the fact that the
conviction was later overturned, an
individual may use this as the basis for
an appeal. Also, if TSA fails to correctly
apply the list of criminal disqualifiers
that appear in part 1530, this failure to
adhere to the standards would
constitute grounds for an appeal.
Paragraphs (c)–(h) of this section
propose the procedures and timeframes
for initiating an appeal, responding to a
PDI or a PDIIR, correcting inaccurate
records, and TSA’s issuance of a final
57 See Mohamed Al Seraji v. Gowadia, No. 8:16–
cv–01637–JLS–JCG (C.D. Cal. Apr. 28, 2017).
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determination. Under these procedures,
an individual must request an appeal in
writing to TSA, and it may be in the
form of a request for the records on
which TSA’s PDI or PDIIR are based, or
as a reply to the PDI or PDIIR. The
individual must initiate the appeal
within 60 days of service of the PDI or
PDIIR, or request an extension of time.
TSA may request documents from
appellants that are necessary to make a
final determination. If the data on which
TSA made its preliminary decision of
ineligibility is incomplete or inaccurate,
proposed § 1530.605(f) describes how an
individual can correct the information.
Paragraph (g) of this section proposes
the procedures TSA would follow in
making a final determination on
eligibility and the individual’s appeal. If
TSA determines that the PDI/PDIIR is
incorrect, TSA would withdraw the
PDI/PDIIR and notify the individual,
and the employer or operator, where
applicable. If TSA determines that the
preliminary determination was correct,
TSA would serve a FDI on the
individual, and where applicable, the
employer or operator.
Paragraph (h) explains that TSA’s FDI
based on criminal, immigration, and
mental capacity standards would
constitute a final agency order or action
under 49 U.S.C. 46110.58 This means
that upon receiving the FDI, there are no
additional redress procedures within
TSA for an individual to use. At this
point, the individual may seek review in
the Court of Appeals or accept TSA’s
final determination. These appeals
based on criminal, mental capacity, and
immigration involve objective facts and
documents, and thus, it would be highly
unlikely for TSA’s final decision to be
in error and need further review by an
ALJ or the TSA Final Decision Maker.
6. Proposed § 1530.607. In this
section, TSA sets forth proposed
standards for requesting a waiver due to
criminal offense or mental capacity.
Under this proposed rule, TSA would
not consider waiver requests for failure
to meet immigration standards or for the
terrorism/other analysis checks. It
would be inconsistent with the 9/11
Act, the principles of security vetting,
and similar waiver programs to
entertain waiver requests for these
issues. There is no reasonable basis on
which TSA would determine that a
waiver should be granted to an
individual who does not meet the
immigration standards or is deemed to
pose a threat to national or
58 This section of the code governs judicial review
of TSA’s final agency orders, and requires litigants
to challenge final agency orders in the U.S. Court
of Appeals for the District of Columbia Circuit
within 60 days of TSA’s order.
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transportation security, or of terrorism
under 1530.507(a). As proposed in
paragraph (b), however, TSA would
consider a waiver when an individual
(1) who committed a disqualifying
offense, now asserts that he or she is
rehabilitated and no longer poses a
security risk; (2) who suffered from
mental capacity issues, asserts that
those health issues no longer exist; or
(3) was disqualified for a criminal
history under § 1530.507(b).
In paragraph (c), TSA proposes that
individuals must complete the
enrollment process, including paying all
applicable fees, before he or she may
apply for a waiver. For instance, an
individual who knows he was convicted
of a disqualifying offense within the
previous 7 years and wishes to apply for
a waiver of that offense, must complete
the enrollment process so that TSA
receives the pertinent criminal records
from the FBI that verify the
disqualifying issue. The applicant may
submit a request for a waiver, which
must be received no earlier than the
date that the individual submitted the
application and fee, and no later than 60
days after final disposition of an appeal
undertaken consistent with § 1530.605
of this subpart. An individual preserves
the right submit a waiver request if he
or she requests an extension of time in
accordance with § 1530.601(e) of this
part and the request is granted.
Paragraph (c)(2) describes the factors
that TSA would consider when
evaluating a waiver request, including
the circumstances of the crime,
restitution the individual has paid,
court or other official records indicating
that the individual no longer lacks
mental capacity, the length of the prison
term, the time that has elapsed since
release from prison, criminal activity
that has occurred following release from
prison, and other factors relevant to the
individual’s waiver request. TSA would
consider letters of reference from
employers, clergy, probation officers,
family members, and others with
knowledge of the individual’s character
and rehabilitation since the crime
occurred.
TSA adjudicators and analysts would
evaluate the paperwork submitted, and
communicate with the individual, if
necessary, to gain additional
information to ensure that the waiver
request package is complete. TSA has
established a Waiver Review Board,
which includes security analysts and
senior managers, to meet regularly to
consider each waiver request. Because
waiver decisions are somewhat
subjective, TSA established this process
to ensure consistency and avoid
individual bias in reviewing waiver
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requests. The Waiver Review Board
makes a recommendation to grant or
deny a waiver to the Assistant
Administrator. The Assistant
Administrator reviews the
recommendation and waiver paperwork
and makes a final decision to grant or
deny the waiver request.
Paragraph (d) explains that, within 60
days of TSA receiving the waiver
request, TSA would serve a written
decision granting or denying the waiver
request on the individual. If TSA denies
the waiver, the individual may appeal
the decision to an ALJ. TSA’s waiver
denial is not a final agency action under
49 U.S.C. 46110. The individual may
not, therefore, appeal this decision to
the court system at this time, but must
first seek review by an ALJ (as described
in § 1530.611) and then if necessary, a
TSA Final Decision Maker (as described
in § 1530.613).
7. Proposed § 1530.609. In this
section, TSA proposes the procedures
an individual would use to appeal
TSA’s preliminary determination that
the individual failed the terrorism/other
analyses portion of the STA. Paragraph
(b) explains that the only grounds for an
appeal of the terrorism/other analyses
PDI is an assertion that the individual
meets the standards for the STA for
which he or she is applying. For
instance, an individual could argue that
he or she has been misidentified as
another person who poses a security
threat. Also, the individual may assert
that even if he or she has been correctly
identified, nonetheless, the person does
not pose a security threat. Paragraph (c)
states that the procedures proposed for
§ 1530.605(c)-(h), described above, also
apply to this section.
In paragraph (d)(1) of this section,
TSA proposes that 60 days after service
of the individual’s appeal, TSA would
serve a final determination on the
individual, and where applicable, the
individual’s employer. For instance, in
this rulemaking, public transportation
operators may not employ an individual
in a security-sensitive position unless
the individual successfully completed a
Level 2 STA, which includes the
terrorism/other analyses check. If TSA
determines that an individual does not
pass the Level 2 STA, TSA would have
to notify the operator of this
determination so that the operator does
not assign the individual a securitysensitive position.
As proposed in paragraph (d)(2), if
TSA determines that the PDI or PDIIR
was issued in error, TSA would
withdraw it by serving notification on
the individual, and where appropriate,
the employer.
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Paragraph (e) addresses further review
of a case in which TSA denies the
individual’s appeal. TSA’s denial of the
appeal under this section is not a final
agency action under 49 U.S.C. 46110,
and, therefore, the individual may not
seek review in the courts at this
juncture. If the individual wishes to
seek additional review of TSA’s final
determination, he or she would seek
review by an ALJ, and those procedures
are set forth in proposed § 1530.611,
described below. If the individual does
not seek review by an ALJ within 30
days of TSA’s decision, the decision
then becomes final.
8. Proposed § 1530.611. In this
section, TSA proposes the procedures
for an individual who wishes to seek
review of a TSA decision by an ALJ.
Paragraph (a) describes the two types of
appeals that are eligible for ALJ review.
An ALJ may review (1) an appeal of
TSA’s decision to deny a waiver as set
forth in § 1530.607, and (2) an appeal of
TSA’s decision to deny an appeal based
on the terrorism/other analyses check as
set forth in § 1530.609.
Paragraph (b) explains how the
individual must request ALJ review.
The request must be in writing and
served within 30 days of the date that
TSA served the decision that the
individual seeks to appeal to the ALJ.
The individual must include the issues
that the individual wants the ALJ to
consider, copies of the individual’s
request for a waiver or initial appeal
with all supporting documents, and
copies of TSA’s denial of the waiver
request or appeal. Paragraph (b)(5)
provides the address to use for ALJ
review requests.
Paragraph (b)(2) explains that a
request for ALJ review may not include
material, evidence, or information that
was not also presented to TSA in the
original waiver request or appeal. As
stated in paragraph (b)(3), if the
individual has new material, evidence,
or information that was not available to
TSA, the individual should file a new
waiver request or appeal with TSA, and
the ALJ review request would be
dismissed. To preserve ALJ resources
and ensure that TSA makes decisions
that fall within its expertise, in keeping
with principles of the exhaustion of
administrative remedies, any new
information should be used to begin a
new review by TSA, not the ALJ.
Paragraph (b)(4) explains that the
individual may request an in-person
hearing before the ALJ. Paragraph (c)
addresses extensions of time during the
ALJ review process. Both parties may
request extensions of time in writing,
and they should be received by the ALJ
within a reasonable time before the date
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that must be extended. Paragraph (d)
describes the duties of the ALJ, which
are the same procedures that currently
apply to cases that ALJs review in TWIC
and HME waiver denials, and are fairly
standard for administrative process.
TSA proposes that the ALJ must have
the appropriate level of security
clearance necessary to review any
information, including classified
information, that is relevant to
reviewing the case. As proposed, the
ALJ should consider a request for an inperson hearing, by evaluating whether
there are genuine issues of fact about the
evidence or information the individual
submits as part of his or her waiver
request or appeal to TSA, or whether
TSA’s determination on the waiver or
appeal was completed in accordance
with the regulations. If an in-person
hearing takes place, a verbatim
transcript would be made, at no cost to
the individual. If the individual fails to
appear, the ALJ may issue a default
judgment against the individual. The
standard of proof for the hearing would
be substantial evidence on the record.
Under the ALJ procedures, we
propose that TSA will not disclose
classified information or other
information protected under the law.
TSA, however, may prepare an
unclassified summary of the
information for the appealing party, if
an unclassified summary can be
provided consistent with national
security concerns. The ALJ would
review the record of decision, including
any classified information upon which
the decision relies, on an ex parte, in
camera basis, and may consider this
information in making a final decision
if the information appears to be material
and relevant.
Paragraph (f) describes the procedures
that apply for the ALJ’s final decision.
As proposed, the ALJ would issue a
final decision within 60 days from the
close of the record, and serve the
decision on the parties. Either party may
appeal the ALJ decision to the TSA
Final Decision Maker. If the ALJ
overturns TSA’s waiver or appeal
decision and TSA does not appeal that
to the Final Decision Maker, TSA would
issue an order granting the waiver or
withdraw the final determination on the
appeal, as applicable. If the ALJ upholds
TSA’s decision and the individual does
not seek review by the TSA Final
Decision Maker, TSA would issue a
final agency order denying a waiver to
the individual or issue a Final Order of
Ineligibility, as applicable.
9. Proposed § 1530.613. TSA proposes
the procedures for appealing an ALJ
decision to the TSA Final Decision
Maker in this section. The non-
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33493
prevailing party in the ALJ proceeding
may request a review of the ALJ’s
decision by the TSA Final Decision
Maker within 30 days from the date of
service of the ALJ’s decision. Requests
for review must be in writing, served on
the opposing party, and relate only to
whether the ALJ’s decision was based
on substantial evidence on the record.
Within 60 days of receiving the request
for review (or within 30 days of
receiving a response from the other
party), the TSA Final Decision Maker
would issue the final decision. The
decision of the TSA Final Decision
Maker constitutes a final agency order
in accordance with 49 U.S.C. 46110. If
the individual wishes to appeal the TSA
Decision Maker’s final order, that appeal
must be filed in the U.S. Court of
Appeals for the District of Columbia
Circuit or in the court of appeals of the
United States for the circuit in which
the person resides or has its principal
place of business within 60 days of the
TSA Decision Maker’s final order.
IV. Analysis of Proposed Changes to
Parts 1500, 1570, 1572, 1580, 1582, and
1584
A. Introduction
TSA proposes to make changes to 49
CFR parts 1500, 1570, 1572, 1580, 1582,
and 1584 in this rulemaking. Each of
these proposed changes are described
below.
B. Proposed Changes to Part 1500
‘‘Security threat assessment’’ would
mean a procedure conducted by TSA
consisting of one or more checks of
relevant databases and other sources of
information to verify an individual’s
identity, and to determine whether the
individual is eligible for certain access
to the nation’s transportation systems,
or for certain privileges or credentials.
The proposed definition would provide
a concrete understanding of the term
that encapsulates the entire process of
vetting the individual. It would also
promote consistent use of terminology
throughout TSA’s regulations, most
importantly that a security threat
assessment is the overall process, which
is comprised of one or more checks,
such as a CHRC, or a check of databases.
TSA considers the terms ‘‘security
threat assessment,’’ as proposed here,
and ‘‘security background check,’’ as
established in the Security Training
rulemaking to be functionally
synonymous. TSA intends generally to
reserve the use of ‘‘security background
check’’ to the specific context of
proposed § 1570.305.
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C. Proposed Changes to Part 1570
As explained previously, this
proposed rule is one of three
rulemakings TSA is presently
conducting to implement the 9/11 Act.
The Security Training NPRM proposed
extensive changes to part 1570,
including reserving subpart D for
proposals related to vetting. In this
rulemaking, we propose changes to part
1570, subpart D, that build on the
proposals in the Security Training
NPRM.
TSA proposes to add § 1570.307 to
subpart D to explain that specific vetting
requirements for maritime and land
transportation would be set in the parts
that relate to each industry. For
instance, the proposals for the owner/
operators and individuals in freight rail
would be in part 1580, public
transportation and passenger rail would
be in part 1582, and OTRB would be in
part 1584.
As a matter of organization and
clarity, we think it would be easier for
each type of owner/operator and its
employees to first look at the part of
TSA regulations that applies to it, in
order to determine who must be vetted
and the level of vetting required. The
requirements may vary, and we believe
placing them in the specific part of title
49 that corresponds to that type of
operator would be best.
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D. Proposed Change to Part 1572
TSA proposes to revise the title of
part 1572 from ‘‘Credentialing and
Security Threat Assessments’’ to
‘‘Credentialing and Security Threat
Assessments for the Hazardous
Materials Endorsement and
Transportation Worker Identification
Credential Programs.’’ This is an
administrative change TSA proposes to
make to clarify that part 1572 applies
only to the HME and TWIC programs.
As our vetting authorities expand and
there are new vetting standards in
various parts of the CFR, we believe it
is necessary to change the title of part
1572 so that individuals and owner/
operators understand that it applies
only to two programs.
E. Proposed Changes to Part 1580
TSA proposes to add ‘‘Subpart D—
Security Threat Assessment
Requirements for Owner/Operators and
Individuals’’ to part 1580, as
promulgated in the Security Training
rulemaking, to implement the 9/11 Act
vetting requirements in freight rail.59
1. Proposed § 1580.3. This section
would make clear that the terms defined
59 See 9/11 Act sections 1520 and 1522, which are
codified at 6 U.S.C. 1170(d).
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in §§ 1500.3, 1500.5, and 1503.103, of
subchapter A, § 1530.3 of subchapter B,
and § 1570.3 of subchapter D of this
chapter, also apply when used in this
part.
2. Proposed § 1580.301. Paragraph (a)
would set out the obligations of freight
rail owner/operators with regard to STA
requirements for the security
coordinators who would be designated
according to the requirements of the
Security Training rulemaking. Section
1570.201(a), as set forth in the Security
Training final rule, requires freight rail
owner/operators to designate and use a
primary and at least one alternate
security coordinator. These
requirements apply to the operators
listed in 49 CFR 1580.101, which are:
• Class 1 freight railroad carriers;
• Rail hazardous materials shippers
that transport one or more of the
categories and quantities of rail securitysensitive materials (RSSM) in a high
threat urban area (HTUA);
• Rail carrier that serves as a host
railroad to a Class 1 carrier, rail
hazardous materials shipper that
transports RSSM in an HTUA, or a
passenger operation described in 49
CFR 1582.101.
Proposed paragraph (a)(1) would set
out the primary requirement that a
covered freight rail owner/operator must
not authorize or permit an individual to
serve as a primary or alternate security
coordinator unless he or she has
successfully completed a Level 3 STA
and holds a current DOE from TSA.
As explained above in section II.B.2.
of the preamble, security coordinators
should undergo a Level 3 STA because
of their access to sensitive-security and
personally-identifiable information, as
well as the critical security functions
they perform. These responsibilities and
functions require a high level of
confidence that the individual is
trustworthy. As explained above, a
Level 3 STA consists of a criminal
history, terrorism/other analyses, and
immigration check. Successful
completion of this Level 3 STA would
increase confidence that the individual
is sufficiently trustworthy to assume the
position.
To comply with proposed paragraph
(a)(1), owner/operators would need a
definitive source of information from
TSA regarding an individual’s STA.
TSA expects to create a web-based
portal for owner/operators to access,
which would include the results of the
STAs of that owner/operator’s workers.
TSA has considered other methods of
employer notification, such as mailing
letters, but believes this method would
be more cost-effective and minimizes
the risk of fraud or missing records
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associated with paper documents and
mail service. TSA invites comment from
the industry as to other potential
methods of notification, as well as the
relative advantages and disadvantages of
the options.
Paragraph (a)(2) would require the
owner/operator to retain records
documenting compliance with
paragraph (a)(1). TSA does not propose
a specific format of documentation. TSA
prefers to retain flexibility to permit
various formats depending on owner/
operator needs and capabilities. TSA
will work with each owner/operator to
assure that the recordkeeping process
complies with TSA’s inspection needs.
As part of inspecting compliance with
the STA requirements, TSA must be
able to review these records to ensure
that the STA requirements have been
met at the appropriate time. TSA invites
comment from owner/operators as to
how most will satisfy this requirement
and other ideas for meeting it.
Paragraph (b)(1) would set out the
primary requirement that a covered
freight rail owner/operator must not
authorize or permit an individual to
serve as a security-sensitive employee,
unless he or she has successfully
completed a Level 2 STA and holds a
current DOE from TSA. TSA proposes to
require a Level 2 STA, consisting of
terrorism/other analyses and
immigration check in the United States,
for security-sensitive employees, which
satisfies the requirements of section
1520 of the 9/11 Act.
As explained above in the discussion
of security coordinator STA
requirements, TSA expects to create a
web-based portal for owner/operators to
access, which would include the results
of the STAs of that owner/operator’s
security-sensitive employees.
Proposed paragraph (b)(2), with
regard to recordkeeping, is similar to
proposed paragraph (a)(2) explained
above.
Paragraph (c) proposes continuing
responsibilities for owner/operators
after the initial vetting of security
coordinators and security-sensitive
employees. Paragraph (c)(1) would
require an owner/operator to remove an
individual from a position as a security
coordinator or a security-sensitive
employee if notified by TSA that the
individual is no longer eligible for the
position. TSA would issue such a
notification if, for example, the
recurrent terrorism/other analyses check
subsequently reveals information
indicating that the individual poses or
may pose a threat to transportation
security or national security, or of
terrorism.
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Paragraph (c)(2) would require an
owner/operator that becomes aware of
information that an individual is or may
not be eligible to serve as a security
coordinator or security-sensitive
employee to notify TSA immediately.
This responsibility would arise, for
example, if the owner/operator becomes
aware that a security coordinator has
been arrested for or convicted of a
potentially disqualifying crime.
Paragraph (c)(3) would provide that
an owner/operator may reassign an
individual as a security coordinator or
security-sensitive employee if notified
by TSA that he or she regained
eligibility. For example, if TSA notified
an owner/operator under proposed
paragraph (c)(1) that an individual is
ineligible, but subsequently determines
that the factor causing the ineligibility
had been resolved, TSA would notify
the owner/operator under paragraph
(c)(3).
2. Proposed § 1580.303. This section
would set out the obligations of
individuals employed by covered freight
rail owner/operators who must undergo
an STA, either as a security coordinator
(proposed paragraph (a)) or a securitysensitive employee (proposed paragraph
(b)).
Paragraph (a) would provide that an
individual must not work as a security
coordinator for a freight rail owner/
operator, unless he or she successfully
completes a Level 3 STA and holds a
current Determination of Eligibility.
Paragraph (a) would also specify that
the criminal history records check
conducted as part of the Level 3 STA
would be adjudicated against the list of
disqualifying crimes in proposed
§ 1530.503, which, as described above,
would be the list of disqualifying crimes
that currently apply to certain surface
and maritime workers under § 1572.103.
Paragraph (b) would provide that an
individual must not work as a securitysensitive employee unless he or she
successfully completes a Level 2 STA
and holds a current Determination of
Eligibility. The rationale for requiring
this level of vetting is explained above
in section II.B.1. of the preamble.
3. Proposed § 1580.305. This section
would require the use of TSA
enrollment centers by individuals, as
well as the owner/operators of those
individuals, required to apply for an
STA under these proposed regulations.
The reasons for this proposed
requirement is explained above in
section II.B.5. of the preamble.
4. Proposed § 1580.307. As explained
above in section II.B.7. of the preamble,
TSA proposes a phased implementation
of the vetting requirements proposed in
this rule. Under paragraph (a), the
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vetting requirements for primary and
alternate security coordinators would
become effective 6 months from the
publication date of the final rule. Under
paragraph (b), the vetting requirements
for security-sensitive employees would
become effective 12 months from the
publication date of the final rule. It is
important to note that the time it takes
to process Level 2 STA processing is
typically less than 10 days, and less
than 30 days for Level 3 STA
processing. We invite comment from
employers and workers on these
proposed effective dates. Specifically,
TSA is interested in the time employers
anticipate it will take to prepare for the
effective dates, how many employees
fall into each category, and whether the
number of employees can be vetted
within the allotted time.
F. Changes to Part 1582
TSA proposes to add ‘‘Subpart C—
Security Threat Assessment
Requirements for Owner/Operators and
Individuals’’ to part 1582, as set forth in
the Security Training final rule, to
implement the vetting requirements of
the 9/11 Act for public transportation
and passenger rail.
1. Proposed § 1582.3. This section
would make clear that the terms defined
in §§ 1500.3, 1500.5, and 1503.103, of
subchapter A, § 1530.3 of subchapter B,
and § 1570.3 of subchapter D of this
chapter, also apply when used in this
part.
2. Proposed § 1582.201. This section
would set out the obligations of covered
public transportation and passenger rail
owner/operators with regard to STA
requirements for the security
coordinators who would be designated
according to the requirements of the
Security Training rulemaking. Under
the Training final rule, section
1570.201(a) requires public
transportation and passenger rail owner/
operators described in § 1582.1(a) to
designate and use a primary and at least
one alternate security coordinator.
These owner/operators include:
passenger railroad carriers, public
transportation agencies, and operators of
rail transit systems that are not
operating on tracks that are part of the
general railroad system, including heavy
rail transit, light rail transit, automated
guideway, cable car, inclined plane,
funicular, and monorail systems.
Proposed paragraph (a)(1) would set
out the primary requirement that a
covered public transportation and
passenger railroad operator must not
authorize or permit an individual to
serve as a primary or alternate security
coordinator, unless he or she has
successfully completed a Level 3 STA
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33495
and holds a current DOE from TSA. As
set forth in the Security Training final
rule, this requirement would apply to
all owner/operators described in
§ 1582.1(a)(1)–(3), and to an owner/
operator described in § 1582.1(a)(4), if it
is notified by TSA that a threat exists
pursuant to 49 CFR 1570.201(b)). As
explained above in section II.B.2. of the
preamble, TSA believes that security
coordinators should be required to
undergo a Level 3 STA based on the
access to sensitive-security and
personally-identifiable information they
have. As explained previously, a Level
3 STA consists of a criminal history,
terrorism/other analyses, and
immigration check. Successful
completion of this Level 3 STA will
increase confidence that the individual
is sufficiently trustworthy to assume the
position, and the proposed requirement
that he or she continues to hold a
current DOE would require his or her
removal if he or she becomes ineligible
in the future.
To comply with proposed paragraph
(a)(1), owner/operators would receive a
notification from TSA regarding an
individual’s STA. TSA expects to create
a web-based portal for owner/operators
to access, which would include the
results of the STAs of that owner/
operator’s workers. TSA has considered
other methods of employer notification,
such as mailing letters, but believes this
method would be more cost-effective
and minimizes the risk of fraud or
missing records associated with paper
documents and mail service. TSA
invites comment from the industry as to
other potential methods of notification,
and the relative advantages and
disadvantages of the options.
Paragraph (a)(2) would require the
owner/operator to retain records
documenting compliance with proposed
paragraph (a)(1). TSA proposes to allow
owner/operators flexibility as to the
format, paper or digital, of storage, as
long as the form and manner is
authorized by TSA. As part of
inspecting compliance with the STA
requirements, TSA must be able to
review these records to ensure that the
STA requirements have been met at the
appropriate time. TSA invites comment
from owner/operators as to how most
will satisfy this requirement and other
ideas for meeting it.
In proposed § 1580.203 (b) and as
discussed above, TSA proposes to
require that such security-sensitive
employees successfully complete a
Level 2 STA. Paragraph (b)(1) of this
section tracks the same requirements as
in paragraph (a)(1), but for securitysensitive employees instead of security
coordinators. TSA proposes that a
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covered owner/operator must not
authorize or permit a person to serve a
security-sensitive employee, unless he
or she has successfully completed a
Level 2 STA and holds a current DOE.
This level of vetting satisfies section
1411 of the 9/11 Act.
Proposed paragraph (b)(2) with regard
to recordkeeping is similar to proposed
paragraph (a)(2) explained above.
Paragraph (c) proposes continuing
responsibilities for owner/operators
after the initial vetting of security
coordinators and security-sensitive
employees. Paragraph (c)(1) would
require an owner/operator to remove an
individual from a position as a security
coordinator, or a security-sensitive
employee, if notified by TSA that the
individual is no longer eligible for the
position. TSA would issue such a
notification if, for example, the
recurrent terrorism check subsequently
reveals information indicating that the
individual poses or may pose a threat to
transportation security or national
security, or of terrorism.
Paragraph (c)(2) would require an
owner/operator that becomes aware of
information that an individual may not
be eligible to serve as a security
coordinator or security-sensitive
employee to notify TSA immediately.
This responsibility would arise, for
example, if the owner/operator becomes
aware that a security coordinator has
been convicted for a potentially
disqualifying crime.
Paragraph (c)(3) would provide that
an owner/operator may reassign an
individual as a security coordinator or
security-sensitive employee if notified
by TSA that he or she regained
eligibility. For example, if TSA notified
an owner/operator under proposed
paragraph (c)(1) that an individual is
ineligible, but subsequently determines
that the factor causing the ineligibility
had been resolved, TSA would notify
the owner/operator under paragraph
(c)(3).
3. Proposed § 1582.203. This section
would set out the obligations of
individuals employed by covered public
transportation and passenger rail owner/
operators who must undergo an STA,
either to serve as a security coordinator
(proposed paragraph (a)) or as a
security-sensitive employee (proposed
paragraph (b)).
Proposed paragraph (a) would provide
that an individual must not work as a
security coordinator for a public
transportation or passenger rail owner/
operator unless he or she successfully
completes a Level 3 STA and holds a
current DOE. The reasons for requiring
a Level 3 STA, and the checks that
would compose this level of vetting are
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explained above in section II.B.2. of the
preamble. Paragraph (a) would also
specify that the CHRC conducted as part
of the Level 3 STA would be
adjudicated against the list of
disqualifying crimes in proposed
§ 1530.503(a), which is the list of
disqualifying crimes applicable to
surface and maritime vetting conducted
by TSA.
Paragraph (b) would provide that an
individual must not work as a securitysensitive employee unless he or she
successfully completes a Level 2 STA,
and holds a current DOE. The rationale
for requiring this level of vetting is
explained above in section II.B.1. of the
preamble.
4. Proposed § 1582.205. This section
would require the use of TSA
enrollment centers by individuals, and
their owner/operators, required to apply
for an STA under these proposed
regulations. The reasons for this
proposed requirement is explained
above in section II.B.5. of the preamble.
5. Proposed § 1582.207. As explained
above in section II.B.7. of the preamble,
TSA proposes a phased implementation
of the vetting requirements proposed in
this rule. Under paragraph (a), the
vetting requirements for primary and
alternate security coordinators would
become effective 6 months from the
publication date of the final rule. Under
paragraph (b), the vetting requirements
for security-sensitive employees would
become effective 12 months from the
publication date of the final rule.
We invite comment from employers
and workers on these proposed effective
dates. Specifically, TSA is interested in
the time employers anticipate it will
take to prepare for the effective dates,
how many employees fall into each
category, and whether the number of
employees can be vetted within the
allotted time.
F. Proposed Changes to Part 1584
In this rulemaking, TSA proposes to
add ‘‘Subpart C—Security Threat
Assessment Requirements for Owner/
Operators and Individuals’’ to part 1584,
in keeping with provisions established
in the Security Training rule for the 9/
11 Act vetting requirements for OTRB.
1. Proposed § 1584.3. This section
would make clear that the terms defined
in §§ 1500.3, 1500.5, and 1503.103, of
subchapter A, § 1530.3 of subchapter B,
and § 1570.3 of subchapter D of this
chapter, also apply when used in this
part.
2. Proposed § 1584.201. This section
would set out the obligations of OTRB
owner/operators with regard to STA
requirements for the security
coordinators designated in accordance
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with the Security Training final rule.
Section 1570.201(a) requires OTRB
owner/operators described in § 1584.101
to designate and use a primary and at
least one alternate security coordinator.
Under § 1584.101 these OTRB owner/
operators are limited to those that
originate, travel through, or in, a
geographic location identified in
appendix A to 49 CFR part 1584.
Proposed paragraph (a)(1) would set
out the primary requirement that a
covered OTRB owner/operator must not
authorize or permit an individual to
serve as a primary or alternate security
coordinator, unless he or she has
successfully completed a Level 3 STA
and holds a current DOE. As explained
above in section II.B.2. of the preamble,
TSA believes that security coordinators
should undergo a Level 3 STA based on
their access to sensitive security and
personally identifiable information. As
explained above, a Level 3 STA consists
of criminal history, terrorism/other
analyses, and immigration checks.
Successful completion of this Level 3
STA will increase confidence that the
individual is sufficiently trustworthy to
assume the position, and the proposed
requirement that he or she continues to
hold a current DOE would require his or
her removal if he or she becomes
ineligible in the future.
To comply with proposed paragraph
(a)(1), owner/operators must receive a
definitive notification from TSA
regarding an individual’s STA. TSA
expects to create a web-based portal for
owner/operators to access, which will
include the results of the STAs of that
owner/operator’s workers. TSA has
considered other methods of employer
notification, such as mailing letters, but
believes this method would be more
cost-effective and minimizes the risk of
fraud or missing records associated with
paper documents and mail service. TSA
invites comment from the industry as to
other potential methods of notification,
as well as the relative advantages and
disadvantages of the options.
Paragraph (a)(2) would require the
owner/operator to retain records
documenting compliance with proposed
paragraph (a)(1). TSA proposes to allow
owner/operators flexibility as to the
format, paper or digital, of storage, as
long as the form and manner is
authorized by TSA. As part of
inspecting compliance with the STA
requirements, TSA must be able to
review these records to ensure that the
STA requirements have been met at the
appropriate time. TSA invites comment
from owner/operators as to how most
will satisfy this requirement and other
ideas for meeting it.
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Paragraph (b) proposes continuing
responsibilities for owner/operators
after the initial vetting of security
coordinators. Paragraph (b)(1) would
require an owner/operator to remove an
individual from a position as a security
coordinator, if notified by TSA that the
individual is no longer eligible for the
position. TSA would issue such a
notification if, for example, the
recurrent terrorism check subsequently
reveals information indicating that the
individual poses or may pose a threat to
transportation security or national
security, or of terrorism.
Paragraph (b)(2) would require an
owner/operator that becomes aware of
information that an individual may not
be eligible to serve as a security
coordinator to notify TSA immediately.
This responsibility would arise, for
example, if the owner/operator becomes
aware that a security coordinator has
been arrested or convicted for a
potentially disqualifying crime.
Paragraph (b)(3) would provide that
an owner/operator may reassign an
individual as a security coordinator if
notified by TSA that he or she regained
eligibility. For example, if TSA notified
an owner/operator under proposed
paragraph (b)(1) that an individual is
ineligible, but subsequently determines
that the factor causing the ineligibility
had been resolved, TSA would notify
the owner/operator under paragraph
(b)(3).
3. Proposed § 1584.203. This section
would set out the obligations of
individuals employed by covered public
OTRB owner/operators who must
undergo an STA to serve as a security
coordinator.
Paragraph (a) would provide that an
individual must not work as a security
coordinator for a covered OTRB owner/
operator, unless he or she successfully
completes a Level 3 STA and holds a
current DOE. The reasons for requiring
a Level 3 STA, and the checks that
would compose this level of vetting are
explained above in section II.B.2. of the
preamble. Paragraph (a) would also
specify that the CHRC conducted as part
of the Level 3 STA would be
adjudicated against the list of
disqualifying crimes in proposed
§ 1530.503.
4. Proposed § 1584.205. This section
would require the use of TSA
enrollment centers by individuals
required to apply for an STA under
these proposed regulations. The reasons
for this proposed requirement is
explained above in section II.B.5. of the
preamble.
5. Proposed § 1584.207. As explained
above in section II.B.7. of the preamble,
TSA proposes a phased implementation
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21:30 May 22, 2023
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of the vetting requirements proposed in
this rule. Under paragraph (a), the
vetting requirements for primary and
alternate security coordinators would
become effective 6 months from the
publication date of the final rule. We
invite comment from employers and
workers on these proposed effective
dates. Specifically, TSA is interested in
the time employers anticipate it will
take to prepare for the effective dates,
how many employees fall into each
category, and whether the number of
employees can be vetted within the
allotted time.
V. Regulatory Analyses
A. Paperwork Reduction Act
The Paperwork Reduction Act of 1995
(PRA) (44 U.S.C. 3501. et seq.) requires
that TSA consider the impact of
paperwork and other information
collection burdens imposed on the
public and, under the provisions of 44
U.S.C. 3507(d), obtain approval from the
OMB for each collection of information
it conducts, sponsors, or requires
through regulations.
Under existing OMB Control No.
1652–0051, OMB has approved a related
information collection request for
contact information of freight railroad
carriers, passenger railroad carriers, and
rail transit systems primary security
coordinators and alternate security
coordinators, as well as reporting
significant security concerns by freight
railroad carriers, passenger railroad
carriers, and rail transit systems. Under
the provisions of the proposed rule, the
affected freight rail and PTPR entities
would be required to modify or amend
how they would perform their
collection of the additional information
required to complete STAs. The
additional information collection
requirement from the proposed rule
relates to information that affected
freight rail and PTPR employees would
submit during STA enrollments, PDI
appeals, and PDI waivers. These
requirements would be added to the
existing collection with OMB control
number 1652–0051.
Revisions to OMB Control Number
1652–0051
This proposed rule contains new
information collection activities subject
to the PRA. The proposed rule would
require OTRB security coordinators
submit personal information during
STA enrollments, PDI appeals, and PDI
waivers. Accordingly, DHS and TSA
invite the general public to comment on
the impact to the proposed collection of
information. In accordance with the
PRA, the information collection notice
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33497
is published in the Federal Register to
obtain comments regarding the
proposed edits to the information
collection instrument. Comments are
encouraged and will be accepted for 90
days from the publication date of the
proposed rule. All submissions should
include the OMB Control Number 1652–
0051 in the body of the letter and the
agency name. To avoid duplicate
submissions, please use only one of the
methods under the ADDRESSES and
I. Public Participation section of this
rule to submit comments. Therefore, in
preparation for OMB review and
approval of the following information
collection, TSA is soliciting comments
to:
(1) Evaluate whether the collection of
information is necessary for the proper
performance of the functions of the
agency, including whether the
information will have practical utility;
(2) Evaluate the accuracy of the
agency’s estimate of the burden of the
collection of information, including the
validity of the methodology and
assumptions used;
(3) Enhance the quality, utility, and
clarity of the information to be
collected; and
(4) Minimize the burden of the
collection of information on those who
are to respond, including through the
use of appropriate automated,
electronic, mechanical, or other
technological collection techniques or
other forms of IT (e.g., permitting
electronic submission of responses).
Title: TSA Security Vetting of Certain
Surface Transportation Workers.
Summary: This proposed rule would
require the following information
collections:
First, owner/operators identified in 49
CFR 1580.303, 1582.203, and 1584.203
would be required to vet certain workers
using security threat assessments (STAs)
and for TSA to conduct the STAs. The
proposed rule would establish the
following three risk-based levels of
STAs for different employee
populations:
• Level 1 STA: Terrorism check and
other analyses (including a check
against the Terrorist Screening Database
among other databases);
• Level 2 STA: Terrorism check and
other analyses and immigration check;
and
• Level 3 STA: Terrorism check and
other analyses, immigration check, and
criminal history record check (CHRC).
For certain freight rail and public
transportation and passenger railroad
(PTPR) owner/operators, the proposed
rule would require security-sensitive
employees and security coordinators to
undergo a Level 2 STA and Level 3
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STA, respectively. For certain over-theroad-bus (OTRB) owner/operators, the
proposed rule would require only
security coordinators to undergo a Level
3 STA. OTRB security-sensitive
employees would not be required to
undergo an STA under the proposed
rule. The proposed rule would establish
fees to be collected from securitysensitive employees and security
coordinators undergoing an STA to
recover TSA’s vetting costs as required
by law.60
The proposed rule also sets out the
standards for the adjudication of STAs
and redress procedures for STA
applicants. The proposed rule describes
the standards TSA would use to make
decisions about the eligibility of an STA
applicant based on the information
obtained from the STA check and the
procedures TSA would follow when an
STA applicant does not appear to meet,
or may no longer meet, the proposed
STA standards. When the latter occurs,
TSA would notify the owner and/or
operator that the individual is no longer
eligible for the position, and notify the
STA applicant or STA holder about the
potentially disqualifying factors in a
Preliminary Determination of
Ineligibility (PDI) or Preliminary
Determination of Ineligibility with
Immediate Revocation (PDIIR). TSA
would also issue a Final Determination
of Ineligibility (FDI) if the applicant fails
to request an appeal or waiver of the PDI
or PDIIR within the required time frame,
or TSA denies the appeal or waiver. For
STA applicants who receive either a
PDI, PDIIR, or FDI, the proposed rule
sets out redress procedures. These
proposed redress procedures are
substantively the same as the current
redress provisions codified in part 1515
that apply to individuals who are
required to undergo an STA for the
Transportation Worker Identification
Credential (TWIC), Hazardous Material
Endorsement (HME), and certain air
cargo programs.61
This proposed rule would also require
that owner/operators not authorize or
permit an individual to serve as a
security-sensitive employee, in the case
of freight rail and PTPR, or a security
coordinator for all three modes, unless
the owner/operator verifies with TSA
that the individual has successfully
completed a Level 2 STA or Level 3
STA, respectively, and holds a current
determination of eligibility (DOE) as
described in the proposed rule. The
owner/operators would also be required
to retain records, in a form and manner
authorized by TSA and for the period
specified in the proposed rule, and
make the records available to TSA when
requested during inspection.
Use of: This information would be
used to support implementation of the
proposed rule, which requires
completing a name-based security
background check against the
consolidated terrorist watchlist and an
immigration check in the United States
for all freight rail and PTPR securitysensitive employees; and those same
two checks in addition to a CHRC for all
security coordinators of freight rail,
PTPR, and OTRB owner/operators. A
redress process is required by the 9/11
Act to address due process. The
proposed rule requires owner/operators
to file and maintain records of STAs for
all affected employees.
Respondents: The likely respondents
to this information collection are
affected employees of the owners and/
or operators of covered surface modes,
who are estimated to be approximately
355,730 over the next 3 years. TSA
estimates the average annual number of
respondents to be 118,457 over the same
period, and the average annual number
of responses to be 308,198.62
Frequency: Once the rule has been
implemented, TSA estimates that STA
enrollments and the corresponding
recordkeeping would occur whenever
vetting of an employee or security
coordinator is required due to the hiring
of new personnel, promotions into
affected positions, and staff turnover.
The initial implementation of the
proposed rule would require all
security-sensitive employees and
security coordinators to obtain a DOE in
order to continue performing in their
roles, which—along with the 5-year
renewal requirement—would establish a
pattern of enrollment/renewal spikes
every 5 years. The redress process
frequency will follow the pattern of STA
enrollments with a lag of a few weeks
due to processing times. Each stage in
the redress process would occur
whenever an appeal is filed after a
negative determination has been issued.
STA enrollment satisfaction surveys
would occur annually and individuals’
contact information would occur on a
periodic basis.
Annual Burden Estimate: The average
annual time burden for STA
Enrollments, PDI Appeals, PDI Waivers,
STA Recordkeeping, and STA
Satisfaction Survey is expected to reach
an annual average of 181,345 hours over
the first 3 years. Table 12 displays the
number of respondents for STA
Enrollments, PDI Appeals, PDI Waivers,
Recordkeeping, Contact Information
Updates, and STA Customer
Satisfaction Survey for Freight Rail,
PTPR, and OTRB entities.
TABLE 12—PRA BURDEN ESTIMATE
Collections
Industry
Freight Rail .....
FRSR .............
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PTPR ..............
OTRB .............
STA Enrollments
SSEs ...........................................................
SCs .............................................................
Comparable STA SSEs ..............................
Comparable STA SCs ................................
SCs .............................................................
Comparable SCs ........................................
SSEs ...........................................................
SCs .............................................................
Comparable STA SSEs ..............................
Comparable STA SCs ................................
SCs .............................................................
60 TSA is statutorily required to fund the STA
process through user fees (see 6 U.S.C. 469).
61 For a full discussion of the development of the
original provisions in 49 CFR part 1515, see
Transportation Worker Identification Credential
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Jkt 259001
Number of responses
Time per
response
(hours)
Year 1
Year 2
a
b
c
1.43
1.51
0.17
0.17
1.51
0.17
1.43
1.51
0.17
0.17
1.51
114,828
444
7,408
453
233
262
178,760
121
578
109
155
4,593
22
296
22
20
22
20,728
16
67
14
21
Year 3
3-Year total
responses
3-Year
time burden
(hours)
Average
annual
time burden
(hours)
d
e = Sb,c,d
f=a×e
g=f÷3
4,543
22
293
22
20
23
20,788
16
67
15
21
(TWIC) Implementation in the Maritime Sector;
Hazardous Materials Endorsement for a Commercial
Driver’s License final rule, 72 FR 3492 (Jan. 25,
2007).
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Fmt 4701
Sfmt 4702
123,964
488
7,997
497
274
308
220,276
154
712
138
197
177,195
738
1,333
83
414
51
314,865
233
119
23
298
59,065
246
444
28
138
17
104,955
78
40
8
99
62 The number of responses by affected
individuals/entities include number of enrollments
including comparable STAs, appeals, waivers,
records, contact information updates, and customer
satisfaction surveys processed.
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Federal Register / Vol. 88, No. 99 / Tuesday, May 23, 2023 / Proposed Rules
TABLE 12—PRA BURDEN ESTIMATE—Continued
Collections
Industry
STA Enrollments
Comparable SCs ........................................
Number of responses
Time per
response
(hours)
Year 1
Year 2
a
b
c
0.17
289
Year 3
3-Year total
responses
3-Year
time burden
(hours)
Average
annual
time burden
(hours)
d
e = Sb,c,d
f=a×e
g=f÷3
39
40
367
61
20
14
0
0
62
0
0
14
0
0
62
0
0
369
7
4
656
2
3
231
4
2
410
1
2
77
1
1
137
0
1
0.1
0.0
0.0
0.0
0.1
0.0
0.0
0.1
1
1
0
0
5
3
2
2
2
1
1
1
4,889
44
42
20,795
30
60
4,836
44
43
20,856
31
61
131,961
984
581
220,987
292
564
10,997
82
48
18,416
24
47
3,666
27
16
6,139
8
16
12,098
92
52
18,254
24
47
36,700
275
153
54,600
71
137
3,303
25
14
4,914
6
12
1,101
8
5
1,638
2
4
PDI Appeals
Freight Rail .....
OTRB .............
SSEs ...........................................................
SCs .............................................................
SCs .............................................................
SSEs ...........................................................
SCs .............................................................
SCs .............................................................
0.63
....................
....................
....................
....................
....................
Freight Rail .....
FRSS ..............
PTPR ..............
OTRB .............
SCs
SCs
SCs
SCs
4.13
....................
....................
....................
FRSR .............
PTPR ..............
342
6
3
533
2
2
PDI Waivers
.............................................................
.............................................................
.............................................................
.............................................................
1.1
0.6
0.3
0.4
Recordkeeping
Freight Rail .....
FRSR .............
PTPR ..............
OTRB .............
SSEs ...........................................................
SCs .............................................................
SCs .............................................................
SSEs ...........................................................
SCs .............................................................
SCs .............................................................
0.08
....................
....................
....................
....................
....................
122,236
897
496
179,337
230
444
Contact Information Updates
Freight Rail .....
FRSR .............
PTPR ..............
OTRB .............
SSEs ...........................................................
SCs .............................................................
SCs .............................................................
SSEs ...........................................................
SCs .............................................................
SCs .............................................................
0.09
....................
....................
....................
....................
....................
12,369
91
50
18,147
23
45
12,233
92
51
18,200
24
46
STA Customer Satisfaction Survey
Freight Rail .....
OTRB .............
SSEs ...........................................................
SCs .............................................................
SCs .............................................................
SSEs ...........................................................
SCs .............................................................
SCs .............................................................
0.08
....................
....................
....................
....................
....................
40,190
156
82
62,566
42
54
1,608
8
7
7,255
6
7
1,590
8
7
7,276
6
7
43,387
171
96
77,097
54
69
3,616
14
8
6,425
4
6
1,205
5
3
2,142
1
2
Total ........
.....................................................................
....................
741,985
91,331
91,278
924,594
544,035
181,345
FRSR .............
PTPR ..............
Note: Totals may not be exact due to rounding in the table.
B. Economic Impact Analyses
lotter on DSK11XQN23PROD with PROPOSALS3
1. Regulatory Impact Analysis Summary
Changes to Federal regulations must
undergo several economic analyses.
First, Executive Order (E.O.) 12866,
Regulatory Planning and Review,63 as
supplemented by E.O. 13563, Improving
Regulation and Regulatory Review,64
directs each Federal agency to propose
or adopt a regulation only upon a
reasoned determination that the benefits
of the intended regulation justify its
costs. Second, the Regulatory Flexibility
Act of 1980 (RFA) 65 requires agencies to
63 58
FR 51735 (Oct. 4, 1993).
FR 3821 (Jan. 21, 2011).
65 Public Law 96–354 (94 Stat. 1164; Sept. 19,
1980) (codified at 5 U.S.C. 601 et seq., as amended
by the Small Business Regulatory Enforcement
Fairness Act of 1996 (SBREFA)).
consider the economic impact of
regulatory changes on small entities.
Third, the Trade Agreement Act of
1979 66 prohibits agencies from setting
standards that create unnecessary
obstacles to the foreign commerce of the
United States. Fourth, the Unfunded
Mandates Reform Act of 1995 67
(UMRA) requires agencies to prepare a
written assessment of the costs, benefits,
and other effects of proposed or final
rulemakings that include a Federal
mandate likely to result in the
expenditure by State, local, or tribal
governments, in the aggregate, or by the
private sector, of $100 million or more
annually (adjusted for inflation).
64 76
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66 Public Law 96–39 (93 Stat. 144; July 26, 1979)
(codified at 19 U.S.C. 2531–2533).
67 Public Law 104–4 (109 Stat. 66; Mar. 22, 1995)
(codified at 2 U.S.C. 1181–1538).
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2. Executive Orders 12866 and 13563
Assessments
Under the requirements of E.O.s
12866 and 13563, agencies must assess
the costs and benefits of available
regulatory alternatives and, if regulation
is necessary, select regulatory
approaches that maximize net benefits
(including potential economic,
environmental, public health and safety
effects, distributive impacts, and
equity). These requirements were
supplemented by E.O. 13563, which
emphasizes the importance of
quantifying both costs and benefits, of
reducing costs, of harmonizing rules,
and of promoting flexibility.
In accordance with E.O. 12866, TSA
has submitted the proposal to the Office
of Management and Budget (OMB),
which has determined that this
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proposed rule is a significant regulatory
action within the meaning of E.O.
12866, although not economically
significant as the rule will not result in
an effect on the economy of $100
million or more in any year of the
analysis.
In conducting these analyses:
1. TSA prepared an Initial Regulatory
Flexibility Analysis (IRFA), which
estimates that this rulemaking would
likely have a regulatory cost that
exceeds one percent of revenue for one
small entity—one freight rail owner/
operator—of the 372 small entities that
TSA found would be impacted by the
NPRM.
2. This rulemaking would not
constitute a barrier to international
trade.
3. This rulemaking is not likely to
result in the expenditure by State, local,
or tribal governments, in the aggregate,
or by the private sector, of $100 million
or more annually (adjusted for
inflation).
U.S. citizenship. The 9/11 Act does not
require a Level 3 STA for these workers,
but gives TSA the discretion to
determine which STA is appropriate.
TSA is using that discretion to propose
a Level 3 STA for security coordinators
due to the access to security and
personally identifiable information
security coordinators have.
TSA summarizes the costs of the
proposed rule to be borne by four types
of parties: freight rail owner/operators,
PTPR owner/operators, OTRB owner/
operators, and TSA. As displayed in
Table 13, TSA estimates the 10-year
total cost of this proposed rule to be
$108.99 million undiscounted, $98.08
million discounted at 3 percent, and
$86.58 million discounted at 7 percent.
The costs to industry (all three surface
modes) comprise approximately 98.3
percent of the total costs of the rule; and
the remaining costs are incurred by
TSA. See Table 13 below.
TSA has prepared an analysis of its
estimated costs and benefits,
summarized in the following
paragraphs, and in the OMB Circular A–
4 Accounting Statement. When
estimating the cost of a rulemaking,
agencies typically estimate future
expected costs imposed by a regulation
over a period of analysis. For this
rulemaking’s period of analysis, TSA
uses a 10-year period of analysis to
estimate the initial and recurring costs
to the regulated surface mode owner/
operators and new owner/operators that
are expected due to industry growth. As
discussed above, the 9/11 Act requires
TSA to conduct the vetting we propose
in this NPRM for security-sensitive
workers of rail and public transportation
workers. For security coordinators, the
9/11 Act requires TSA to ensure U.S.
citizenship or conduct an appropriate
STA in place of the citizenship
requirement. For these workers, TSA is
proposing a Level 3 STA rather than
TABLE 13—TOTAL COST OF THE PROPOSED RULE BY ENTITY
[$ Thousands]
Cost by regulated industry
Total proposed rule cost
Year
Freight rail
PTPR
a
OTRB
b
c
Total
regulated
industries
cost
TSA cost
d = Sa,b,c
e
f = Sd,e
Undiscounted
Discounted
at 3%
Discounted
at 7%
1 ............................................................
2 ............................................................
3 ............................................................
4 ............................................................
5 ............................................................
6 ............................................................
7 ............................................................
8 ............................................................
9 ............................................................
10 ..........................................................
$22,355
1,040
1,032
1,025
1,018
6,759
1,241
1,232
1,223
1,215
$28,768
3,393
3,403
3,414
3,425
9,015
4,094
4,107
4,120
4,133
$532
57
58
59
60
116
70
71
72
74
$51,656
4,489
4,493
4,498
4,502
15,890
5,404
5,410
5,415
5,421
$174
176
177
179
181
182
184
186
187
189
$51,830
4,665
4,670
4,676
4,683
16,072
5,588
5,595
5,603
5,610
$50,320
4,397
4,274
4,155
4,039
13,460
4,544
4,417
4,294
4,174
$48,439
4,074
3,812
3,568
3,339
10,709
3,480
3,257
3,047
2,852
Total ...............................................
38,139
67,871
1,168
107,178
1,814
108,993
98,075
86,578
Annualized .....................................
........................
....................
....................
....................
....................
........................
11,497
12,327
Note: Totals may not add due to rounding.
TSA estimates the 10-year costs to the
freight railroad (including freight rail
shippers and receivers) industry to be
$38.14 million undiscounted, $34.90
million discounted at 3 percent, and
$31.43 million discounted at 7 percent,
as displayed by cost categories in Table
14.68
TABLE 14—TOTAL COST OF THE PROPOSED RULE TO THE FREIGHT RAIL INDUSTRY
[$ Thousands]
lotter on DSK11XQN23PROD with PROPOSALS3
Year
STA cost
a
1 ....................
2 ....................
3 ....................
$19,449
782
774
Redress
process
cost
b
21:30 May 22, 2023
Recordkeeping
cost
c
$551
22
22
68 Costs include STA fees, time and travel
burdens, redress procedures for applicable
VerDate Sep<11>2014
Repl. &
unemploym.
cost
Jkt 259001
d
$419
17
17
$393
16
16
Contact
info
update
cost
Mngt
policies,
familiar &
compliance
inspection
cost
e
f
$56
55
55
Frm 00030
Fmt 4701
Sfmt 4702
g = Sa,b,c,d,e,f
Undisc.
$1,487
148
149
individuals, employer replacement, hiring, and
unemployment, recordkeeping, contact information
PO 00000
Total freight rail cost
$22,355
1,040
1,032
Disc. at 3%
$21,704
980
945
Disc. at 7%
$20,893
908
843
updates, employer management policies, regulation
familiarization, and compliance inspections.
E:\FR\FM\23MYP3.SGM
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Federal Register / Vol. 88, No. 99 / Tuesday, May 23, 2023 / Proposed Rules
TABLE 14—TOTAL COST OF THE PROPOSED RULE TO THE FREIGHT RAIL INDUSTRY—Continued
[$ Thousands]
Year
Redress
process
cost
STA cost
a
Repl. &
unemploym.
cost
b
Recordkeeping
cost
c
d
Contact
info
update
cost
Mngt
policies,
familiar &
compliance
inspection
cost
e
f
Total freight rail cost
g = Sa,b,c,d,e,f
Undisc.
Disc. at 3%
Disc. at 7%
4 ....................
5 ....................
6 ....................
7 ....................
8 ....................
9 ....................
10 ..................
766
757
5,442
930
920
911
901
22
22
447
39
38
38
37
17
17
345
37
37
38
38
15
15
319
27
27
27
26
54
53
53
52
52
51
51
151
152
154
156
157
159
161
1,025
1,018
6,759
1,241
1,232
1,223
1,215
911
878
5,661
1,009
973
937
904
782
726
4,504
773
717
665
617
Total .......
31,632
1,237
983
881
532
2,874
38,139
34,900
31,427
Annualized ........
........................
....................
......................
..........................
....................
........................
........................
4,091
4,474
Note: Totals may not add due to rounding.
TSA estimates the 10-year costs to the
PTPR industry to be $67.87 million
undiscounted, $60.58 million
discounted at 3 percent, and $52.96
million discounted at 7 percent, as
displayed by cost categories in Table 15.
TABLE 15—TOTAL COST OF THE PROPOSED RULE TO THE PTPR INDUSTRY
[$ Thousands]
Year
Redress
process
cost
STA cost
a
Repl. &
unemploym.
cost
b
Recordkeeping
cost
c
d
Contact
info
update
cost
Mngt
policies,
familiar &
compliance
inspection
cost
e
f
Total cost
g = Sa,b,c,d,e,f
Undisc.
Disc. at 3%
Disc. at 7%
1 ....................
2 ....................
3 ....................
4 ....................
5 ....................
6 ....................
7 ....................
8 ....................
9 ....................
10 ..................
$26,987
3,130
3,139
3,148
3,158
7,974
3,734
3,745
3,756
3,767
$749
87
87
87
88
499
136
136
137
137
$74
7
7
7
7
48
13
13
13
14
$583
68
68
68
68
389
106
106
106
107
$64
64
64
64
65
65
65
65
65
66
$311
38
38
39
39
40
40
41
42
42
$28,768
3,393
3,403
3,414
3,425
9,015
4,094
4,107
4,120
4,133
$27,930
3,198
3,115
3,033
2,954
7,550
3,329
3,242
3,157
3,075
$26,886
2,963
2,778
2,605
2,442
6,007
2,550
2,390
2,241
2,101
Total .......
62,538
2,144
205
1,668
647
669
67,871
60,584
52,963
Annualized ........
........................
....................
......................
..........................
....................
........................
........................
7,102
7,541
Note: Totals may not add due to rounding.
TSA estimates the 10-year costs to the
OTRB industry to be $1.17 million
undiscounted, $1.05 million discounted
at 3 percent, and $0.92 million
discounted at 7 percent, as displayed by
cost categories in Table 16.
TABLE 16—TOTAL COST OF THE PROPOSED RULE TO THE OTRB INDUSTRY
[$ Thousands]
lotter on DSK11XQN23PROD with PROPOSALS3
Year
STA cost
a
1
2
3
4
5
6
7
8
....................
....................
....................
....................
....................
....................
....................
....................
VerDate Sep<11>2014
Redress
process
cost
b
$46
6
6
6
7
18
8
8
21:30 May 22, 2023
Repl. &
unemploym.
cost
Recordkeeping
cost
c
$3
0
0
0
0
2
1
1
Jkt 259001
d
$76
7
7
7
7
49
13
13
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$1.0
0.1
0.1
0.1
0.1
0.7
0.2
0.2
Fmt 4701
Contact
info
update
cost
Mngt
policies,
familiar &
compliance
inspection
cost
e
f
$0.3
0.3
0.3
0.3
0.3
0.3
0.3
0.3
Sfmt 4702
$405
43
43
44
45
46
47
48
E:\FR\FM\23MYP3.SGM
Total cost
g = Sa,b,c,d,e,f
Undisc.
$532
57
58
59
60
116
70
71
23MYP3
Disc. at 3%
$517
53
53
52
52
97
57
56
Disc. at 7%
$497
49
47
45
43
77
43
41
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Federal Register / Vol. 88, No. 99 / Tuesday, May 23, 2023 / Proposed Rules
TABLE 16—TOTAL COST OF THE PROPOSED RULE TO THE OTRB INDUSTRY—Continued
[$ Thousands]
Year
Redress
process
cost
STA cost
a
Repl. &
unemploym.
cost
b
Recordkeeping
cost
c
d
Contact
info
update
cost
Mngt
policies,
familiar &
compliance
inspection
cost
e
f
Total cost
g = Sa,b,c,d,e,f
Undisc.
Disc. at 3%
Disc. at 7%
9 ....................
10 ..................
9
9
1
1
14
14
0.2
0.2
0.3
0.3
49
50
72
74
55
55
39
37
Total .......
124
10
208
3.2
3.1
820
1,168
1,047
920
Annualized ........
........................
....................
......................
..........................
....................
........................
........................
123
131
Note: Totals may not add due to rounding.
TSA estimates the 10-year costs to
TSA to be $1.81 million undiscounted,
$1.54 million discounted at 3 percent,
and $1.27 million discounted at 7
percent, as displayed by cost categories
in Table 17.
TABLE 17—TOTAL COST OF THE PROPOSED RULE TO TSA
[$ Thousands]
Compliance
inspection
cost
lotter on DSK11XQN23PROD with PROPOSALS3
Year
TSA total cost
(compliance inspection cost)
Undiscounted
Discounted at 3%
Discounted at 7%
1 ...........................................................................................................
2 ...........................................................................................................
3 ...........................................................................................................
4 ...........................................................................................................
5 ...........................................................................................................
6 ...........................................................................................................
7 ...........................................................................................................
8 ...........................................................................................................
9 ...........................................................................................................
10 .........................................................................................................
$174
176
177
179
181
182
184
186
187
189
$174
176
177
179
181
182
184
186
187
189
$169
166
162
159
156
153
150
147
144
141
$163
153
145
136
129
121
115
108
102
96
Total ..............................................................................................
1,814
1,814
1,544
1,268
Annualized ....................................................................................
....................
........................
181
181
The proposed rule would enhance
surface transportation security by
reducing vulnerability to attacks
perpetrated by insiders. Specifically, the
proposed rule would subject individuals
that currently work, or that in the future
will work (applicants), at covered
entities to pass an STA, administered by
TSA. The introduction of an STA
requirement allows TSA to confirm the
individual’s identity and determine
from background information whether
he or she poses or may pose a threat to
transportation security or national
security, or of terrorism. Absent the STA
requirement, individuals who may pose
a threat would continue to work in their
respective positions. This is particularly
relevant for individuals that perform the
functions of a security coordinator or
security-sensitive employee. Once an
individual has completed the STA
process and receives a favorable STA,
they are then required to maintain a
DOE during the entire span of their
VerDate Sep<11>2014
21:30 May 22, 2023
Jkt 259001
tenure as a security-sensitive employee
or a security coordinator. This will help
ensure that only individuals that do not
pose a threat will be eligible to continue
their employment at covered entities
while limiting those with an
unfavorable STA from using their
employment to carry out a nefarious act.
Covered entities would also be required
to maintain records on employee STAs
and make them available to TSA upon
request. This requirement increases the
robustness of the program by
encouraging covered entities to be in
compliance with the requirements and
providing a mechanism for TSA to
assess that compliance. Higher levels of
compliance increase the benefits
associated with STAs by virtue of their
increased use. While security vetting is
not an absolute deterrent for terrorists
intent on carrying out attacks on surface
modes of transportation, TSA expects
the probability of success for such
attacks to decrease if security
PO 00000
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coordinators and security-sensitive
employees within these transportation
modes are vetted under the proposed
rule.
TSA uses a break-even analysis to
frame the relationship between the
potential benefits of the proposed rule
and the costs of implementing the rule.
When it is not possible to quantify or
monetize a majority of the incremental
benefits of a regulation, OMB
recommends conducting a threshold, or
‘‘break-even’’ analysis. According to
OMB Circular No. A–4, ‘‘Regulatory
Analysis,’’ such an analysis answers the
question ‘‘How small could the value of
the non-qualified benefits be (or how
large would the value of the nonquantified costs need to be) before the
rule would yield zero net benefits?’’ 69
To conduct the break-even analysis,
69 OMB, ‘‘Circular A–4: Regulatory Analysis’’,
Section B. The Need for Federal Regulatory Action.
September 17, 2003. pg. 2.
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33503
TSA evaluates composite scenarios for
each of the three modes covered by the
proposed rule. For each mode, the
composite scenario represents the
potential monetized losses associated
with the deaths, injuries, as well as
property damage and remediation
caused by a terrorist attack on the
corresponding transportation mode.
TSA estimates a total monetary
consequence from an estimated
statistical value of the human casualties
and capital replacement resulting from
the attack.70
Table 18 presents the composite or
weighted average of direct consequences
from an attack executed on each mode.
TSA compared the estimated direct
monetary costs from an attack to the
annualized cost (discounted at 7
percent) to industry and TSA from the
proposed rule for each mode to estimate
how often an attack of that nature would
need to be averted for the expected
benefits to equal estimated costs. Table
19 presents the results of the break-even
analysis for each mode.73 For example,
Table 19 shows that if the freight rail
vetting requirements in this rule
prevents one freight rail terrorist attack
every 129 years,74 the freight rail
provisions of this rule ‘‘break-even’’ (the
benefits equal the costs). These
breakeven frequencies are once every
129 years for freight rail, once every 78
years for PTPR, and once every 238
years for OTRB.
TABLE 19—BREAK–EVEN RESULTS
[$ Thousands]
Weighted average direct
costs of an attack
Annualized cost of
the proposed rule
Break-even averted
attack frequency
a
b
c=a÷b
lotter on DSK11XQN23PROD with PROPOSALS3
Freight Rail ..................................................................................
PTPR ...........................................................................................
OTRB ...........................................................................................
$589,298
588,148
39,771
$4,572
7,587
167
Once every 129 years.
Once every 78 years.
Once every 238 years.
In the break-even analysis, TSA only
considers the estimated direct costs:
direct economic losses of the attack
scenarios that would be averted as a
result of the proposed rule. The breakeven analysis does not include the
difficult-to-quantify indirect costs of an
attack or the macroeconomic impacts
that could occur due to a major attack.
In addition to the direct impacts of a
terrorist attack in terms of lost life and
property, there are other more indirect
impacts that are difficult to measure. As
noted by Cass Sunstein in Laws of Fear,
‘‘. . . fear is a real social cost, and it is
likely to lead to other social costs.’’ In
addition, Ackerman and Heinzerling
state ‘‘. . . terrorism ‘works’ through the
fear and demoralization caused by
uncontrollable uncertainty.’’ As
devastating as the direct impacts of a
successful terrorist attack can be in
terms of the immediate loss of life and
property, avoiding the impacts of the
70 See Section 4.4 of the TSA Security Vetting of
Certain Surface Transportation Workers Preliminary
Regulatory Impact Analysis (RIA) for a more
detailed description of these calculations; however,
many assumptions regarding specific terrorist
attacks scenarios are Sensitive Security Information
(SSI) and cannot be publicly released.
71 As explained in the RIA in the docket, to
monetize injuries, TSA used two approaches
(depending on whether the injury was due to
exposure to hazardous chemicals). To monetize
‘‘non-chemical’’ injuries, TSA uses guidance from
the Department of Transportation for valuing
injuries based on the Abbreviated Injury Scale. To
monetize chemical-related injuries, TSA obtained
information on the cost of medical treatment for
poisoning injuries.
72 Total Direct Consequences = (Deaths × $11.6
million VSL) + (Severe injuries × $3.085 million) +
(Moderate injuries × $0.545 million) + (Severe
chemical injuries × $49,769) + (Moderate chemical
injuries × $1.715) + Public property loss + Private
property loss + Rescue and clean-up cost.
73 The total cost for each mode includes the TSA
costs associated with it.
74 TSA divided the total direct consequences of
each composite scenario by the annualized cost for
its respective mode to estimate the frequency of
terrorist attacks the proposed rule would need to
avert for its costs to equal its benefits.
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Federal Register / Vol. 88, No. 99 / Tuesday, May 23, 2023 / Proposed Rules
more difficult to measure indirect
effects are also substantial benefits of
preventing a terrorist attack. Because the
analysis only accounts for a portion of
the full impacts of the terrorist attack
scenarios, it is likely that the costs
associated with the attack scenarios, and
therefore the cost savings or benefits
from vetting security-sensitive
employees, are underestimated in this
analysis.
3. OMB A–4 Statement
The OMB A–4 Accounting Statement
presents annualized costs and
qualitative benefits of the proposed rule.
TABLE 20—OMB A–4 ACCOUNTING STATEMENT
[$ Millions]
Estimates
Units
Low
Discount
rate
(%)
Category
Primary
High
Year dollar
Period
covered
(years)
Notes
Benefits
Annualized Monetized ($ millions/year) .....................................
N/A
N/A
N/A
N/A
Annualized Quantified ................................................................
Qualitative ...................................................................................
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
7
3
7
3
N/A
N/A
N/A
N/A
Not Quantified.
Not Quantified.
The requirements proposed in this rule, if finalized, would produce benefits by
reducing security risks through STAs of security-sensitive employees and
security coordinators of affected surface transportation modes to identify and/or
mitigate potential insider threats.
Costs
Annualized Monetized ($ millions/year) .....................................
Annualized Quantified ................................................................
Qualitative ...................................................................................
$12.33
$11.50
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
2020
2020
N/A
N/A
7
3
7
3
10
10
N/A
N/A
N/A
N/A
2020
2020
7
3
N/A
N/A
NPRM RIA.
Not Quantified.
Not estimated
Transfers
Annualized Monetized Transfers: Employer compensation
transfers ($ millions/year).
$0.10
$0.10
From/To:
N/A
N/A
From:
Annualized Monetized Transfers: Unemployment transfer payment to employees ($ millions/year).
Displaced Employees
$0.02
$0.01
From/To:
N/A
N/A
From:
Annualized Monetized Transfers: A reduction in employment
taxes transfer payments ($ millions/year).
N/A
N/A
2020
2020
States
$0.01
$0.01
N/A
N/A
From/To:
From:
State, Local, and/or Tribal Government .....................................
Small Business ...........................................................................
Wages ........................................................................................
Growth ........................................................................................
None
Prepared IRFA
None
Not measured
To:
Replacement
Labor.
7
3
N/A
N/A
To:
N/A
N/A
2020
2020
Employees and
Displaced Employees
NPRM RIA.
Displaced Employees.
7
3
To:
NPRM RIA.
N/A
N/A
NPRM RIA.
Federal Government.
Effects
lotter on DSK11XQN23PROD with PROPOSALS3
4. Alternatives Considered
In addition to the proposed rule, TSA
also considered three alternative
regulatory options. The first alternative
(Alternative 1) requires OTRB securitysensitive employees to undergo a Level2 STA. Compared to the proposed rule,
Alternative 1 would increase the total
number of STAs performed, but align
the OTRB industry with the
requirements placed upon freight rail
and PTPR. Unlike freight rail and PTPR,
there is no statutory requirement in the
9/11 Act to perform STAs on OTRB
VerDate Sep<11>2014
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Jkt 259001
NPRM IRFA.
security-sensitive employees.75 TSA
carefully considered making Alternative
1 the preferred alternative for this
NPRM to ensure security-sensitive
employees across all three modes
undergo an STA, but ultimately decided
to first seek public comment on the
applicability used in Alternative 1 that
would require OTRB security-sensitive
employees to undergo a Level-2 STA,
and whether that applicability should
75 Note that TSA has broad authority to establish
security requirements, including STAs for
individuals with access to the transportation
system, under 49 U.S.C. 114.
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be the preferred alternative in the final
rule.
The second alternative (Alternative 2)
represents a lower-cost alternative that
adjusts certain regulatory requirements
while complying with the text and
purpose of the 9/11 Act. Specifically,
Alternative 2 would remove the
proposed rule’s vetting requirement for
freight rail and OTRB owner/operator
security coordinators with U.S.
citizenship, as well as the vetting
requirements for freight rail shippers
and receivers (FRSR) and PTPR security
coordinators. The 9/11 Act mainly
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Federal Register / Vol. 88, No. 99 / Tuesday, May 23, 2023 / Proposed Rules
requires a ‘‘name-based security
background check against the
consolidated terrorist watchlist and an
immigration check’’ for frontline public
transportation employees 76 and
frontline railroad employees.77 78 The
9/11 Act also requires an ‘‘individual
serving as the security coordinator’’ for
freight rail and OTRBs to be ‘‘a citizen
of the United States,’’ except if TSA
waives this requirement after an
appropriate background check of the
individual.79 80 Therefore, under
Alternative 2 security coordinators with
U.S. citizenship would not need to
undergo an STA.81 A Level 3 STA
would be required only of a freight rail
and OTRB security coordinator who is
not a citizen of the United States. For
those who are vetted under this
Alternative, TSA retains the proposed
rule requirements necessary to sustain
the benefits of TSA’s vetting program
including: (1) the 5-year renewal cycle;
(2) recurrent vetting; (3) STA
recordkeeping; (4) contact information
updates; and (5) compliance
inspections. Compared to the proposed
rule, the total number of affected
entities would decrease under
Alternative 2, as FRSR entities and nonhigh-risk PTPR agencies would not be
impacted by this alternative. The
number of OTRB owner/operators
affected by Alternative 2 would not
change relative to the proposed rule;
however, the number of security
coordinators affected would decrease as
only non-US citizens would be required
to be vetted. By restricting the
population of affected employees,
Alternative 2 would reduce the number
of STAs performed and would likely
limit TSA’s ability to identify higherrisk individuals seeking access to the
transportation infrastructure.
Under Alternative 3, TSA would offer
the option for entities affected by the
proposed rule to provide STA
enrollment services by allowing them to
train security coordinators who have
successfully completed a Level 3 STA to
serve as ‘‘trusted agents’’ and perform
the enrollment process for securitysensitive employees. Under this
alternative, owner/operators would train
trusted agents to ensure that they adhere
to minimum enrollment standards for
protecting the privacy of information,
accurately collecting biometric and
biographic information, performing
identity verification, collecting and
processing TSA’s fees correctly, and
sending the enrollment data to TSA.
While this alternative would have the
advantage of potentially increasing the
availability of enrollment locations for
STA applicants, it would have the
disadvantage of increasing costs for
affected owner/operators as they would
have to establish and maintain
appropriate on-site enrollment
capabilities and costly electronic
infrastructure to securely connect with
TSA’s systems. This alternative would
increase costs for TSA to ensure each
entity met information technology and
legal standards and requirements to
conduct their own enrollments.
Moreover, under this alternative, TSA
would have less control over the vetting
process and enforcement compliance,
which may adversely affect the vetting
process and leave the surface
transportation infrastructure more
vulnerable to an insider threat.
Table 21 presents a comparison of the
costs between the proposed rule and the
alternatives considered.
TABLE 21—COMPARISON OF COSTS BETWEEN PROPOSED RULE AND ALTERNATIVES
[Discounted at 7%, $ thousands]
10-Year costs
Initial affected population
(number of entities)
lotter on DSK11XQN23PROD with PROPOSALS3
Alternative
Requirements
Proposed Rule .............
631 Freight Rail Entities,82 115
PTPR Agencies,83 222
OTRB Owner/Operators.
Alternative 1 .................
Affected population of entities
is the same as the Proposed Rule.
Alternative 2 .................
457 Freight Rail Entities, 48
PTPR Agencies, 222 OTRB
Owner/Operators.
76 See sec. 1411, the 9/11 Commission Act, Public
Law 110–53, (121 Stat. 266, Aug. 3, 2007); codified
at 6 U.S.C. 1140.
77 See sec. 1520 of the 9/11 Act.
78 As discussed in greater detail in the preamble
of this NPRM, TSA uses ‘‘security-sensitive’’ in
place of ‘‘frontline’’ employee, to mirror the
terminology changes made in the Surface Training
rulemaking.
79 See sec. 1512, codified at 6 U.S.C. 1162 (freight
rail); sec. 1531, codified at 6 U.S.C. 1181 (OTRB).
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(1) Require high-risk freight railroad and PTPR security-sensitive employees to undergo Level 2 STA; (2) Require security coordinators to undergo Level 3 STA; (3) Maintain
employees’ STA records; (4) Update contact information;
(5) Allow TSA to perform onsite inspections; (6) Use the redress provisions if affected by the proposed STAs.
(1) Require security-sensitive employees, including OTRB, to
undergo Level-2 STA; (2) Require security coordinators to
undergo Level 3 STA; (3) Maintain employees’ STA
records; (4) Update contact information, (5) Allow TSA to
perform onsite inspections; (6) Use of redress provisions if
found ineligible.
(1) Require high-risk freight railroad and PTPR security-sensitive employees to undergo Level 2 STA; (2) Require
freight rail and OTRB security coordinators without U.S.
citizenship to undergo Level 3 STA; (3) Maintain employees’ STA records; (4) Update contact information, (5) Allow
TSA to perform onsite inspections; (6) Use the redress provisions if affected by the proposed STAs..
80 As discussed in the NPRM the 9/11 Act does
not require a specific type of background check that
would take the place of requiring U.S. citizenship.
TSA proposes to require OTRB security
coordinators to undergo a Level 3 STA, due to the
access to security and privacy information security
coordinators have, and consistent with other TSA
vetting programs.
81 TSA requires these additional requirements in
the proposed rule based on its broad authority
under 49 U.S.C. 114 (f)(12) with regard to
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Industry
TSA
Total
a
b
c = Sa,b
$85,310
$1,268
$86,578
100,938
1,619
102,557
82,951
1,187
84,138
transportation security vetting, and TSA also
believes that a higher level of vetting for security
coordinators is justified because security
coordinators have particularly sensitive and
important security-related functions.
82 This estimate consists of 457 Class I, II, and III
freight railroads and 174 freight shippers and
receivers.
83 This estimate consists of 23 bus-only PTPR
agencies and 92 rail PTPR agencies (including
Amtrak).
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TABLE 21—COMPARISON OF COSTS BETWEEN PROPOSED RULE AND ALTERNATIVES—Continued
[Discounted at 7%, $ thousands]
10-Year costs
Initial affected population
(number of entities)
Alternative
lotter on DSK11XQN23PROD with PROPOSALS3
Alternative 3 .................
Affected population of entities
is the same as the Proposed Rule.
Although not the least costly option,
TSA presents the proposed rule as its
preferred option. TSA did not select
Alternative 1, which includes STA
requirements for OTRB securitysensitive employees, because it first
wants to solicit public comment on
requiring more than is explicitly
required in the 9/11 Act for the OTRB
security-sensitive population. The
regulatory impact analysis for this
proposed rule provides details on the
cost estimates for OTRB employees
impacted by this alternative.
It is TSA’s belief that the proposed
rule would mitigate potential insider
threats more effectively than Alternative
2 because it proposes a more stringent
level of vetting for security coordinators,
given their unique roles and critical
responsibilities. By removing the STA
requirements for security coordinators,
Alternative 2 would leave a critical
population that has particularly
sensitive and important security
functions without any STA, which
would lead to surface transportation
modes that are more vulnerable to
insider threat. As a result, despite the
lower cost of Alternative 2, TSA
believes the additional security in the
proposed rule outweighs its additional
costs.
Even though Alternative 3 may
provide more flexibility, it includes
additional entity and TSA costs to
establish and maintain appropriate
enrollment capabilities. Based on
experience with another vetting
program that allowed for non-TSA
enrollment STAs, TSA estimated the
potential costs to establish and maintain
appropriate enrollment capabilities. The
RIA includes a description of the costs
of this alternative, including costs to the
regulated entities and TSA. As
described in the RIA, Alternative 3
would cost approximately $31.68
million over the proposed rule costs for
the 10-year analysis period. TSA also
strongly prefers to maintain in-house,
high-quality, and consistent identity
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Requirements
(1) Allow covered entities to train and use vetted security coordinators to serve as trusted agents (2) Require freight
railroad and PTPR security-sensitive employees to undergo
Level 2 STA; (3) Require security coordinators to undergo
Level 3 STA; (4) Maintain employees’ STA records; (5) Update contact information; (6) Allow TSA to perform onsite
inspections; (7) Use the redress provisions if affected by
the proposed STAs.
verification and application processing,
which would not be available if
Alternative 3 was selected. In contrast,
the proposed rule would enable the use
of TSA enrollment centers where TSA
personnel would be directly involved in
the STA process from the time the
applicant is accurately identified
through the closing of the applicant’s
case.
TSA did not consider as an alternative
to the requirements in the proposed rule
the adoption of any regulatory regimes
that would not meaningfully realize the
security benefits that Congress intended
in the 9/11 Act and that in TSA’s view
are warranted. For instance, TSA is
aware that one might arguably interpret
the 9/11 Act so narrowly as to require
only (1) a one-time, name-based security
background check against the
consolidated terrorist watchlist and an
immigration check for freight railroad 84
and public transportation frontline
employees 85 similar to the threat
assessment screening program required
for maritime facility employees and
longshoreman; 86 (2) an adequate redress
process for covered individuals
subjected to an adverse employment
decision and have the authority to order
an appropriate remedy; and (3) that
individuals serving as a security
coordinators for freight railroads 87 and
OTRB operator 88 be citizens of the
United States or undergo a background
check.
Such a proposal would create a
security gap, not reflect current vetting
standards and capabilities, and not
84 Implementing Recommendations of the 9/11
Commission Act of 2007, Public Law 110–53, sec.
1520 (Aug. 3, 2007).
85 Implementing Recommendations of the 9/11
Commission Act of 2007, sec. 1411 (Aug. 3, 2007);
codified at 6 U.S.C. 1140.
86 Coast Guard Notice USCG–2006–24189, 71 FR
25066 (Apr. 8, 2006).
87 Implementing Recommendations of the 9/11
Commission Act of 2007, Public Law 110–53, sec.
1512 (Aug. 3, 2007).
88 Implementing Recommendations of the 9/11
Commission Act of 2007, Public Law 110–53, sec.
1531 (Aug. 3, 2007).
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Industry
TSA
Total
a
b
c = Sa,b
72,690
45,571
118,261
provide sufficient means to accurately
and efficiently administer the program.
Therefore, TSA did not include this
approach as a reasonable alternative.
Nonetheless, TSA estimates the costs
associated with it to freight rail, PTPR,
and OTRB industries and TSA, over 10
years, as $86.96 million undiscounted,
$79.62 million discounted at 3 percent,
and $71.80 million discounted at 7
percent.89 The cost estimate includes: a
one-time vet, accounting for growth and
turnover, of high-risk freight rail and
PTPR frontline employees; a one-time
vet, accounting for growth and turnover,
of freight rail and OTRB security
coordinators without U.S. citizenship;
redress process cost; disqualification,
replacement, and lost productivity costs
to owner/operators for individuals with
unfavorable STAs; familiarization costs
to familiarize owner/operators with the
requirements of the rulemaking; and
new management policies and other
related administrative task costs
associated with adopting the rule.
5. Regulatory Flexibility Assessment
The Regulatory Flexibility Act (RFA)
of 1980 requires agencies to consider the
impacts of their rules on small entities.
TSA performed an Initial Regulatory
Flexibility Analysis (IRFA) to analyze
the impact to small entities affected by
the proposed rule. See the RIA in the
docket for the full IRFA. A summary of
the RFA is below.
Under the RFA, the term ‘‘small
entities’’ comprises small businesses,
not-for-profit organizations that are
independently owned, operated, and
not dominant in their fields,90 as well as
89 The cost of such an exceedingly narrow
potential implementation of the 9/11 Act could be
further reduced for industry if TSA allowed covered
entities to conduct vetting as trusted agents, similar
to Alternative 3. However, while the cost to
industry would decrease under this approach, the
overall cost of this approach would increase
because introducing trusted agents and private IT
systems to the vetting process would result in
additional costs for TSA to stand-up the program.
90 The definition of a small business varies from
industry to industry to properly reflect the relative
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Federal Register / Vol. 88, No. 99 / Tuesday, May 23, 2023 / Proposed Rules
small governmental jurisdictions with
populations of less than 50,000.91 TSA
performed an IRFA of the impacts on
small entities from this proposed rule in
the first year of the analysis and found
that it may affect an estimated 968 U.S.
entities (457 corporate-level Class I, II,
and III freight railroads, 174 corporatelevel freight shippers and receivers, 115
PTPR agencies, and 222 OTRB owner/
operators). Using a random sample, TSA
found that 59 percent of them would be
considered small.
The proposed rule would require
small entities to vet their affected
security-sensitive employees (except for
OTRB owner/operators) and security
coordinators using STAs, maintain
vetting records, update employee
contact information when applicable,
and familiarize themselves with the
proposed rule, in addition to allowing
TSA personnel onsite for inspections. A
small number of owner/operators may
incur a cost to dismiss an employee as
a result of negative DOE.
To perform the freight rail IRFA
assessment, TSA randomly sampled 242
Class I, II, and III freight railroads and
156 freight shippers and receivers, that
would be affected by this proposed rule.
TSA uses the SBA size standards to
identify that 167 freight rail owner/
operators (of the 242) and 90 freight
shippers and receivers (of the 156)
affected by the final rule are considered
33507
a small business. TSA estimates that the
proposed rule’s requirements would
cost small freight railroads an average of
$168 per security-sensitive employee
(for railroads requirements only) and
$2,942 per entity for non-high-risk
freight entities and $3,888 per entity for
high-risk freight entities.92 TSA
estimates that the first-year cost of the
proposed rule would have an impact of
less than 1 percent of revenue for 143
of all 147 small freight rail entities, or
97 percent. This result is based on the
assumption that there would be no
disqualified employees from security
vetting. Table 22 presents the likely
distribution of impact for small freight
rail owner/operators.
TABLE 22—NUMBER OF AFFECTED SMALL CLASS II AND III FREIGHT RAILROAD ENTITIES BY REVENUE IMPACT
Number of affected
small entities
Revenue impact range
Percentage of affected
small entities
0% < Impact ≤ 1% ...................................................................................................................
1% < Impact ≤ 3% ...................................................................................................................
3% < Impact ≤ 5% ...................................................................................................................
5% < Impact ≤ 10% .................................................................................................................
Above 10% ..............................................................................................................................
143
4
0
0
0
97
3
0
0
0
Total ..................................................................................................................................
147
100
If a freight rail entity had a
disqualified security-sensitive employee
or security coordinator, TSA estimates
the entity would incur a replacement
and lost productivity cost of $35,667 or
$67,021, respectively.93 TSA also
performed the a stress test to see if there
would be a significant impact to small
freight rail entities if TSA assumes one
security coordinator would be
disqualified at a cost of $67,021, which
was added to each entity’s first year
cost. TSA found that under this
scenario, 90 small entities, or 62 percent
of all 147 small freight rail entities in
the sample, would have an impact
greater than 1 percent of revenue.94
For small freight rail shippers and
receivers, TSA estimated a first year cost
of $2,472 per entity.95 TSA estimates
that the first-year cost of the proposed
rule would have an impact of less than
1 percent of revenue for 77 of the 80
entities in the sample. Table 23 presents
the likely distribution of impact for
small freight rail shipper and receiver
entities.
TABLE 23—NUMBER OF AFFECTED SMALL FREIGHT SHIPPER AND RECEIVER ENTITIES BY REVENUE IMPACT
Number of affected
small entities
Revenue impact range
lotter on DSK11XQN23PROD with PROPOSALS3
0%
1%
3%
5%
<
<
<
<
Impact
Impact
Impact
Impact
≤
≤
≤
≤
1% ...................................................................................................................
3% ...................................................................................................................
5% ...................................................................................................................
10% .................................................................................................................
differences in size between industries. An agency
must either use the U.S. Small Business
Administration (SBA) definition for a small
business or establish an alternative definition for
the industry. TSA has adopted the SBA small
business size standards for each relevant industry.
91 Individuals and States are not considered
‘‘small entities’’ based on the definitions in the RFA
(5 U.S.C. 601).
92 First year costs include STA costs such as
travel, wait and enrollment time, travel costs, and
STA fees. The STA costs are not required to be paid
specifically by the entity, and these costs could be
incurred by the individual enrolling in the STA. To
err on the side that makes the potential costs to
small entities higher, TSA assumed the STA cost
would be covered by the employer. Other first year
costs include recordkeeping and contact
information updates per STA, as well as the cost of
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familiarization with the proposed rule and
inspection compliance, all of which would be paid
by each entity. Per entity costs include costs for
security coordinator STAs per entity.
93 Because disqualifications based on a terrorism
check are rare, TSA does not account for them in
the IRFA. In addition, as discussed in Section 2.6
of the RIA, TSA does not account for the
replacement costs of employees deemed ineligible
based on an immigration check because those are
not considered costs of this proposed rule, but
rather costs of the immigration laws. Therefore,
TSA does not estimate replacement costs for
security-sensitive employees who would be
required to undergo the terrorism and immigration
checks in their Level-2 STA.
94 Thirty-six freight railroad small entities would
have an impact between 1 and 3 percent of revenue,
19 small entities would have an impact between 3
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Percentage of affected
small entities
77
3
0
0
96
4
0
0
and 5 percent of revenue, 16 small entities would
have an impact between 5 and 10 percent of
revenue, and 16 small entities would have an
impact over 10 percent of revenue.
95 First year costs include security coordinator
STA costs, such as travel, wait and enrollment time,
travel costs, and STA fees. TSA does not require the
owner/operator to pay the STA fees (although some
may do so) and these costs could be incurred by the
individual enrolling in the STA. For a conservative
assessment of potential small entity costs, TSA
included the STA cost for entities. Other first year
costs include recordkeeping and contact
information updates per STA, as well as
familiarization with the proposed rule and
inspections per entity.
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TABLE 23—NUMBER OF AFFECTED SMALL FREIGHT SHIPPER AND RECEIVER ENTITIES BY REVENUE IMPACT—Continued
Number of affected
small entities
Revenue impact range
Percentage of affected
small entities
Above 10% ..............................................................................................................................
0
0
Total ..................................................................................................................................
80
100
If a freight rail shipper and receiver
entity had a disqualified security
coordinator, TSA estimates the entity
would incur a replacement and lost
productivity cost of $55,416.96 TSA also
performed a stress test to see if there
would be a significant impact to freight
rail shippers and receivers small entities
if TSA assumes one security coordinator
would be disqualified at a cost of
$55,416, which was added to each
entity’s first year cost. TSA found based
on a stress test of one security
coordinator disqualification, 27 small
entities, or 34 percent of all 80 small
freight shipper and receivers in the
sample would have an impact greater
than 1 percent of revenue.97
For the PTPR industry, TSA randomly
sampled 100 agencies. Using SBA size
standards, TSA identifies four of the 100
PTPR agencies regulated under the
proposed rule as small entities.98 TSA
estimates that the proposed rule’s
requirements would cost small PTPR
agencies $154 per security-sensitive
employee, and $2,827 per entity for
non-high-risk-PTPR agencies and $3,733
per entity for high-risk-PTPR agencies.99
TSA estimated that the first-year cost of
the proposed rule would have an impact
of less than 1 percent of revenue for
three small PTPR owner/operators or
100 percent of the sample of entities
with information available. This result
is based on the assumption that there
would be no disqualified employees
from security vetting. Table 24 presents
the likely distribution of impact for
small PTPR agencies.
TABLE 24—NUMBER OF AFFECTED SMALL PTPR AGENCIES BY REVENUE IMPACT
Number of affected
small entities
lotter on DSK11XQN23PROD with PROPOSALS3
Revenue impact range
Percentage of affected
small entities
0% < Impact ≤ 1% ...................................................................................................................
1% < Impact ≤ 3% ...................................................................................................................
3% < Impact ≤ 5% ...................................................................................................................
5% < Impact ≤ 10% .................................................................................................................
Above 10% ..............................................................................................................................
3
0
0
0
0
100
0
0
0
0
Total ..................................................................................................................................
3
100
If a PTPR entity had a disqualified
security-sensitive employee or security
coordinator, TSA estimates the entity
would incur a replacement cost of
$26,628 or $60,395, respectively. TSA
performed a stress test to see if there
would be any significant impact to
small PTPR entities if TSA assumes one
security coordinator would be
disqualified at a cost of $60,395, which
was added to each entity’s first year
cost. TSA found that under this stress-
test scenario, two small entities of all
three small PTPR agencies in the
sample, would have an impact greater
than 1 percent of revenue.100
For the OTRB industry, TSA
randomly sampled 130 owners/
operators. Likewise, TSA estimates–
using SBA size standards–111 OTRB
owner/operators affected by the
proposed rule to be small entities or 85
percent. TSA estimates that the
proposed rule’s requirements would
cost small OTRB entities $2,275 per
entity.101 TSA estimated that the firstyear cost of the proposed rule would
have an impact of less than 1 percent of
revenue for 98 percent of the 93 small
OTRB sample entities. This result is
based on the assumption that there
would be no disqualified employees
from security vetting. Table 25 presents
the likely distribution of impact for
small OTRB owner/operators.
96 Because disqualifications based on a terrorism
check are rare, TSA does not account for them in
the IRFA. In addition, as discussed in Section 2.6
of the RIA, TSA does not account for the
replacement costs of employees deemed ineligible
based on an immigration check because those are
not considered costs of this proposed rule, but
rather costs of the immigration laws. Therefore,
TSA does not estimate replacement costs for
security-sensitive employees who would be
required to undergo the terrorism and immigration
checks in their Level-2 STA.
97 Fourteen freight rail shipper and receiver small
entities would have an impact between 1 and 3
percent of revenue, four small entities would have
an impact between 3 and 5 percent of revenue, four
small entities would have an impact between 5 and
10 percent, and five small entities would have an
impact greater than 10 percent. The additional 10
entities that did not have data were assumed to be
small and TSA did not specifically assess revenue
impacts for these entities.
98 While four of these PTPR agencies are
considered to be small entities, one is assumed to
be a small entity due to the unavailability of data.
99 First year costs include STA costs, such as
travel, wait and enrollment time, travel costs, and
STA fees. TSA does not require the owner/operator
to pay the STA fees (although some may do so) and
these costs could be incurred by the individual
enrolling in the STA. To err on the side that makes
the potential costs to small entities higher, TSA
assumed the STA cost would be covered by the
employer. Other first year costs include
recordkeeping and contact information updates per
STA, as well as the cost of familiarization with the
rule and inspection compliance, all of which would
be paid by each entity.
100 TSA found two PTPR small entities would
have an impact between 1 and 3 percent of revenue,
and assumed the one entity that did not have data
would also have an impact of over one percent in
this scenario.
101 First year costs include security coordinator
STA costs, such as travel, wait and enrollment time,
travel costs, and STA fees. TSA does not require the
owner/operator to pay the STA fees (although some
may do so) and these costs could be incurred by the
individual enrolling in the STA. To err on the side
that makes the potential costs to small entities
higher, TSA assumed the STA cost would be
covered by the employer. Other first year costs
include recordkeeping and contact information
updates per STA, as well as the cost of
familiarization with the proposed rule and
inspection compliance, all of which would be paid
by each entity.
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Federal Register / Vol. 88, No. 99 / Tuesday, May 23, 2023 / Proposed Rules
33509
TABLE 25—NUMBER OF AFFECTED SMALL OTRB OWNER/OPERATORS BY REVENUE IMPACT
Number of affected
small entities
Revenue impact range
0% < Impact ≤ 1% ...................................................................................................................
1% < Impact ≤ 3% ...................................................................................................................
3% < Impact ≤ 5% ...................................................................................................................
5% < Impact ≤ 10% .................................................................................................................
Above 10% ..............................................................................................................................
91
2
0
0
0
98
2
0
0
0
Total ..................................................................................................................................
93
100
If an OTRB entity had a security
coordinator disqualified as a result of
the STA, TSA estimates the entity
would incur a replacement cost of
$21,880. TSA performed a stress test to
see if there would be a significant
impact on small OTRB entities if TSA
assumed a replacement cost of $21,880,
which was added to each entity’s first
year cost. TSA found that under this
stress-test scenario 77 small entities, or
83 percent of all 93 small OTRB owner/
operators, would have an impact greater
than 1 percent of revenue.102
A Description of the Projected
Reporting, Record Keeping, and Other
Compliance Requirements of the
Proposed Rule, Including an Estimate of
the Classes of Small Entities That
Would be Subject to the Requirements
and the Type of Professional Skills
Necessary for Preparation of the Report
or Record
Under the provisions of the proposed
rule, the regulated populations would
incur costs associated with maintaining
a system of recordkeeping that verifies
completion of STAs. TSA assumes the
recordkeeping requirements of the
proposed rule would be performed by
employees with administrative and
clinical skills, and bases its cost
estimate on administrative
compensation rates.
lotter on DSK11XQN23PROD with PROPOSALS3
Percentage of affected
small entities
An Identification, to the Extent
Practicable, of All Relevant Federal
Rules Which May Duplicate, Overlap, or
Conflict with the Proposed Rule
TSA is aware that other federal
agencies conduct regulatory vetting
programs that may affect individuals
who are covered by the vetting programs
in this proposed rule. The design of this
proposed rule is to achieve
comparability amongst TSA vetting
programs and similar vetting done by
102 Based on OTRB small entities with available
data, 29 small entities would have an impact
between 1 and 3 percent of revenue, nine small
entities would have an impact between 3 and 5
percent of revenue, 10 small entities would have an
impact between 5 and 10 percent, and 29 small
entities would have an impact greater than 10
percent.
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other federal agencies when possible,
thereby avoiding duplication and
overlap.103 In addition, to the extent
there are duplicative vetting
requirements of which TSA is currently
unaware, the proposed rule indicates a
procedure for requesting comparability
determination from TSA.104
A Description of Any Significant
Alternatives to the Proposed Rule That
Accomplish the Stated Objectives of
Applicable Statues and May Minimize
Any Significant Economic Impact of the
Proposed Rule on Small Entities,
Including Alternatives Considered
TSA considered Alternative 1 of great
interest as a regulatory alternative, as it
would add the requirement for the
vetting of OTRB security-sensitive
employees and, hence, create a more
standard set of vetting requirements
across the proposed rule’s three surface
modes, which is consistent with the
agency’s risk-based security policies.
Therefore, TSA asks for public
comments on the IRFA for this
alternative, given this is a preferred
option, which not only increases the
number of security-sensitive employees
who would undergo a Level 2 STA, but
also increases the cost to OTRB owner/
operators.
TSA increased the cost of the
proposed rule to each of the 93 sampled
small OTRB entities with complete
information to include the Level 2 STAs
on OTRB security-sensitive employees,
with a cost of $186 per securitysensitive employee. TSA estimated that
the first-year cost of this regulatory
option would have an impact of less
than 1 percent of revenue for 56 of the
93 small OTRB entities, or 63 percent.
TSA also performed a stress test to see
if there would be any additional
significant impact to small OTRB
entities if TSA assumed one security
coordinator would be disqualified per
entity, at a cost of $50,540, which was
added to each entity’s first year cost.
TSA found that subjecting Alternative 1
to this stress-test scenario results in 80
103 See
104 See
PO 00000
§ 1530.509.
§ 1524.515(e) and § 1524.515(f).
Frm 00039
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Sfmt 4702
small entities, or 90 percent of owner/
operators, with revenue impacts that
exceed 1 percent of revenue.105
6. International Trade Impact
Assessment
The Trade Agreement Act of 1979
prohibits Federal agencies from
establishing any standards or engaging
in related activities that create
unnecessary obstacles to the foreign
commerce of the United States. The
Trade Agreement Act does not consider
legitimate domestic objectives, such as
essential security, as unnecessary
obstacles. The statute also requires that
international standards be considered
and, where appropriate, that they be the
basis for U.S. standards. TSA has
assessed the potential effect of this
proposed rule and has determined this
rulemaking would not have an adverse
impact on international trade.
7. Unfunded Mandates Assessment
Title II of the Unfunded Mandates
Reform Act of 1995 (UMRA), Public
Law 104–4, establishes requirements for
Federal agencies to assess the effects of
their regulatory actions on State, local,
and tribal governments and the private
sector. Under sec. 202 of the UMRA,
TSA generally must prepare a written
statement, including a cost-benefit
analysis, for proposed and final rules
with ‘‘Federal mandates’’ that may
result in expenditures by State, local,
and tribal governments in the aggregate
or by the private sector of $100 million
(adjusted for inflation) or more in any
one year. Before TSA promulgates a rule
for which a written statement is
required, sec. 205 of the UMRA
generally requires TSA to identify and
consider a reasonable number of
regulatory alternatives and adopt the
least costly, most cost-effective, or least
burdensome alternative that achieves
105 Of the 93 small OTRB owner/operators with
available data, 25 small entities would have an
impact between 1 and 3 percent of revenue, eight
small entities would have an impact between 3 and
5 percent of revenue, 15 small entities would have
an impact between 5 and 10 percent, and 14 small
entities would have an impact greater than 10
percent.
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the objectives of the rule. The
provisions of sec. 205 do not apply
when they are inconsistent with
applicable law. Moreover, sec. 205
allows TSA to adopt an alternative other
than the least costly, most cost-effective,
or least burdensome alternative if the
Administrator publishes with the final
rule an explanation why that alternative
was not adopted. Before TSA establishes
any regulatory requirements that may
significantly or uniquely affect small
governments, including tribal
governments, it must develop under sec.
203 of the UMRA a small government
agency plan. The plan must provide for
notifying potentially affected small
governments, enabling officials of
affected small governments to have
meaningful and timely input in the
development of TSA regulatory
proposals with significant Federal
intergovernmental mandates, and
informing, educating, and advising
small governments on compliance with
the regulatory requirements.
When adjusted for inflation, the
threshold for expenditures becomes
$158.1 million in 2020 dollars. TSA has
determined that this proposed rule does
not contain a Federal mandate that may
result in expenditures that exceed that
amount either for State, local, and tribal
governments in the aggregate in any one
year. TSA will publish a final analysis,
including its response to public
comments, when it publishes a final
rule.
C. Executive Order 13132, Federalism
A rule has implications for federalism
under Executive Order 13132
‘‘Federalism’’ (64 FR 43255, Aug. 10,
1999), if it has a substantial direct effect
on the States, on the relationship
between the national government and
the States, or on the distribution of
power and responsibilities among the
various levels of government. TSA has
analyzed this proposed rule under
Executive Order 13132 and determined
that it does not have implications for
federalism. TSA welcomes public
comments on Executive Order 13132
federalism implications.
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D. Environmental Analysis
TSA has reviewed this rulemaking for
purposes of the National Environmental
Policy Act of 1969 (NEPA) (42 U.S.C.
4321–4347) and has determined that
this action will not have a significant
effect on the human environment. This
action is covered by categorical
exclusion number A3(b) in DHS
Management Directive 023–01 (formerly
Management Directive 5100.1),
Environmental Planning Program,
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21:30 May 22, 2023
Jkt 259001
which guides TSA compliance with
NEPA.
systems, Reporting and recordkeeping
requirements, Security measures.
E. Energy Impact Analysis
The energy impact of this rulemaking
has been assessed in accordance with
the Energy Policy and Conservation Act
(EPCA), Public Law 94–163, as amended
(42 U.S.C. 6362). TSA has determined
that this rulemaking would not be a
major regulatory action under the
provisions of the EPCA.
49 CFR Part 1584
List of Subjects
49 CFR Part 1500
Air carriers, Air transportation,
Aircraft, Airports, Bus transit systems,
Commuter bus systems, Law
enforcement officer, Maritime carriers,
Over-the-Road buses, Public
transportation, Rail hazardous materials
receivers, Rail hazardous materials
shippers, Rail transit systems, Railroad
carriers, Railroad safety, Railroads,
Reporting and recordkeeping
requirements, Security measures,
Transportation facility, Vessels.
49 CFR Part 1530
Administrative law judge, Appeal,
Background check, Criminal history
records check, Fees, Immigration check,
Terrorism check, Redress, Security
measures, Security threat assessment,
Waiver.
49 CFR Part 1570
Commuter bus systems, Crime, Fraud,
Hazardous materials transportation,
Motor carriers, Over-the-Road bus
safety, Over-the-Road buses, Public
transportation, Public transportation
safety, Rail hazardous materials
receivers, Rail hazardous materials
shippers, Rail transit systems, Railroad
carriers, Railroad safety, Railroads,
Reporting and recordkeeping
requirements, Security measures,
Transportation facility, Transportation
Security-Sensitive Materials.
49 CFR Part 1572
Crime, Explosives, Hazardous
materials transportation, Motor carriers,
Railroads, Reporting and recordkeeping
requirements, Security measures.
49 CFR Part 1580
Hazardous materials transportation,
Rail hazardous materials receivers, Rail
hazardous materials shippers, Railroad
carriers, Railroad safety, Railroads,
Reporting and recordkeeping
requirements, Security measures.
49 CFR Part 1582
Public transportation, Public
transportation safety, Railroad carriers,
Railroad safety, Railroads, Rail transit
PO 00000
Frm 00040
Fmt 4701
Sfmt 4702
Over-the-Road bus safety, Over-theRoad buses, Reporting and
recordkeeping requirements, Security
measures.
The Proposed Amendments
For the reasons set forth in the
preamble, the Transportation Security
Administration proposes to amend
chapter XII of title 49, Code of Federal
Regulations, as follows:
SUBCHAPTER A—ADMINISTRATIVE AND
PROCEDURAL RULES
PART 1500—APPLICABILITY, TERMS,
AND ABBREVIATIONS
1. The authority citation for part 1500
continues to read as follows:
■
Authority: 49 U.S.C. 114, 5103, 40113,
44901–44907, 44913–44914, 44916–44918,
44935–44936, 44942, 46105; Pub. L. 110–53
(121 Stat. 266, Aug. 3, 2007) secs. 1408 (6
U.S.C. 1137), 1501 (6 U.S.C. 1151), 1517 (6
U.S.C. 1167), and 1534 (6 U.S.C. 1184).
2. In § 1500.3, add the following
definition for ‘‘Security threat
assessment’’ in alphabetical order:
*
*
*
*
*
Security threat assessment (STA)
means a procedure conducted by TSA
consisting of one or more checks of
relevant databases and other sources of
information to verify an individual’s
identity and determine whether the
individual is eligible for certain access
to the nation’s transportation systems,
or for certain privileges or credentials.
An STA constitutes a security
background check for purposes of
§ 1570.305(b) of this chapter.
*
*
*
*
*
■
SUBCHAPTER B—SECURITY RULES FOR
ALL MODES OF TRANSPORTATION
3. Add part 1530 to subchapter B to
read as follows:
■
PART 1530—SECURITY THREAT
ASSESSMENT STANDARDS
Subpart A—General
Sec.
1530.1 Scope.
1530.3 Terms used in this part.
1530.5 Levels of security threat
assessments.
1530.7 Duration of security threat
assessment and Determination of
Eligibility.
1530.9 Fraud and intentional falsification of
records; knowing misrepresentation.
1530.11 Fraudulent use or manufacture;
responsibilities of persons.
1530.13 Compliance, inspection, and
enforcement.
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Subpart B—Individual Enrollment
Requirements and Continuing
Responsibilities
Sec.
1530.101 Information required for security
threat assessments (STAs).
1530.103 Collection of biometrics.
1530.105 Payment of fees.
1530.107 Individual’s continuing
responsibilities.
1530.109 Identity verification.
Subpart C [Reserved]
Subpart D—Fees
Sec.
1530.301 Establishing and adjusting fees.
1530.303 Fees for security threat
assessment services.
1530.305 Fees for levels of security threat
assessments.
1530.307 Fee computation for comparable
security threat assessments.
1530.309 Processing fees for security threat
assessments.
Subpart E—Adjudication Procedures
Sec.
1530.401 Procedures for fingerprint-based
criminal history records checks.
1530.403 Procedures for terrorism check
and other analyses.
1530.405 Procedures for immigration
checks.
1530.407 [Reserved]
1530.409 [Reserved]
1530.411 [Reserved]
1530.413 Determination of Eligibility.
1530.415 Preliminary Determination of
Ineligibility.
1530.417 Preliminary Determination of
Ineligibility with immediate suspension.
1530.419 Final Determination of
Ineligibility.
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Subpart F—Standards
Sec.
1530.501 Standards.
1530.503 Disqualifying criminal offenses.
1530.505 Immigration check.
1530.507 Terrorism check and other
analyses.
1530.509 Comparability of security threat
assessments.
Subpart G—Appeal and Waiver Procedures
for Security Threat Assessments
Sec.
1530.601 Scope and General Requirements.
1530.603 [Reserved]
1530.605 Appeal based on criminal
conviction, immigration, or mental
capacity standards.
1530.607 Requests for waiver of criminal
offenses, immigration, or mental capacity
standards.
1530.609 Appeal of security threat
assessment based on terrorism check and
other analyses.
1530.611 Review by administrative law
judge.
1530.613 Review by TSA Final Decision
Maker.
Authority: 6 U.S.C. 469, 1140, 1143, 1170,
and 1181; 46 U.S.C. 70105; 49 U.S.C. 114,
5103a, 40113–40114, 41718 note, 44901–
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44907, 44913–44914, 44916–44918, 44932,
44935–44936, 44939, 44942, 46105, and
46111.
PART 1530—SECURITY THREAT
ASSESSMENT STANDARDS
Subpart A—General
§ 1530.1
Scope.
(a) This part applies to the following:
(1) Individuals applying for a security
threat assessment (STA) conducted by
TSA.
(2) Persons regulated by TSA who
employ individuals or use authorized
representatives who work in securitysensitive positions, as security
coordinators, or who require a
credential, access, or authorization that
requires a TSA STA.
(b) This part does not apply to STAs
governed by 49 CFR part 1572.
§ 1530.3
Terms used in this part.
Terms used in parts 1500, 1503, 1540,
1570, and 1572 of this chapter apply in
this part. In addition, the following
terms are used in this part:
Administrative law judge means an
administrative law judge appointed
pursuant to the provisions of 5 U.S.C.
3105.
Assistant Administrator means the
officer designated by the Administrator
to carry out certain STA and redress
functions described in this part. The
Assistant Administrator may appoint a
designee to assume his or her duties.
Date of service means—
(1) In the case of personal service, the
date of personal delivery to the
residential address listed on the
application;
(2) In the case of mailing to the
address designated on the application as
the mailing address, with a certificate of
service, the date shown on the
certificate of service;
(3) In the case of mailing to the
address designated on the application as
the mailing address, without a
certificate of service, 10 days from the
date mailed;
(4) In the case of mailing to the
address designated on the application as
the mailing address, with no certificate
of service or postmark, the date other
evidence indicates it was sent; or
(5) The date on which an electronic
transmission to the individual’s email or
other electronic address occurs.
Day means calendar day.
Incarceration means under the
custody of a bureau of prisons and
confined to a prison, jail, or institution
for the criminally insane pursuant to a
sentence imposed as the result of a
criminal conviction or finding of not
guilty by reason of insanity. Time spent
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33511
under the custody of a bureau of prisons
or confined or restricted to a half-way
house, treatment facility, home
incarceration, or similar institution,
pursuant to a sentence imposed as the
result of a criminal conviction or
finding of not guilty by reason of
insanity, constitutes incarceration for
purposes of this part.
Individual means the individual who
has applied for an STA in accordance
with the terms of part 1530. This
includes an individual who previously
applied for and was found to meet the
standards of the STA, but who TSA later
determined does not meet the STA
standards.
Mail includes U.S. mail, or use of an
express mail service.
Party means the individual or the
agency, whether acting with or without
an attorney.
Personal delivery includes handdelivery or use of a contract or express
messenger service, but does not include
the use of U.S. mail service.
Properly addressed means a
document that shows a residential,
business, or other address submitted by
a person on any document provided
under this subpart; or address shown by
other reasonable, available means.
Serve means provide a document to a
party during an appeal or waiver
process under this subpart by personal
delivery, mail, or electronic means.
Substantial evidence means such
relevant evidence as a reasonable person
might accept as adequate to support a
conclusion.
TSA Final Decision Maker means the
Administrator, acting in the capacity of
the decision maker on appeal, or any
person to whom the Administrator has
delegated the Administrator’s decisionmaking authority.
§ 1530.5 Levels of security threat
assessments.
(a) A Level 1 STA consists of a
terrorism check and other analyses.
(b) A Level 2 STA consists of—
(1) A terrorism check and other
analyses; and
(2) An immigration check to verify
that the individual is a U.S. citizen, U.S.
National, or falls within the permissible
categories listed in section 1530.505.
(c) A Level 3 STA consists of—
(1) A terrorism check and other
analyses;
(2) An immigration check to verify
that the individual is a U.S. citizen, U.S.
National, or falls within the permissible
categories listed in section 1530.505;
and.
(3) A fingerprint-based criminal
history records check (CHRC).
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§ 1530.7 Duration of security threat
assessment and Determination of Eligibility.
(a) Except as provided in paragraph
(b) of this section, a determination of
eligibility (DOE) issued to an individual,
based on an STA under this part,
remains valid for 5 years from the date
on which TSA issued the DOE. If the
DOE is based, in part, on one or more
comparable checks from an earlier STA,
the DOE remains valid for 5 years from
the date on which the earliest
comparable check was completed.
(b) A DOE expires on the earliest
date—
(1) TSA serves a final determination
of ineligibility (FDI) on the individual;
(2) TSA serves a preliminary
determination of ineligibility with
immediate revocation (PDIIR) on the
individual;
(3) An individual with a Level 3 STA
is indicted for, subject of a criminal
complaint, convicted of, or found not
guilty by reason of insanity, of any of
the disqualifying crimes applicable to
that individual under § 1530.503 of this
part; or
(4) An individual with a Level 2 or 3
STA is no longer meets the immigration
standards as described in § 1530.505 of
this part.
§ 1530.9 Fraud and intentional falsification
of records; knowing misrepresentation.
(a) No person may make, or cause to
be made, any of the following:
(1) Any fraudulent or intentionally
false statement in any application,
statement, record, or report that is
submitted, kept, made, or used in
compliance with, or to show
compliance with this part.
(2) Any reproduction or alteration, for
fraudulent purpose, of any application,
statement, record, report, security
program, access medium, identification
medium, biometric data (fingerprints or
photograph), documentation, or
certification issued pursuant to
standards in this part.
(b) Any person who violates the
requirements in paragraph (a) of this
section is ineligible to receive the
access, privilege, or credential
associated with a DOE based on an STA
conducted under this part.
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§ 1530.11 Fraudulent use or manufacture;
responsibilities of persons.
(a) No person may use or attempt to
use, or represent or attempt to represent
that he or she holds, a DOE or STA
issued or conducted under this part that
was issued or conducted for another
person.
(b) No person may cause or attempt to
cause another person to violate
paragraph (a) of this section.
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(c) Any person who violates the
requirements of this section is ineligible
to receive a DOE based on an STA
conducted under this part.
§ 1530.13 Compliance, inspection, and
enforcement.
(a) Each individual who is required to
undergo an STA under this part, and
their employers or entities for whom
they act as authorized representatives
are required to undergo STAs under this
part, must allow DHS, at any time or
place, to make any inspections or tests,
including copying records, to determine
the person’s compliance with this part
and part 1520 of this chapter.
(b) At the request of TSA, each person
subject to this part must provide
evidence of compliance with this part
and part 1520 of this chapter, including
copies of records.
Subpart B—Individual’s Enrollment
Requirements and Continuing
Responsibilities
§ 1530.101 Information required for
security threat assessments (STAs).
(a) Each individual applying for an
STA under this part must provide the
information and/or documents required
by paragraph (b) of this section, and
may provide the information specified
in paragraph (c) of this section, in a
form and manner authorized by TSA.
(b) The individual must provide the
following information and/or
documents:
(1) Legal name, including first,
middle, and last; any applicable suffix;
and any other names used previously.
(2)(i) Current and previous mailing
address, current residential address if it
differs from the current mailing address,
and email address if available.
(ii) If an individual prefers to receive
correspondence and notification via
email instead of physical mail, the
individual should so state.
(3) Date of birth.
(4) Gender.
(5) Height, weight, hair color, and eye
color.
(6) City, state, and country of birth;
and country of citizenship.
(7) Immigration information, and—
(i) If a naturalized citizen of the
United States, the date of naturalization;
(ii) If present in the United States
based on a visa, the type of visa, the visa
number, and the date on which it
expires; and
(iii) If a commercial driver licensed in
Canada, whether the individual holds a
Free and Secure Trade (FAST), Secure
Electronic Network for Travelers Rapid
Inspection (SENTRI), Global Entry or
NEXUS card, or a Canadian passport
number.
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(8) If not a national or citizen of the
United States, the alien registration
number and/or the number assigned to
the individual on the U.S. Customs and
Border Protection (CBP) ArrivalDeparture Record, Form I–94, if issued.
(9) The individual’s daytime
telephone number.
(10) The individual’s current
employer(s), and the employer’s
address, facsimile number (if available),
and telephone number. If the
individual’s current employer is the
U.S. military, also list the branch of the
service. If the individual is selfemployed, provide the name of the
company (if any), address, telephone
number, and facsimile number.
(11) Each individual must present
documentary evidence in a form and
manner specified by TSA that he or she
meets the immigration standards, as
described in § 1530.505, such as proof of
U.S. citizenship or nationality if the
individual claims U.S. citizenship or
nationality.
(c) The individual may also provide
the information requested in paragraphs
(c)(1)–(c)(5) of this section:
(1) Social Security number. Providing
the Social Security number is voluntary;
however, failure to provide it may delay
or prevent completion of the STA.
(2) Passport number, city of issuance,
date of issuance, and date of expiration.
This information is voluntary and may
expedite the adjudication process for an
individual who is a U.S. citizen born
abroad.
(3) Department of State Consular
Report of Birth Abroad. This
information is voluntary and may
expedite the adjudication process for an
individual who is a U.S. citizen born
abroad.
(4) Whether the individual has
previously completed a comparable
TSA STA, and if so, the date and
program for which it was completed.
This information must be provided if
the individual wishes to use the
comparable STA as described in
§ 1530.509 of this part to avoid
redundant checks and reduce the STA
fee.
(5) Whether the individual currently
holds a Federal security clearance, and
if so, the type of clearance, date, and
agency for which the clearance was
performed. If TSA determines that the
security clearance is a comparable STA
pursuant to § 1530.509 of this part, this
information must be provided if the
individual wishes to use the security
clearance to avoid redundant checks
and reduce the STA fee.
(d) The individual must certify in
writing that all information provided is
true, complete, and correct. The
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individual must acknowledge that a
false statement or material omission can
be punished by fine or imprisonment or
both, and may be grounds for TSA to
determine that the individual is
ineligible.
(e) The individual must acknowledge
in writing that TSA may notify his or
her employer in the case of an imminent
threat, and provide limited information
to reduce the risk of injury or damage
to a facility.
(f) The individual must acknowledge
in writing that there is a continuing
obligation to report an event or
condition that makes the individual
ineligible.
§ 1530.109
§ 1530.103
Subpart D—Fees
Collection of biometrics.
Each individual applying for an STA
that includes a CHRC must submit
fingerprints to TSA in a form and
manner prescribed by TSA.
§ 1530.105
Payment of fees.
(a) The individual must pay the STA
fees as required in subpart D of this part
when he or she submits biographic and/
or biometric data. TSA will begin
processing an STA application only
upon receipt of all required fees.
(b) Fees must be processed in
accordance with § 1530.309 of this
subpart.
(c) TSA will not refund fees once
paid.
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§ 1530.107 Individual’s continuing
responsibilities.
(a) Reporting responsibilities. Each
individual who has successfully
completed an STA and received a DOE
from TSA under this part, or has
applied for an STA and is awaiting a
DOE, must report the occurrence of any
of the events listed below to TSA within
24 hours of occurrence:
(1) Each individual who applies for,
or successfully completes, an STA that
includes a CHRC, must report—
(i) An indictment, conviction, or
finding of not guilty by reason of
insanity, of a disqualifying crime; or
(ii) Being adjudicated as lacking
mental capacity, or being committed to
a mental health facility.
(2) Each individual who applies for,
or successfully completes an STA that
includes an immigration check under
§ 1530.505 of this part, must report if he
or she no longer meets the immigration
standards as described in § 1530.503.
(b) Contact information. An
individual who applies for an STA, or
who receives a DOE from TSA under
this part, must report to TSA any
changes in the information provided to
TSA under § 1530.101(b)(1), (2), or (9) of
this subpart. This reporting obligation
continues until the DOE expires.
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Identity verification.
(a) The identity of each individual
applying for an STA under this part
must be verified by TSA.
(b) The individual must present at
least two forms of identification to
verify identity. At least one form of
identification must be issued by a
government authority and bear a
photograph of the individual.
(c) TSA must examine the
identification documents the individual
presents to determine whether they
appear to be genuine, unexpired, and
relate to the individual presenting them.
Subpart C [Reserved]
§ 1530.301
fees.
Establishing and adjusting
(a) Establishing and adjusting fees.
Pursuant to 6 U.S.C. 469, TSA must
collect user fees to fund the cost of an
STA. These fees apply to all STAs
conducted under this part. TSA
determines fee amounts in accordance
with Federal guidelines including Office
of Management and Budget (OMB)
Circular Number A–25 ‘‘User Charges’’.
This Federal policy provides
information for determining full
program costs, the amount of the fee
assessed on those that benefit from a
special service, and when the fee should
be collected. The fee rate and necessary
revisions will be calculated using the
best available records of the agency, will
be consistent with widely accepted
accounting principles and practices, and
will be calculated in accordance with
the provisions of 31 U.S.C. 9701 and
other applicable Federal law. TSA will
publish the initial fees established
under this part in a notice in the
Federal Register. Once TSA establishes
a fee, it will review the amount of the
fee at least once every 2 years to
determine the current cost of providing
the service the fee covers. If necessary,
TSA will revise the fee to cover the
costs of the STA services and publish a
notice in the Federal Register of the
revised fee.
(b) Inflation adjustment. TSA may
adjust the fees prescribed in this section
for inflation annually on or after
October 1, ll. TSA will announce any
inflation adjustments by publishing a
notice in the Federal Register. The
adjustment will be a composite of the
Federal civilian pay raise assumption
and non-pay inflation factor for that
fiscal year issued by the OMB for agency
use in implementing OMB Circular A–
76, weighted by the pay and non-pay
proportions of total funding for that
fiscal year. If Congress enacts a different
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Federal civilian pay raise percentage
than the percentage issued by OMB for
Circular A–76, TSA may adjust the fees
to reflect the enacted amount. The
required fee will be the amount
prescribed pursuant to this subpart,
adjusted to account for the latest
inflation adjustment.
§ 1530.303 Fees for security threat
assessment services.
(a) Mandatory fees. This section
describes the fees for each service TSA
provides in an STA. TSA must receive
the appropriate fee(s) listed below
before it can conduct the STA. If it
becomes necessary to adjust these fees
in the future, TSA may publish a notice
in the Federal Register announcing the
revised fees.
(b) Processing fees—(1) Processing fee.
This fee covers the cost to establish,
operate, and maintain physical
enrollment centers, equipment,
personnel, and electronic systems to
facilitate the collection of an
individual’s biographic and biometric
information, verify identity, collect and
process fees, and support these services.
This fee is $43.00 to $65.00.
(2) Reduced processing fee. This fee
covers the cost to establish, operate, and
maintain an online enrollment platform,
including equipment, software,
personnel, and electronic systems to
capture an individual’s biographic and
biometric information, verify identity,
collect and process fees, and support
these services. This fee is $24.00 to
$36.00.
(c) Terrorism check and other
analyses fee. This fee covers the cost to
establish, operate, maintain, and access
information sources TSA uses to
conduct the terrorism check and other
analyses, adjudicate the information
received, and process appeal requests.
This fee is $6.00 to $10.00.
(d) Immigration check fee. This fee
covers the cost to establish, operate,
maintain, and access the appropriate
immigration records, adjudicate the
results, and process appeal requests.
This fee is $2.00 to $4.00.
(e) Criminal history records check fee.
This fee covers the personnel,
equipment, and system costs to
establish, operate, and maintain a
system to process applicant fingerprint
submissions and the cost to adjudicate
the criminal history records associated
with the individual to determine
whether the records show a
disqualifying criminal offense or open
disposition, and to process appeal and
waiver requests.
(1) The CHRC fee for the initial
enrollment in-person at an enrollment
center is $17.00 to $25.00.
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(2) The fee for renewing a CHRC
online is $8.00 to $12.00.
§ 1530.305 Fees by levels of security
threat assessments.
(a) Level 1 STA. An individual
applying for a Level 1 STA must pay
TSA’s fees for the following
components:
(1) The processing or reduced
processing fee.
(2) The terrorism check and other
analyses fee.
(b) Level 2 STA. An individual
applying for a Level 2 STA must pay
TSA’s fees for the following
components:
(1) The processing or reduced
processing fee.
(2) The terrorism check and other
analyses fee.
(3) The immigration check fee.
(c) Level 3 STA. An individual
applying for a Level 3 STA must pay
TSA’s fees for the following
components:
(1) The processing or reduced
processing fee.
(2) The terrorism check and other
analyses fee.
(3) The immigration check fee.
(4) The initial CHRC fee for in-person
enrollment at an enrollment center or a
renewal fee for online CHRC renewal.
§ 1530.403 Procedures for terrorism
checks and other analyses.
(a) To conduct a terrorism check and
other analyses, TSA completes the
following procedures:
(1) Reviews the individual’s
information required for enrollment in
subpart B of this part.
(2) Searches domestic and
international government databases
described in § 1530.507 of this part, as
applicable.
(3) Adjudicates the results of the
check, in accordance with §§ 1530.501,
1530.505, and 1530.507 of this part, as
applicable.
(b) If the searches listed in this section
indicate that an individual has an
outstanding want or warrant, or is
subject to a removal order under the
immigration laws of the United States,
TSA sends the individual’s information
to the appropriate law enforcement or
immigration agency.
§ 1530.307 Fee computation for
comparable security threat assessments.
§ 1530.405
checks.
(a) An individual who successfully
completed an STA at an earlier date
may apply to rely on one or more of the
previous unexpired checks when
applying for a new STA.
(b) If one or more of the previous
unexpired checks are comparable to
checks required in the new STA, TSA
will not conduct a new check for that
portion of the new STA. TSA computes
the fee for the new STA based on the
checks actually performed in
connection with the new application.
To conduct the immigration check,
TSA will check relevant government
databases and may perform other
checks, including whether the U.S.
Citizenship and Immigration Services
(USCIS) alien registration number, CBP
Form I–94 Arrival/Departure Record
number, or other pertinent identifying
document number is valid and
associated with the individual.
§ 1530.309 Processing fees for security
threat assessments.
(a) All fees for an STA must be
processed via a method approved by
TSA and in accordance with U.S.
Treasury guidelines.
(b) TSA will not begin an STA until
it has received the required fees.
(c) TSA will not issue any fee refunds.
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standards. TSA may also transmit
fingerprints to the DHS IDENT system.
(b) TSA will receive and adjudicate
the results of the check from the FBI
CJIS and IDENT in accordance with
§§ 1530.501 and 1530.503 of this part,
including any results TSA receives
through the FBI CJIS’ Rap Back service.
Subpart E—Adjudication Procedures
(a) TSA will transmit fingerprints to
the Federal Bureau of Investigation’s
(FBI) Criminal Justice Information
Services Division (CJIS) in accordance
with the FBI CJIS fingerprint submission
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§ 1530.407
[Reserved]
§ 1530.409
[Reserved]
§ 1530.411
[Reserved]
§ 1530.413
Determination of Eligibility.
TSA will issue a DOE to the
individual and the TSA-regulated
person employing or contracting with
the individual, or other person, as
appropriate, if TSA determines that the
individual meets the STA standards in
§ 1530.501 of this part.
§ 1530.415 Preliminary Determination of
Ineligibility.
§ 1530.401 Procedures for fingerprintbased criminal history records checks.
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Procedures for immigration
TSA will serve a preliminary
determination of ineligibility (PDI) on
the individual if TSA determines he or
she may not meet, or may no longer
meet, the STA standards in § 1530.501
of this part. The PDI will include:
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(a) Statement. A statement that TSA
has determined that the individual may
not meet, or may no longer meet, the
STA standards in § 1530.501 of this
part, or may need to provide additional
information for TSA to issue a DOE;
(b) Basis. A statement that explains
TSA’s basis for the preliminary
determination;
(c) Appeal and waiver information. (1)
Information about how the individual
may appeal or apply for a waiver of the
determination, as described in
§ 1530.605, § 1530.607 or § 1530.609 of
this part, as applicable, including
Determination of Arrest Status and
correction of records, as provided in
paragraphs (d) and (e) of this section,
and
(2) A statement that if the individual
does not appeal or apply for a waiver of
TSA’s determination, or request an
extension of time to file an appeal or
waiver request, within 60 days of
service of the PDI, the PDI will
automatically convert to an FDI. The
statement will also explain the
circumstances under which the
individual may request an extension of
time beyond 60 days of service of the
PDI.
(d) Determination of arrest status. (1)
When a CHRC discloses an arrest for a
disqualifying crime listed in § 1530.503
of this part without indicating a
disposition, TSA will notify the
individual and provide instructions on
how the individual must clear the
disposition, in accordance with
paragraph (d)(2) of this section. Upon
request, TSA will provide the
individual with a copy of the FBI
record.
(2) The individual must provide TSA
with written proof that the arrest did not
result in a conviction for the
disqualifying criminal offense within 60
days after the service date of the PDI. If
the individual does not send written
proof in that time, or a request for an
extension of time, TSA will notify the
individual that he or she is disqualified.
TSA will also so notify the individual’s
employer or entity for whom the
individual is an authorized
representative.
(e) Corrective action by the individual.
When a CHRC discloses an arrest for a
disqualifying crime listed in § 1530.503
of this part, the individual may contact
the local jurisdiction responsible for the
information and the FBI to complete or
correct the information contained in his
or her record. The individual must send
a copy of the revised FBI record, or a
certified true copy of the information
from the appropriate court within 60
days after the service date of the PDI.
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§ 1530.417 Preliminary determination of
Ineligibility with immediate revocation.
(a) TSA will serve a PDIIR on the
individual and, as applicable, the TSAregulated person who employs or
contracts with the individual, if TSA
determines that the individual may not
meet, or may no longer meet, the STA
standards in § 1530.501 of this part, and
that immediate revocation of the
associated credential, access, or
authorization is warranted.
(b) Following the immediate
revocation, TSA will process the PDIIR
in accordance with the procedures for a
PDI in § 1530.415 of this part.
(c) If TSA does not issue an FDI, TSA
will reinstate the individual’s
credential, access, or authorization and
notify the individual and, as applicable,
the employer or person who contracts
with the individual, of the
reinstatement.
§ 1530.419 Final Determination of
Ineligibility.
(a) If an individual does not appeal or
request a waiver of the PDI or PDIIR in
accordance with § 1530.415, or request
an extension of time, the preliminary
determination will automatically
convert to an FDI. The individual’s
credential, access, or authorization will
be denied or revoked.
(b) If an individual appeals or
requests a waiver of the PDI or PDIIR
and TSA denies the appeal or waiver
request, TSA will serve an FDI on the
individual. The individual’s credential,
access, or authorization will be denied
or revoked.
Subpart F—Standards
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§ 1530.501
Standards.
(a) Determination of Eligibility. TSA
will issue a DOE following an STA
under this part to an individual only if
the results of the STA do not indicate
that the individual poses or may pose a
threat to transportation security or
national security, or of terrorism. For
TSA to reach such a conclusion, all of
the following conditions in this
paragraph (a) must be met:
(1) TSA is able to verify the
individual’s identity.
(2) The results of the terrorism check
and other analyses as described in
§ 1530.507 of this part do not indicate
that the individual poses or may pose a
threat to transportation security or
national security, or of terrorism.
(3) If the individual is applying for or
renewing a Level 2 or Level 3 STA, he
or she is a U.S. citizen, U.S. National,
or is in a permissible category listed in
§ 1530.505 of this part.
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(4) If the individual is applying for or
renewing a Level 3 STA, he or she
qualifies under § 1530.503 of this part.
(b) Reapplication or re-enrollment. An
individual who fails to complete an
STA successfully may reapply or reenroll for an STA when the conditions
that make him or her ineligible no
longer exist.
§ 1530.503
Disqualifying criminal offenses.
(a) Scope. This section applies to an
individual applying for or renewing a
Level 3 STA as defined in § 1530.5 of
this part. It does not apply to an
individual applying for or renewing a
Level 1 or Level 2 STA as defined in
§ 1530.5 of this part.
(1) Permanent disqualifying criminal
offenses. An individual has a permanent
disqualifying offense if convicted, or
found not guilty by reason of insanity,
in a civilian or military, domestic or
foreign jurisdiction of any of the
following felonies:
(A) Espionage or conspiracy to
commit espionage.
(B) Sedition, or conspiracy to commit
sedition.
(C) Treason, or conspiracy to commit
treason.
(D) A Federal crime of terrorism as
defined in 18 U.S.C. 2332b(g), or
comparable State law, or conspiracy to
commit such crime.
(E) A crime involving a transportation
security incident. A transportation
security incident is a security incident
resulting in a significant loss of life,
environmental damage, transportation
system disruption, or economic
disruption in a particular area, as
defined in 46 U.S.C. 70101. The term
‘‘economic disruption’’ does not include
a work stoppage or other employeerelated action not related to terrorism
and resulting from an employeremployee dispute.
(F) Improper transportation of a
hazardous material under 49 U.S.C.
5124, or a State law that is comparable.
(G) Unlawful possession, use, sale,
distribution, manufacture, purchase,
receipt, transfer, shipping, transporting,
import, export, storage of, or dealing in
an explosive or explosive device. An
explosive or explosive device includes,
but is not limited to, an explosive or
explosive material as defined in 18
U.S.C. 232(5), 841(c) through 841(f), and
844(j); and a destructive device, as
defined in 18 U.S.C. 921(a)(4) and 26
U.S.C. 5845(f).
(H) Murder.
(I) Making any threat, or maliciously
conveying false information knowing
the same to be false, concerning the
deliverance, placement, or detonation of
an explosive or other lethal device in or
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33515
against a place of public use, a state or
government facility, a public
transportation system, or an
infrastructure facility.
(J) Violations of the Racketeer
Influenced and Corrupt Organizations
Act, 18 U.S.C. 1961, et seq., or a
comparable State law, where one of the
predicate acts found by a jury or
admitted by the defendant, consists of
one of the crimes listed in paragraph
(a)(1) of this section.
(K) Attempt to commit the crimes in
paragraphs (a)(1)(A) through (D) of this
section.
(L) Conspiracy or attempt to commit
the crimes in paragraphs (a)(1)(E)
through (a)(1)(J) of this section.
(2) Look-back period for interim
disqualifying criminal offenses. The
felonies listed in paragraph (a)(3) of this
section are disqualifying, if either—
(A) The individual was convicted, or
found not guilty by reason of insanity,
of the crime in a civilian or military U.S.
domestic or foreign jurisdiction within
7 years of the date of the application; or
(B) The individual was incarcerated
for that crime and released from
incarceration within 5 years of the date
of the application.
(3) Interim disqualifying offenses. The
interim disqualifying felonies are:
(A) Unlawful possession, use, sale,
manufacture, purchase, distribution,
receipt, transfer, shipping, transporting,
delivery, import, export of, or dealing in
a firearm or other weapon. A firearm or
other weapon includes, but is not
limited to, firearms as defined in 18
U.S.C. 921(a)(3) or 26 U.S.C. 5845(a), or
items contained on the U.S. Munitions
Import List at 27 CFR part 447.21.
(B) Extortion.
(C) Dishonesty, fraud, or
misrepresentation, including identity
fraud and money laundering where the
money laundering is related to a crime
described in paragraphs (a)(1) or (a)(3)
of this section. Welfare fraud and
passing bad checks do not constitute
dishonesty, fraud, or misrepresentation
for purposes of this paragraph.
(D) Bribery.
(E) Smuggling.
(F) Immigration violations.
(G) Distribution of, possession with
intent to distribute, or importation of a
controlled substance.
(H) Arson.
(I) Kidnapping or hostage taking.
(J) Rape or aggravated sexual abuse.
(K) Assault with intent to kill.
(L) Robbery.
(M) Entry by false pretenses to any
real property, vessel, or aircraft of the
U.S. or secure area of any airport or
seaport as described in 18 U.S.C. 1036
or 49 U.S.C. 46312, or a comparable
State law.
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(N) Violations of the Racketeer
Influenced and Corrupt Organizations
Act, 18 U.S.C. 1961, et seq., or a
comparable State law, other than the
violations listed in paragraph (a)(1)(J) of
this section.
(O) Manslaughter, as described in 18
U.S.C. 1112, or a comparable state law.
(P) Conspiracy or attempt to commit
the crimes in this paragraph (a)(3).
(b) [Reserved]
(c) Under want, warrant, indictment,
or criminal complaint. An individual
who is wanted, the subject of a warrant,
under indictment, or the subject of a
criminal complaint, in any civilian or
military jurisdiction, for a felony listed
in paragraph (a) is disqualified until the
want or warrant is released or the
indictment or complaint is dismissed.
(d) Mental incapacity. An individual
who has been adjudicated as lacking
mental capacity or involuntarily
committed to a mental health facility, is
disqualified until the adjudication is
withdrawn or the individual is released
from the mental health facility.
§ 1530.505
Immigration check.
(a) An individual applying for an STA
under this Part must be U.S. citizen,
U.S. National, or who is—
(1) Lawfully admitted for permanent
residence;
(2) A refugee admitted under 8 U.S.C.
1157;
(3) Granted asylum under 8 U.S.C.
1158;
(4) In lawful nonimmigrant status;
(5) Paroled into the United States
under 8 U.S.C. 1182(d)(5); or
(6) Is otherwise authorized to be
employed in the United States.
(b) To determine whether an
applicant falls within the categories
listed in paragraph (a) of this section,
TSA will check relevant Federal
databases and may perform other
checks, including the validity of the
applicant’s alien registration number,
Social Security number, or I–94 ArrivalDeparture Form number.
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§ 1530.507
analyses.
Terrorism check and other
(a) An individual applying for or
holding a Level 1, 2, or 3 STA must
undergo a terrorism check and other
analysis to determine whether the
individual poses or may pose a threat to
transportation security or national
security, or of terrorism. TSA conducts
this check based on a search of the
following—
(1) Interpol and other international
databases, as appropriate.
(2) Terrorist watchlists and related
databases.
(3) Any other databases or sources
relevant to determining whether an
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individual poses or may pose a threat to
transportation security or national
security, or of terrorism, and that
confirm an individual’s identity.
(b) TSA may also determine that the
individual may pose a threat to
transportation security or national
security, or of terrorism, and is
ineligible, if the check conducted under
this part reveals extensive foreign or
domestic criminal convictions, a
conviction for a serious crime not listed
in § 1530.503 of this part, or a period of
foreign or domestic incarceration that
exceeds 365 consecutive days.
§ 1530.509 Comparability of security threat
assessments.
(a) Comparability of checks. TSA may
determine that a previous check, such as
a CHRC, or a terrorism check and other
analyses, conducted as part of an earlier
STA is comparable to the same check
needed for a later STA, following an
examination of the factors set out in
paragraph (d) of this section, and if the
following conditions are met:
(1) The first check has not expired.
(2) The first check is part of a DOE
that is not expired, revoked, or
suspended.
(3) The first check was adjudicated
under standards that are comparable to
the standards for the check in the new
STA applied for under this part.
(b) Comparability of entire STA. TSA
may accept a valid, unexpired STA,
background check, or investigation
conducted by TSA or another Federal
governmental agency as satisfying an
STA requirement under this chapter if
TSA determines, based on an
examination of the factors set out in
paragraph (d) of this section, that the
STA, background check, or other
investigation satisfies all of the
requirements of the level of STA
applied for under this part.
(c) Duration of DOE. A DOE issued on
the basis of an earlier, comparable
check, STA, background check, or
investigation is computed from the date
of the earliest check included in the
STA, background check, or
investigation. For example, if the later
STA relies on an immigration check
conducted 2 years before as part of an
earlier STA, the validity of the second
DOE will be 3 years, rather than 5 years,
as otherwise provided in § 1530.7 of this
part.
(d) Comparability determination
considerations. Except as provided in
paragraphs (g) through (i) of this section
(which set forth comparability
determinations that TSA has already
made), in making a comparability
determination under paragraph (a) or (b)
of this section, TSA will consider—
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(1) The minimum standards used for
the check, STA, background check, or
investigation;
(2) The frequency and duration of the
check, STA, background check, or
investigation;
(3) The date of the most recent check,
STA, background check, or
investigation;
(4) As applicable, whether the STA,
background check, or investigation
includes biometric identification and a
biometric credential; and
(5) Other factors TSA considers
appropriate to determining
comparability.
(e) [Reserved]
(f) Information required to use a
comparable assessment. If asserting
completion of a comparable check, STA,
background check, or investigation
under paragraph (a) or (b) of this
section, an individual must—
(1) Present the credential (or similar
documentation) that corresponds to
successful completion of the
comparable assessment to TSA;
(2) Notify TSA when the credential
that corresponds to a successful
completion of the comparable
assessment expires or is suspended or
revoked for any reason; and
(3) Complete the enrollment and pay
associated fees, as required in this part.
(g) Comparable to Level 1 STA. The
following successful STAs are
comparable to a Level 1 STA:
(1) A Level 2 or a Level 3 STA.
(2) An STA completed under the
FAST, NEXUS, Global Entry, and
SENTRI programs administered by U.S.
Customs and Border Protection (CBP).
(3) An STA conducted by TSA under
part 1572 of this chapter for a hazardous
materials endorsement (HME) or
transportation worker identification
credential (TWIC).
(4) An STA conducted by TSA under
part 1540 of this chapter for certain
individuals engaged in cargo operations.
(5) An STA conducted by TSA for the
TSA PreCheck® Application Program.
(h) Comparable to Level 2 STA. The
following successful STAs are
comparable to a Level 2 STA:
(1) A Level 3 STA.
(2) An STA completed under the
FAST, NEXUS, Global Entry, and
SENTRI programs administered by CBP.
(3) An STA conducted by TSA under
part 1572 of this chapter for an HME or
TWIC.
(4) An STA conducted by TSA for the
TSA PreCheck® Application Program.
(i) Comparable to Level 3 STA. The
following successful STAs are
comparable to a Level 3 STA:
(1) An STA completed under the
FAST, NEXUS, Global Entry, and
SENTRI programs administered by CBP.
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(2) An STA conducted by TSA under
part 1572 of this chapter for an HME or
TWIC.
(3) An STA conducted by TSA for the
TSA PreCheck® Application Program.
Subpart G—Appeal and Waiver
Procedures for Security Threat
Assessments
§ 1530.601 Scope and General
Requirements.
(a) Appeals. This subpart applies to
individuals appealing a PDI or a PDIIR
as part of an STA as described in
§§ 1530.415 and 1530.417 of this part.
(b) Waivers. This subpart applies to
individuals who are authorized to apply
for a waiver of certain STA standards by
the statute, regulation, security program,
or other authority that requires him or
her to undergo an STA.
(c) Nondisclosure of certain
information. In connection with the
procedures in this subpart, TSA does
not disclose to the individual and/or
respondent classified information, as
defined in section 1(a) of the Classified
Information Procedures Act (18 U.S.C.
App.), as amended, and will not
disclose any other information or
material not warranting disclosure or
protected from disclosure under law.
(d) Representation by counsel. For
any proceedings under this subpart, an
individual or respondent may choose to
be represented by counsel at his or her
expense.
(e) Extension of time. TSA may grant
an individual an extension of the time
limits described in this subpart for good
cause shown. An individual’s request
for an extension of time must be in
writing and received by TSA within a
reasonable time prior to the date to be
extended. If the request for an extension
of time is not received by TSA before
the due date to be extended, an
individual may request an extension
after the expiration of a due date by
sending a written request describing
why the failure to file within the time
limits may be excusable.
(f) Exhaustion of administrative
remedies. An individual must exhaust
the administrative remedies set forth in
this subpart before seeking judicial
review.
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§ 1530.603
[Reserved]
§ 1530.605 Appeal based on criminal,
immigration, or mental capacity standards.
(a) Scope. This section applies to
individuals appealing a PDI or a PDIIR
based on one or more of the following:
(1) TSA’s determination that an
individual is ineligible because he or
she has a disqualifying criminal offense
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described in § 1530.503 or criminal
history in § 1530.507(b) of this part.
(2) TSA’s determination that an
individual is ineligible because he or
she does not meet the immigration
standards, as described in § 1530.505 of
this part.
(3) TSA’s determination that an
individual is ineligible because he or
she has been adjudicated as lacking
mental capacity or committed to a
mental health facility.
(b) Grounds for appeal. An individual
may appeal a PDI or a PDIIR if the
individual is asserting that he or she
meets the standards for the STA for
which he or she is applying, and
(1) The basis for the denial is factually
incorrect; or
(2) TSA has not applied the standards
described in this part 1530 correctly.
(c) Initiating an appeal. (1) An
individual who has received a PDI or
PDIIR may initiate an appeal by
submitting a written request for material
from TSA in accordance with paragraph
(d) of this section, or a written reply to
TSA in accordance with paragraph (e) of
this section, within 60 days of the date
of service of the PDI. An individual
preserves the right to appeal a PDI or
PDIIR, if he or she requests an extension
of time in accordance with § 1530.601(e)
of this part and the request is granted.
(2) If the individual does not initiate
an appeal, submit a written request for
material, or request an extension of time
within 60 days of the date of service of
the PDI or PDIIR, the PDI or PDIIR
becomes an FDI.
(d) Request for material. (1) Within 60
days of the date of service of the PDI or
PDIIR, the individual may serve TSA
with a written request for copies of the
material upon which the PDI or PDIIR
was based.
(2) Within 60 days of the date of
service of the request for material, TSA
will serve the individual with copies of
the releasable material on which the PDI
or PDIIR was based.
(3) Within 60 days of the date of
service of the individual’s request for
material, TSA may request additional
information or documents from the
individual that TSA believes are
necessary to make a final determination.
(e) Reply. (1) Within 60 days of the
date of service of the PDI or PDIIR, the
individual may serve on TSA a written
reply to the PDI or PDIIR.
(i) If the individual requested material
under paragraph (d) of this section, the
individual may serve on TSA a written
reply to the PDI or PDIIR within 60 days
of the date of service of TSA’s response
to the individual’s request for material.
(ii) The reply must include the
rationale and information upon which
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33517
the individual disputes TSA’s PDI or
PDIIR.
(2) Within 60 days of the date of
service of the individual’s written reply,
TSA may request from the individual
additional information or documents
that TSA believes are necessary to make
a final determination on the individual’s
appeal.
(3) TSA will consider only material
that is relevant to whether the
individual meets the applicable
standards for the STA for which the
individual is applying.
(f) Correction of records. If the PDI or
PDIIR was based on a record that the
individual believes is erroneous, the
individual may correct the record by—
(1) Contacting the jurisdiction or
entity responsible for the information
and attempting to correct or complete
information contained in his or her
record; and
(2) Providing TSA the revised record,
or a certified true copy of the
information from the appropriate entity,
before TSA determines whether the
individual meets the standards for the
STA.
(g) Final determination. Within 60
days of the date of service of the
individual’s reply to the PDI of PDIIR,
or a longer period of time for good
cause, TSA will serve either an FDI or
a withdrawal of the PDI/PDIIR, as
provided in paragraph (g)(1) or (g)(2) of
this section.
(1) Final Determination of
Ineligibility. If the Assistant
Administrator concludes that an
individual does not meet the standards
described in § 1530.501 of this part,
TSA will serve an FDI upon the
individual. Where applicable, TSA will
serve the FDI on the individual’s
employer or entity for whom the
individual is an authorized
representative. The FDI will include a
statement that the Assistant
Administrator has reviewed the PDI or
PDIIR, the individual’s reply and
accompanying information, and any
other available material or information,
and has determined that the individual
does not meet the STA standards for
which she or he has applied.
(2) Withdrawal of PDI/PDIIR. If the
Assistant Administrator concludes that
the individual meets the STA standards,
TSA will serve a withdrawal of the PDI/
PDIIR upon the individual, and where
applicable, the individual’s employer,
operator, or other person with security
responsibilities for the individual under
this chapter.
(h) Further review. For purposes of
judicial review, the FDI issued under
this section constitutes a final agency
order that the individual does not meet
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§ 1530.607 Requests for waiver of criminal
offense or mental capacity standards.
(a) Scope. This section applies to
individuals who are authorized to apply
for a waiver of STA standards by the
statute, regulation, security program, or
other authority that requires him or her
to undergo an STA, and—
(1) Who have a disqualifying criminal
offense described in § 1530.503 of this
part;
(2) Who have been determined to be
ineligible due to a prior adjudication of
lacking mental capacity or prior
commitment to a mental health facility;
or
(3) Who have been determined to be
ineligible under § 1530.507(b) of this
part.
(b) Grounds for waiver. TSA may
issue a waiver of the standards
described in paragraph (a) of this
section if, based on a review of
information described in paragraph (c)
of this section, TSA determines that,
despite a disqualifying criminal offense
or mental capacity issue, the evidence
does not indicate that the individual
poses or may pose a threat to
transportation security or national
security, or of terrorism, and the
individual is otherwise eligible.
(c) Initiating waiver. (1) To initiate a
waiver, the individual must:
(i) Have already submitted a complete
application for the required STA, and
paid all applicable fees.
(ii) Submit a written waiver to TSA.
To be considered timely submitted,
such written waiver request—
(A) May be received as early as the
same date that the individual submitted
the application and fee, and
(B) May be received no later than 60
days after final disposition of an appeal
undertaken consistent with in
§ 1530.605 of this subpart.
(C) An individual preserves the right
submit a waiver request, if he or she
requests an extension of time in
accordance with § 1530.601(e) of this
part and the request is granted.
(2) In determining whether to grant a
waiver, TSA will consider the following
factors:
(i) The circumstances of the
disqualifying offense.
(ii) Restitution made by the
individual.
(iii) Any Federal or State mitigation
remedies.
(iv) Court records or official medical
release documents indicating that the
individual no longer lacks mental
capacity.
(v) Term of incarceration, time
elapsed since release from
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incarceration/jail, and information
concerning any criminal activity or
evidence of rehabilitation that occurred
since release from incarceration/jail.
(vi) Other factors that indicate the
individual should or should not be
granted a waiver.
(d) Grant or Denial of Waiver. (1)
Within 60 days of the date of service of
the individual’s request for a waiver, the
Assistant Administrator will serve on
the individual a written decision
granting or denying the waiver.
(2) If the Assistant Administrator
denies the waiver, the individual may
seek review by an administrative law
judge (ALJ) in accordance with
§ 1530.611 of this part. A denial of a
waiver under this section does not
constitute a final agency order as
provided in 49 U.S.C. 46110.
§ 1530.609 Appeal of security threat
assessment based on terrorism check and
other analyses.
(a) Scope. This section applies to an
individual appealing a PDI or PDIIR
based on a failure to meet the standards
in § 1530.507(a) of this part.
(b) Grounds for appeal. An individual
may appeal a PDI or PDIIR if the
individual is asserting that he or she
meets the standards for the STA for
which he or she is applying.
(c) Procedures for Appeal. The appeal
procedures set forth in §§ 1530.605(c)
through (f) of this subpart apply to this
section.
(d) Final determination. Within 60
days of the date of service of the
individual’s reply to the PDI/PDIIR, or
a longer period of time for good cause,
TSA will serve either an FDI or a
withdrawal of the PDI/PDIIR as
provided in paragraph (d)(1) or (d)(2) of
this section.
(1) Final Determination of
Ineligibility. If the Assistant
Administrator concludes that an
individual does not meet the standards
described in § 1530.501 of this part,
TSA will serve an FDI upon the
individual. Where applicable, TSA will
serve the FDI on the individual’s
employer or entity for whom the
individual is an authorized
representative. The FDI will include a
statement that the Assistant
Administrator has reviewed the PDI/
PDIIR, the individual’s reply and
accompanying information, and any
other available material or information,
and has determined that the individual
does not meet the STA standards for
which she or he has applied.
(2) Withdrawal of PDI/PDIIR. If the
Assistant Administrator concludes that
the individual meets the STA standards,
TSA will serve a withdrawal of the PDI/
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PDIIR upon the individual, and where
applicable, the individual’s employer,
operator, or other person with security
responsibilities for the individual under
this chapter.
(e) Further review. If the Assistant
Administrator denies the appeal, the
individual may seek review by an ALJ
in accordance with § 1530.611 of this
subpart. A final determination issued
under this section does not constitute a
final agency order as provided in 49
U.S.C. 46110.
§ 1530.611
judge.
Review by administrative law
(a) Scope. This section applies to the
following:
(1) An individual who seeks review of
a decision by TSA denying a waiver
request under § 1530.607 of this part.
(2) An individual who seeks review of
a decision by TSA denying an appeal
under § 1530.609 of this part.
(b) Request for review by
administrative law judge. An individual
must request review by an ALJ of TSA’s
decision to deny a waiver under
§ 1530.607 or an appeal under
§ 1530.609 of this part, by serving the
request no later than 30 days from the
date of service TSA’s final
determination. If the individual fails to
seek review within 30 days of the date
of service, the application is closed and
the individual is not eligible.
(1) The request for review must
clearly state the issue(s) to be
considered by the ALJ, and include the
following documents in support of the
request:
(i) A copy of the individual’s request
for waiver or appeal, including all
material the individual provided to TSA
as part of the request for waiver under
§ 1530.607 of this part or appeal under
§ 1530.609 of this part; and
(ii) A copy of TSA’s denial of the
waiver request or appeal.
(2) The request for review may not
include material, evidence, or
information that was not presented to
TSA in the original waiver request or
appeal. The ALJ may consider only
material, evidence, or information that
was presented to TSA in the waiver
request or appeal.
(3) If the individual has new or
additional material, evidence or
information that was not presented to
TSA as part of the original waiver
request or appeal, the individual must
file a new waiver request under
§ 1530.607 of this part or appeal under
§ 1530.609 of this part and the pending
request for ALJ review will be
dismissed.
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(4) The individual may include in the
request for review a request for an inperson hearing before the ALJ.
(5) The individual must file the
request for ALJ review with the ALJ
Docketing Center, U.S. Coast Guard, 40
S. Gay Street, Room 412, Baltimore, MD
21202–4022, ATTENTION: Hearing
Docket Clerk.
(c) Extension of time. (1) The ALJ may
grant an extension of the time limits
described in this section for good cause
shown.
(2) Requests for an extension of time
must be in writing and received by the
ALJ within a reasonable time before the
date to be extended.
(3) An individual may request an
extension of time after the expiration of
a due date by sending a written request
describing why the failure to file within
the time limits should be excused.
(4) This paragraph (c) does not apply
to time limits set by the ALJ during the
ALJ’s review of the case.
(d) Duties of the administrative law
judge. The ALJ who conducts the review
described in this section must possess
the appropriate security clearance
necessary to review classified or
otherwise protected information and
evidence. The ALJ may—
(1) Receive information and evidence
presented to TSA in the request for
waiver under § 1530.607 of this part or
appeal under § 1530.609 of this part;
(2) Determine whether to grant a
request for an in-person hearing, by
considering if there are genuine issues
of fact regarding—
(i) The credibility of evidence or
information submitted in the
individual’s request for a waiver or
appeal; and
(ii) Whether TSA’s determination on
a request for a waiver or appeal under
this subpart was made in accordance
with this chapter.
(3) Give notice of and hold
conferences and hearings;
(4) Administer oaths and affirmations;
(5) Examine witnesses;
(6) Regulate the course of the hearing
including granting extensions of time
limits; and
(7) Dispose of procedural motions and
requests, and issue a decision that
applies the substantial evidence on the
record standard of proof for conclusions
of law.
(e) Hearing. If the ALJ grants a request
for a hearing, except for good cause
shown, it will begin within 60 days of
the date of receipt of the request for
hearing. The hearing is a limited
discovery proceeding and is conducted
as follows:
(1) If applicable and upon request,
TSA will provide to the individual
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requesting a review an unclassified
summary of classified evidence upon
which TSA’s denial of the waiver or
appeal was based, to the extent possible
given national security concerns.
Preparation of an unclassified summary
constitutes good cause for the purposes
of extending the time limits described in
this section.
(i) TSA will not disclose to the
individual, or the individual’s counsel,
classified information, as defined in
E.O. 12968, section 1.1(d), as amended.
(ii) TSA will not disclose any other
information or material that does not
warrant disclosure or is otherwise
protected from disclosure by law or
regulation.
(2) The individual may present the
case by oral testimony; documentary,
demonstrative, or rebuttal evidence; and
conduct cross-examination, as permitted
by the ALJ. Oral testimony, and
documentary, demonstrative, and
rebuttal evidence is limited to the
evidence or information that the
individual presented to TSA in the
request for a waiver or during the
appeal. The Federal Rules of Evidence
may serve as guidance, but are not
binding and shall not preclude
presentation of evidence considered by
TSA in making its decision to deny a
waiver or appeal, or evidence offered by
the individual to TSA in support of
their waiver or appeal.
(3) The ALJ will review any classified
information on an ex parte, in camera
basis, and may consider such
information in rendering a decision if
the information appears to be material
and relevant.
(4) The ALJ will assess whether TSA’s
determination is supported by
substantial evidence on the record.
(5) The parties may submit proposed
findings of fact and conclusions of law.
(6) If the individual fails to appear,
the ALJ may issue a default judgment.
(7) A verbatim transcript will be made
of the hearing, including any witnesses
testifying ex parte, in camera, and will
be provided upon request at the expense
of the requesting party. In cases in
which classified or otherwise protected
evidence is received, the transcript will
be redacted for classified or otherwise
protected information.
(8) The hearing will be held at TSA’s
Headquarters building or, on request of
a party, at an alternate location selected
by the ALJ for good cause shown. The
ALJ may hold a hearing via
teleconference or video, as appropriate.
(f) Decision of the administrative law
judge. (1) The record is closed when the
certified transcript and all documents
and material have been submitted for
the record.
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33519
(2) The ALJ issues an unclassified
written decision to the individual no
later than 60 days from the close of the
record, and may extend the time needed
to issue the decision where appropriate.
The ALJ serves the decision on the
parties. The ALJ may issue a classified
decision to TSA.
(3) The ALJ’s decision may be
appealed by either party to the TSA
Final Decision Maker in accordance
with § 1530.613 of this subpart. In no
event does an ALJ decision constitute a
final agency order as provided in 49
U.S.C. 46110.
(i) Concerning a review of a waiver
denial, if the ALJ upholds TSA’s denial
of the waiver request and the individual
does not appeal that to the TSA Final
Decision Maker, TSA will issue a final
agency order denying a waiver to the
individual.
(ii) Concerning a review of a waiver
denial, if the ALJ reverses TSA’s denial
of the waiver request and TSA does not
appeal that to the TSA Final Decision
Maker, TSA will issue a final agency
order granting a waiver to the individual
and if applicable, send a DOE to the
individual’s employer, operator, or
other person with security
responsibilities for the individual under
this chapter.
(iii) Concerning a review of an appeal
denial, if the ALJ upholds TSA’s denial
of the appeal and the individual does
not appeal that to the TSA Final
Decision Maker, TSA will issue a final
order of ineligibility to the individual.
(iv) Concerning a review of an appeal
denial, if the ALJ reverses TSA’s denial
of the appeal and TSA does not appeal
that to the TSA Final Decision Maker,
TSA will re-adjudicate the STA
consistent with the ALJ’s decision, issue
a withdrawal of the final determination
to the individual, and if applicable, to
the individual’s employer, operator, or
other person with security
responsibilities for the individual under
this chapter.
§ 1530.613
Maker.
Review by TSA Final Decision
(a) Request for review. Either party
may request that the TSA Final Decision
Maker review the ALJ’s decision by
serving a written request no later than
30 days after the date of service of the
ALJ’s decision. Requests for review
served after 30 days of the date of
service of the ALJ’s decision will be
denied, except where good cause is
shown. The request must be—
(1) In writing;
(2) Served on the other party; and
(3) Address only whether the ALJ
decision is supported by substantial
evidence on the record.
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(b) Response to request for review.
The other party may file a response to
the request for review no later than 30
days after receipt of the request.
(c) Record for review. The ALJ will
provide the TSA Final Decision Maker
with a certified transcript of the hearing
and all unclassified documents and
material submitted for the record. TSA
will provide any classified material
previously submitted.
(d) Decision of the TSA Final Decision
Maker. No later than 60 days after
receipt of the request, or if the other
party files a response, 30 days after
receipt of the response, or such longer
period as may be appropriate, the TSA
Final Decision Maker issues an
unclassified decision and serves the
decision on the parties. The TSA Final
Decision Maker may issue a classified
opinion to TSA, if applicable. The
decision of the TSA Final Decision
Maker is a final agency order in
accordance with 49 U.S.C. 46110.
(1) In the case of a review of a waiver
denial under § 1530.607 of this part, if
the TSA Final Decision Maker upholds
the denial of the individual’s request for
waiver, TSA issues a final agency order
denying a waiver request to the
individual.
(2) In the case of a review of a waiver
denial under § 1530.607 of this part, if
the TSA Final Decision Maker reverses
the denial of the individual’s request for
waiver, TSA will issue a final agency
order granting a waiver to the
individual, and if applicable, send a
DOE to the TSA-regulated person
employing or contracting with the
individual, or other person, as
appropriate.
(3) In the case of a review of an appeal
under § 1530.609 of this part, if the TSA
Final Decision Maker determines that
the individual does not meet the STA
standards in this part, TSA will issue an
FDI to the individual.
(4) In the case of a review of an appeal
under § 1530.609 of this part, if the TSA
Final Decision Maker determines that
the individual meets the STA standards,
TSA will issue a withdrawal of the FDI
to the individual, and if applicable, to
the individual’s employer or entity for
whom the individual is an authorized
representative.
(e) Judicial review. The individual
may seek judicial review of a final
decision of the TSA Final Decision
Maker in the U.S. Court of Appeals of
the District of Columbia Circuit, in
accordance with 49 U.S.C. 46110.
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SUBCHAPTER D—MARITIME AND LAND
TRANSPORTATION SECURITY
PART 1570—GENERAL RULES
4. The authority citation for part 1570
is revised to read as follows:
■
Authority: 46 U.S.C. 70105; 49 U.S.C. 114,
5103a, 40113, and 46105; Pub. L. 108–90
(117 Stat. 1156; Oct. 1, 2003), sec. 520 (6
U.S.C. 469), as amended by Pub. L. 110–329
(122 Stat. 3689; Sept. 30, 2008) sec. 543 (6
U.S.C. 469); Pub. L. 110–53 (121 Stat. 266;
Aug. 3, 2007) secs. 1402 (6 U.S.C. 1131), 1405
(6 U.S.C. 1134), 1408 (6 U.S.C. 1137), 1411
(6 U.S.C. 1140); 1413 (6 U.S.C. 1142), 1414
(6 U.S.C. 1143), 1501 (6 U.S.C. 1151), 1512
(6 U.S.C. 1162), 1517 (6 U.S.C. 1167), 1520,
1522 (6 U.S.C. 1170), 1531 (6 U.S.C. 1181),
and 1534 (6 U.S.C. 1184).
5. Add § 1570.307 to part 1570 to read
as follows:
*
*
*
*
*
■
§ 1570.307 Owner/operators and
individuals subject to security threat
assessment requirements.
(a) Owner/operators. The specific
STA requirements for owner/operators
in maritime and land transportation are
set forth in parts 1530 (Security Threat
Assessments), 1572 (Credentialing and
Security Threat Assessments for TWIC
and HME), 1580 (Freight Rail
Transportation Security), 1582 (Public
Transportation and Passenger Rail
Transportation Security), and 1584
(Highway and Motor Carriers) of this
chapter.
(b) Individuals. The specific STA
requirements concerning individuals in
maritime and land transportation,
including security coordinators and
security-sensitive employees, are set
forth in parts 1530 (Security Threat
Assessments), 1572 (Transportation
Worker Identification Credential and
Hazardous Materials Endorsement
Programs), 1580 (Freight Rail), 1582
(Public Transportation and Passenger
Rail), and 1584 (Highway and Motor
Carriers) of this chapter.
■ 6. Revise the heading of part 1572 to
read as follows:
PART 1572—CREDENTIALING AND
SECURITY THREAT ASSESSMENTS
FOR THE HAZARDOUS MATERIALS
ENDORSEMENT AND
TRANSPORTATION WORKER
IDENTIFICATION CREDENTIAL
PROGRAMS
PART 1580—RAIL TRANSPORTATION
SECURITY
7. The authority citation for part 1580
is revised to read as follows:
■
Authority: 49 U.S.C. 114; Pub. L. 110–53
(121 Stat. 266, Aug. 3, 2007) secs. 1501 (6
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U.S.C. 1151), 1512 (6 U.S.C. 1162), 1517 (6
U.S.C. 1167), 1520, and 1522 (6 U.S.C. 1170).
8. Revise § 1580.3 introductory text to
read as follows:
■
§ 1580.3
Terms used in this part.
In addition to the terms in §§ 1500.3,
1500.5, and 1503.103 of subchapter A,
§ 1530.3 of subchapter B, and § 1570.3
of subchapter D of this chapter, the
following terms apply to this part:
*
*
*
*
*
■ 9. Add subpart D to part 1580 to read
as follows:
Subpart D—Security Threat
Assessment Requirements for Owner/
Operators and Individuals
Sec.
1580.301
1580.303
1580.305
1580.307
§ 1580.301
Owner/operator requirements.
Requirements for individuals.
TSA enrollment required.
Effective dates.
Owner/operator requirements.
(a) Security coordinator security
threat assessment. (1) An owner/
operator required to designate and use
a primary and at least one alternate
security coordinator under § 1570.201 of
this chapter must not designate or
permit an individual to serve as a
primary or alternate security
coordinator without confirmation from
TSA that the individual has successfully
completed a Level 3 STA and holds a
current Determination of Eligibility
(DOE) as described in part 1530 of this
chapter.
(2) The owner/operator must retain
records, in a form and manner
authorized by TSA, that documents
compliance with the requirement in
paragraph (a)(1) of this section from the
date that the owner/operator designates
an individual as a primary or alternative
security coordinator and until 180 days
after the owner/operated has terminated
such designation, and make those
records available to TSA upon request.
(b) Security-sensitive employee STA.
(1) An owner/operator described in
§ 1580.101 of this part must not
authorize or permit an individual to
serve as a security-sensitive employee
without confirmation from TSA that the
individual has successfully completed a
Level 2 STA and holds a current DOE
as described in part 1530 of this chapter.
(2) The owner/operator must retain
records, in a form and manner
authorized by TSA, that documents
compliance with the requirement in
paragraph (b)(1) of this section for 180
days after the individual has left
employment, and make those records
available to TSA upon request.
(c) Continuing responsibilities. (1) An
owner/operator must remove an
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individual from a position as a primary
or alternate security coordinator, or as a
security-sensitive employee, if notified
by TSA that the individual no longer
meets the standards described in
§ 1530.501 of this chapter for such
position.
(2) If an owner/operator becomes
aware of information indicating that an
individual serving as a primary or
alternate security coordinator or
security-sensitive employee is or may
not be eligible for the position, the
owner/operator must immediately
notify TSA.
(3) An owner/operator may reassign
an individual to be a security
coordinator or security-sensitive
employee if notified by TSA that the
individual is eligible.
§ 1580.303
Requirements for individuals.
(a) Security coordinator. An
individual must not perform the
function of a primary or alternate
security coordinator, unless he or she
successfully completes a Level 3 STA
and holds a current DOE, as described
in part 1530 of this chapter. The
criminal history records check (CHRC)
conducted as part of the STA must be
adjudicated against the standards and
list of disqualifying criminal offenses in
§ 1530.503 of this chapter.
(b) Security-sensitive employee. An
individual must not serve as a securitysensitive employee, unless he or she
successfully completes a Level 2 STA
and holds a current DOE as described in
part 1530 of this chapter.
§ 1580.305
TSA enrollment required.
(a) Each individual required to
undergo an STA under this subpart
must use the TSA enrollment system
and procedures as described in part
1530 of this chapter, unless otherwise
authorized by TSA.
(b) An owner/operator must use the
TSA enrollment system and procedures
under part 1530 of this chapter for its
employees who are required to undergo
an STA, unless otherwise authorized by
TSA.
lotter on DSK11XQN23PROD with PROPOSALS3
§ 1580.307
Effective dates.
(a) The effective date for
§§ 1580.301(a) and 1580.303(a) of this
part is [INSERT DATE 6 MONTHS
AFTER DATE OF FINAL RULE
PUBLICATION IN THE Federal
Register].
(b) The effective date for
§§ 1580.301(b) and 1580.303(b) of this
part is [INSERT DATE 12 MONTHS
AFTER DATE OF FINAL RULE
PUBLICATION IN THE Federal
Register].
(c) The effective date for § 1580.305 of
this part is [INSERT DATE 30 DAYS
VerDate Sep<11>2014
21:30 May 22, 2023
Jkt 259001
AFTER DATE OF FINAL RULE
PUBLICATION IN THE Federal
Register].
PART 1582—PUBLIC
TRANSPORTATION AND PASSENGER
RAILROAD SECURITY
10. The authority citation for part
1582 continues to read as follows:
■
Authority: 49 U.S.C. 114; Pub. L. 110–53
(121 Stat. 266, Aug. 3, 2007) secs. 1402 (6
U.S.C. 1131), 1405 (6 U.S.C. 1134), and 1408
(6 U.S.C. 1137).
Subpart A—General
11. Revise § 1582.3 introductory text
to read as follows:
■
§ 1582.3
Terms used in this part.
In addition to the terms in §§ 1500.3,
1500.5, and 1503.103, of subchapter A,
§ 1530.3 of subchapter B, and § 1570.3
of subchapter D of this chapter, the
following terms apply to this part:
*
*
*
*
*
■ 12. Add subpart C to part 1582 to read
as follows:
Subpart C—Security Threat
Assessment Requirements for Owner/
Operators and Individuals
Sec.
1582.201
1582.203
1582.205
1582.207
§ 1582.201
Owner/operator requirements.
Requirements for individuals.
TSA enrollment required.
Effective dates.
Owner/operator requirements.
(a) Security coordinator STA. (1) An
owner/operator required to designate
and use a primary and alternate security
coordinator under § 1570.201 of this
chapter, must not designate or permit an
individual to serve as a primary or
alternate security coordinator without
confirmation from TSA that the
individual has successfully completed a
Level 3 security threat assessment (STA)
and holds a current determination of
eligibility (DOE) as described in part
1530 of this chapter.
(2) The owner/operator must retain
records, in a form and manner
authorized by TSA, that documents
compliance with the requirement in
paragraph (a)(1) of this section from the
date that the owner/operator designates
an individual as a primary or alternative
security coordinator and until 180 days
after the owner/operated has terminated
such designation, and make those
records available to TSA upon request.
(b) Security-sensitive employee
security threat assessment. (1) An
owner/operator, described in (a) of this
section, must not permit an individual
to serve as a security-sensitive employee
without confirmation from TSA that the
PO 00000
Frm 00051
Fmt 4701
Sfmt 4702
33521
individual has successfully completed a
Level 2 STA and holds a current DOE
as described in part 1530 of this chapter.
(2) The owner/operator must retain
records, in a form and manner
authorized by TSA, that documents
compliance with the requirement in
paragraph (b)(1) of this section for 180
days after the individual has left
employment, and make those records
available to TSA upon request.
(c) Continuing responsibilities. (1) An
owner/operator must remove an
employee from a position as a primary
or alternate security coordinator or as a
security-sensitive employee, if notified
by TSA that the individual no longer
meets the standards described in
§ 1530.501 of this chapter for those
positions.
(2) If an owner/operator becomes
aware of information indicating that an
individual serving as a primary or
alternate security coordinator or
security-sensitive employee is or may
not be eligible for the position, the
owner/operator must immediately
notify TSA.
(3) An owner/operator may reassign
an individual to be a security
coordinator or security-sensitive
employee if notified by TSA that the
individual is eligible.
§ 1582.203
Requirements for individuals.
(a) Security Coordinator. An
individual must not perform the
function of a primary or alternate
security coordinator, unless he or she
successfully completes a Level 3 STA
and holds a current DOE as described in
part 1530 of this chapter. The criminal
history records check (CHRC) conducted
as part of the STA must be adjudicated
against the standards and list of
disqualifying criminal offenses in
§ 1530.503 of this part.
(b) Security-sensitive employee. An
individual must not serve as a securitysensitive employee, unless he or she
successfully completes a Level 2 STA
and holds a current DOE as described in
part 1530 of this chapter.
§ 1582.205
TSA enrollment required.
(a) Each individual required to
undergo an STA under this subpart,
must use the TSA enrollment system
and procedures as described in part
1530 of this chapter, unless otherwise
authorized by TSA.
(b) An owner/operator must use the
TSA enrollment system and procedures
under part 1530 of this chapter for its
employees who are required to undergo
an STA, unless otherwise authorized by
TSA.
E:\FR\FM\23MYP3.SGM
23MYP3
33522
Federal Register / Vol. 88, No. 99 / Tuesday, May 23, 2023 / Proposed Rules
§ 1582.207
Effective dates.
(a) The effective date for
§§ 1582.201(a) and 1582.203(a) of this
part is [INSERT DATE 6 MONTHS
AFTER DATE OF FINAL RULE
PUBLICATION IN THE Federal
Register].
(b) The effective date for
§§ 1582.201(b) and 1582.203(b) of this
part is [INSERT DATE 12 MONTHS
AFTER DATE OF FINAL RULE
PUBLICATION IN THE Federal
Register].
(c) The effective date for § 1582.205 of
this part is [INSERT DATE 30 DAYS
AFTER DATE OF FINAL RULE
PUBLICATION IN THE Federal
Register].
PART 1584—HIGHWAY AND MOTOR
CARRIERS
13. The authority citation for part
1584 is revised to read as follows:
■
Authority: 49 U.S.C. 114; Pub. L. 110–53
(121 Stat. 266, Aug. 3, 2007) secs. 1501 (6
U.S.C. 1151), 1531 (6 U.S.C. 1181), and 1534
(6 U.S.C. 1184).
Subpart A—General
14. Revise § 1584.3 introductory text
to read as follows:
■
§ 1584.3
Terms used in this part.
In addition to the terms in §§ 1500.3,
1500.5, and 1503.3 of subchapter A,
§ 1530.3 of subchapter B, and § 1570.3
of subchapter D of this chapter, the
following terms apply to this part:
*
*
*
*
*
■ 15. Add subpart C to part 1584 to read
as follows:
Subpart C—Security Threat
Assessment Requirements for Owner/
Operators and Individuals
lotter on DSK11XQN23PROD with PROPOSALS3
Sec.
1584.201
Owner/operator requirements.
VerDate Sep<11>2014
21:30 May 22, 2023
Jkt 259001
1584.203
1584.205
1584.207
§ 1584.201
Requirements for individuals.
TSA enrollment required.
Effective date.
Owner/operator requirements.
(a) Security coordinator security
threat assessment. (1) An owner/
operator, required to designate and use
a primary and at least one alternate
security coordinator under § 1570.201 of
this chapter, must not designate or
permit an individual to serve as a
primary or alternate security
coordinator without confirmation from
TSA that the individual has successfully
completed a Level 3 security threat
assessment (STA) and holds a current
Determination of Eligibility (DOE) as
described in part 1530 of this chapter.
(2) The owner/operator must retain
records, in a form and manner
authorized by TSA, that documents
compliance with the requirement in
paragraph (a)(1) of this part from the
date that the owner/operator designates
an individual as a primary or alternative
security coordinator and until 180 days
after the owner/operated has terminated
such designation, and make those
records available to TSA upon request.
(b) Continuing responsibilities. (1) An
owner/operator must remove an
employee from a position as a primary
or alternate security coordinator, if
notified by TSA that he or she no longer
meets the standards described in
§ 1530.501 of this chapter for those
positions.
(2) If an owner/operator becomes
aware of information indicating that an
individual serving as a primary or
alternate security coordinator is, or may
not, be eligible for position, the owner/
operator must immediately notify TSA.
(3) An owner/operator may reassign
an individual to be a security
coordinator, if notified by TSA that the
individual is eligible.
PO 00000
Frm 00052
Fmt 4701
Sfmt 9990
§ 1584.203
Requirements for individuals.
An individual must not perform the
function of a primary or alternate
security coordinator unless he or she
successfully completes a Level 3 STA
and holds a current DOE as described in
part 1530 of this chapter. The criminal
history records check (CHRC) conducted
as part of the STA must be adjudicated
against the standards and list of
disqualifying criminal offenses in
§ 1530.503 of this chapter.
§ 1584.205
TSA enrollment required.
(a) Each individual required to
undergo an STA under this subpart
must use the TSA enrollment system
and procedures as described in part
1530 of this chapter, unless otherwise
authorized by TSA.
(b) An owner/operator must use the
TSA enrollment system and procedures,
as described in part 1530 of this chapter,
for its employees who are required to
undergo an STA, unless otherwise
authorized by TSA.
§ 1584.207
Effective date.
(a) The effective date for § 1584.201
and § 1584.203 of this part is [INSERT
DATE 6 MONTHS AFTER DATE OF
FINAL RULE PUBLICATION IN THE
Federal Register].
(b) The effective date for § 1584.205 of
this part is [INSERT DATE 30 DAYS
AFTER DATE OF FINAL RULE
PUBLICATION IN THE Federal
Register].
Dated: May 4, 2023.
David P. Pekoske,
Administrator.
[FR Doc. 2023–10131 Filed 5–22–23; 8:45 am]
BILLING CODE 9110–05–P
E:\FR\FM\23MYP3.SGM
23MYP3
Agencies
[Federal Register Volume 88, Number 99 (Tuesday, May 23, 2023)]
[Proposed Rules]
[Pages 33472-33522]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2023-10131]
[[Page 33471]]
Vol. 88
Tuesday,
No. 99
May 23, 2023
Part V
Department of Homeland Security
-----------------------------------------------------------------------
Transportation Security Administration
-----------------------------------------------------------------------
49 CFR Parts 1500, 1530, 1570, et al.
Vetting of Certain Surface Transportation Employees; Proposed Rule
Federal Register / Vol. 88 , No. 99 / Tuesday, May 23, 2023 /
Proposed Rules
[[Page 33472]]
-----------------------------------------------------------------------
DEPARTMENT OF HOMELAND SECURITY
Transportation Security Administration
49 CFR Parts 1500, 1530, 1570, 1572, 1580, 1582, 1584
[Docket No. TSA-2023-0001]
RIN 1652-AA69
Vetting of Certain Surface Transportation Employees
AGENCY: Transportation Security Administration, DHS.
ACTION: Notice of proposed rulemaking (NPRM).
-----------------------------------------------------------------------
SUMMARY: The Transportation Security Administration (TSA) is proposing
a regulation to implement provisions of the Implementing
Recommendations of the 9/11 Commission Act of 2007 (9/11 Act) that
require security vetting of certain public transportation, railroad,
and over-the-road-bus (OTRB) employees. In accordance with the 9/11
Act, TSA proposes to require security-sensitive employees of certain
public transportation operators and railroads to undergo a Level 2
security threat assessment (STA) that includes an immigration check and
terrorism watchlist check to determine whether the applicant may pose a
security threat. Further, TSA proposes to require security coordinators
of certain public transportation, railroad, and OTRB operators to
undergo a Level 3 STA, which includes the Level 2 check plus a criminal
history records check. TSA proposes appeal and waiver procedures for
individuals who are adversely impacted by the vetting. Finally, TSA
proposes to establish user fees to recover TSA's costs for vetting, as
required by law.
DATES: Submit comments on or August 21, 2023.
ADDRESSES: You may submit comments, identified by the TSA docket number
to this rulemaking, to the Federal Docket Management System (FDMS), a
government-wide, electronic docket management system. To avoid
duplication, please use only one of the following methods:
Electronic Federal eRulemaking Portal: https://www.regulations.gov. Follow the online instructions for submitting
comments.
Mail: Docket Management Facility (M-30), U.S. Department
of Transportation, 1200 New Jersey Avenue SE, West Building Ground
Floor, Room W12-140, Washington, DC 20590-0001. The U.S. Department of
Transportation (DOT), which maintains and processes TSA's official
regulatory dockets, will scan the submission and post it to FDMS.
Fax: (202) 493-2251.
See SUPPLEMENTARY INFORMATION section for format and other
information about comment submissions.
FOR FURTHER INFORMATION CONTACT: For program questions: Victor Parker,
Surface Division, Policy, Plans, and Engagement, TSA-28, Transportation
Security Administration, 6595 Springfield Center Drive, Springfield, VA
20598-6002; telephone (571) 227-1039; email [email protected].
For legal questions: Christine Beyer, Chief Counsel's office, TSA-
2, Transportation Security Administration, 6595 Springfield Center
Drive, Springfield, VA 20598-6002; telephone (571) 227-3653; email
[email protected].
SUPPLEMENTARY INFORMATION:
Public Participation
TSA invites interested persons to participate in this rulemaking by
submitting written comments, data, or views. We also invite comments
relating to the economic, environmental, energy, or federalism impacts
that might result from this rulemaking action, as well as on TSA's
collections of information under the Paperwork Reduction Act as
described further below. You may submit comments, identified by the TSA
docket number for this rulemaking, to the ADDRESSES noted above. With
each comment, please include this docket number at the beginning of
your comments. You may submit comments and material electronically, in
person, by mail, or fax as provided under ADDRESSES, but please submit
your comments and material by only one means. If you submit comments by
mail or in person submit them in an unbound format, no larger than 8.5
by 11 inches, suitable for copying and electronic filing. If you would
like TSA to acknowledge receipt of comments submitted by mail, include
with your comments a self-addressed, stamped postcard or envelope on
which the docket number appears. TSA will stamp the date on the
postcard and we will mail it to you.
All comments, except those that include confidential information
and sensitive security information (SSI) \1\ will be posted to https://www.regulations.gov, and will include any personal information you have
provided. Should you wish your personally identifiable information
redacted prior to filing in the docket, please clearly indicate this
request in your submission. TSA will consider all comments that are in
the docket on or before the closing date for comments and will consider
comments filed late to the extent practicable. The docket is available
for public inspection before and after the comment closing date.
---------------------------------------------------------------------------
\1\ ``Sensitive Security Information'' or ``SSI'' is information
obtained or developed in the conduct of security activities, the
disclosure of which would constitute an unwarranted invasion of
privacy, reveal trade secrets or privileged or confidential
information, or be detrimental to the security of transportation.
The protection of SSI is governed by 49 CFR part 1520.
---------------------------------------------------------------------------
Handling of Confidential or Proprietary Information and SSI Submitted
in Public Comments
Do not submit comments that include trade secrets, confidential
commercial or financial information, or SSI to the public regulatory
docket. Comments containing this type of information should be
submitted separately from other comments, appropriately marked as
containing such information, and submitted by mail to one of the
addresses listed in the FOR FURTHER INFORMATION CONTACT section. TSA
will take the following actions for all submissions containing SSI:
TSA will not place comments containing SSI in the public
docket and will handle them in accordance with applicable safeguards
and restrictions on access.
TSA will hold documents containing SSI, confidential
business information, or trade secrets in a separate file to which the
public does not have access, and place a note in the public docket
explaining that commenters have submitted such documents.
TSA may include a redacted version of the comment in the
public docket.
TSA will treat requests to examine or copy information
that is not in the public docket as any other request under the Freedom
of Information Act (FOIA) (5 U.S.C. 552) and the Department of Homeland
Security's (DHS') FOIA regulation found in 6 CFR part 5.
Privacy Act
Please be aware that anyone is able to search the electronic form
of all comments in any of our dockets by the name of the individual who
submitted (or signed the comment (e.g., if submitted by an association,
business, labor union, etc.) For more about privacy and the docket,
review the Privacy and Security Notice for the FDMS at https://www.regulations.gov/privacyNotice, as well as the System of Records
Notice DOT/ALL 14--Federal Docket Management System (73 FR
[[Page 33473]]
3316, January 17, 2008) and the System of Records Notice DHS/ALL 044--
eRulemaking (85 FR 14226, March 11, 2020).
Reviewing Docket Comments and Documents
You can review TSA's electronic public docket at https://www.regulations.gov. In addition, DOT's Docket Management Facility
provides a physical facility, staff, equipment, and assistance to the
public. To obtain assistance or to review items in TSA's public docket,
you may visit this facility between 9 a.m. and 5 p.m., Monday through
Friday, excluding legal holidays, or call (202) 366-9826. This DOT
operations facility is located in the West Building Ground Floor, Room
W12-140 at 1200 New Jersey Avenue SE, Washington, DC 20590.
You can find an electronic copy of rulemaking documents through the
internet by-searching the electronic FDMS web page at https://www.regulations.gov; or at https://www.federalregister.gov. In
addition, copies are available by writing or calling the individual in
the FOR FURTHER INFORMATION CONTACT section. Make sure to identify the
docket number of this rulemaking.
Abbreviations and Terms Used in This Document
ALJ--Administrative Law Judge
ATSA--Aviation and Transportation Security Act
CBP--U.S. Customs and Border Protection
CFR--Code of Federal Regulations
CHRC--Criminal History Records Check
CJIS--Criminal Justice Information Services
DHS--U.S. Department of Homeland Security
DOE--Determination of Eligibility
ESVP--Enrollment Services and Vetting Programs
FAST--Free and Secure Trade Program
FBI--Federal Bureau of Investigation
FDI--Final Determination of Ineligibility
HME--Hazardous Materials Endorsement
IDENT--Automated Biometrics Identification System
NPRM--Notice of Proposed Rulemaking
OTRB--Over-the-Road Bus
PDI--Preliminary Determination of Ineligibility
PDIIR--Preliminary Determination of Ineligibility with Immediate
Revocation
SAVE--Systematic Alien Verification for Entitlements Program
SENTRI--Secure Electronic Network for Travelers Rapid Inspection
Program
SSI--Sensitive Security Information
STA--Security Threat Assessment
TSA--Transportation Security Administration
TWIC--Transportation Worker Identification Credential
U.S.C.--United States Code
USCIS--U.S. Citizenship and Immigration Services
Table of Contents
I. Executive Summary
A. Purpose of the Regulation
B. Summary of Major Provisions
II. Background
A. Statutory and Regulatory History
B. Specific Provisions
1. Security-Sensitive Employees
2. Security Coordinators
3. IDENT and Rap Back
4. Identity Verification
5. Use of TSA Enrollment Centers
6. Vetting Structure
7. Effective Dates and Compliance
III. Analysis of Proposed Part 1530
A. Introduction
B. Proposed Subpart A--General
1. Proposed Sec. 1530.1
2. Proposed Sec. 1530.3
3. Proposed Sec. 1530.5
4. Proposed Sec. 1530.7
5. Proposed Sec. 1530.9
6. Proposed Sec. 1530.11
7. Proposed Sec. 1530.13
C. Proposed Subpart B--Individual Enrollment Requirements
Continuing Responsibilities
1. Introduction
2. Proposed Sec. 1530.101
3. Proposed Sec. 1530.103
4. Proposed Sec. 1530.105
5. Proposed Sec. 1530.107
6. Proposed Sec. 1530.109
D. Proposed Subpart C--Reserved
E. Proposed Subpart D--Fees
1. Introduction
2. Costs
3. Populations
4. Fees
5. Proposed Sec. 1530.301
6. Proposed Sec. 1530.303
7. Proposed Sec. 1530.305
8. Proposed Sec. 1530.307
9. Proposed Sec. 1530.309
F. Proposed Subpart E--Adjudication Procedures
1. Introduction
2. Proposed Sec. 1530.401
3. Proposed Sec. 1530.403
4. Proposed Sec. 1530.405
5. Sections 1530.407, 1530.409, 1530.411--Reserved
6. Proposed Sec. 1530.413
7. Proposed Sec. 1530.415
8. Proposed Sec. 1530.417
9. Proposed Sec. 1530.419
G. Proposed Subpart F--Standards
1. Introduction
2. Proposed Sec. 1530.501
3. Proposed Sec. 1530.503
4. Proposed Sec. 1530.505
5. Proposed Sec. 1530.507
6. Proposed Sec. 1530.509
H. Proposed Subpart G--Appeal and Waiver Procedures for Security
Threat Assessments
1. Introduction
2. Proposed Sec. 1530.601
3. Proposed Sec. 1530.603
4. Exhaustion of Administrative Remedies
5. Proposed Sec. 1530.605
6. Proposed Sec. 1530.607
7. Proposed Sec. 1530.609
8. Proposed Sec. 1530.611
9. Proposed Sec. 1530.613
IV. Analysis of Proposed Changes to Parts 1500, 1570, 1572, 1580,
1582, and 1584
A. Introduction
B. Proposed Changes to Part 1500
C. Proposed Changes to Part 1570
D. Proposed Changes to Part 1572
E. Proposed Changes to Part 1580
1. Proposed Sec. 1580.301
2. Proposed Sec. 1580.303
3. Proposed Sec. 1580.305
4. Proposed Sec. 1580.307
F. Proposed Changes to Part 1582
1. Proposed Sec. 1582.201
2. Proposed Sec. 1582.203
3. Proposed Sec. 1582.205
4. Proposed Sec. 1582.207
G. Proposed Changes to Part 1584
1. Proposed Sec. 1584.201
2. Proposed Sec. 1584.203
3. Proposed Sec. 1584.205
4. Proposed Sec. 1584.207
I. Executive Summary
A. Purpose of the Regulation
This proposed rulemaking would serve three purposes:
(1) Surface transportation security vetting. The NPRM proposes to
implement requirements in the 9/11 Act \2\ to vet certain public
transportation, railroad, and OTRB employees:
---------------------------------------------------------------------------
\2\ The Implementing Recommendations of the 9/11 Commission Act,
Public Law 110-53 (121 Stat. 266; Aug. 3, 2007).
---------------------------------------------------------------------------
Conduct a ``name-based security background check against
the consolidated terrorist watchlist and an immigration check'' for
frontline public transportation employees \3\ and frontline railroad
employees.\4\
---------------------------------------------------------------------------
\3\ 9/11 Act, sec. 1411; codified at 6 U.S.C. 1140.
\4\ 9/11 Act, sec. 1520.
---------------------------------------------------------------------------
Require security coordinators of railroads \5\ and OTRBs
\6\ to be U.S. citizens, unless TSA waives this requirement after an
appropriate background check of the individual and a satisfactory
review of the consolidated terrorist watchlist.
---------------------------------------------------------------------------
\5\ 9/11 Act, sec. 1512; codified at 6 U.S.C. 1162(e)(2).
\6\ 9/11 Act, sec. 1531; codified at 6 U.S.C. 1181.
---------------------------------------------------------------------------
(2) Fees. TSA is proposing an equitable fee schedule to recover the
costs of vetting services. TSA must sustain vetting programs, like
those proposed in this rulemaking, through user fees in accordance with
6 U.S.C. 469, Fees for Credentialing and Background Investigations in
Transportation.
(3) Redress. The 9/11 Act provides that if TSA issues a regulation
requiring operators to conduct vetting of public transportation \7\ and
railroad employees,\8\ TSA must require the operators to provide appeal
and waiver procedures, like the procedures TSA
[[Page 33474]]
established in the Transportation Worker Identification Credential
(TWIC) program in accordance with 46 U.S.C. 70105 and codified at 49
CFR parts 1515, 1572. TSA proposes appeals, waivers, review by
Administrative Law Judges (ALJs), and review by the TSA Final Decision
Maker for individuals who are adversely affected by the vetting.
---------------------------------------------------------------------------
\7\ 9/11 Act sec. 1414; codified at 6 U.S.C. 1143(d).
\8\ 9/11 Act sec. 1522; codified at 6 U.S.C. 1170(d).
---------------------------------------------------------------------------
B. Summary of Major Provisions
In accordance with the 9/11 Act and risk-based principles, TSA
proposes to require frontline or ``security-sensitive'' employees of
public transportation and railroad operators to undergo a Level 2 STA,
which includes an immigration check and a terrorism check and other
analyses (terrorism/other analyses).\9\ Specifically, sections 1411 and
1520 of the 9/11 Act require TSA to conduct terrorist and immigration
status vetting of public transportation and railroad employees, similar
to the check TSA conducted in 2006 in the maritime sector. In sections
1143 and 1170 of the Act, Congress defines a security background check
as vetting that includes criminal, immigration and terrorist checks,
and provides that if TSA issues a rulemaking to require operators to
conduct security background checks, TSA must require use of the
criminal standards and redress required by 46 U.S.C. 70105, and 49 CFR
part 1572.
---------------------------------------------------------------------------
\9\ This portion of the STA is called ``terrorism check and
other analyses.'' This portion of the STA may include searches of
many data sources, such as the consolidated terrorist watchlist
(TSDB), U.S. Marshal's Service wants and warrants, U.S. Department
of State lost and stolen passports, and Interpol.
---------------------------------------------------------------------------
Further, TSA proposes to require security coordinators of public
transportation, railroad, and OTRB operators to complete a Level 3 STA,
which includes an immigration check, criminal check, and terrorism/
other analyses check. Table 1 below provides a summary of these
proposed vetting requirements. Also, TSA proposes a robust redress
process for individuals who are deemed ineligible for a position as a
result of the vetting, to ensure that they are not disqualified in
error. Finally, TSA proposes user fees to cover the costs of TSA's
vetting, as required by statute.\10\
---------------------------------------------------------------------------
\10\ See 6 U.S.C. 469.
Table 1--Affected Population by Mode and STA Requirement
----------------------------------------------------------------------------------------------------------------
Proposed rule requirements
Affected -------------------------------------------------
Mode Risk level population Terrorism/ other Immigration
analyses check CHRC
----------------------------------------------------------------------------------------------------------------
Freight Rail................ High Risk...... Security- [ballot] [ballot] ............
Sensitive
Employees.
------------------------------------------------------------------
............... Security [ballot] [ballot] [ballot]
Coordinators
-----------------------------------------------------------------------------------
Non-High-Risk.. Security- ................. ............... ............
Sensitive
Employees.
------------------------------------------------------------------
............... Security [ballot] [ballot] [ballot]
Coordinators
----------------------------------------------------------------------------------------------------------------
PTPR........................ High-Risk...... Security- [ballot] [ballot] ............
Sensitive
Employees.
------------------------------------------------------------------
............... Security [ballot] [ballot] [ballot]
Coordinators
-----------------------------------------------------------------------------------
Non-High-Risk.. Security- ................. ............... ............
Sensitive
Employees.
------------------------------------------------------------------
............... Security [ballot] [ballot] [ballot]
Coordinators
----------------------------------------------------------------------------------------------------------------
OTRB........................ High-Risk...... Security- ................. ............... ............
Sensitive
Employees.
------------------------------------------------------------------
............... Security [ballot] [ballot] [ballot]
Coordinators
-----------------------------------------------------------------------------------
Non-High-Risk.. Security- ................. ............... ............
Sensitive
Employees.
------------------------------------------------------------------
............... Security ................. ............... ............
Coordinators
----------------------------------------------------------------------------------------------------------------
C. Costs and Benefits
Table 2 identifies estimated 10-year costs to certain freight
railroad carriers, public transportation and passenger railroad (PTPR)
operators, OTRB operators, and TSA; and the overall cost of this
proposed rule.
Table 2--Cost of the Proposed Rule
------------------------------------------------------------------------
Estimated costs (millions,
over 10 years, discounted at
7 percent)
------------------------------------------------------------------------
Freight Railroad.......................... $31.43
Public Transportation and Passenger 52.96
Railroads................................
(PTPR)....................................
OTRB...................................... 0.92
TSA....................................... 1.27
-----------------------------
Total................................. 86.58
------------------------------------------------------------------------
[[Page 33475]]
As compared to attacks carried out by passengers, attacks carried
out by employees pose a higher likelihood of success and/or a larger
impact due to employees' knowledge of the systems, infrastructure,
vulnerabilities and operations. Also, employees possess unique access
to critical operations and areas, which permits them to move with ease
in sensitive areas where similar actions by passengers would be more
readily identified as suspicious activity, and increases the
opportunity and confidence to commit an attack. Known or suspected
terrorists (KSTs) are more likely to be responsible for a
disproportionate number of all attacks as compared to their proportion
of the population, and thus moving KSTs and other higher-risk
individuals out of the `insider' positions employees hold reduces risk,
while affecting a very small percentage of all employees. Initial
vetting inhibits applicants or existing employees from commencing or
continuing their employment, which deters their ability to carry out an
act. Recurrent vetting ensures employees who become threats can be
removed quickly, reducing the overall net risk to this industry. While
is it not possible to quantify the net risk reduction employee vetting
creates, TSA's comprehensive vetting of transportation workers has
effectively identified insider threats. The effort creates a meaningful
reduction of risk of an insider attack, which benefits transportation
security.
II. Background
A. Statutory and Regulatory History
Following the terrorist attacks of September 11, 2001, Congress
created the National Commission on Terrorist Attacks Upon the United
States (9/11 Commission).\11\ The 9/11 Commission investigated the
facts and circumstances relating to the attacks, and, on July 22, 2004,
issued its Report.\12\
---------------------------------------------------------------------------
\11\ Title VI, Intelligence Authorization Act for Fiscal Year
2003, Public Law 107-306 (116 Stat. 2383; Nov. 7, 2002).
\12\ The 9/11 Commission Report is available at https://www.9-11commission.gov/.
---------------------------------------------------------------------------
In the Report, the 9/11 Commission recognized that transportation
involves more than just aviation, noting that ``[a]bout 6,000 agencies
provide transit services through buses, subways, ferries, and light-
rail service to about 14 million Americans.'' \13\ The 9/11 Commission
also recognized that ``[o]pportunities to do harm are as great, or
greater, in maritime or surface transportation'' as they are in
aviation.\14\ The Commission specifically noted the ``use of insiders''
as a possible terrorist tactic.\15\ The Commission included in its
report numerous recommendations for further action by the U.S.
Government and other actors.\16\
---------------------------------------------------------------------------
\13\ Report, p. 390-1.
\14\ Report, p. 391.
\15\ Report, p. 392.
\16\ Report, pp. 367-398.
---------------------------------------------------------------------------
In the 9/11 Act, Congress implemented many of the 9/11 Commission's
recommendations. Congress requires TSA to issue regulations on security
training, vetting, vulnerability assessments, and security plans for
surface transportation entities. TSA is complying with the statute by
issuing separate, but related rulemakings.\17\ This rulemaking
addresses the 9/11 Act requirements to conduct ``security background
checks'' of certain public transportation, railroad carrier, and OTRB
employees. For purposes of this rulemaking and consistent with common
vetting terminology, TSA uses the term ``security threat assessment
(STA)'' in place of ``security background checks'' and the terms have
the same meaning.
---------------------------------------------------------------------------
\17\ See Security Training for Surface Transportation Employees
Final Rule, 85 FR 16456 (March 23, 2020), as amended by 85 FR 25315
(May 1, 2020), 85 FR 67681 (Oct. 26, 2020), and 86 FR 23629 (May 4,
2021) (Security Training Final Rule).
---------------------------------------------------------------------------
The 9/11 Act requires TSA to evaluate an individual in the STA
process to identify ``individuals who may pose a threat to
transportation security or national security, or of terrorism.'' \18\
Individuals who may pose such threats are not eligible to perform
security-sensitive or security coordinator functions. TSA proposes to
use this standard set forth in the 9/11 Act for all individuals who
apply for an STA under this rulemaking.
---------------------------------------------------------------------------
\18\ See 6 U.S.C. 1143(a)(1), 1170(a)(1).
---------------------------------------------------------------------------
Under the 9/11 Act, TSA must conduct an STA of frontline public
transportation employees \19\ and railroad employees \20\ that includes
a terrorism and immigration check. TSA calls this a Level 2 check. The
9/11 Act does not require a Level 2 check of frontline OTRB employees.
The 9/11 Act also states that public transportation \21\ and railroad
\22\ employees who are subject to security vetting should have an
adequate redress process available to them to ensure that they are not
removed or deemed ineligible in error. Finally, the 9/11 Act requires
security coordinators of railroads \23\ and OTRB \24\ owner/operators
to be U.S. citizens, unless TSA waives this requirement after
conducting an appropriate STA.
---------------------------------------------------------------------------
\19\ See 6 U.S.C. 1140.
\20\ 9/11 Act sec. 1520.
\21\ See 6 U.S.C. 1143(d).
\22\ See 6 U.S.C. 1170(d).
\23\ See 6 U.S.C. 1162(e)(2).
\24\ See 6 U.S.C. 1181(e)(2).
---------------------------------------------------------------------------
TSA has extensive responsibility for and experience in vetting
individuals who access the nation's transportation system. TSA has
broad general authority to ``require background checks for airport
security screening personnel, individuals with access to secure areas
of airports, and other transportation security personnel.'' \25\ In
addition, there are statutes that require TSA to conduct STAs of
specific individuals, such as: (1) certain airport and airline workers;
\26\ (2) certain merchant mariners and individuals who require
unescorted access to secure areas of vessels and maritime facilities;
\27\ (3) individuals seeking hazardous materials endorsements (HMEs) on
commercial driver's licenses issued by the States; \28\ and (4)
applicants for trusted traveler status to participate in the TSA
PreCheck[supreg] Application Program.\29\
---------------------------------------------------------------------------
\25\ See 49 U.S.C. 114(f)(12).
\26\ See 49 U.S.C. 44936; 49 CFR 1542.209, 1544.229, 1544.230.
\27\ See 46 U.S.C. 70105; 49 CFR part 1572.
\28\ See 49 U.S.C. 5103a; 49 CFR part 1572.
\29\ See 49 U.S.C 114 note; 78 FR 72922 (Dec. 4, 2013).
---------------------------------------------------------------------------
An STA is an inquiry to confirm an individual's identity and
determine whether the individual poses or may pose a security threat to
transportation or national security, or of terrorism. Individuals who
TSA determines do not to pose a threat may be eligible for access to
transportation infrastructure or assets, or other privileges and
credentials. An STA consists of one or more checks against certain data
sources, which may include terrorist or other government or
intelligence watchlists, Interpol, immigration records, and criminal
history records. As explained below, the specific checks TSA performs
vary depending on the governing statutory requirements and the security
needs associated with the access, privilege, or credential the
individual seeks. In this NPRM, we propose the vetting standards and
redress required by the 9/11 Act. In addition, we propose to conduct
recurrent vetting and renewal of the STA every 5 years. The recurrent
vetting and STA renewal is not required by the 9/11 Act, but is
necessary to create a useful and effective inquiry into these
transportation workers.
B. Specific Provisions
1. Security-Sensitive Employees. Like the 9/11 Act training
requirements that were the subject of a separate
[[Page 33476]]
rulemaking,\30\ the 9/11 Act vetting requirements refer to
``frontline'' employees (that is, ``public transportation frontline
employees'' in section 1411 and ``frontline railroad employees'' in
section 1520). The 9/11 Act provides definitions for ``frontline
employee'' within each mode of transportation.\31\ For instance, the
statute defines the term ``railroad frontline employees'' to mean
security personnel, dispatchers, locomotive engineers, conductors,
trainmen, other onboard employees, maintenance and maintenance support
personnel, bridge tenders, and any other railroad employees that the
Secretary of Homeland Security determines should receive security
training. The statute provides similar definitions for OTRB and public
transportation operations.
---------------------------------------------------------------------------
\30\ See Security Training for Surface Transportation Employees
Final Rule, 85 FR 16456 (March 23, 2020), as amended by 85 FR 25315
(May 1, 2020), 85 FR 67681 (Oct. 26, 2020), and 86 FR 23629 (May 4,
2021).
\31\ See 6 U.S.C. 1151(6) (railroads), 6 U.S.C. 1131(4) (public
transportation), and 6 U.S.C. 1151(5) (OTRB).
---------------------------------------------------------------------------
As part of the Security Training rulemaking, TSA adopted the term
``security-sensitive employees'' instead of ``frontline employees'' to
capture the individuals who are subject to the 9/11 Act
requirements.\32\ TSA analyzed the employees listed in the 9/11 Act's
definitions of ``frontline employees'' and considered whether employees
are in a position to detect suspicious activity because of where they
work, their interaction with the public, or their access to
information. TSA also considered which individuals may need to know how
to report or respond to these potential threats. As a result of this
analysis, TSA determined that employees who perform functions with a
direct nexus to, or impact on transportation security, should be called
``security-sensitive employees'' rather than ``frontline employees.''
---------------------------------------------------------------------------
\32\ See 81 FR 91336, 91353-91355; 85 FR 16456, 16475.
---------------------------------------------------------------------------
In this rulemaking, consistent with the 9/11 Act (which, as noted
above, uses the ``frontline employee'' terminology with respect to both
training and vetting), and the applicability and terminology of the
Security Training rulemaking, TSA proposes to implement the requirement
to vet ``frontline'' rail and public transportation employees by
issuing vetting regulations that apply to the same population of
``security-sensitive'' rail and public transportation employees covered
by the Security Training rulemaking.\33\ The following tables, taken
from the Security Training rulemaking, describe the security-sensitive
functions that, under this rule, would be subject to new vetting
requirements.\34\
---------------------------------------------------------------------------
\33\ See 49 CFR 1580.3, 1582.3, and 1584.3 in the Security
Training Final Rule.
\34\ Note that we are not providing a chart of the OTRB
employees who are considered ``security-sensitive'' because the
statute does not require TSA to conduct STAs of OTRB security-
sensitive employees, and TSA has determined that it is unnecessary
to impose such a requirement at this time.
Table 3--Security-Sensitive Functions for Freight Rail
----------------------------------------------------------------------------------------------------------------
Examples of job titles
Categories Security-sensitive job functions for freight rail applicable to these
functions *
----------------------------------------------------------------------------------------------------------------
A. Operating a vehicle.......... 1. Employees who operate or directly control the Engineer, conductor.
movements of locomotives or other self-powered rail
vehicles.
2. Train conductor, trainman, brakeman, or utility
employee or performs acceptance inspections, couples
and uncouples rail cars, applies handbrakes, or
similar functions..
3. Employees covered under the Federal hours of
service laws as ``train employees.'' See 49 U.S.C.
21101(5) and 21103.
B. Inspecting and maintaining Employees who inspect or repair rail cars and Carman, car repairman,
vehicles. locomotives. car inspector,
engineer, conductor.
C. Inspecting or maintaining 1. Employees who-- Signalman, signal
building or transportation a. Maintain, install, or inspect communications and maintainer, trackman,
infrastructure. signal equipment.. gang foreman, bridge
b. Maintain, install, or inspect track and and building laborer,
structures, including, but not limited to, bridges, roadmaster, bridge,
trestles, and tunnels.. and building inspector/
operator.
2. Employees covered under the Federal hours of
service laws as ``signal employees.'' See 49 U.S.C.
21101(3) and 21104.
D. Controlling dispatch or 1. Employees who-- Yardmaster, dispatcher,
movement of a vehicle. a. Dispatch, direct, or control the movement of block operator, bridge
trains.. operator.
b. Operate or supervise the operations of moveable
bridges..
c. Supervise the activities of train crews, car
movements, and switching operations in a yard or
terminal..
2. Employees covered under the Federal hours of
service laws as ``dispatching service employees.''
See 49 U.S.C. 21101(2) and 21105.
E. Providing security of the Employees who provide for the security of the Police officer, special
owner/operator's equipment and railroad carrier's equipment and property, including agent; patrolman;
property. acting as a railroad police officer (as that term is watchman; guard.
defined in 49 CFR 207.2).
F. Loading or unloading cargo or Includes, but is not limited to, employees that load Service track employee.
baggage. or unload hazardous materials.
G. Interacting with travelling Employees of a freight railroad operating in Conductor, engineer,
public (on board a vehicle or passenger service. agent.
within a transportation
facility).
H. Complying with security 1. Employees who serve as security coordinators Security coordinator,
programs or measures, including designated in Sec. 1570.201 of this subchapter, as train master,
those required by Federal law. well as any designated alternates or secondary assistant train
security coordinators. master, roadmaster,
2. Employees who--................................... division roadmaster.
a. Conduct training and testing of employees when the
training or testing is required by TSA's security
regulations.
b. Perform inspections or operations required by Sec.
1580.205 of this subchapter.
c. Manage or direct implementation of security plan
requirements.
----------------------------------------------------------------------------------------------------------------
* These job titles are provided solely as a resource to help understand the functions described; whether an
employee must be trained is based upon the function, not the job title.
[[Page 33477]]
Table 4--Security-Sensitive Functions for Public Transportation and
Passenger Railroads
------------------------------------------------------------------------
Security-sensitive job functions for
Categories Public Transportation and Passenger
Railroads (PTPR)
------------------------------------------------------------------------
A. Operating a vehicle....... 1. Employees who--
a. Operate or control the movements of
trains, other rail vehicles, or transit
buses.
b. Act as train conductor, trainman,
brakeman, or utility employee or
performs acceptance inspections, couples
and uncouples rail cars, applies
handbrakes, or similar functions.
2. Employees covered under the Federal
hours of service laws as ``train
employees.'' See 49 U.S.C. 21101(5) and
21103.
B. Inspecting and maintaining Employees who--
vehicles. 1. Perform activities related to the
diagnosis, inspection, maintenance,
adjustment, repair, or overhaul of
electrical or mechanical equipment
relating to vehicles, including
functions performed by mechanics and
automotive technicians.
2. Provide cleaning services to vehicles
owned, operated, or controlled by an
owner/operator regulated under this
subchapter.
C. Inspecting or maintaining Employees who--
building or transportation 1. Maintain, install, or inspect
infrastructure. communication systems and signal
equipment related to the delivery of
transportation services.
2. Maintain, install, or inspect track
and structures, including, but not
limited to, bridges, trestles, and
tunnels.
3. Provide cleaning services to stations
and terminals owned, operated, or
controlled by an owner/operator
regulated under this subchapter that are
accessible to the general public or
passengers.
4. Provide maintenance services to
stations, terminals, yards, tunnels,
bridges, and operation control centers
owned, operated, or controlled by an
owner/operator regulated under this
subchapter.
5. Employees covered under the Federal
hours of service laws as ``signal
employees.'' See 49 U.S.C. 21101(4) and
21104.
D. Controlling dispatch or Employees who--
movement of a vehicle. 1. Dispatch, report, transport, receive
or deliver orders pertaining to specific
vehicles, coordination of transportation
schedules, tracking of vehicles and
equipment.
2. Manage day-to-day management delivery
of transportation services and the
prevention of, response to, and redress
of service disruptions.
3. Supervise the activities of train
crews, car movements, and switching
operations in a yard or terminal.
4. Dispatch, direct, or control the
movement of trains or buses.
5. Operate or supervise the operations of
moveable bridges.
6. Employees covered under the Federal
hours of service laws as ``dispatching
service employees.'' See 49 U.S.C.
21101(2) and 21105.
E. Providing security of the Employees who--
owner/operator's equipment 1. Provide for the security of PTPR
and property. equipment and property, including acting
as a police officer.
2. Patrol and inspect property of an
owner/operator regulated under this
subchapter to protect the property,
personnel, passengers and/or cargo.
F. Loading or unloading cargo Employees who load, or oversee loading
or baggage. of, property tendered by or on behalf of
a passenger on or off of a portion of a
train that will be inaccessible to the
passenger while the train is in
operation.
G. Interacting with Employees who provide services to
travelling public (on board passengers on-board a train or bus,
a vehicle or within a including collecting tickets or cash for
transportation facility). fares, providing information, and other
similar services. Including:
1. On-board food or beverage employees.
2. Functions on behalf of an owner/
operator regulated under this subchapter
that require regular interaction with
travelling public within a
transportation facility, such as ticket
agents.
H. Complying with security 1. Employees who serve as security
programs or measures, coordinators designated in Sec.
including those required by 1570.201 of this subchapter, as well as
Federal law. any designated alternates or secondary
security coordinators.
2. Employees who--
a. Conduct training and testing of
employees when the training or testing
is required by TSA's security
regulations.
b. Manage or direct implementation of
security plan requirements.
------------------------------------------------------------------------
The 9/11 Act uses the term `employees' when discussing the
individuals who must undergo an STA. However, TSA understands this term
to include any individual who performs the security-sensitive functions
outlined in the charts above or acts as a security coordinator,
regardless of whether they have a strict employer/employee relationship
with the operator. If an operator enters into a contract with a company
to provide on-board food and beverage service on public transportation,
as described in Line G in the chart above, the individuals who perform
those security-sensitive services are in positions to create security
vulnerabilities regardless of whether they are `employees' or
authorized representatives, including contract personnel, of the
operator.
TSA defines an authorized representative in 49 CFR 1500.3 as a
person who is not a direct employee of the operator, but is authorized
to act on the operator's behalf to perform required security measures.
The term `authorized representative' includes agents, contractors, and
subcontractors. Also, TSA defines contractor in 49 CFR 1570.3 as a
person or organization that provides a service for an owner/operator
regulated under this subchapter consistent with a specific
understanding or arrangement. The understanding can be a written
contract or an informal arrangement that reflects an ongoing
relationship between the parties.
For purposes of this proposed rulemaking, TSA intends that an
employee or authorized representative (including contractor) of an
operator who performs security-sensitive functions or acts as a
security coordinator would be subject to the vetting requirements set
forth in the 9/11 Act. TSA believes Congress intends TSA to apply the
same level of scrutiny to employees or authorized representatives
(including contractors) who perform these security functions. An
alternate view in which an authorized representative performing
security functions would not be subject to the STA an employee must
undergo for performing the same functions would undermine the purpose
of the 9/11 Act provisions and create obvious security risks. In all
modes of transportation where TSA requires individuals who perform
security functions or have access to secured areas to undergo an STA,
an employer/employee relationship is not required to trigger the STA.
For purposes of the vetting standards TSA administers, the individual's
access or function that can impact the security of operations is the
factor that determines whether an STA is required. If TSA adopted
standards in which an employer could evade vetting requirements
altogether by using
[[Page 33478]]
authorized representatives/contractors, the vetting framework would be
a sieve permitting individuals with bad intent to move undetected in
the transportation system.
The 9/11 Act provides that TSA must complete a ``name-based
security background check against the consolidated terrorist watchlist
and an immigration status check'' \35\ that is similar to the threat
assessment screening program that TSA conducted for maritime employees
and longshoremen pursuant to a notice issued by the U.S. Coast Guard
(USCG) in 2006.\36\ That Notice required port facility owner/operators
to provide biographic information of all longshoremen and other
individuals who enter the port regularly on spreadsheets to the USCG.
The USCG then delivered the information to TSA, and TSA conducted a
name-based terrorism and immigration status check using the biographic
information provided. The Notice required facility operators and unions
to ``provide, on a continuing basis, the above-listed information for
all new facility employees or longshoremen in a timely manner.'' \37\
The use of spreadsheets was necessary because TSA had not yet
established enrollment centers to collect the necessary information
electronically. TSA conducted this vetting while preparing the TWIC
rulemaking that established the enrollment and vetting process it now
uses for maritime employees. After publication of the Notice, TSA and
USCG issued a joint rulemaking in January 2007 that established the
TWIC vetting program. The rule established tiers of vetting,
disqualification standards, and the requirement to renew the STA every
5 years. Once the TWIC rule became effective, it supplanted any vetting
that was being done under the Notice.
---------------------------------------------------------------------------
\35\ 9/11 Act, sec. 1411, 1520.
\36\ 71 FR 25066 (April 28, 2006).
\37\ Id. at 25067.
---------------------------------------------------------------------------
While this process achieved the purpose of conducting vetting of
the maritime workforce, it was resource-intensive and subject to errors
due to the manual data collection and entry process. Since 2006, TSA's
enrollment and vetting capabilities have matured substantially, and the
new electronic processes are faster, more accurate, and more efficient.
Also, various terrorist databases administered by other agencies have
matured and grown. TSA is better positioned now to collect the
necessary data and conduct recurrent \38\ (daily) vetting
electronically. Therefore, TSA proposes to conduct the STA called for
in the 9/11 Act using the improved procedures and capabilities we now
possess and use regularly in other vetting programs. Also, TSA proposes
to conduct recurrent vetting of the terrorism/other analysis check for
this population, as TSA does for all other vetting programs. A one-time
vet of names would be viewed as substandard and the cost reduction
would not justify the loss of security benefits. All of the vetting
databases change daily, and thus a snapshot of a workforce in place for
one day in time serves minimal long-term security benefit. An
individual who passes a terrorism check Monday, may be newly identified
as a threat and appear on a terrorist watchlist Tuesday. TSA's
recurrent vetting does not require the vetted individual to perform any
additional efforts; TSA's systems simply continue to run the biographic
data collected against the watchlists each time they are amended,
permitting TSA to conduct an investigation if any new information is
discovered during the course of an individual's authorized access to
indicate that they may pose a security threat. While the 9/11 Act does
not expressly require recurrent vetting or renewal of the STA, TSA is
authorized \39\ to use its discretion and expertise in vetting to
propose these procedures. Moreover, we believe Congress fully intends
that TSA establish programs that are effective in identifying risks to
transportation security.
---------------------------------------------------------------------------
\38\ The term `recurrent vetting' means TSA vets a name against
the database each time the database is amended with new or revised
information. This typically happens on a daily basis, and often more
than once a day. TSA continues to recurrently conduct the terrorism
check for the duration of the STA, which is typically 5 years.
\39\ See 49 U.S.C. 114(f).
---------------------------------------------------------------------------
Consistent with the 9/11 Act, TSA proposes to require security-
sensitive employees of covered public transportation and railroad
operators to undergo a Level 2 check that includes an immigration check
and terrorism/other analyses check. For the terrorism/other analyses
check, TSA reviews biographic information, documents, and databases to
confirm an individual's identity, and searches government and non-
government databases, including terrorist watchlists, criminal wants
and warrants, Interpol, and other domestic and international sources,
relevant to determining whether an individual may pose or poses a
threat to transportation or national security, or of terrorism. If TSA
determines that the individual poses or may pose a threat, the
individual is not eligible for the security-sensitive position.
TSA conducts the terrorism/other analyses check recurrently for the
duration of the STA, which is 5 years in most TSA vetting programs, and
we propose the same for surface employees. Thus, if an individual
initially ``passes'' the STA, but is later placed on a watchlist, TSA
can quickly take appropriate action to disqualify the worker or
otherwise minimize the threat.
The immigration check TSA proposes for security-sensitive employees
would verify that the individual is a U.S. citizen or national, or a
non-citizen who is a lawful permanent resident, refugee, asylee, lawful
nonimmigrant, paroled into the U.S., or is otherwise authorized to work
in the U.S. TSA conducts immigration checks by using the U.S.
Citizenship and Immigration Services' (USCIS) Systematic Alien
Verification for Entitlements (SAVE) Program. The SAVE Program is a
government system designed to assist Federal, State, tribal, and local
government agencies in determining an individual's immigration category
to ensure that authorized individuals lawfully receive benefits or
licenses.
As noted above, the 9/11 Act does not require TSA to conduct STAs
of OTRB security-sensitive employees, and we are not proposing a Level
2 check of these individuals in this NPRM. However, TSA is considering
adding that requirement in the final rule and invites comment from
industry stakeholders on such a requirement. TSA is concerned that new
terrorism-related tactics have emerged since passage of the 9/11 Act,
including the use of vehicles in crowds to injure and kill innocent
pedestrians. Beginning with the attack in Nice, France in 2016, vehicle
ramming attacks have escalated. In 2017, 17 vehicle ramming attacks
throughout the world were verified as terrorist-based, resulting in 173
fatalities and 667 injuries.
Moreover, buses, including those used for OTRB routes, are often
provided extraordinary access and proximity to special events, athletic
games, concerts or shopping venues, as a convenience to event-goers and
as a traffic congestion tool for organizers. An ``insider,'' such as an
OTRB driver, would have greater opportunity to harm event attendees by
using a vehicle-borne improvised explosive device or simply conducting
a ramming attack at passenger staging areas. The opportunity for harm
using an OTRB may be greater than with use of a public transportation
vehicle because OTRB operations include interstate business, which
requires the vehicles to be capable of travelling much greater
distances with much
[[Page 33479]]
heavier loads than transit buses. As a result, the typical OTRB is
larger, heavier, and equipped with underfloor luggage storage areas not
found in transit buses. Based upon its design, the OTRB is capable of
transporting large volumes of dangerous materials that could be used in
a terrorist attack.
TSA estimates that the addition of OTRB security-sensitive employee
vetting would affect an additional estimated 47,423 OTRB employees,
compared with the current public transportation/passenger rail
population of approximately 179,337 and freight rail population
estimated at 122,236. TSA estimates that the total annualized cost of
compliance would increase by $2.2 million.
TSA invites comment on requiring Level 2 vetting for OTRB security-
sensitive employees as part of this rulemaking. TSA has broad statutory
authority to assess the need for and require vetting of transportation
workers.\40\ Under this authority, TSA may require OTRB workers to
undergo the same vetting that we are proposing to require for security-
sensitive public transportation and railroad workers. We invite
stakeholders to comment on the relative security risks that are
associated with OTRB operations, including insider threats and public
sector vulnerabilities. Also, TSA invites comment and data on the costs
to owner/operators and individuals as a result of new vetting
requirements, and ways to reduce costs.
---------------------------------------------------------------------------
\40\ See 49 U.S.C. 114(f).
---------------------------------------------------------------------------
2. Security Coordinators. In the Security Training rulemaking, TSA
requires covered public transportation, railroad, and OTRB owner/
operators to employ security coordinators.\41\ Security coordinators
perform important security functions, including coordinating the owner/
operator's security procedures internally and with appropriate law
enforcement and emergency response agencies. These individuals
typically have access to SSI, Personally Identifiable Information and
sensitive information from government threat briefings, all of which
require responsible handling. For these reasons, TSA proposes to
require a more comprehensive Level 3 STA for security coordinators. TSA
proposes that security coordinators must successfully complete a
fingerprint-based criminal history records check (CHRC) in addition to
the immigration and terrorism/other analyses checks. TSA requires
security coordinators in other modes of transportation and certain
individuals with access to SSI to undergo this more thorough STA as
well.
---------------------------------------------------------------------------
\41\ See Security Training for Surface Transportation Employees
Final Rule, 85 FR 16456 (March 23, 2020), as amended by 85 FR 25315
(May 1, 2020), 85 FR 67681 (Oct. 26, 2020), and 86 FR 23629 (May 4,
2021) (Security Training Final Rule).
---------------------------------------------------------------------------
TSA is proposing the same CHRC standards that currently apply in
the TWIC and HME programs, codified at 49 CFR part 1572, for the Level
3 STA in this rulemaking. In the 9/11 Act, Congress provided that if
TSA chose to require a CHRC for these surface workers, the TWIC/HME
standards for CHRCs and redress should apply.\42\ Also, TSA proposes to
codify the redress procedures in place for TWIC and HME applicants that
are currently codified in 49 CFR part 1515, for security coordinators
covered by this NPRM. Depending on the nature of the disqualification,
individuals may appeal TSA's eligibility decision by asserting that the
records on which TSA made its decision are incorrect; apply for a
waiver of the criminal standards by asserting that the individual is
rehabilitated; appeal TSA's waiver denial to an Administrative Law
Judge; or seek review by the TSA Decision Maker.
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\42\ See 6 U.S.C. 1143(c)-(d) for public transportation; 6
U.S.C. 1170(c)-(d) for railroads. Because TSA is conducting the
vetting, rather than requiring the operator to do so, TSA would
implement the redress standards Congress intended to apply to
individuals who receive adverse vetting results, and not the
operators.
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The 9/11 Act provides that an individual serving as a security
coordinator for a rail carrier or an OTRB owner/operator must be a
citizen of the United States, unless TSA conducts an STA in place of
the citizenship requirement.\43\ TSA proposes more thorough vetting for
security coordinators, and this level of vetting satisfies the 9/11 Act
as a substitute for the U.S. citizenship requirement. The security
coordinator vetting requirements would apply to all rail carrier and
OTRB security coordinators, including individuals who are not U.S.
citizens.
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\43\ See 6 U.S.C. 1162(e)(2), 1181(e)(2).
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3. Rap Back and IDENT. For all STAs that require a CHRC, TSA plans
to conduct the CHRC through the Federal Bureau of Investigation (FBI),
as is customary. Also, TSA plans to implement the FBI's Criminal
Justice Information System (CJIS) ``Rap Back'' service for these
individuals. Rap Back enables TSA to receive new criminal history
information after the initial submission of fingerprints. Prior to the
implementation of Rap Back, TSA had to submit new fingerprints and fees
to obtain any new criminal history on an individual. The Rap Back
service provides a ``recurrent'' criminal vetting capability that will
enhance security significantly by providing TSA with timely criminal
history information, rather than waiting for long periods, sometimes
several years, to obtain the most recent criminal information. With Rap
Back, TSA can determine that an individual who initially passed the
CHRC and was eligible for access has become ineligible due to a recent
disqualifying criminal offense. Rap Back has become an integral part of
a CHRC and is now the industry standard for criminal vetting. TSA has
implemented Rap Back for other vetting programs such as airport and
aircraft operator employees and TWIC holders, and proposes to use it
for the CHRCs that would be conducted under this proposed rule. The
implementation of Rap Back will not affect the type or amount of
information TSA must collect from each individual at enrollment.
TSA also plans to submit the fingerprints to the Automated
Biometrics Identification System (IDENT), which is operated by the
DHS's Office of Biometric Identity Management. IDENT is the
Departmental biometric repository and provides additional, important
information for TSA to use as part of the vetting process.
4. Identity (ID) Verification. TSA is proposing to require in-
person ID verification at a TSA enrollment center as part of the
vetting process. Accurately verifying the identity of each individual
whom TSA vets remains one of the most important aspects of combatting
insider threats and fraud. In-person ID verification provides a higher
level of confidence that individuals are who they claim to be. TSA's
enrollment personnel are trained to examine documents for evidence of
fraud and may use electronic software that scores the identity
documents for fraud. Also, if the documents presented are of concern to
the enrollment agents, the agents can flag them for further analysis
during the adjudication process, when adjudicators can compare the
biographic information presented with other government or public
records.
TSA considered proposing an entirely on-line ID verification and
enrollment process, particularly where there is no need to collect
fingerprints or take a photograph. However, TSA believes on-line ID
verification creates opportunities for fraud relative to TSA's capacity
to detect fraud at a physical enrollment center. TSA invites comments
from stakeholders on potential ways to instill the same or greater
level of reliability in on-line ID verification as we have for in-
person ID verification.
[[Page 33480]]
5. Use of TSA enrollment centers. TSA proposes in this rulemaking
to use its established enrollment process for vetting the individuals
covered by this rule. TSA operates a network of more than 300
enrollment centers that are widely dispersed throughout the United
States and abroad, and currently service TSA's TWIC, HME, and TSA
PreCheck[supreg] programs. In addition to the stationary sites, TSA's
enrollment contractor offers opportunities for setting up mobile
enrollment sites at specific workplaces. Each employer would be able to
contact TSA's provider directly to discuss the number of employees who
must enroll, potential locations, whether the provider would charge a
fee for the service, and other details necessary to finalize an on-
site, mobile enrollment center. These mobile sites minimize work
disruption and employee travel time to an enrollment center. Also,
employers can ensure that the entire workforce enrolls in a finite,
relatively short period of time.
TSA's contractor also provides employers the capability to conduct
their own enrollments. This enrollment method is called an ``authorized
non-public enrollment capability.'' If an employer is interested in
hosting their own enrollment center to service their employees, they
work directly with the contractor to reach a mutually acceptable
agreement regarding the requirements and any associated costs for this
arrangement. Employers would provide the enrollment center space and
resources (such as Trusted Agents to act as enrollment personnel) to
operate the enrollment center. The space and personnel must meet the
contractual requirements, which include internet connectivity,
sufficient furniture, and privacy screens to protect an applicant's
personal information as it is entered into the enrollment system. The
employer's Trusted Agents would have to undergo a Level 3 STA, given
their access to personally identifiable information, just as TSA's
contractor Trusted Agents do. TSA's contractor would provide the
enrollment hardware, software, and other equipment required to conduct
enrollments. Additionally, the contractor would provide training and
quality assurance oversight for the authorized non-public enrollment
center. The agreement to operate an authorized non-public enrollment
center is a contract between the interested employer and TSA's
contractor, and not an agreement with TSA directly. Under this
scenario, the owner/operators are not `regulated' by TSA as an
enrollment provider, but work directly with the contractor and ensure
that they satisfy the contractual requirements.
TSA considered the alternative of requiring or permitting owner/
operators subject to this NPRM to act as enrollment providers, rather
than using the TSA enrollment contractor for these services. Under this
scenario, the owner/operators would be directly regulated by TSA to
meet standards that are similar to the contractual requirements TSA and
TSA's enrollment provider have developed. The owner/operators would
provide their own trained Trusted Agents to collect information and
fees from STA applicants and develop secure connections to TSA's
systems that meet all Federal cyber security requirements. The
employers would be required to ensure that the Trusted Agents adhere to
minimum enrollment standards for verifying identity, protecting
personal information, accurately collecting biometric and biographic
information, and processing TSA's fees correctly. This alternative
would eliminate the need for employees to travel to an enrollment site
outside the workplace. However, owner/operators would be subject to
compliance inspections and potentially civil penalties if their
enrollment procedures were noncompliant. Also, the owner/operators
would have to bear the significant costs associated with establishing
and maintaining the electronic systems and staff to conduct enrollment.
An owner/operator would have to undergo significant system testing,
certification, and accreditation to connect to TSA's vetting systems to
meet heightened Federal security and privacy requirements, and maintain
a high level of security and performance to remain certified. Firewalls
would have to be developed and used to ensure that an owner/operator
could access only their employee data, and to prevent any damage to
TSA's systems if the owner/operator's system malfunctioned. Given the
nature of cyber threats and capabilities, TSA's previous experience
with shared enrollment roles, and the extremely sensitive information
that must be transmitted, TSA is currently unwilling to permit private
employers to connect to its vetting systems.
TSA invites public comment on using TSA enrollment services or
permitting owner/operators to conduct enrollment for this population.
6. Vetting structure. In this rulemaking, TSA proposes to add a new
part 1530 where the vetting standards, fees, and redress procedures
would be codified. TSA proposes to organize all facets of the vetting
process in one part for the convenience of the parties who must undergo
vetting, and to aid in providing consistent standards and fees. TSA
currently operates approximately 30 different vetting programs, such as
the aviation workers (airport and aircraft owner/operators), TWIC, HME,
and TSA PreCheck[supreg] programs and proposes to leverage the
experience and best practices from them in new part 1530.
As discussed above, TSA proposes three ``levels'' of STAs, labeled
Level 1, Level 2, and Level 3. The ``lowest'' level STA (Level 1) would
provide the minimum vetting TSA would conduct and the ``higher'' levels
(Level 2 and Level 3) would provide increased scrutiny, given statutory
requirements and the risks associated with the functions that an
individual performs.
This modular, standardized approach would increase the ability for
individuals to reuse all or part of an earlier STA to satisfy a later
STA requirement. For example, an employee who successfully completes a
Level 2 STA for a public transportation agency will be able, in most
circumstances, to use that Level 2 STA for a position that requires a
Level 2 STA with a railroad operator, as long as the STA has not
expired. As described below, all STAs would expire at the end of 5
years. Also, even if the entire STA is not comparable, one or more of
the checks that comprise the STA may be re-usable. Consider the example
of a security-sensitive employee for a public transportation operator
who successfully completes a Level 2 STA, and who subsequently takes a
job as a security coordinator, which would require a Level 3 STA under
this rulemaking. Even though the Level 2 and Level 3 STAs are different
and thus not comparable in their entirety, they nonetheless share
certain checks in common. In this example, both levels of STA require
an immigration check and terrorism/other analyses check. TSA would be
able re-use the earlier terrorism/other analyses and immigration checks
(assuming they are still valid) for purposes of the second STA. This
means the individual would only have to complete the CHRC required for
the Level 3 STA. Note that the Level 3 STA would expire when the Level
2 STA expired.
7. Effective dates and compliance. TSA recognizes that this
rulemaking would affect many surface transportation owner/operators and
many individuals who have not previously had to comply with security
vetting requirements. There may be logistical issues involved with
achieving initial compliance, including implementing new management
[[Page 33481]]
policies, employee education, and related administrative tasks.
Therefore, TSA proposes to take a risk-based, phased approach to
implementation of this rule. TSA anticipates that there are far fewer
security coordinators than security-sensitive workers, and understands
that security coordinators play a more critical role in the overall
security regime contemplated by the 9/11 Act. For these reasons, TSA
proposes an implementation period of 6 months for requirements relating
to security coordinators, and 12 months for requirements relating to
security-sensitive employees. These timeframes represent our initial
judgment about how to balance security against the burden on regulated
parties. TSA invites comment on how the rule's requirements should be
phased in and become effective, including the appropriate timeframes.
III. Analysis of Proposed Part 1530
A. Introduction
Proposed part 1530 would provide a complete framework for
conducting vetting, collecting user fees, and administering appeals and
waivers. TSA is using 49 CFR part 1515, which currently applies to
individuals required to undergo STAs for TWIC, HME, or Indirect Air
Carrier credentials, as a model for proposed part 1530. Proposed 1530
includes organizational and language improvements over part 1515 to
address issues that TSA has become aware of over time, but it is
substantively very similar to part 1515. The proposed procedures and
standards for conducting STAs set out in part 1530 would apply to the
surface transportation owner/operators and employees covered by this
rulemaking. When finalized, part 1530 will address these surface
workers and TSA will take the appropriate regulatory action to apply
part 1530 to the populations currently covered by 1515.
We propose to organize part 1530 into six subparts. Subpart A would
address topics generally applicable to the STA process, such as
definitions. Each subsequent subpart would address a particular stage
in the STA process. Subpart B would focus on the individual, addressing
topics such as the information he or she must provide when applying for
the STA, procedures for verifying the individual's identity and
immigration category in the United States, procedures for collecting
fingerprints, and establishing the individual's continuing
responsibilities throughout the process. Subpart C would be reserved,
and subpart D would address the fees necessary to recover the costs of
conducting STAs, and how TSA must process the fees. Subpart E would set
out the procedures that TSA proposes to use to conduct the various
checks that comprise an STA, such as how TSA would conduct a CHRC or
immigration check. Subpart F would establish the standards or criteria
that TSA uses to adjudicate the results of the checks conducted during
the STA. For example, a section of subpart F would explain the lists of
crimes TSA would use to determine whether the individual has a
disqualifying criminal conviction. Subpart G would establish the appeal
and waiver procedures for individuals who receive an adverse STA
result.
B. Proposed Subpart A--General
1. Proposed Sec. 1530.1. This section would set out the scope of
the proposed part. Paragraph (a) would establish that part 1530 applies
to individuals required to apply for an STA. In this rulemaking, this
includes individuals who perform security-sensitive functions and are
required to receive security training under 49 CFR 1580.101 (rail) and
49 CFR 1582.101 (public transportation, passenger rail), or act as
security coordinators of owner/operators regulated under parts 1580,
1582, and 1584.
Paragraph (b) would establish that part 1530 applies to operators
who must ensure that individuals who perform security-sensitive
functions in rail and public transportation, or act as security
coordinators for the owner/operators regulated under parts 1580, 1582,
and 1584, as established in the Security Training rulemaking.
2. Proposed Sec. 1530.3. In this section, TSA proposes definitions
for key terms used in part 1530, and proposes that the definitions from
parts 1500, 1503, 1540, 1570, and 1572 apply if those terms appear in
part 1530. TSA proposes a definition for ``individual'' to accurately
identify the person who applies for the STA, holds a valid STA, or is
seeking redress. TSA also proposes definitions for standard redress
terms that are consistent with 49 CFR 1515.3 and are largely self-
explanatory.
TSA is proposing to add a definition to part 1530 for the term
``incarceration.'' Currently, TSA has defined ``incarceration'' as well
as ``imprisoned/imprisonment'' in 49 CFR 1570.3, but TSA believes two
definitions for this concept are confusing and unnecessary. We propose
to eliminate ``imprisoned/imprisonment'' and revise the definition of
incarceration for part 1530. The new proposed definition of
``incarceration'' means under the custody of a bureau of prisons and
confined to a prison, jail, or institution for the criminally insane
pursuant to a sentence imposed as the result of a criminal conviction
or finding of not guilty by reason of insanity. Time spent under the
custody of a bureau of prisons or confined or restricted to a half-way
house, treatment facility, home incarceration, or similar institution,
pursuant to a sentence imposed as the result of a criminal conviction
or finding of not guilty by reason of insanity, constitutes
incarceration for purposes of this rule. The primary difference between
this proposed definition and the current definitions of incarceration
and imprisoned in 49 CFR 1570.3 is that the definition of incarceration
now explicitly includes a sentence to home confinement as a result of a
criminal conviction or finding of not guilty by reason of insanity.
3. Proposed Sec. 1530.5. This section would define the three
``levels'' of STAs that TSA proposes to conduct. Each STA level would
be generically defined in terms of the particular kinds of vetting
(called ``checks'') that comprise the level.
A ``Level 1'' STA would consist of a terrorism check and other
analyses (referred to as `terrorism/other analyses check' throughout
the preamble of this NPRM). TSA is not proposing use of a Level 1 STA
in this NPRM, but may propose it for other populations in the future. A
``Level 2'' STA would consist of the terrorism/other analyses and
immigration checks. A ``Level 3'' STA would consist of the checks
required for a Level 2 STA, plus a CHRC. In accordance with the 9/11
Act, TSA proposes that the security-sensitive employees, as described
in the Surface Training rulemaking and codified in 49 CFR parts 1580,
1582, and 1584, would be required to undergo a Level 2 STA. TSA
proposes to require security coordinators under 49 CFR parts 1580,
1582, and 1584 to undergo a Level 3 STA.
4. Proposed Sec. 1530.7. This section proposes a standard duration
of 5 years for the STAs that TSA conducts and the associated
determinations of eligibility (DOE) that TSA issues. This 5-year term
begins on the date TSA completes the STA, determines the individual is
eligible for the security-sensitive or security coordinator position,
and issues a DOE. This timeframe aligns with similar governmental
programs such as Top Secret and Q security clearances issued by the
Office of Personnel Management; other TSA vetting programs such as TWIC
and HME; and U.S. Customs and Border Protection's (CBP)'s Trusted
Traveler programs, such as Free and Secure Trade (FAST),
[[Page 33482]]
NEXUS, Secure Electronic Network for Travelers Rapid Inspection
(SENTRI), and Global Entry.
TSA proposes that the general 5-year term would be subject to two
exceptions. The exceptions would apply if: (1) an individual uses a
comparable STA completed earlier as the basis of the new STA; or (2) an
initially successful individual no longer meets the eligibility
standards for the STA. As to the first exception, the duration of the
STA would be 5 years from the date on which the initial or comparable
check was issued. Therefore, if TSA issues a DOE based on an
immigration check conducted 2 years earlier in connection with a
previous STA, the duration of the new STA would be 3 years.
The second exception, proposed in paragraph (b), would occur if TSA
determines that an approved individual no longer meets the STA
eligibility standards. In this case, the STA would expire on the date
that TSA serves a Final Determination of Ineligibility (FDI) or a
Preliminary Determination of Ineligibility with Immediate Revocation
(PDIIR) on the individual. Issuance of an FDI means that the
adjudication on any redress processes has run its course and TSA has
finalized its determination that the individual does not meet the STA
standards. In such cases, the DOE is no longer valid, and is deemed
expired. As explained in the discussion of proposed Sec. 1530.417
below, TSA issues a PDIIR when it determines that an imminent security
threat may exist and the DOE must be revoked immediately.
Paragraph (b)(3) would apply to individuals who have successfully
completed a Level 3 STA, but who subsequently are indicted, convicted,
or found not guilty by reason of insanity, of any of the disqualifying
crimes under proposed Sec. 1530.503. These individuals would no longer
meet the STA standards as of the date of indictment, conviction, or
finding of not guilty by reason of insanity. Paragraph (b)(3),
therefore, provides notice that the DOE of such an individual expires
as of the date of indictment, conviction, or finding, regardless of
whether TSA has yet issued an FDI or PDIIR.
Paragraph (b)(4) would apply to individuals who have been issued a
DOE, but whose immigration category subsequently changes and no longer
meet the standards in section 1530.505. Paragraph (b)(4) provides
notice that the DOE of such an individual expires as of the date that
individual no longer meets the immigration standard, regardless of
whether TSA has yet issued an FDI or PDIIR.
5. Proposed Sec. 1530.9. Paragraph (a)(1) would forbid any person
from making, or causing to be made, fraudulent or intentionally false
statements in documents required by, or used to show compliance with,
proposed part 1530. Paragraph (a)(2) would forbid any person from
making or causing to be made, for fraudulent purposes, any reproduction
or alteration of any report, record, security program, access medium,
identification medium, biometric data (fingerprints or photographs), or
credential issued under proposed part 1530. The purpose of paragraph
(a) is to provide a regulatory basis for enforcement action against a
person who takes these actions, which undermine transportation
security.
Paragraph (b) explains that anyone who violates paragraph (a) is
ineligible for the access, privileges, or credential associated with
the STA.
6. Proposed Sec. 1530.11. This section would forbid the fraudulent
use of, or representation concerning, a DOE or STA conducted under part
1530. Paragraph (a) would forbid the use, or attempted use, of an STA
issued or conducted for another person. Paragraph (b) would forbid a
person from causing or attempting to cause another to violate paragraph
(a). Collectively, these provisions are intended to protect the
integrity and reliability of STAs. Paragraph (c) would establish that
any person who violates this section is ineligible for the access,
privileges, or credential associated with the STA.
7. Proposed Sec. 1530.13. Paragraph (a) pertains to compliance,
inspection, and enforcement activities associated with the vetting
process. Specifically, TSA proposes that each individual who is
required to undergo an STA, and each owner/operator whose employees or
authorized representatives must undergo an STA, must permit DHS, at any
time or place, to make inspections or tests, including the copying of
records, to determine compliance with this part and part 1520, which
pertains to sensitive security information. Paragraph (b) would provide
that TSA may require each person with responsibilities under proposed
part 1530 to provide evidence of compliance with parts 1530 and 1520,
including copies of records.
C. Proposed Subpart B--Individual's Enrollment Requirements and
Continuing Responsibilities
1. Introduction. Proposed subpart B would focus on the information
the individual must provide when applying for the STA. Subpart B would
also establish the individual's continuing responsibilities throughout
the duration of the STA, such as disclosing any new disqualifying
information.
TSA must collect and process information, documents, and fees from
individuals in order to conduct the checks that make up an STA. TSA
refers generally to this part of the STA as ``processing.'' Subpart B
proposes the procedures TSA would use in the enrollment process. TSA
uses this enrollment model in existing vetting programs, such as for
TWIC and HME applicants under part 1572, and has a high level of
confidence in this approach. TSA operates over 300 enrollment sites
throughout the United States and abroad \44\ where individuals who are
required to undergo certain STAs go to provide biographic, documentary,
and if necessary, biometric information. Many of these individuals also
have the option to provide some of this information on-line. The
enrollment method set out in proposed subpart B has been designed to
provide as much flexibility as possible for individuals and their
employers, while maintaining efficient, manageable, and secure
interaction with TSA systems.
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\44\ A complete list of the more than 300 enrollment centers,
along with information about the locations, hours of service,
contact information, etc., will be made available on the TSA
website.
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TSA generally uses a contractor to provide enrollment services and,
throughout this document, we refer to ``TSA'' to include TSA's
contractor engaged in enrollment activities. Through the contracting
process, TSA can provide cost-effective services to a large number of
individuals at all sorts of locations. A TSA contractor under this
proposed rulemaking would perform functions similar to the functions
performed by a ``TSA Agent'' under current 49 CFR part 1572, subparts E
and F, for the current HME and TWIC programs. TSA conducts a
comprehensive Level 3 STA on these agents before they may work at a TSA
enrollment center.
The proposed rule offers optional enrollment processes through the
TSA contractor separate from the alternative in which enrollment is
completely performed by the regulated party. To maximize the benefits
of TSA-run enrollment services and minimize employee time away from
work to enroll, TSA's enrollment provider may establish ``mobile
enrollment'' sites at particular workplaces where a large volume of
individuals need to apply for an STA. Also, the enrollment provider may
enter into agreements with a private employer to share some enrollment
duties at the workplace, and
[[Page 33483]]
whether the provider would charge a fee for this service.
As discussed in greater detail above in section II.B.5., TSA
considered the alternative of requiring or permitting owner/operators
subject to this NPRM to act as enrollment providers, providing their
own trained and vetted ``trusted agents'' to collect information and
fees from STA applicants, verify their identity, and send all
information through secure pathways to TSA. Under this alternative, the
employers would be required to ensure that the trusted agents adhere to
minimum enrollment standards for verifying identity, protecting privacy
information, accurately collecting biometric and biographic
information, and processing TSA's fees correctly. This alternative
would eliminate the need for employees to travel to an enrollment site
outside the workplace. However, owner/operators would also bear the
significant costs required to establish and maintain secure systems and
the staff to conduct enrollment.
TSA invites public comment on the use of TSA enrollment services,
and the alternative to permit owner/operators to conduct enrollment for
this population.
2. Proposed Sec. 1530.101. Paragraph (a) would provide a road map
to the section. Paragraph (b) would list the biographic information and
copies of documents that each STA applicant must provide. Paragraphs
(b)(1)-(9) would require standard items of biographic information, such
as name, address, gender, date of birth, and country of citizenship,
which are necessary to identify the individual conclusively and to
accomplish the vetting process.
Paragraph (b)(10) would require the individual's employer
information, including address, telephone number, and facsimile number
(if available), which are important if TSA needs to take follow-up
action regarding the individual. For example, if an individual
``passes'' initial vetting as a security-sensitive employee, but is
subsequently disqualified, TSA would have to contact the relevant
owner/operator to communicate that the individual is no longer
authorized to work as a security-sensitive employee.
Paragraph (b)(11) is related to the immigration check explained in
the discussion of the standards in subpart F of part 1530. The purpose
of this proposed requirement is to obtain documentary evidence to
improve the reliability of the immigration check. Under paragraph
(b)(11), each individual would be required at the time of the STA
application, to present documentation in a form and manner specified by
TSA, to verify the immigration category they maintain. For individuals
claiming to be U.S. citizens or U.S. nationals by birth, examples of
such documentation would include a passport book or passport card; a
certified copy of a birth certificate from one of the 50 States, the
District of Columbia, American Samoa, Swain's Island, Puerto Rico, U.S.
Virgin Islands, Northern Mariana Islands, or Guam; an American Indian
Tribal Card with photo indicating U.S. citizenship (Form I-872); an
unexpired Native American Tribal Card approved by the Secretary to
denote identity and U.S. citizenship; a U.S. Coast Guard Merchant
Mariner Credential or Document; a U.S. Enhanced Driver's license; and a
Trusted Traveler Program Card (FAST, NEXUS, SENTRI, or Global Entry).
For individuals claiming U.S. citizenship who were born abroad, in
addition to many of the documents listed above, examples would include
a Certificate of Citizenship and Consular Report of Birth Abroad, or a
naturalization certificate. For individuals not claiming U.S.
citizenship, examples would include visas and proof of U.S. lawful
permanent residence status. During the enrollment process, TSA proposes
to scan the documentation presented by the individual into the
electronic enrollment record.
The information requested in proposed paragraphs (c)(1)-(5),
including social security number, passport information, Department of
State Consular Report of Birth Abroad, information about previous STA
applications, and information about the individual's Federal security
clearance, is voluntary. Failure to provide this information would not
prevent TSA from processing the application. However, providing the
information requested in paragraph (c), if available, may speed up the
process for the individual.
In addition to the biographic information and documentation
specified in proposed paragraphs (b) and (c), TSA proposes to require
every individual to sign certain statements as part of the application
process. Paragraph (d) would require each individual to sign a
statement attesting that the information provided in the application is
true, complete, and correct to the best of the individual's knowledge,
and that the individual acknowledges that knowing and willful false
statements or material omissions may result in criminal prosecution and
other consequences.
Paragraph (e) would require all individuals to certify in writing
that they understand that if TSA determines an individual does not meet
the STA standards, TSA may notify the employer, and, in the case of an
imminent threat to an owner/operator, TSA may provide the employer
limited information necessary to reduce risk of injury or damage.
Paragraph (f) would require all individuals to certify that there
is a continuing obligation to report certain events to TSA. Not every
event listed in this proposed section will necessarily apply to every
individual. For example, one of the events that must be reported is a
conviction, or finding of not guilty by reason of insanity, for a
disqualifying criminal offense. This event is relevant only for
security coordinator applicants applying for an STA that includes a
CHRC.
3. Proposed Sec. 1530.103. This section would require individuals
whose STA includes a CHRC to provide fingerprints in a form and manner
prescribed by TSA. TSA must collect and transmit fingerprints
electronically according to procedures and standards the FBI requires
of all agencies that submit fingerprints for a CHRC.
In addition to using the fingerprints to obtain criminal history
information from the FBI, TSA will use the fingerprints to conduct
biometric vetting through IDENT. IDENT is the DHS repository for all
biometrics collected by agencies within DHS, and some external
agencies, such as the Department of Defense. Using IDENT biometric
vetting capabilities enhances TSA's STA process. TSA would receive the
results of these searches and use the information as part of the STA
eligibility decision. We invite comment from all interested parties on
the use of IDENT for TSA vetting purposes.
4. Proposed Sec. 1530.105. This section proposes that each
individual applying for an STA must pay the fee associated with the STA
at the time of application. TSA is statutorily required to fund all
vetting and credentialing services through user fees,\45\ and
consequently, TSA will not process STA applications until the fees are
paid. TSA begins incurring costs as soon as it begins processing the
application. Also, TSA cannot refund fees, even if the individual
decides at a later date to withdraw the application, because TSA has
already expended resources that must be covered through fees.
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\45\ See 6 U.S.C. 469.
---------------------------------------------------------------------------
5. Proposed Sec. 1530.107. Each individual who applies for an STA
has continuing responsibilities for the life of the STA. Paragraph (a)
would establish the requirement to report certain events to TSA within
24 hours of occurrence.
[[Page 33484]]
Each of the events that must be reported relate directly to whether the
individual is still eligible to serve as a security-sensitive employee
or security coordinator.
Paragraph (a)(1) involves individuals whose STA includes a CHRC (in
this rulemaking, security coordinators), both those who have applied
for an STA, and those who have already successfully completed an STA
that included a CHRC. These individuals would be required to report an
occurrence, indictment, conviction, or finding of not guilty by reason
of insanity of disqualifying crimes within 24 hours. The list of
disqualifying crimes is in proposed Sec. 1530.503, and is explained
below. The 24-hour reporting requirement would also apply to
individuals who are adjudicated as lacking mental capacity, or
committed to a mental health facility.
Paragraph (a)(2) would apply to all individuals whose STA includes
an immigration check, which are security coordinators and security-
sensitive employees in this rulemaking. These individuals would be
required to report any change in immigration category that results in
no longer meeting the immigration standards.
Paragraph (b) would require all individuals who have successfully
completed an STA to notify TSA if certain contact information changes.
Specifically, each individual would be required to notify TSA of any
legal name changes (proposed Sec. 1530.101(b)(1)), address changes
(proposed Sec. 1530.101(b)(2)), or daytime telephone number changes
(proposed Sec. 1530.101(b)(9)). TSA needs reliable contact information
in order to administer the STA after the DOE is issued. For example,
TSA may have to contact an individual to provide a notice of
ineligibility and redress procedures, if TSA discovers potentially
adverse information about an individual. This notification requirement
would continue until the DOE expires.
6. Proposed Sec. 1530.109. This section proposes the procedures
TSA would use to verify the individual's identity. Paragraph (a) would
provide that TSA must be able to verify each individual's identity at
the time of enrollment. This element is critical to attain a high a
degree of certainty that the individual is who he or she claims to be.
Paragraph (b) would require the individual to present two forms of
identification, at least one of which must be a government-issued photo
identification. Government-issued photo identification is relatively
reliable and is not burdensome or costly for individuals to obtain. TSA
uses fraud detection software as part of the enrollment process at some
locations and continues to explore expanding and improving the use of
technology to aid the identification verification process. As of the
writing of this NPRM, some biometric technologies other than
fingerprints, including facial recognition and iris scans, are being
used by governmental entities to produce identity documents. However,
this practice is not yet widespread or reliable enough to ensure
identity verification in this rulemaking. As a result, TSA believes
that requiring government-issued photo identification is the most
practical balance between trustworthiness and burden to ensure accurate
identify verification at this time. To the extent new technologies
become more widespread and trustworthy, TSA will consider alternative
means of providing identity verification. Paragraph (c) would require
examination of the documents presented by the individual to determine
whether they appear to be genuine, unexpired, and relate to the
individual presenting them.
D. Subpart C Is Reserved
E. Proposed Subpart D--Fees
1. Introduction. The fee structure proposed in this rulemaking is
designed to cover TSA's anticipated costs of conducting and
administering STA services over the 5-year duration of each STA. TSA
calculated the proposed fees based on estimates for the cost of each
respective service and the expected populations that will receive
benefit from the services.
2. Costs. TSA incurs costs during all phases of the vetting
process. During the initial phase of vetting, resources are required to
establish and operate physical locations for individuals to complete
certain parts of the application process. As noted previously, TSA uses
contractors to find, lease, and operate these enrollment centers. The
resources needed to establish, equip, and staff such locations
throughout the country have been grouped together and labeled
``Processing.''
Similarly, some interactions with TSA to perform a vetting function
may be accomplished entirely by using an online platform, and resources
are required to establish and operate such a platform for individuals
to complete certain aspects of the vetting process. Additionally, TSA
assumes that some online interactions would result in customer service
expenses that would also be covered by this fee. The resources to
design, establish, maintain, and staff such a platform and offer
customer service are grouped together and labeled ``Reduced
Processing.''
Once individual information is captured and records are
established, TSA incurs costs to administer the information through the
various databases that comprise the STA. As explained in the discussion
of proposed Sec. 1530.5, TSA performs different levels of STAs. The
three levels of STAs vary depending on the specific checks included in
the STA, such as terrorism/other analyses, immigration, or criminal
history. Thus, the cost to conduct the STA depends on the resources TSA
needs to complete the STA services. TSA proposes to segment the costs
according to how individuals interact with TSA and the consumption of
services to complete the STA. Thus, the Processing Fee or Reduced
Processing Fee would be imposed when an individual uses processing
services, the criminal check fee would be imposed for each individual
required to complete a CHRC, and so on. Each individual would pay fees
only for the services TSA provides for his or her STA.
To complete the terrorism/other analyses check, TSA incurs costs to
construct, maintain, and operate the information technology (IT)
platform that enables comparing the applicant's biographic information
to multiple terrorism and law enforcement databases, and other
information sources. TSA incurs additional expenses to evaluate the
information received from these sources, make decisions as to whether
an individual poses or may pose a threat, engage in redress with the
individual when necessary, and communicate with other entities, such as
the individual's employer or governmental agencies. TSA must also
recover the cost of staffing this service through fees. TSA has labeled
this grouping of costs ``terrorism/other analyses'' fees.
TSA incurs costs similar to those discussed above for completion of
immigration checks and CHRCs. Those fees are segmented respectively and
labeled accordingly.
With respect to the CHRC fee, TSA must collect the fees the FBI
charges to process the initial criminal check and the Rap Back
recurrent criminal history service, in addition to TSA's costs to
adjudicate the results of the initial criminal check and any subsequent
Rap Back notifications, and provide redress.
TSA's cost-estimating methodology includes both an analysis of
actual costs TSA has incurred for existing STAs and an analysis of
future investments that are necessary to develop, operate, and maintain
a robust STA platform. In
[[Page 33485]]
some instances, TSA has been able to develop a unit cost for a
particular STA-related service. In other instances, TSA developed a
resource investment estimate that is equitably shared by all
individuals who benefit from the investment. TSA has consulted with
programmatic and industry experts, and acquired data from internal
sources, other governmental agencies, and publicly available sources.
Table 5 below is a summary of costs that TSA estimates it will incur
over the first 5-year period of this effort.\46\ Additional details
regarding the cost estimates used to determine the service fees can be
found in the Fee Report in the rulemaking docket.
---------------------------------------------------------------------------
\46\ The costs in this table reflect the total population of
STAs in this proposed rule using services for processing and checks
equivalent to Levels 2 and 3, for security sensitive employees and
security coordinators, respectively. TSA does not have data on the
newly regulated industries to estimate the number of covered
individuals who may have a comparable STA and could pay the reduced
processing fee, but acknowledges that costs could be less those
reported in this table.
Table 5--Estimated TSA Service Costs Over First Five-Year Period
[$ Thousands]
----------------------------------------------------------------------------------------------------------------
TSA estimated costs
Service ------------------------------------------------------------ Total
Year 1 Year 2 Year 3 Year 4 Year 5
a b c d e f =
[Sigma]a,b,c,d,
e
----------------------------------------------------------------------------------------------------------------
Processing......................... $16,700 $1,422 $1,423 $1,423 $1,424 $22,393
Terrorism/Other Analyses........... 2,429 207 207 207 207 3,257
Immigration........................ 911 78 78 78 78 1,221
Criminal History................... 43 4 4 4 4 59
----------------------------------------------------------------------------
Total.......................... 20,084 1,710 1,711 1,712 1,713 26,930
----------------------------------------------------------------------------------------------------------------
Note: Calculations may not be exact in the table due to rounding.
3. Populations. TSA has consulted with programmatic and industry
experts, and acquired data from internal sources, other governmental
agencies, and public sources to analyze the number of transportation
workers who would be covered under this rulemaking. Table 6 below is a
summary of populations that TSA estimates it would impact over the
first 5-year period of this effort. Additional details regarding the
population estimates used to determine fees can be found in the Fee
Report and the Preliminary Regulatory Impact Analysis in the rulemaking
docket.
Table 6--Number of Employees Affected by the Proposed Rule Over First Five-Year Period by Industry
[Thousands]
----------------------------------------------------------------------------------------------------------------
Number of employees affected by year
Industry ------------------------------------------------------------ Total
Year 1 Year 2 Year 3 Year 4 Year 5
a b c d e f =
[Sigma]a,b,c,d,
e
----------------------------------------------------------------------------------------------------------------
Freight Rail Total................. 123.13 4.93 4.88 4.83 4.77 142.55
Security-Sensitive Employees... 122.24 4.89 4.84 4.78 4.73 141.47
Security Coordinators.......... 0.90 0.04 0.04 0.04 0.04 1.07
PTPR Total......................... 179.57 20.82 20.89 20.95 21.01 263.24
Security-Sensitive Employees... 179.34 20.79 20.86 20.92 20.98 262.88
Security Coordinators.......... 0.23 0.03 0.03 0.03 0.03 0.36
OTRB Total......................... 0.44 0.06 0.06 0.06 0.06 0.69
----------------------------------------------------------------------------
Total...................... 303.14 25.82 25.83 25.84 25.85 406.47
----------------------------------------------------------------------------------------------------------------
Calculations may not be exact in the table due to rounding.
4. Fees. To comply with 6 U.S.C. 469, which requires TSA to fund
vetting and credentialing programs through user fees, TSA proposes to
establish user fees for individuals who receive STA services under this
proposed rule. TSA determined the proposed fees in accordance with
Office of Management and Budget (OMB) Circular No. A-25. The proposed
fees are set to recover a share of the service costs from all
individuals that use a particular service, and a description of the
processes that went into estimating the proposed fees is available in
the Fee Report in the rulemaking docket. TSA may increase or decrease
the fees described in this regulation for changes in cost due to, for
instance, new efficiencies, inflation, changes in contractual services,
changes in populations, or other factors following publication of the
final rule. TSA will publish a notice in the Federal Register notifying
the public of any fee changes.
[[Page 33486]]
Table 7--Fees by Type of Service
----------------------------------------------------------------------------------------------------------------
Service fee Low Primary High
----------------------------------------------------------------------------------------------------------------
Processing Fee.................................................. $44.00 $55.00 $66.00
Reduced Processing Fee.......................................... 24.00 30.00 36.00
Terrorism/Other Analyses Fee.................................... 6.00 8.00 10.00
Immigration Fee................................................. 2.00 3.00 4.00
CHRC/Initial Fee................................................ 17.00 21.00 25.00
CHRC/Renewal Fee................................................ 8.00 10.00 12.00
----------------------------------------------------------------------------------------------------------------
The following table presents combinations of services that coincide
with STA levels in the proposed rule.
Table 8--Fees by STA Level With In-Person Enrollment
----------------------------------------------------------------------------------------------------------------
STA level Low Primary High
----------------------------------------------------------------------------------------------------------------
Level 1 (Processing, Terrorism/Other Analyses).................. $50.00 $63.00 $76.00
Level 2 (Processing, Terrorism/Other Analyses, Immigration)..... 52.00 66.00 80.00
Level 3 (Processing, Terrorism/Other Analyses, Immigration, 69.00 87.00 105.00
Initial CHRC)..................................................
----------------------------------------------------------------------------------------------------------------
Table 9--Fees by STA Level With Online Renewal
----------------------------------------------------------------------------------------------------------------
STA level Low Primary High
----------------------------------------------------------------------------------------------------------------
Level 1 (Reduced Processing, Terrorism/Other Analyses).......... $30.00 $38.00 $46.00
Level 2 (Reduced Processing, Terrorism/Other Analyses, 32.00 41.00 50.00
Immigration....................................................
Level 3 (Reduced Processing, Terrorism/Other Analyses, 40.00 51.00 62.00
Immigration, CHRC/Renewal).....................................
----------------------------------------------------------------------------------------------------------------
Table 10--Fees by STA Level With In-Person Renewal
----------------------------------------------------------------------------------------------------------------
STA level Low Primary High
----------------------------------------------------------------------------------------------------------------
Level 1 (Processing, Terrorism/Other Analyses).................. $50.00 $63.00 $76.00
Level 2 (Processing, Terrorism/Other Analyses, Immigration)..... 52.00 66.00 80.00
Level 3 (Reduced Processing, Terrorism/Other Analyses, 60.00 76.00 92.00
Immigration, CHRC/Renewal).....................................
----------------------------------------------------------------------------------------------------------------
5. Proposed Sec. 1530.301. Paragraph (a) would explain that TSA
calculates the fees using widely accepted accounting principles and
practices, in accordance with the provisions of 31 U.S.C. 9701, which
direct agencies to make their services self-sustaining to the extent
possible, and in accordance with other applicable laws. Generally, TSA
totals all costs associated with the vetting program over the life of
the STAs (5 years), divides the total by the number of individuals
vetted, and sets aside a small portion of the funds collected to cover
emergencies, such as necessary system changes, natural disasters such
as pandemics, or other unforeseen events. At least every 2 years, TSA
would review the costs of conducting the STAs and the associated fees
collected, using the same method of analysis, to ensure that fees
recover, but do not exceed, the full cost of services. TSA prepared a
Fee Report for this proposed rule, which discusses the methodology and
factors TSA used to arrive at the proposed fees, and placed the Report
in the rulemaking docket. TSA would revise the fees, if necessary,
following this evaluation, by publishing a notice in the Federal
Register.
Paragraph (b) explains the procedures that TSA would use to make
inflation adjustments to the fees, as necessary.
6. Proposed Sec. 1530.303. This proposed section describes each
STA service for which TSA charges a fee, service-by-service, computed
as explained above. TSA provides an estimate of the fees based on
information concerning population numbers and the costs of the
services. TSA will be able to finalize these fees after receiving
information concerning the number of employees subject to proposed
vetting requirements from affected entities as part of this rulemaking
process, and an accounting of internal costs at the time the proposed
rule would become final. TSA will publish the final fee amounts through
a notice in the Federal Register.
Paragraph (b) proposes the fees that would cover TSA's processing
costs. Paragraph (b)(1) proposes that the Processing Fee would cover
the costs associated with an applicant's interaction with TSA, such as
enrollment center operations, collecting applicant information,
verifying applicant identity, processing the vetting information, and
program management. TSA estimates the processing fee to be $43 to $65,
and proposes to codify that range in the rule. Paragraph (b)(2)
proposes the Reduced Processing Fee that would apply when an
individual's interaction with TSA can be completed entirely online and
does not involve services at an enrollment center. TSA estimates the
Reduced Processing Fee to be $24 to $36.
Paragraph (c) describes the fee to cover TSA's costs of conducting
the terrorism/other analyses check, the substance of which is explained
in the discussion of proposed Sec. 1530.507. This service includes the
costs of querying the relevant data sources, adjudicating the
information TSA receives from the queries, and processing appeal
requests. TSA estimates the Terrorism/other analyses Check Fee to be
$6.00 to
[[Page 33487]]
$10.00, and proposes to codify that range in the rulemaking.
Paragraph (d) describes the fee to cover TSA's costs of conducting
the Immigration check in the United States. This service includes the
costs of querying the relevant data sources, adjudicating the
information TSA receives from the queries, and processing appeal
requests. TSA estimates the Immigration Check Fee to be $2.00 to $4.00,
and proposes to codify that range in the rulemaking.
Paragraph (e) proposes the fee to cover the costs of conducting the
CHRC. This service includes the cost of collecting fingerprints
electronically; transmitting them to the FBI; adjudicating any rap
sheets associated with the fingerprints to determine whether the
individual has a disqualifying conviction, arrest, or indictment in
accordance with section 1530.503; adjudicating new criminal information
that the FBI's Rap Back service provides; and conducting an appeal or
waiver, where applicable. TSA estimates the CHRC fee for the initial
CHRC, which occurs in-person at a TSA enrollment center to be $17.00 to
$25.00, which is proposed in paragraph (e)(1) of this section. Given
the benefits of the Rap Back system, applicants would not be required
to provide new fingerprints for a new CHRC when renewing the STA. The
individual's fingerprints would be enrolled in Rap Back and thus, any
criminal history associated with those prints would be transmitted to
TSA. Therefore, the renewal of an STA would not require in-person
enrollment at an enrollment center to provide fingerprints, and
consequently, the fees for a renewal CHRC are lower than for the
initial CHRC. In paragraph (e)(2), TSA proposes the renewal CHRC fee of
$8.00 to $12.00. TSA proposes to codify these ranges in the rulemaking.
TSA will continue to work to minimize all costs and would finalize
fee amounts in conjunction with publication of the final rule.
Following publication of the final rule, TSA may, by notice in the
Federal Register, increase or decrease the fees to reflect changes in
costs. The total TSA fee for any given STA would be the sum of the fees
for each service that comprises that level of STA. These total fees,
broken out by level of STA, are explained in proposed Sec. 1530.305
discussed below.
7. Proposed Sec. 1530.305. This section would set out the fees TSA
must charge for each STA proposed in this rulemaking, organized by
level of STA, with paragraphs (a)-(c) corresponding to STA Levels 1-3,
respectively. Each paragraph lists the fees associated with the
relevant STA.
8. Proposed Sec. 1530.307. This section on fee comparability
explains how TSA computes fees when TSA is able to rely on an earlier
STA to complete a new STA. This concept of comparability is explained
more completely in the discussion of proposed Sec. 1530.509, below. If
TSA can rely on an earlier check, rather than conducting a new check,
paragraph (b) provides that we would only charge the fee for the
services that we must provide for the current STA. This results in a
lower fee for the applicant and lower costs for TSA. Table 10 below
provides examples of how using a comparable STA affects fees.
Table 11--How a Comparable STA Affects Fees
----------------------------------------------------------------------------------------------------------------
----------------------------------------------------------------------------------------------------------------
If I have a . . . And I need a . . . I will not have to I may . . . I must . . .
repeat . . .
----------------------------------------------------------------------------------------------------------------
TWIC (Level 3).................. Level 2 for Terrorism/other Enroll online..... Pay Reduced
Security- analyses or Processing Fee.
Sensitive Immigration.
position.
----------------------------------------------------------------------------------------------------------------
If I have a . . . And I need a . . . I will not have to I must . . . I must . . .
repeat . . .
----------------------------------------------------------------------------------------------------------------
Level 2 (security-sensitive Level 3 for Terrorism/other Visit Enrollment Pay Processing and
position). Security analyses or Center to provide CHRC Fees.
Coordinator Immigration. fingerprints and
position. complete CHRC.
----------------------------------------------------------------------------------------------------------------
9. Proposed Sec. 1530.309. This section proposes that fees must be
paid through a method approved by TSA. Currently, TSA accepts STA fees
through a third-party vendor or through the www.pay.gov website during
processing, and we may continue to use that process. TSA is exploring
other methods of payment that may be equally cost-effective and
resistant to fraud. Paragraph (b) would make it clear that TSA cannot
act on an STA until the required fees have been recognized by TSA.
Paragraph (c) provides that TSA would not issue refunds. TSA will not
begin processing an STA until the individual pays the fee. Once TSA
begins the STA, TSA incurs costs that must be recovered through fees.
F. Proposed Subpart E--Adjudication Procedures
1. Introduction. Once TSA collects biographic information,
biometrics (where needed for a CHRC), and fees from an individual, TSA
transmits the information to the various databases associated with the
checks. TSA then evaluates the information that is returned from the
databases to determine if it contains data that is disqualifying
according to the standards that apply. TSA then makes an initial
determination on eligibility and notifies the individual. This process
is called adjudication.
2. Proposed Sec. 1530.401. This proposed section sets out
procedures for conducting CHRCs, which in this rulemaking apply to
security coordinators. Paragraphs (a) and (b) explain that TSA would
transmit the fingerprints collected during enrollment to the FBI, and
receive and adjudicate the results of the check.
3. Proposed Sec. 1530.403. This section explains the procedures
for conducting the terrorism/other analyses check, which in this
rulemaking would apply to security coordinators and security-sensitive
employees. TSA would check certain domestic and international databases
that include information on terrorists, individuals with ties to
terrorism or international criminal networks, fugitives from justice,
and databases that assist in confirming an individual's identity. In
paragraph (a) TSA proposes the procedures that TSA would use to conduct
a terrorism/other analyses check.
Paragraph (b) provides notice that TSA may send the individual's
information to the appropriate law enforcement or immigration agency if
the terrorism/other analyses check
[[Page 33488]]
reveals that the individual has an outstanding want or warrant, or is
subject to a removal order. Under these circumstances, TSA would share
the individual's information with the agency that posted the want,
warrant, or removal order to ensure that the issue can be resolved
lawfully.
4. Proposed Sec. 1530.405. This section proposes the procedure TSA
would use to conduct the immigration check. This check would verify
that the individual is in one of the following categories: a U.S.
citizen, U.S. National, lawful permanent resident, refugee, asylee,
lawful nonimmigrant, granted parole, or is otherwise authorized to work
in the U.S. TSA proposes to use relevant Federal databases, primarily
the SAVE program administered by USCIS to verify that an individual's
alien registration number, I-94 Arrival-Departure Form number, or other
pertinent document number is valid and associated with the individual.
5. Sections 1530.407, 1530.409, and 1530.411. These sections would
be reserved.
6. Proposed Sec. 1530.413. This section applies to all individuals
who must undergo an STA and proposes that TSA issue a DOE if TSA
determines that an individual meets the STA standards. TSA would notify
the individual of the DOE and would make that information available to
the owner/operator. TSA may notify the individual via letter in the
U.S. postal service, an email, or another method yet to be determined.
TSA intends to create a web portal that owner/operators would access to
determine whether a particular worker has passed the appropriate STA
for the position in which he or she works. TSA invites comment on this
proposal from all interested parties, as to preferences for
notifications. In current vetting programs, TSA asks individuals how
they wish to be notified of the final STA determination, and then uses
that method, if possible. Workers who are relatively stationary often
prefer a letter, and those who are mobile may prefer email or other
electronic notification.
7. Proposed Sec. 1530.415. This section describes the procedures
that would apply when an individual may not meet, or may no longer
meet, the STA standards set out in proposed Sec. 1530.501. When this
occurs, TSA would notify the individual or holder of the STA of the
factors that may be disqualifying by issuing a Preliminary
Determination of Ineligibility (PDI) to the individual.\47\
---------------------------------------------------------------------------
\47\ In existing vetting regulations, TSA uses the term
``Initial Determination of Threat Assessment.'' See 49 CFR
1572.15(d). However, TSA believes ``preliminary'' better describes
this step. TSA also proposes to use the word ``ineligibility''
rather than the term ``threat assessment'' to more clearly identify
the type of determination TSA is making. The STA is used to
determine whether an employee is eligible or ineligible for certain
roles or functions and thus, we propose to use that terminology.
---------------------------------------------------------------------------
As set forth in paragraph (b), TSA would also state the basis for
the determination in the PDI.
Under paragraphs (c)(1) and (2), the PDI would include information
about how the individual may appeal or, if applicable, request a waiver
of ineligibility, including the time deadlines associated with these
requests. TSA proposes that the individual must appeal the PDI, request
a waiver of the PDI, or request an extension of time, generally within
60 days of service of the PDI. TSA may consider requests for extensions
of time beyond 60 days for good cause. If the individual does not
appeal, the PDI would automatically convert to a FDI. TSA uses these
timelines in other vetting programs, and believes they provide
sufficient time for an individual to seek redress.
Paragraph (d), ``Determination of Arrest Status,'' would apply when
the results of the CHRC show an arrest for a potentially disqualifying
crime, but no indication of whether the arrest resulted in a
conviction, dismissal, or acquittal. In such cases, TSA would notify
the individual of the arrest without disposition, and provide
instructions on how to clear the disposition under paragraph (d)(2).
Under this paragraph, the burden would be on the individual to provide
written proof to TSA that the arrest did not result in a conviction for
a disqualifying criminal offense. Such written proof may include a
record of conviction for a misdemeanor that is not disqualifying, or a
dismissal of the charges from the prosecution. Individuals who do not
provide the evidence that the arrest did not result in a conviction
within 60 days of service of the PDI, or request an extension of time,
would be disqualified.
In paragraph (e), TSA proposes to permit an individual to take
certain corrective action if the CHRC discloses an arrest for a
disqualifying crime. Specifically, the individual may contact the local
jurisdiction responsible for the criminal information and the FBI to
complete or correct the information. Paragraph (d) would also establish
a 60-day timeframe in which TSA must receive a certified true copy of
the revised record.
8. Proposed Sec. 1530.417. This section would apply if TSA
determines that an individual who initially passed the STA may no
longer meet the STA standards, may pose an imminent threat, and
immediate revocation of the associated credential, access, or
authorization is warranted. In these cases, TSA would issue a PDIIR.
This scenario would arise where new information creates significant
security concerns about the individual's continued eligibility and
suggests the access should be revoked until a final determination is
possible. If TSA determines that the information is not disqualifying,
TSA would reinstate the DOE.
Under paragraph (a), TSA proposes to issue the PDIIR to the
individual and, as applicable, the owner/operator, facility, or
employer. Paragraph (b) would provide that a PDIIR would otherwise be
processed in accordance with proposed Sec. 1530.415, which addresses
PDIs.
Paragraph (c) would apply when TSA does not issue a FDI (see
proposed Sec. 1530.419 below) after having issued a PDIIR. In such
cases, the individual's access, privileges, and/or credentials would be
reinstated, at no cost to the individual. TSA would also notify the
individual, and if applicable, the employer, of the reinstatement.
9. Proposed Sec. 1530.419. In paragraph (a) TSA proposes that if
an individual does not appeal or a request a waiver of a PDI or PDIIR,
the preliminary finding automatically converts to an FDI and the
individual's eligibility is revoked.
Paragraph (b) would apply when an individual appeals or requests a
waiver of a PDI or PDIIR, and TSA denies the appeal or waiver request.
In these cases, TSA would serve the FDI on the individual, and the
employer where applicable.
G. Proposed Subpart F--Standards
1. Introduction. Subpart F proposes the standards that TSA would
use to make decisions about eligibility based on the information
obtained from the checks that comprise an STA.
2. Proposed Sec. 1530.501. This section would set out the
standards that an individual must meet to successfully complete an STA
and receive a DOE. Each of the standards in paragraph (a)(1)-(4) is
related to the checks that may be included in an STA. Not every
standard will apply in every adjudication because not every check is
included in every STA. For example, in adjudicating the results of a
Level 2 STA for a security-sensitive employee, which does not include a
CHRC, the standard in paragraph (a)(4), which applies to the results of
CHRCs, would not apply.
Under paragraph (a)(1), TSA would not issue a DOE unless the
individual's identity could be verified. See the discussion of proposed
Sec. 1530.109
[[Page 33489]]
regarding identity verification procedures.
Paragraph (a)(2) pertains to the terrorism/other analyses check.
TSA would review the information returned from the data sources queried
as part of this check, which are described in proposed Sec. 1530.507,
to determine whether the individual is eligible. If TSA determines that
information indicates the individual poses or may pose a threat to
transportation or national security, or of terrorism, TSA would deem
the individual ineligible to serve in a security-sensitive position.
Paragraph (a)(3) would apply to individuals whose STAs include a
check for immigration in the United States. If the individual is not in
a permissible immigration category, TSA would not issue a DOE. The
substantive requirements of the immigration check are explained in the
discussion of proposed Sec. 1530.505, below.
Paragraph (a)(4) would apply to the individuals whose STA includes
a CHRC (Level 3 STA). Under this paragraph, an individual would be
disqualified if he or she has a disqualifying criminal offense or lacks
mental capacity, as described in proposed Sec. 1530.503.
Based on TSA's vetting experience, the issue of mental incapacity
comes to light in the course of the criminal check, such as when an
individual is found not guilty by reason of insanity. TSA does not have
access to health records of STA applicants, and therefore, the primary
way TSA becomes aware of an individual's mental capacity is through the
criminal check. For this reason, we propose to place the mental
capacity standard in the same paragraph as the criminal standards.
Paragraph (b) explains that individuals may reapply for an STA if
the condition that originally made them ineligible no longer exists.
3. Proposed Sec. 1530.503. Paragraph (a) proposes the criminal
look-back periods, crimes, and other factors that would be
disqualifying for an individual required to complete a Level 3 STA. An
individual who has a conviction, or finding of not guilty by reason of
insanity, for one or more of these crimes would not be eligible if a
Level 3 STA is required. TSA proposes to use the disqualifying crimes
and lookback period that currently apply to the HME and TWIC programs
\48\ for the surface employees subject to this NPRM for two reasons.
First, this population is part of surface transportation, like the HME
drivers, and the security threats are similar for all surface modes,
and differ from aviation. Second, the list of crimes and lookback
period that apply to HME and TWIC workers constitute Congress' most
recent expression as to the appropriate disqualifying criteria for
transportation programs. Congress adopted these criminal standards in
2007,\49\ whereas the standards for aviation were adopted prior to 9/11
when the security climate was quite different.
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\48\ See 49 CFR 1572.103.
\49\ See Section 1309 of the Implementing Recommendations of the
9/11 Commission Act of 2007, Public Law 110-53 (121 Stat. 397-400;
August 3, 2007).
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Paragraph (a)(1) lists serious crimes that would be deemed
permanently disqualifying. Paragraph (a)(2) lists proposed look-back
periods that would apply to interim disqualifying offenses. The
proposed interim crimes would be disqualifying if the conviction, or
finding of not guilty by reason of insanity, is within 7 years of the
date of the application; or if the individual was incarcerated for that
crime and released from incarceration within 5 years of the date of the
application.
Paragraph (a)(3) lists the interim disqualifying criminal offenses
we propose to use for security coordinators in this rulemaking. This
list of crimes is identical to the list of interim offenses codified in
section 1572.103 for the TWIC and HME programs, except that it also
lists manslaughter as an interim disqualifying offense. TSA has treated
manslaughter as a disqualifying offense in the TWIC and HME programs as
a lesser included offense of murder, but it has not been listed in
section 1572.103.
Paragraph (b) would be reserved.
Paragraph (c) would be based on 49 CFR 1572.103(c), which provides
that an individual who is under want, warrant, or indictment in any
civilian or military jurisdiction for a disqualifying crime, is
disqualified until the want or warrant is released, or the indictment
is dismissed. TSA proposes to revise this provision by adding the
issuance of a criminal complaint to the grounds for disqualification
pending release or dismissal. The sole purpose of the proposed revision
is to account for cases in which the jurisdiction begins a criminal
proceeding with a complaint rather than an indictment. Under the
Federal Rules of Criminal Procedure, a complaint is a written statement
of the essential facts constituting the offense that is charged, and is
under oath before a magistrate judge or, if none is reasonably
available, before a state or local judicial officer.\50\ In other
vetting programs, TSA has found cases in which the jurisdiction
initiates a criminal action through a complaint, rather than a want or
indictment, and proposes to make it clear that this would also be
disqualifying under this proposed rule.
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\50\ See Rule 3, Federal Rules of Criminal Procedure, as amended
December 1, 2019.
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Paragraph (d) of this section proposes that an individual who has
been declared mentally incompetent or involuntarily committed to mental
health facility would be disqualified. This is the same standard that
currently applies to TWIC and HME applicants, but TSA proposes to move
it into the criminal standards in this NPRM, because TSA becomes aware
of mental incapacity through the criminal check.
4. Proposed Sec. 1530.505. As explained above, applicants for a
Level 2 or Level 3 STA must be a U.S. citizen, U.S. national, or non-
citizen who is a lawful permanent resident, a refugee, an asylee, a
lawful nonimmigrant, is paroled into the U.S., or is otherwise
authorized to work in the U.S. Note that individuals with Deferred
Action for Childhood Arrivals are authorized to work in the U.S. and
thus are eligible to apply for a security sensitive or security
coordinator position under this rulemaking. The standard proposed in
this section would require applicants to be in one of these listed,
permissible categories at the time of application. TSA is not proposing
that individuals must belong to a particular category of noncitizen to
successfully complete the STA, because TSA does not assess a particular
level of security risk associated with one immigration category as
compared to another.
Paragraph (b) explains that TSA determines whether an individual is
in a listed, permissible category by checking relevant Federal
databases, primarily the SAVE program administered by the USCIS. Also,
TSA may verify an applicant's social security number, alien
registration number, or I-94 number as part of the vetting process, to
identify any instance of identity fraud.
5. Proposed Sec. 1530.507. In this section, TSA proposes the
standards for the terrorism check and other analyses. TSA would conduct
this portion of the STA recurrently, which means each time a watchlist
or database receives new or updated information, TSA compares the
individual's name to the revised list. TSA would continue to
recurrently vet the individual for the life of the STA, which TSA
proposes to be 5 years in this NPRM. The recurrent vetting process
allows TSA to receive notification if a vetted individual is
subsequently added to a terrorist watchlist. If TSA determines, based
on the information generated during this vetting, that an individual
poses or may
[[Page 33490]]
pose a threat to transportation or national security, or of terrorism,
TSA would deem the individual to be ineligible to work as a security
coordinator or security-sensitive employee.
TSA searches several databases in this portion of the STA,
including the consolidated terrorist database (TSDB), the U.S. Marshals
Service federal wants and warrants, Interpol, the Department of State
lost and stolen passport file, and the U.S. Treasury Office of Foreign
Asset Control database of individuals who are sanctioned due to
terrorism or national security issues.\51\ If TSA matches an
applicant's identity to an identity included in one of these lists, TSA
conducts an investigation to determine whether, under the totality of
the circumstances, an applicant is ineligible.
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\51\ Note that the complete list of data sources TSA uses in
this portion of the STA is Sensitive Security Information and
subject to protection in accordance with 49 CFR part 1520.
---------------------------------------------------------------------------
Paragraph (b) proposes that TSA may determine an individual is
ineligible if the check reveals extensive foreign or domestic criminal
convictions, a conviction for a serious crime not otherwise covered by
the regulation, or a period of foreign or domestic imprisonment that
exceeds 365 consecutive days. TSA sometimes receives foreign criminal
history records when conducting this check, such as through Interpol,
which are not identified in the CHRC we conduct through the FBI's
database. This paragraph would expressly provide TSA the discretion to
disqualify an individual based on an overall view of the individual's
record, even where some of the criminal history does not involve
disqualifying offenses, but is indicative of an individual who may pose
or poses a threat to national or transportation security, or of
terrorism.
6. Proposed Sec. 1530.509. This section proposes to permit the use
of existing, valid STA results for satisfying requirements for a new
STA. TSA's goal is to be able to rely, in whole or in part, on an STA
that was already conducted on an individual when that individual
subsequently applies for another STA. Relying on comparable STAs
conserves time and resources for TSA and individuals by eliminating
redundant checks.
Paragraph (a) proposes that TSA may deem an earlier check
comparable to a currently needed check based on certain factors listed
in proposed paragraph (d), below, and if three conditions are met.
First, as proposed in paragraph (a)(1), the original check cannot be
expired. Second, as proposed in paragraph (a)(2), the original check
must be part of a DOE that is not expired, revoked, or suspended.
Third, as proposed in paragraph (a)(3), the earlier check must be
adjudicated under standards that are comparable to the standards for
the new STA.
For example, individuals applying for a security coordinator STA
under this NPRM who hold a current TWIC would be able to use the CHRC
conducted for TWIC as a comparable check because both the TWIC CHRC and
the security coordinator CHRC are adjudicated against the same look-
back period and list of disqualifying crimes.
Paragraph (b) proposes that TSA may accept a valid, unexpired STA,
background check, or investigation conducted by TSA or another Federal
governmental agency to satisfy the STA requirement. Unlike proposed
paragraph (a), which addresses the comparability of a given check
(terrorism/other analyses, immigration, or CHRC) from one STA to
another, proposed paragraph (b) addresses whether an entire STA,
background check, or investigation may satisfy a subsequent STA
requirement without the need for further checks. For example, as
explained below, TSA may determine that a Level 3 STA is comparable to
a Level 2 STA (because the former includes all of checks included in
the latter). Thus, TSA may rely on the fact that an individual has
already successfully completed a Level 3 STA to satisfy a subsequent
requirement for a Level 2 STA under a different regulatory program for
the same individual. Proposed paragraph (b) would refer to the factors
in proposed paragraph (d) as the basis for the determination.
Paragraph (c) would impose an important constraint on comparability
based on timing. If TSA relies on a comparable check from an earlier
STA, the duration of the new STA will be backdated to the date of the
earliest check in the STA. This would ensure that no part of the STA is
older than 5 years.
Paragraph (d) sets out the criteria that TSA would use to decide
whether STAs, background checks, or other investigations are comparable
in whole or in part. Paragraph (d)(5) would allow TSA to consider other
factors it deems appropriate when making a comparability determination.
For instance, an agency may ask TSA to consider the use of different
databases that TSA does not use as comparable sources of information.
TSA needs this latitude because of the widely variable factual and
policy circumstances that can surround how a given governmental agency
may conduct the background check or investigation on which TSA may
rely.
Paragraph (e) is reserved.
Paragraph (f) proposes the responsibilities of an individual who
asserts completion of a comparable STA to satisfy a new STA
requirement. Paragraph (f)(3) would require an individual asserting
completion of a comparable STA to complete enrollment and pay the
associated STA fees. A new enrollment is necessary because TSA needs
complete, up-to-date enrollment information to accurately identify the
individual and notify him or her of the outcome of the STA.
Paragraphs (g)-(i) would list certain comparability determinations
that TSA would set forth in the regulatory text. Each more thorough STA
is comparable to the less thorough STAs. For instance, a Level 2 STA is
comparable to a Level 1 STA, and a Level 3 STA is comparable to both a
Level 2 and a Level 1 STA.
TSA has already determined that an STA for the FAST program,
administered by CBP, is comparable to the TWIC and HME STA.\52\ Since
the requirements for the Level 3 STA proposed in this rulemaking are
comparable to the TWIC and HME programs, the STA for a FAST card is
comparable in whole to a Level 3 STA.
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\52\ See 49 CFR 1572.5(e)(6).
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In addition to the FAST program, CBP administers the NEXUS,\53\
SENTRI,\54\ and Global Entry \55\ programs. These programs include
thorough criminal history, terrorism, and immigration checks conducted
by CBP, and in the case of Global Entry, also include an interview
conducted by a CBP law enforcement officer. CBP's criminal checks view
all of the disqualifying offenses we propose in this NPRM as
disqualifying in their programs. Similarly, the CBP terrorism and
immigration checks include comparable data sources and standards. For
these reasons, TSA has determined that the STAs for these programs are
comparable to the proposed Level 3 STA. Finally, the TSA
PreCheck[supreg] STA would be comparable to the Level 3 STA in this
proposed rule. For TSA PreCheck[supreg], TSA uses TWIC and HME criminal
offenses and look-back period, and terrorism standards. Also, the
immigration standard for TSA PreCheck[supreg] is more stringent than
the standards for TWIC
[[Page 33491]]
and HME. Consequently, individuals who have successfully passed the TSA
PreCheck[supreg] STA have completed a comparable Level 3 STA.
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\53\ For information about the NEXUS program, see https://www.cbp.gov/travel/trusted-traveler-programs/nexus.
\54\ For information about the SENTRI program, see https://www.cbp.gov/travel/trusted-traveler-programs/sentri.
\55\ See 8 CFR parts 103 and 235.
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This proposed section on comparability and proposed Sec. 1530.307
on fee comparability are closely related. As explained in the
discussion of proposed Sec. 1530.307, the fee structure proposed in
this rulemaking is portioned into segments based on the services TSA
provides when conducting STAs. When processing an STA application, if
TSA can rely on a comparable check from an earlier STA, it does not
have to perform that service again, and it will not have to charge the
individual the full fee for that service. This reduces the financial
burden on individuals requiring more than one STA.
H. Proposed Subpart G--Appeal and Waiver Procedures for Security Threat
Assessments
1. Introduction. In subpart G, TSA proposes redress provisions for
individuals adversely affected by the STA requirements in 49 CFR part
1530. These proposed standards are consistent with the redress
provisions codified in 49 CFR part 1515, Appeal and Waiver Procedures
for Security Threat Assessments for Individuals, for individuals who
are required to undergo STAs for the TWIC, HME, and certain air cargo
programs.\56\ Part 1515 will continue to apply according to its terms
(although TSA may revise the part heading in the final rule for this
rulemaking to clarify the scope of part 1515), and subpart G of part
1530 would apply to individuals who work for public transportation,
railroads, and OTRB operators and undergo an STA set forth in this
rulemaking. The standards in part 1515 were previously subject to
notice and comment and have been in place for over 10 years. TSA
believes the redress procedures we propose in subpart G are effective,
efficient, and relatively easy to follow for individuals, including
those who do not wish to hire an attorney for this process. However,
TSA welcomes comments from covered entities that may be impacted by the
proposed rule and the public on ways to improve the vetting process
while still reducing security risk in the respective transportation
modes.
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\56\ For a full discussion of the development of the provisions
in 49 CFR part 1515, see the HME interim final rule (68 FR 23852,
May 5, 2003), and the TWIC final rule (72 FR 3492, Jan. 25, 2007).
---------------------------------------------------------------------------
Proposed subpart G describes the procedures for: (1) requesting
waivers of the criminal standards; (2) appealing disqualifications
based on the criminal history, immigration, or terrorism/other analyses
checks; (3) ALJ review of TSA's waiver and appeal determinations; and
(4) review of ALJ decisions by the TSA Final Decision Maker.
2. Proposed Sec. 1530.601. TSA proposes the scope and general
requirements for subpart G in this section. Paragraphs (a) and (b)
would establish that individuals who apply for an STA under part 1530
and who are eligible to request an appeal or waiver, fall within the
scope of this part. Paragraph (c) explains that TSA does not disclose
classified information or other information that is protected by law,
or for which disclosure is not warranted. Paragraph (d) explains that
an individual may, but is not required to, hire an attorney to
represent them in an appeal or waiver proceeding, at the individual's
expense. Paragraph (e) explains that the individual may request an
extension of time for submitting appeal or waiver paperwork to TSA.
These requests must be in writing, explain the reason for the
extension, and be served on TSA prior to the deadline that needs to be
extended. TSA generally grants extensions of time in the redress
process when individuals meet these proposed standards.
3. Proposed Sec. 1530.603. Reserved.
4. Exhaustion of Administrative Remedies. Before explaining the
redress procedures an individual would use to appeal a TSA final
decision (which are set forth below), it is important to discuss the
principle of exhausting the administrative remedies TSA provides in
subpart G before seeking review by the courts. The doctrine of
exhaustion of remedies is based on the need to conserve judicial
resources and ensure that factual issues are resolved by the agency
with the expertise and responsibility for administering the program at
issue. The doctrine allows agencies to develop a full factual record,
correct errors, minimize costs, and create a uniform approach to the
issues within its jurisdiction. This process benefits individuals by
resolving disputes more quickly and at lower cost through TSA rather
than the Federal courts. If the individual ultimately seeks review in
the Court of Appeals following TSA's final agency order, the court will
have a full record on which to base its review and the issues will be
narrowed to those that truly require judicial review. In a case where
TSA issued a preliminary denial of a TWIC application and the
individual sought review by a U.S. District Court rather than first
appealing the decision to TSA, the court dismissed his claim stating
that he must first exhaust the administrative remedies in TSA's redress
regulations.\57\ The court stated that it needed a more developed
factual record to effectively evaluate the case. Also, the court held
that TSA should have the opportunity to correct any errors and narrow
the issues, which can be achieved through exhausting administrative
remedies, before initiating judicial review.
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\57\ See Mohamed Al Seraji v. Gowadia, No. 8:16-cv-01637-JLS-JCG
(C.D. Cal. Apr. 28, 2017).
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For all of the foregoing reasons, TSA is proposing to require
individuals to exhaust the administrative remedies set forth in subpart
G before seeking judicial review.
Under this proposal, an individual would not seek judicial review
until TSA has issued its ``final agency order.'' Throughout proposed
subpart G, we clearly identify the point at which a TSA decision is a
``final agency order,'' and thus, when an individual may pursue
judicial review. Note that for purposes of the rulemaking, ``final
agency order'' and ``final agency action'' have the same meaning.
5. Proposed Sec. 1530.605. In this section, TSA proposes the
procedures that would apply to appeals to TSA concerning the criminal,
immigration, and mental capacity standards in part 1530.
Paragraph (a)(3) pertains to appeals based on determinations that
an individual lacks mental capacity under proposed Sec. Sec. 1530.501
and 1530.503. It is important to note that TSA does not have access to
health-related databases and information concerning mental health
issues. However, TSA may become aware of mental health issues through
the CHRC, when an individual is found not guilty by reason of insanity
of a disqualifying criminal conviction.
Paragraph (b) of this section proposes the grounds for appeal that
may be raised. Individuals may assert that they do meet the eligibility
standards and (1) TSA's decision was based on factually incorrect
information; or (2) TSA failed to apply the eligibility standards in
accordance with the regulations. For instance, if a criminal rap sheet
reveals a conviction for a disqualifying offense, but fails to include
the fact that the conviction was later overturned, an individual may
use this as the basis for an appeal. Also, if TSA fails to correctly
apply the list of criminal disqualifiers that appear in part 1530, this
failure to adhere to the standards would constitute grounds for an
appeal.
Paragraphs (c)-(h) of this section propose the procedures and
timeframes for initiating an appeal, responding to a PDI or a PDIIR,
correcting inaccurate records, and TSA's issuance of a final
[[Page 33492]]
determination. Under these procedures, an individual must request an
appeal in writing to TSA, and it may be in the form of a request for
the records on which TSA's PDI or PDIIR are based, or as a reply to the
PDI or PDIIR. The individual must initiate the appeal within 60 days of
service of the PDI or PDIIR, or request an extension of time. TSA may
request documents from appellants that are necessary to make a final
determination. If the data on which TSA made its preliminary decision
of ineligibility is incomplete or inaccurate, proposed Sec.
1530.605(f) describes how an individual can correct the information.
Paragraph (g) of this section proposes the procedures TSA would
follow in making a final determination on eligibility and the
individual's appeal. If TSA determines that the PDI/PDIIR is incorrect,
TSA would withdraw the PDI/PDIIR and notify the individual, and the
employer or operator, where applicable. If TSA determines that the
preliminary determination was correct, TSA would serve a FDI on the
individual, and where applicable, the employer or operator.
Paragraph (h) explains that TSA's FDI based on criminal,
immigration, and mental capacity standards would constitute a final
agency order or action under 49 U.S.C. 46110.\58\ This means that upon
receiving the FDI, there are no additional redress procedures within
TSA for an individual to use. At this point, the individual may seek
review in the Court of Appeals or accept TSA's final determination.
These appeals based on criminal, mental capacity, and immigration
involve objective facts and documents, and thus, it would be highly
unlikely for TSA's final decision to be in error and need further
review by an ALJ or the TSA Final Decision Maker.
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\58\ This section of the code governs judicial review of TSA's
final agency orders, and requires litigants to challenge final
agency orders in the U.S. Court of Appeals for the District of
Columbia Circuit within 60 days of TSA's order.
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6. Proposed Sec. 1530.607. In this section, TSA sets forth
proposed standards for requesting a waiver due to criminal offense or
mental capacity. Under this proposed rule, TSA would not consider
waiver requests for failure to meet immigration standards or for the
terrorism/other analysis checks. It would be inconsistent with the 9/11
Act, the principles of security vetting, and similar waiver programs to
entertain waiver requests for these issues. There is no reasonable
basis on which TSA would determine that a waiver should be granted to
an individual who does not meet the immigration standards or is deemed
to pose a threat to national or transportation security, or of
terrorism under 1530.507(a). As proposed in paragraph (b), however, TSA
would consider a waiver when an individual (1) who committed a
disqualifying offense, now asserts that he or she is rehabilitated and
no longer poses a security risk; (2) who suffered from mental capacity
issues, asserts that those health issues no longer exist; or (3) was
disqualified for a criminal history under Sec. 1530.507(b).
In paragraph (c), TSA proposes that individuals must complete the
enrollment process, including paying all applicable fees, before he or
she may apply for a waiver. For instance, an individual who knows he
was convicted of a disqualifying offense within the previous 7 years
and wishes to apply for a waiver of that offense, must complete the
enrollment process so that TSA receives the pertinent criminal records
from the FBI that verify the disqualifying issue. The applicant may
submit a request for a waiver, which must be received no earlier than
the date that the individual submitted the application and fee, and no
later than 60 days after final disposition of an appeal undertaken
consistent with Sec. 1530.605 of this subpart. An individual preserves
the right submit a waiver request if he or she requests an extension of
time in accordance with Sec. 1530.601(e) of this part and the request
is granted.
Paragraph (c)(2) describes the factors that TSA would consider when
evaluating a waiver request, including the circumstances of the crime,
restitution the individual has paid, court or other official records
indicating that the individual no longer lacks mental capacity, the
length of the prison term, the time that has elapsed since release from
prison, criminal activity that has occurred following release from
prison, and other factors relevant to the individual's waiver request.
TSA would consider letters of reference from employers, clergy,
probation officers, family members, and others with knowledge of the
individual's character and rehabilitation since the crime occurred.
TSA adjudicators and analysts would evaluate the paperwork
submitted, and communicate with the individual, if necessary, to gain
additional information to ensure that the waiver request package is
complete. TSA has established a Waiver Review Board, which includes
security analysts and senior managers, to meet regularly to consider
each waiver request. Because waiver decisions are somewhat subjective,
TSA established this process to ensure consistency and avoid individual
bias in reviewing waiver requests. The Waiver Review Board makes a
recommendation to grant or deny a waiver to the Assistant
Administrator. The Assistant Administrator reviews the recommendation
and waiver paperwork and makes a final decision to grant or deny the
waiver request.
Paragraph (d) explains that, within 60 days of TSA receiving the
waiver request, TSA would serve a written decision granting or denying
the waiver request on the individual. If TSA denies the waiver, the
individual may appeal the decision to an ALJ. TSA's waiver denial is
not a final agency action under 49 U.S.C. 46110. The individual may
not, therefore, appeal this decision to the court system at this time,
but must first seek review by an ALJ (as described in Sec. 1530.611)
and then if necessary, a TSA Final Decision Maker (as described in
Sec. 1530.613).
7. Proposed Sec. 1530.609. In this section, TSA proposes the
procedures an individual would use to appeal TSA's preliminary
determination that the individual failed the terrorism/other analyses
portion of the STA. Paragraph (b) explains that the only grounds for an
appeal of the terrorism/other analyses PDI is an assertion that the
individual meets the standards for the STA for which he or she is
applying. For instance, an individual could argue that he or she has
been misidentified as another person who poses a security threat. Also,
the individual may assert that even if he or she has been correctly
identified, nonetheless, the person does not pose a security threat.
Paragraph (c) states that the procedures proposed for Sec.
1530.605(c)-(h), described above, also apply to this section.
In paragraph (d)(1) of this section, TSA proposes that 60 days
after service of the individual's appeal, TSA would serve a final
determination on the individual, and where applicable, the individual's
employer. For instance, in this rulemaking, public transportation
operators may not employ an individual in a security-sensitive position
unless the individual successfully completed a Level 2 STA, which
includes the terrorism/other analyses check. If TSA determines that an
individual does not pass the Level 2 STA, TSA would have to notify the
operator of this determination so that the operator does not assign the
individual a security-sensitive position.
As proposed in paragraph (d)(2), if TSA determines that the PDI or
PDIIR was issued in error, TSA would withdraw it by serving
notification on the individual, and where appropriate, the employer.
[[Page 33493]]
Paragraph (e) addresses further review of a case in which TSA
denies the individual's appeal. TSA's denial of the appeal under this
section is not a final agency action under 49 U.S.C. 46110, and,
therefore, the individual may not seek review in the courts at this
juncture. If the individual wishes to seek additional review of TSA's
final determination, he or she would seek review by an ALJ, and those
procedures are set forth in proposed Sec. 1530.611, described below.
If the individual does not seek review by an ALJ within 30 days of
TSA's decision, the decision then becomes final.
8. Proposed Sec. 1530.611. In this section, TSA proposes the
procedures for an individual who wishes to seek review of a TSA
decision by an ALJ. Paragraph (a) describes the two types of appeals
that are eligible for ALJ review. An ALJ may review (1) an appeal of
TSA's decision to deny a waiver as set forth in Sec. 1530.607, and (2)
an appeal of TSA's decision to deny an appeal based on the terrorism/
other analyses check as set forth in Sec. 1530.609.
Paragraph (b) explains how the individual must request ALJ review.
The request must be in writing and served within 30 days of the date
that TSA served the decision that the individual seeks to appeal to the
ALJ. The individual must include the issues that the individual wants
the ALJ to consider, copies of the individual's request for a waiver or
initial appeal with all supporting documents, and copies of TSA's
denial of the waiver request or appeal. Paragraph (b)(5) provides the
address to use for ALJ review requests.
Paragraph (b)(2) explains that a request for ALJ review may not
include material, evidence, or information that was not also presented
to TSA in the original waiver request or appeal. As stated in paragraph
(b)(3), if the individual has new material, evidence, or information
that was not available to TSA, the individual should file a new waiver
request or appeal with TSA, and the ALJ review request would be
dismissed. To preserve ALJ resources and ensure that TSA makes
decisions that fall within its expertise, in keeping with principles of
the exhaustion of administrative remedies, any new information should
be used to begin a new review by TSA, not the ALJ.
Paragraph (b)(4) explains that the individual may request an in-
person hearing before the ALJ. Paragraph (c) addresses extensions of
time during the ALJ review process. Both parties may request extensions
of time in writing, and they should be received by the ALJ within a
reasonable time before the date that must be extended. Paragraph (d)
describes the duties of the ALJ, which are the same procedures that
currently apply to cases that ALJs review in TWIC and HME waiver
denials, and are fairly standard for administrative process. TSA
proposes that the ALJ must have the appropriate level of security
clearance necessary to review any information, including classified
information, that is relevant to reviewing the case. As proposed, the
ALJ should consider a request for an in-person hearing, by evaluating
whether there are genuine issues of fact about the evidence or
information the individual submits as part of his or her waiver request
or appeal to TSA, or whether TSA's determination on the waiver or
appeal was completed in accordance with the regulations. If an in-
person hearing takes place, a verbatim transcript would be made, at no
cost to the individual. If the individual fails to appear, the ALJ may
issue a default judgment against the individual. The standard of proof
for the hearing would be substantial evidence on the record.
Under the ALJ procedures, we propose that TSA will not disclose
classified information or other information protected under the law.
TSA, however, may prepare an unclassified summary of the information
for the appealing party, if an unclassified summary can be provided
consistent with national security concerns. The ALJ would review the
record of decision, including any classified information upon which the
decision relies, on an ex parte, in camera basis, and may consider this
information in making a final decision if the information appears to be
material and relevant.
Paragraph (f) describes the procedures that apply for the ALJ's
final decision. As proposed, the ALJ would issue a final decision
within 60 days from the close of the record, and serve the decision on
the parties. Either party may appeal the ALJ decision to the TSA Final
Decision Maker. If the ALJ overturns TSA's waiver or appeal decision
and TSA does not appeal that to the Final Decision Maker, TSA would
issue an order granting the waiver or withdraw the final determination
on the appeal, as applicable. If the ALJ upholds TSA's decision and the
individual does not seek review by the TSA Final Decision Maker, TSA
would issue a final agency order denying a waiver to the individual or
issue a Final Order of Ineligibility, as applicable.
9. Proposed Sec. 1530.613. TSA proposes the procedures for
appealing an ALJ decision to the TSA Final Decision Maker in this
section. The non-prevailing party in the ALJ proceeding may request a
review of the ALJ's decision by the TSA Final Decision Maker within 30
days from the date of service of the ALJ's decision. Requests for
review must be in writing, served on the opposing party, and relate
only to whether the ALJ's decision was based on substantial evidence on
the record. Within 60 days of receiving the request for review (or
within 30 days of receiving a response from the other party), the TSA
Final Decision Maker would issue the final decision. The decision of
the TSA Final Decision Maker constitutes a final agency order in
accordance with 49 U.S.C. 46110. If the individual wishes to appeal the
TSA Decision Maker's final order, that appeal must be filed in the U.S.
Court of Appeals for the District of Columbia Circuit or in the court
of appeals of the United States for the circuit in which the person
resides or has its principal place of business within 60 days of the
TSA Decision Maker's final order.
IV. Analysis of Proposed Changes to Parts 1500, 1570, 1572, 1580, 1582,
and 1584
A. Introduction
TSA proposes to make changes to 49 CFR parts 1500, 1570, 1572,
1580, 1582, and 1584 in this rulemaking. Each of these proposed changes
are described below.
B. Proposed Changes to Part 1500
``Security threat assessment'' would mean a procedure conducted by
TSA consisting of one or more checks of relevant databases and other
sources of information to verify an individual's identity, and to
determine whether the individual is eligible for certain access to the
nation's transportation systems, or for certain privileges or
credentials. The proposed definition would provide a concrete
understanding of the term that encapsulates the entire process of
vetting the individual. It would also promote consistent use of
terminology throughout TSA's regulations, most importantly that a
security threat assessment is the overall process, which is comprised
of one or more checks, such as a CHRC, or a check of databases. TSA
considers the terms ``security threat assessment,'' as proposed here,
and ``security background check,'' as established in the Security
Training rulemaking to be functionally synonymous. TSA intends
generally to reserve the use of ``security background check'' to the
specific context of proposed Sec. 1570.305.
[[Page 33494]]
C. Proposed Changes to Part 1570
As explained previously, this proposed rule is one of three
rulemakings TSA is presently conducting to implement the 9/11 Act. The
Security Training NPRM proposed extensive changes to part 1570,
including reserving subpart D for proposals related to vetting. In this
rulemaking, we propose changes to part 1570, subpart D, that build on
the proposals in the Security Training NPRM.
TSA proposes to add Sec. 1570.307 to subpart D to explain that
specific vetting requirements for maritime and land transportation
would be set in the parts that relate to each industry. For instance,
the proposals for the owner/operators and individuals in freight rail
would be in part 1580, public transportation and passenger rail would
be in part 1582, and OTRB would be in part 1584.
As a matter of organization and clarity, we think it would be
easier for each type of owner/operator and its employees to first look
at the part of TSA regulations that applies to it, in order to
determine who must be vetted and the level of vetting required. The
requirements may vary, and we believe placing them in the specific part
of title 49 that corresponds to that type of operator would be best.
D. Proposed Change to Part 1572
TSA proposes to revise the title of part 1572 from ``Credentialing
and Security Threat Assessments'' to ``Credentialing and Security
Threat Assessments for the Hazardous Materials Endorsement and
Transportation Worker Identification Credential Programs.'' This is an
administrative change TSA proposes to make to clarify that part 1572
applies only to the HME and TWIC programs. As our vetting authorities
expand and there are new vetting standards in various parts of the CFR,
we believe it is necessary to change the title of part 1572 so that
individuals and owner/operators understand that it applies only to two
programs.
E. Proposed Changes to Part 1580
TSA proposes to add ``Subpart D--Security Threat Assessment
Requirements for Owner/Operators and Individuals'' to part 1580, as
promulgated in the Security Training rulemaking, to implement the 9/11
Act vetting requirements in freight rail.\59\
---------------------------------------------------------------------------
\59\ See 9/11 Act sections 1520 and 1522, which are codified at
6 U.S.C. 1170(d).
---------------------------------------------------------------------------
1. Proposed Sec. 1580.3. This section would make clear that the
terms defined in Sec. Sec. 1500.3, 1500.5, and 1503.103, of subchapter
A, Sec. 1530.3 of subchapter B, and Sec. 1570.3 of subchapter D of
this chapter, also apply when used in this part.
2. Proposed Sec. 1580.301. Paragraph (a) would set out the
obligations of freight rail owner/operators with regard to STA
requirements for the security coordinators who would be designated
according to the requirements of the Security Training rulemaking.
Section 1570.201(a), as set forth in the Security Training final rule,
requires freight rail owner/operators to designate and use a primary
and at least one alternate security coordinator. These requirements
apply to the operators listed in 49 CFR 1580.101, which are:
Class 1 freight railroad carriers;
Rail hazardous materials shippers that transport one or
more of the categories and quantities of rail security-sensitive
materials (RSSM) in a high threat urban area (HTUA);
Rail carrier that serves as a host railroad to a Class 1
carrier, rail hazardous materials shipper that transports RSSM in an
HTUA, or a passenger operation described in 49 CFR 1582.101.
Proposed paragraph (a)(1) would set out the primary requirement
that a covered freight rail owner/operator must not authorize or permit
an individual to serve as a primary or alternate security coordinator
unless he or she has successfully completed a Level 3 STA and holds a
current DOE from TSA.
As explained above in section II.B.2. of the preamble, security
coordinators should undergo a Level 3 STA because of their access to
sensitive-security and personally-identifiable information, as well as
the critical security functions they perform. These responsibilities
and functions require a high level of confidence that the individual is
trustworthy. As explained above, a Level 3 STA consists of a criminal
history, terrorism/other analyses, and immigration check. Successful
completion of this Level 3 STA would increase confidence that the
individual is sufficiently trustworthy to assume the position.
To comply with proposed paragraph (a)(1), owner/operators would
need a definitive source of information from TSA regarding an
individual's STA. TSA expects to create a web-based portal for owner/
operators to access, which would include the results of the STAs of
that owner/operator's workers. TSA has considered other methods of
employer notification, such as mailing letters, but believes this
method would be more cost-effective and minimizes the risk of fraud or
missing records associated with paper documents and mail service. TSA
invites comment from the industry as to other potential methods of
notification, as well as the relative advantages and disadvantages of
the options.
Paragraph (a)(2) would require the owner/operator to retain records
documenting compliance with paragraph (a)(1). TSA does not propose a
specific format of documentation. TSA prefers to retain flexibility to
permit various formats depending on owner/operator needs and
capabilities. TSA will work with each owner/operator to assure that the
recordkeeping process complies with TSA's inspection needs. As part of
inspecting compliance with the STA requirements, TSA must be able to
review these records to ensure that the STA requirements have been met
at the appropriate time. TSA invites comment from owner/operators as to
how most will satisfy this requirement and other ideas for meeting it.
Paragraph (b)(1) would set out the primary requirement that a
covered freight rail owner/operator must not authorize or permit an
individual to serve as a security-sensitive employee, unless he or she
has successfully completed a Level 2 STA and holds a current DOE from
TSA. TSA proposes to require a Level 2 STA, consisting of terrorism/
other analyses and immigration check in the United States, for
security-sensitive employees, which satisfies the requirements of
section 1520 of the 9/11 Act.
As explained above in the discussion of security coordinator STA
requirements, TSA expects to create a web-based portal for owner/
operators to access, which would include the results of the STAs of
that owner/operator's security-sensitive employees.
Proposed paragraph (b)(2), with regard to recordkeeping, is similar
to proposed paragraph (a)(2) explained above.
Paragraph (c) proposes continuing responsibilities for owner/
operators after the initial vetting of security coordinators and
security-sensitive employees. Paragraph (c)(1) would require an owner/
operator to remove an individual from a position as a security
coordinator or a security-sensitive employee if notified by TSA that
the individual is no longer eligible for the position. TSA would issue
such a notification if, for example, the recurrent terrorism/other
analyses check subsequently reveals information indicating that the
individual poses or may pose a threat to transportation security or
national security, or of terrorism.
[[Page 33495]]
Paragraph (c)(2) would require an owner/operator that becomes aware
of information that an individual is or may not be eligible to serve as
a security coordinator or security-sensitive employee to notify TSA
immediately. This responsibility would arise, for example, if the
owner/operator becomes aware that a security coordinator has been
arrested for or convicted of a potentially disqualifying crime.
Paragraph (c)(3) would provide that an owner/operator may reassign
an individual as a security coordinator or security-sensitive employee
if notified by TSA that he or she regained eligibility. For example, if
TSA notified an owner/operator under proposed paragraph (c)(1) that an
individual is ineligible, but subsequently determines that the factor
causing the ineligibility had been resolved, TSA would notify the
owner/operator under paragraph (c)(3).
2. Proposed Sec. 1580.303. This section would set out the
obligations of individuals employed by covered freight rail owner/
operators who must undergo an STA, either as a security coordinator
(proposed paragraph (a)) or a security-sensitive employee (proposed
paragraph (b)).
Paragraph (a) would provide that an individual must not work as a
security coordinator for a freight rail owner/operator, unless he or
she successfully completes a Level 3 STA and holds a current
Determination of Eligibility. Paragraph (a) would also specify that the
criminal history records check conducted as part of the Level 3 STA
would be adjudicated against the list of disqualifying crimes in
proposed Sec. 1530.503, which, as described above, would be the list
of disqualifying crimes that currently apply to certain surface and
maritime workers under Sec. 1572.103.
Paragraph (b) would provide that an individual must not work as a
security-sensitive employee unless he or she successfully completes a
Level 2 STA and holds a current Determination of Eligibility. The
rationale for requiring this level of vetting is explained above in
section II.B.1. of the preamble.
3. Proposed Sec. 1580.305. This section would require the use of
TSA enrollment centers by individuals, as well as the owner/operators
of those individuals, required to apply for an STA under these proposed
regulations. The reasons for this proposed requirement is explained
above in section II.B.5. of the preamble.
4. Proposed Sec. 1580.307. As explained above in section II.B.7.
of the preamble, TSA proposes a phased implementation of the vetting
requirements proposed in this rule. Under paragraph (a), the vetting
requirements for primary and alternate security coordinators would
become effective 6 months from the publication date of the final rule.
Under paragraph (b), the vetting requirements for security-sensitive
employees would become effective 12 months from the publication date of
the final rule. It is important to note that the time it takes to
process Level 2 STA processing is typically less than 10 days, and less
than 30 days for Level 3 STA processing. We invite comment from
employers and workers on these proposed effective dates. Specifically,
TSA is interested in the time employers anticipate it will take to
prepare for the effective dates, how many employees fall into each
category, and whether the number of employees can be vetted within the
allotted time.
F. Changes to Part 1582
TSA proposes to add ``Subpart C--Security Threat Assessment
Requirements for Owner/Operators and Individuals'' to part 1582, as set
forth in the Security Training final rule, to implement the vetting
requirements of the 9/11 Act for public transportation and passenger
rail.
1. Proposed Sec. 1582.3. This section would make clear that the
terms defined in Sec. Sec. 1500.3, 1500.5, and 1503.103, of subchapter
A, Sec. 1530.3 of subchapter B, and Sec. 1570.3 of subchapter D of
this chapter, also apply when used in this part.
2. Proposed Sec. 1582.201. This section would set out the
obligations of covered public transportation and passenger rail owner/
operators with regard to STA requirements for the security coordinators
who would be designated according to the requirements of the Security
Training rulemaking. Under the Training final rule, section 1570.201(a)
requires public transportation and passenger rail owner/operators
described in Sec. 1582.1(a) to designate and use a primary and at
least one alternate security coordinator. These owner/operators
include: passenger railroad carriers, public transportation agencies,
and operators of rail transit systems that are not operating on tracks
that are part of the general railroad system, including heavy rail
transit, light rail transit, automated guideway, cable car, inclined
plane, funicular, and monorail systems.
Proposed paragraph (a)(1) would set out the primary requirement
that a covered public transportation and passenger railroad operator
must not authorize or permit an individual to serve as a primary or
alternate security coordinator, unless he or she has successfully
completed a Level 3 STA and holds a current DOE from TSA. As set forth
in the Security Training final rule, this requirement would apply to
all owner/operators described in Sec. 1582.1(a)(1)-(3), and to an
owner/operator described in Sec. 1582.1(a)(4), if it is notified by
TSA that a threat exists pursuant to 49 CFR 1570.201(b)). As explained
above in section II.B.2. of the preamble, TSA believes that security
coordinators should be required to undergo a Level 3 STA based on the
access to sensitive-security and personally-identifiable information
they have. As explained previously, a Level 3 STA consists of a
criminal history, terrorism/other analyses, and immigration check.
Successful completion of this Level 3 STA will increase confidence that
the individual is sufficiently trustworthy to assume the position, and
the proposed requirement that he or she continues to hold a current DOE
would require his or her removal if he or she becomes ineligible in the
future.
To comply with proposed paragraph (a)(1), owner/operators would
receive a notification from TSA regarding an individual's STA. TSA
expects to create a web-based portal for owner/operators to access,
which would include the results of the STAs of that owner/operator's
workers. TSA has considered other methods of employer notification,
such as mailing letters, but believes this method would be more cost-
effective and minimizes the risk of fraud or missing records associated
with paper documents and mail service. TSA invites comment from the
industry as to other potential methods of notification, and the
relative advantages and disadvantages of the options.
Paragraph (a)(2) would require the owner/operator to retain records
documenting compliance with proposed paragraph (a)(1). TSA proposes to
allow owner/operators flexibility as to the format, paper or digital,
of storage, as long as the form and manner is authorized by TSA. As
part of inspecting compliance with the STA requirements, TSA must be
able to review these records to ensure that the STA requirements have
been met at the appropriate time. TSA invites comment from owner/
operators as to how most will satisfy this requirement and other ideas
for meeting it.
In proposed Sec. 1580.203 (b) and as discussed above, TSA proposes
to require that such security-sensitive employees successfully complete
a Level 2 STA. Paragraph (b)(1) of this section tracks the same
requirements as in paragraph (a)(1), but for security-sensitive
employees instead of security coordinators. TSA proposes that a
[[Page 33496]]
covered owner/operator must not authorize or permit a person to serve a
security-sensitive employee, unless he or she has successfully
completed a Level 2 STA and holds a current DOE. This level of vetting
satisfies section 1411 of the 9/11 Act.
Proposed paragraph (b)(2) with regard to recordkeeping is similar
to proposed paragraph (a)(2) explained above.
Paragraph (c) proposes continuing responsibilities for owner/
operators after the initial vetting of security coordinators and
security-sensitive employees. Paragraph (c)(1) would require an owner/
operator to remove an individual from a position as a security
coordinator, or a security-sensitive employee, if notified by TSA that
the individual is no longer eligible for the position. TSA would issue
such a notification if, for example, the recurrent terrorism check
subsequently reveals information indicating that the individual poses
or may pose a threat to transportation security or national security,
or of terrorism.
Paragraph (c)(2) would require an owner/operator that becomes aware
of information that an individual may not be eligible to serve as a
security coordinator or security-sensitive employee to notify TSA
immediately. This responsibility would arise, for example, if the
owner/operator becomes aware that a security coordinator has been
convicted for a potentially disqualifying crime.
Paragraph (c)(3) would provide that an owner/operator may reassign
an individual as a security coordinator or security-sensitive employee
if notified by TSA that he or she regained eligibility. For example, if
TSA notified an owner/operator under proposed paragraph (c)(1) that an
individual is ineligible, but subsequently determines that the factor
causing the ineligibility had been resolved, TSA would notify the
owner/operator under paragraph (c)(3).
3. Proposed Sec. 1582.203. This section would set out the
obligations of individuals employed by covered public transportation
and passenger rail owner/operators who must undergo an STA, either to
serve as a security coordinator (proposed paragraph (a)) or as a
security-sensitive employee (proposed paragraph (b)).
Proposed paragraph (a) would provide that an individual must not
work as a security coordinator for a public transportation or passenger
rail owner/operator unless he or she successfully completes a Level 3
STA and holds a current DOE. The reasons for requiring a Level 3 STA,
and the checks that would compose this level of vetting are explained
above in section II.B.2. of the preamble. Paragraph (a) would also
specify that the CHRC conducted as part of the Level 3 STA would be
adjudicated against the list of disqualifying crimes in proposed Sec.
1530.503(a), which is the list of disqualifying crimes applicable to
surface and maritime vetting conducted by TSA.
Paragraph (b) would provide that an individual must not work as a
security-sensitive employee unless he or she successfully completes a
Level 2 STA, and holds a current DOE. The rationale for requiring this
level of vetting is explained above in section II.B.1. of the preamble.
4. Proposed Sec. 1582.205. This section would require the use of
TSA enrollment centers by individuals, and their owner/operators,
required to apply for an STA under these proposed regulations. The
reasons for this proposed requirement is explained above in section
II.B.5. of the preamble.
5. Proposed Sec. 1582.207. As explained above in section II.B.7.
of the preamble, TSA proposes a phased implementation of the vetting
requirements proposed in this rule. Under paragraph (a), the vetting
requirements for primary and alternate security coordinators would
become effective 6 months from the publication date of the final rule.
Under paragraph (b), the vetting requirements for security-sensitive
employees would become effective 12 months from the publication date of
the final rule.
We invite comment from employers and workers on these proposed
effective dates. Specifically, TSA is interested in the time employers
anticipate it will take to prepare for the effective dates, how many
employees fall into each category, and whether the number of employees
can be vetted within the allotted time.
F. Proposed Changes to Part 1584
In this rulemaking, TSA proposes to add ``Subpart C--Security
Threat Assessment Requirements for Owner/Operators and Individuals'' to
part 1584, in keeping with provisions established in the Security
Training rule for the 9/11 Act vetting requirements for OTRB.
1. Proposed Sec. 1584.3. This section would make clear that the
terms defined in Sec. Sec. 1500.3, 1500.5, and 1503.103, of subchapter
A, Sec. 1530.3 of subchapter B, and Sec. 1570.3 of subchapter D of
this chapter, also apply when used in this part.
2. Proposed Sec. 1584.201. This section would set out the
obligations of OTRB owner/operators with regard to STA requirements for
the security coordinators designated in accordance with the Security
Training final rule. Section 1570.201(a) requires OTRB owner/operators
described in Sec. 1584.101 to designate and use a primary and at least
one alternate security coordinator. Under Sec. 1584.101 these OTRB
owner/operators are limited to those that originate, travel through, or
in, a geographic location identified in appendix A to 49 CFR part 1584.
Proposed paragraph (a)(1) would set out the primary requirement
that a covered OTRB owner/operator must not authorize or permit an
individual to serve as a primary or alternate security coordinator,
unless he or she has successfully completed a Level 3 STA and holds a
current DOE. As explained above in section II.B.2. of the preamble, TSA
believes that security coordinators should undergo a Level 3 STA based
on their access to sensitive security and personally identifiable
information. As explained above, a Level 3 STA consists of criminal
history, terrorism/other analyses, and immigration checks. Successful
completion of this Level 3 STA will increase confidence that the
individual is sufficiently trustworthy to assume the position, and the
proposed requirement that he or she continues to hold a current DOE
would require his or her removal if he or she becomes ineligible in the
future.
To comply with proposed paragraph (a)(1), owner/operators must
receive a definitive notification from TSA regarding an individual's
STA. TSA expects to create a web-based portal for owner/operators to
access, which will include the results of the STAs of that owner/
operator's workers. TSA has considered other methods of employer
notification, such as mailing letters, but believes this method would
be more cost-effective and minimizes the risk of fraud or missing
records associated with paper documents and mail service. TSA invites
comment from the industry as to other potential methods of
notification, as well as the relative advantages and disadvantages of
the options.
Paragraph (a)(2) would require the owner/operator to retain records
documenting compliance with proposed paragraph (a)(1). TSA proposes to
allow owner/operators flexibility as to the format, paper or digital,
of storage, as long as the form and manner is authorized by TSA. As
part of inspecting compliance with the STA requirements, TSA must be
able to review these records to ensure that the STA requirements have
been met at the appropriate time. TSA invites comment from owner/
operators as to how most will satisfy this requirement and other ideas
for meeting it.
[[Page 33497]]
Paragraph (b) proposes continuing responsibilities for owner/
operators after the initial vetting of security coordinators. Paragraph
(b)(1) would require an owner/operator to remove an individual from a
position as a security coordinator, if notified by TSA that the
individual is no longer eligible for the position. TSA would issue such
a notification if, for example, the recurrent terrorism check
subsequently reveals information indicating that the individual poses
or may pose a threat to transportation security or national security,
or of terrorism.
Paragraph (b)(2) would require an owner/operator that becomes aware
of information that an individual may not be eligible to serve as a
security coordinator to notify TSA immediately. This responsibility
would arise, for example, if the owner/operator becomes aware that a
security coordinator has been arrested or convicted for a potentially
disqualifying crime.
Paragraph (b)(3) would provide that an owner/operator may reassign
an individual as a security coordinator if notified by TSA that he or
she regained eligibility. For example, if TSA notified an owner/
operator under proposed paragraph (b)(1) that an individual is
ineligible, but subsequently determines that the factor causing the
ineligibility had been resolved, TSA would notify the owner/operator
under paragraph (b)(3).
3. Proposed Sec. 1584.203. This section would set out the
obligations of individuals employed by covered public OTRB owner/
operators who must undergo an STA to serve as a security coordinator.
Paragraph (a) would provide that an individual must not work as a
security coordinator for a covered OTRB owner/operator, unless he or
she successfully completes a Level 3 STA and holds a current DOE. The
reasons for requiring a Level 3 STA, and the checks that would compose
this level of vetting are explained above in section II.B.2. of the
preamble. Paragraph (a) would also specify that the CHRC conducted as
part of the Level 3 STA would be adjudicated against the list of
disqualifying crimes in proposed Sec. 1530.503.
4. Proposed Sec. 1584.205. This section would require the use of
TSA enrollment centers by individuals required to apply for an STA
under these proposed regulations. The reasons for this proposed
requirement is explained above in section II.B.5. of the preamble.
5. Proposed Sec. 1584.207. As explained above in section II.B.7.
of the preamble, TSA proposes a phased implementation of the vetting
requirements proposed in this rule. Under paragraph (a), the vetting
requirements for primary and alternate security coordinators would
become effective 6 months from the publication date of the final rule.
We invite comment from employers and workers on these proposed
effective dates. Specifically, TSA is interested in the time employers
anticipate it will take to prepare for the effective dates, how many
employees fall into each category, and whether the number of employees
can be vetted within the allotted time.
V. Regulatory Analyses
A. Paperwork Reduction Act
The Paperwork Reduction Act of 1995 (PRA) (44 U.S.C. 3501. et seq.)
requires that TSA consider the impact of paperwork and other
information collection burdens imposed on the public and, under the
provisions of 44 U.S.C. 3507(d), obtain approval from the OMB for each
collection of information it conducts, sponsors, or requires through
regulations.
Under existing OMB Control No. 1652-0051, OMB has approved a
related information collection request for contact information of
freight railroad carriers, passenger railroad carriers, and rail
transit systems primary security coordinators and alternate security
coordinators, as well as reporting significant security concerns by
freight railroad carriers, passenger railroad carriers, and rail
transit systems. Under the provisions of the proposed rule, the
affected freight rail and PTPR entities would be required to modify or
amend how they would perform their collection of the additional
information required to complete STAs. The additional information
collection requirement from the proposed rule relates to information
that affected freight rail and PTPR employees would submit during STA
enrollments, PDI appeals, and PDI waivers. These requirements would be
added to the existing collection with OMB control number 1652-0051.
Revisions to OMB Control Number 1652-0051
This proposed rule contains new information collection activities
subject to the PRA. The proposed rule would require OTRB security
coordinators submit personal information during STA enrollments, PDI
appeals, and PDI waivers. Accordingly, DHS and TSA invite the general
public to comment on the impact to the proposed collection of
information. In accordance with the PRA, the information collection
notice is published in the Federal Register to obtain comments
regarding the proposed edits to the information collection instrument.
Comments are encouraged and will be accepted for 90 days from the
publication date of the proposed rule. All submissions should include
the OMB Control Number 1652-0051 in the body of the letter and the
agency name. To avoid duplicate submissions, please use only one of the
methods under the ADDRESSES and I. Public Participation section of this
rule to submit comments. Therefore, in preparation for OMB review and
approval of the following information collection, TSA is soliciting
comments to:
(1) Evaluate whether the collection of information is necessary for
the proper performance of the functions of the agency, including
whether the information will have practical utility;
(2) Evaluate the accuracy of the agency's estimate of the burden of
the collection of information, including the validity of the
methodology and assumptions used;
(3) Enhance the quality, utility, and clarity of the information to
be collected; and
(4) Minimize the burden of the collection of information on those
who are to respond, including through the use of appropriate automated,
electronic, mechanical, or other technological collection techniques or
other forms of IT (e.g., permitting electronic submission of
responses).
Title: TSA Security Vetting of Certain Surface Transportation
Workers.
Summary: This proposed rule would require the following information
collections:
First, owner/operators identified in 49 CFR 1580.303, 1582.203, and
1584.203 would be required to vet certain workers using security threat
assessments (STAs) and for TSA to conduct the STAs. The proposed rule
would establish the following three risk-based levels of STAs for
different employee populations:
Level 1 STA: Terrorism check and other analyses (including
a check against the Terrorist Screening Database among other
databases);
Level 2 STA: Terrorism check and other analyses and
immigration check; and
Level 3 STA: Terrorism check and other analyses,
immigration check, and criminal history record check (CHRC).
For certain freight rail and public transportation and passenger
railroad (PTPR) owner/operators, the proposed rule would require
security-sensitive employees and security coordinators to undergo a
Level 2 STA and Level 3
[[Page 33498]]
STA, respectively. For certain over-the-road-bus (OTRB) owner/
operators, the proposed rule would require only security coordinators
to undergo a Level 3 STA. OTRB security-sensitive employees would not
be required to undergo an STA under the proposed rule. The proposed
rule would establish fees to be collected from security-sensitive
employees and security coordinators undergoing an STA to recover TSA's
vetting costs as required by law.\60\
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\60\ TSA is statutorily required to fund the STA process through
user fees (see 6 U.S.C. 469).
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The proposed rule also sets out the standards for the adjudication
of STAs and redress procedures for STA applicants. The proposed rule
describes the standards TSA would use to make decisions about the
eligibility of an STA applicant based on the information obtained from
the STA check and the procedures TSA would follow when an STA applicant
does not appear to meet, or may no longer meet, the proposed STA
standards. When the latter occurs, TSA would notify the owner and/or
operator that the individual is no longer eligible for the position,
and notify the STA applicant or STA holder about the potentially
disqualifying factors in a Preliminary Determination of Ineligibility
(PDI) or Preliminary Determination of Ineligibility with Immediate
Revocation (PDIIR). TSA would also issue a Final Determination of
Ineligibility (FDI) if the applicant fails to request an appeal or
waiver of the PDI or PDIIR within the required time frame, or TSA
denies the appeal or waiver. For STA applicants who receive either a
PDI, PDIIR, or FDI, the proposed rule sets out redress procedures.
These proposed redress procedures are substantively the same as the
current redress provisions codified in part 1515 that apply to
individuals who are required to undergo an STA for the Transportation
Worker Identification Credential (TWIC), Hazardous Material Endorsement
(HME), and certain air cargo programs.\61\
---------------------------------------------------------------------------
\61\ For a full discussion of the development of the original
provisions in 49 CFR part 1515, see Transportation Worker
Identification Credential (TWIC) Implementation in the Maritime
Sector; Hazardous Materials Endorsement for a Commercial Driver's
License final rule, 72 FR 3492 (Jan. 25, 2007).
---------------------------------------------------------------------------
This proposed rule would also require that owner/operators not
authorize or permit an individual to serve as a security-sensitive
employee, in the case of freight rail and PTPR, or a security
coordinator for all three modes, unless the owner/operator verifies
with TSA that the individual has successfully completed a Level 2 STA
or Level 3 STA, respectively, and holds a current determination of
eligibility (DOE) as described in the proposed rule. The owner/
operators would also be required to retain records, in a form and
manner authorized by TSA and for the period specified in the proposed
rule, and make the records available to TSA when requested during
inspection.
Use of: This information would be used to support implementation of
the proposed rule, which requires completing a name-based security
background check against the consolidated terrorist watchlist and an
immigration check in the United States for all freight rail and PTPR
security-sensitive employees; and those same two checks in addition to
a CHRC for all security coordinators of freight rail, PTPR, and OTRB
owner/operators. A redress process is required by the 9/11 Act to
address due process. The proposed rule requires owner/operators to file
and maintain records of STAs for all affected employees.
Respondents: The likely respondents to this information collection
are affected employees of the owners and/or operators of covered
surface modes, who are estimated to be approximately 355,730 over the
next 3 years. TSA estimates the average annual number of respondents to
be 118,457 over the same period, and the average annual number of
responses to be 308,198.\62\
---------------------------------------------------------------------------
\62\ The number of responses by affected individuals/entities
include number of enrollments including comparable STAs, appeals,
waivers, records, contact information updates, and customer
satisfaction surveys processed.
---------------------------------------------------------------------------
Frequency: Once the rule has been implemented, TSA estimates that
STA enrollments and the corresponding recordkeeping would occur
whenever vetting of an employee or security coordinator is required due
to the hiring of new personnel, promotions into affected positions, and
staff turnover. The initial implementation of the proposed rule would
require all security-sensitive employees and security coordinators to
obtain a DOE in order to continue performing in their roles, which--
along with the 5-year renewal requirement--would establish a pattern of
enrollment/renewal spikes every 5 years. The redress process frequency
will follow the pattern of STA enrollments with a lag of a few weeks
due to processing times. Each stage in the redress process would occur
whenever an appeal is filed after a negative determination has been
issued. STA enrollment satisfaction surveys would occur annually and
individuals' contact information would occur on a periodic basis.
Annual Burden Estimate: The average annual time burden for STA
Enrollments, PDI Appeals, PDI Waivers, STA Recordkeeping, and STA
Satisfaction Survey is expected to reach an annual average of 181,345
hours over the first 3 years. Table 12 displays the number of
respondents for STA Enrollments, PDI Appeals, PDI Waivers,
Recordkeeping, Contact Information Updates, and STA Customer
Satisfaction Survey for Freight Rail, PTPR, and OTRB entities.
Table 12--PRA Burden Estimate
--------------------------------------------------------------------------------------------------------------------------------------------------------
Collections Number of responses Average
----------------------------------------------------------- Time per ---------------------------------- 3-Year total 3-Year time annual time
response responses burden (hours) burden
Industry STA Enrollments (hours) Year 1 Year 2 Year 3 (hours)
--------------------------------------------------------------------------------------------------------------------------------------------------------
a b c d e = f = a x e g = f / 3
[Sigma]b,c,d
--------------------------------------------------------------------------------------------------------------------------------------------------------
Freight Rail................. SSEs....................... 1.43 114,828 4,593 4,543 123,964 177,195 59,065
SCs........................ 1.51 444 22 22 488 738 246
Comparable STA SSEs........ 0.17 7,408 296 293 7,997 1,333 444
Comparable STA SCs......... 0.17 453 22 22 497 83 28
FRSR......................... SCs........................ 1.51 233 20 20 274 414 138
Comparable SCs............. 0.17 262 22 23 308 51 17
PTPR......................... SSEs....................... 1.43 178,760 20,728 20,788 220,276 314,865 104,955
SCs........................ 1.51 121 16 16 154 233 78
Comparable STA SSEs........ 0.17 578 67 67 712 119 40
Comparable STA SCs......... 0.17 109 14 15 138 23 8
OTRB......................... SCs........................ 1.51 155 21 21 197 298 99
[[Page 33499]]
Comparable SCs............. 0.17 289 39 40 367 61 20
--------------------------------------------------------------------------------------------------------------------------------------------------------
PDI Appeals
--------------------------------------------------------------------------------------------------------------------------------------------------------
Freight Rail................. SSEs....................... 0.63 342 14 14 369 231 77
SCs........................ ........... 6 0 0 7 4 1
FRSR......................... SCs........................ ........... 3 0 0 4 2 1
PTPR......................... SSEs....................... ........... 533 62 62 656 410 137
SCs........................ ........... 2 0 0 2 1 0
OTRB......................... SCs........................ ........... 2 0 0 3 2 1
--------------------------------------------------------------------------------------------------------------------------------------------------------
PDI Waivers
--------------------------------------------------------------------------------------------------------------------------------------------------------
Freight Rail................. SCs........................ 4.13 1.1 0.1 0.1 1 5 2
FRSS......................... SCs........................ ........... 0.6 0.0 0.0 1 3 1
PTPR......................... SCs........................ ........... 0.3 0.0 0.0 0 2 1
OTRB......................... SCs........................ ........... 0.4 0.0 0.1 0 2 1
--------------------------------------------------------------------------------------------------------------------------------------------------------
Recordkeeping
--------------------------------------------------------------------------------------------------------------------------------------------------------
Freight Rail................. SSEs....................... 0.08 122,236 4,889 4,836 131,961 10,997 3,666
SCs........................ ........... 897 44 44 984 82 27
FRSR......................... SCs........................ ........... 496 42 43 581 48 16
PTPR......................... SSEs....................... ........... 179,337 20,795 20,856 220,987 18,416 6,139
SCs........................ ........... 230 30 31 292 24 8
OTRB......................... SCs........................ ........... 444 60 61 564 47 16
--------------------------------------------------------------------------------------------------------------------------------------------------------
Contact Information Updates
--------------------------------------------------------------------------------------------------------------------------------------------------------
Freight Rail................. SSEs....................... 0.09 12,369 12,233 12,098 36,700 3,303 1,101
SCs........................ ........... 91 92 92 275 25 8
FRSR......................... SCs........................ ........... 50 51 52 153 14 5
PTPR......................... SSEs....................... ........... 18,147 18,200 18,254 54,600 4,914 1,638
SCs........................ ........... 23 24 24 71 6 2
OTRB......................... SCs........................ ........... 45 46 47 137 12 4
--------------------------------------------------------------------------------------------------------------------------------------------------------
STA Customer Satisfaction Survey
--------------------------------------------------------------------------------------------------------------------------------------------------------
Freight Rail................. SSEs....................... 0.08 40,190 1,608 1,590 43,387 3,616 1,205
SCs........................ ........... 156 8 8 171 14 5
FRSR......................... SCs........................ ........... 82 7 7 96 8 3
PTPR......................... SSEs....................... ........... 62,566 7,255 7,276 77,097 6,425 2,142
SCs........................ ........... 42 6 6 54 4 1
OTRB......................... SCs........................ ........... 54 7 7 69 6 2
---------------------------------------------------------------------------------------------
Total.................... ........................... ........... 741,985 91,331 91,278 924,594 544,035 181,345
--------------------------------------------------------------------------------------------------------------------------------------------------------
Note: Totals may not be exact due to rounding in the table.
B. Economic Impact Analyses
1. Regulatory Impact Analysis Summary
Changes to Federal regulations must undergo several economic
analyses. First, Executive Order (E.O.) 12866, Regulatory Planning and
Review,\63\ as supplemented by E.O. 13563, Improving Regulation and
Regulatory Review,\64\ directs each Federal agency to propose or adopt
a regulation only upon a reasoned determination that the benefits of
the intended regulation justify its costs. Second, the Regulatory
Flexibility Act of 1980 (RFA) \65\ requires agencies to consider the
economic impact of regulatory changes on small entities. Third, the
Trade Agreement Act of 1979 \66\ prohibits agencies from setting
standards that create unnecessary obstacles to the foreign commerce of
the United States. Fourth, the Unfunded Mandates Reform Act of 1995
\67\ (UMRA) requires agencies to prepare a written assessment of the
costs, benefits, and other effects of proposed or final rulemakings
that include a Federal mandate likely to result in the expenditure by
State, local, or tribal governments, in the aggregate, or by the
private sector, of $100 million or more annually (adjusted for
inflation).
---------------------------------------------------------------------------
\63\ 58 FR 51735 (Oct. 4, 1993).
\64\ 76 FR 3821 (Jan. 21, 2011).
\65\ Public Law 96-354 (94 Stat. 1164; Sept. 19, 1980) (codified
at 5 U.S.C. 601 et seq., as amended by the Small Business Regulatory
Enforcement Fairness Act of 1996 (SBREFA)).
\66\ Public Law 96-39 (93 Stat. 144; July 26, 1979) (codified at
19 U.S.C. 2531-2533).
\67\ Public Law 104-4 (109 Stat. 66; Mar. 22, 1995) (codified at
2 U.S.C. 1181-1538).
---------------------------------------------------------------------------
2. Executive Orders 12866 and 13563 Assessments
Under the requirements of E.O.s 12866 and 13563, agencies must
assess the costs and benefits of available regulatory alternatives and,
if regulation is necessary, select regulatory approaches that maximize
net benefits (including potential economic, environmental, public
health and safety effects, distributive impacts, and equity). These
requirements were supplemented by E.O. 13563, which emphasizes the
importance of quantifying both costs and benefits, of reducing costs,
of harmonizing rules, and of promoting flexibility.
In accordance with E.O. 12866, TSA has submitted the proposal to
the Office of Management and Budget (OMB), which has determined that
this
[[Page 33500]]
proposed rule is a significant regulatory action within the meaning of
E.O. 12866, although not economically significant as the rule will not
result in an effect on the economy of $100 million or more in any year
of the analysis.
In conducting these analyses:
1. TSA prepared an Initial Regulatory Flexibility Analysis (IRFA),
which estimates that this rulemaking would likely have a regulatory
cost that exceeds one percent of revenue for one small entity--one
freight rail owner/operator--of the 372 small entities that TSA found
would be impacted by the NPRM.
2. This rulemaking would not constitute a barrier to international
trade.
3. This rulemaking is not likely to result in the expenditure by
State, local, or tribal governments, in the aggregate, or by the
private sector, of $100 million or more annually (adjusted for
inflation).
TSA has prepared an analysis of its estimated costs and benefits,
summarized in the following paragraphs, and in the OMB Circular A-4
Accounting Statement. When estimating the cost of a rulemaking,
agencies typically estimate future expected costs imposed by a
regulation over a period of analysis. For this rulemaking's period of
analysis, TSA uses a 10-year period of analysis to estimate the initial
and recurring costs to the regulated surface mode owner/operators and
new owner/operators that are expected due to industry growth. As
discussed above, the 9/11 Act requires TSA to conduct the vetting we
propose in this NPRM for security-sensitive workers of rail and public
transportation workers. For security coordinators, the 9/11 Act
requires TSA to ensure U.S. citizenship or conduct an appropriate STA
in place of the citizenship requirement. For these workers, TSA is
proposing a Level 3 STA rather than U.S. citizenship. The 9/11 Act does
not require a Level 3 STA for these workers, but gives TSA the
discretion to determine which STA is appropriate. TSA is using that
discretion to propose a Level 3 STA for security coordinators due to
the access to security and personally identifiable information security
coordinators have.
TSA summarizes the costs of the proposed rule to be borne by four
types of parties: freight rail owner/operators, PTPR owner/operators,
OTRB owner/operators, and TSA. As displayed in Table 13, TSA estimates
the 10-year total cost of this proposed rule to be $108.99 million
undiscounted, $98.08 million discounted at 3 percent, and $86.58
million discounted at 7 percent. The costs to industry (all three
surface modes) comprise approximately 98.3 percent of the total costs
of the rule; and the remaining costs are incurred by TSA. See Table 13
below.
Table 13--Total Cost of the Proposed Rule by Entity
[$ Thousands]
--------------------------------------------------------------------------------------------------------------------------------------------------------
Cost by regulated industry Total proposed rule cost
------------------------------------------ Total -------------------------------------------
regulated f = [Sigma]d,e
Year industries TSA cost -------------------------------------------
Freight rail PTPR OTRB cost Discounted Discounted
Undiscounted at 3% at 7%
--------------------------------------------------------------------------------------------------------------------------------------------------------
a b c d = e
[Sigma]a,b,
c
--------------------------------------------------------------------------------------------------------------------------------------------------------
1....................................... $22,355 $28,768 $532 $51,656 $174 $51,830 $50,320 $48,439
2....................................... 1,040 3,393 57 4,489 176 4,665 4,397 4,074
3....................................... 1,032 3,403 58 4,493 177 4,670 4,274 3,812
4....................................... 1,025 3,414 59 4,498 179 4,676 4,155 3,568
5....................................... 1,018 3,425 60 4,502 181 4,683 4,039 3,339
6....................................... 6,759 9,015 116 15,890 182 16,072 13,460 10,709
7....................................... 1,241 4,094 70 5,404 184 5,588 4,544 3,480
8....................................... 1,232 4,107 71 5,410 186 5,595 4,417 3,257
9....................................... 1,223 4,120 72 5,415 187 5,603 4,294 3,047
10...................................... 1,215 4,133 74 5,421 189 5,610 4,174 2,852
---------------------------------------------------------------------------------------------------------------
Total............................... 38,139 67,871 1,168 107,178 1,814 108,993 98,075 86,578
---------------------------------------------------------------------------------------------------------------
Annualized.......................... .............. ........... ........... ........... ........... .............. 11,497 12,327
--------------------------------------------------------------------------------------------------------------------------------------------------------
Note: Totals may not add due to rounding.
TSA estimates the 10-year costs to the freight railroad (including
freight rail shippers and receivers) industry to be $38.14 million
undiscounted, $34.90 million discounted at 3 percent, and $31.43
million discounted at 7 percent, as displayed by cost categories in
Table 14.\68\
---------------------------------------------------------------------------
\68\ Costs include STA fees, time and travel burdens, redress
procedures for applicable individuals, employer replacement, hiring,
and unemployment, recordkeeping, contact information updates,
employer management policies, regulation familiarization, and
compliance inspections.
Table 14--Total Cost of the Proposed Rule to the Freight Rail Industry
[$ Thousands]
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Mngt policies, Total freight rail cost
Redress Repl. & Contact familiar & -----------------------------------------------
Year STA cost process unemploym. Recordkeeping info update compliance g = [Sigma]a,b,c,d,e,f
cost cost cost cost inspection -----------------------------------------------
cost Undisc. Disc. at 3% Disc. at 7%
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
a b c d e f
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
1...................................................... $19,449 $551 $419 $393 $56 $1,487 $22,355 $21,704 $20,893
2...................................................... 782 22 17 16 55 148 1,040 980 908
3...................................................... 774 22 17 16 55 149 1,032 945 843
[[Page 33501]]
4...................................................... 766 22 17 15 54 151 1,025 911 782
5...................................................... 757 22 17 15 53 152 1,018 878 726
6...................................................... 5,442 447 345 319 53 154 6,759 5,661 4,504
7...................................................... 930 39 37 27 52 156 1,241 1,009 773
8...................................................... 920 38 37 27 52 157 1,232 973 717
9...................................................... 911 38 38 27 51 159 1,223 937 665
10..................................................... 901 37 38 26 51 161 1,215 904 617
----------------------------------------------------------------------------------------------------------------------------------------
Total.............................................. 31,632 1,237 983 881 532 2,874 38,139 34,900 31,427
----------------------------------------------------------------------------------------------------------------------------------------
Annualized......................................... .............. ........... ............ ............... ........... .............. .............. 4,091 4,474
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Note: Totals may not add due to rounding.
TSA estimates the 10-year costs to the PTPR industry to be $67.87
million undiscounted, $60.58 million discounted at 3 percent, and
$52.96 million discounted at 7 percent, as displayed by cost categories
in Table 15.
Table 15--Total Cost of the Proposed Rule to the PTPR Industry
[$ Thousands]
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Mngt policies, Total cost
Redress Repl. & Contact familiar & -----------------------------------------------
Year STA cost process unemploym. Recordkeeping info update compliance g = [Sigma]a,b,c,d,e,f
cost cost cost cost inspection -----------------------------------------------
cost Undisc. Disc. at 3% Disc. at 7%
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
a b c d e f
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
1...................................................... $26,987 $749 $74 $583 $64 $311 $28,768 $27,930 $26,886
2...................................................... 3,130 87 7 68 64 38 3,393 3,198 2,963
3...................................................... 3,139 87 7 68 64 38 3,403 3,115 2,778
4...................................................... 3,148 87 7 68 64 39 3,414 3,033 2,605
5...................................................... 3,158 88 7 68 65 39 3,425 2,954 2,442
6...................................................... 7,974 499 48 389 65 40 9,015 7,550 6,007
7...................................................... 3,734 136 13 106 65 40 4,094 3,329 2,550
8...................................................... 3,745 136 13 106 65 41 4,107 3,242 2,390
9...................................................... 3,756 137 13 106 65 42 4,120 3,157 2,241
10..................................................... 3,767 137 14 107 66 42 4,133 3,075 2,101
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Total.............................................. 62,538 2,144 205 1,668 647 669 67,871 60,584 52,963
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Annualized......................................... .............. ........... ............ ............... ........... .............. .............. 7,102 7,541
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Note: Totals may not add due to rounding.
TSA estimates the 10-year costs to the OTRB industry to be $1.17
million undiscounted, $1.05 million discounted at 3 percent, and $0.92
million discounted at 7 percent, as displayed by cost categories in
Table 16.
Table 16--Total Cost of the Proposed Rule to the OTRB Industry
[$ Thousands]
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Mngt policies, Total cost
Redress Repl. & Contact familiar & -----------------------------------------------
Year STA cost process unemploym. Recordkeeping info update compliance g = [Sigma]a,b,c,d,e,f
cost cost cost cost inspection -----------------------------------------------
cost Undisc. Disc. at 3% Disc. at 7%
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
a b c d e f
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
1...................................................... $46 $3 $76 $1.0 $0.3 $405 $532 $517 $497
2...................................................... 6 0 7 0.1 0.3 43 57 53 49
3...................................................... 6 0 7 0.1 0.3 43 58 53 47
4...................................................... 6 0 7 0.1 0.3 44 59 52 45
5...................................................... 7 0 7 0.1 0.3 45 60 52 43
6...................................................... 18 2 49 0.7 0.3 46 116 97 77
7...................................................... 8 1 13 0.2 0.3 47 70 57 43
8...................................................... 8 1 13 0.2 0.3 48 71 56 41
[[Page 33502]]
9...................................................... 9 1 14 0.2 0.3 49 72 55 39
10..................................................... 9 1 14 0.2 0.3 50 74 55 37
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Total.............................................. 124 10 208 3.2 3.1 820 1,168 1,047 920
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Annualized......................................... .............. ........... ............ ............... ........... .............. .............. 123 131
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Note: Totals may not add due to rounding.
TSA estimates the 10-year costs to TSA to be $1.81 million
undiscounted, $1.54 million discounted at 3 percent, and $1.27 million
discounted at 7 percent, as displayed by cost categories in Table 17.
Table 17--Total Cost of the Proposed Rule to TSA
[$ Thousands]
----------------------------------------------------------------------------------------------------------------
Compliance TSA total cost (compliance inspection cost)
Year inspection -------------------------------------------------------
cost Undiscounted Discounted at 3% Discounted at 7%
----------------------------------------------------------------------------------------------------------------
1.......................................... $174 $174 $169 $163
2.......................................... 176 176 166 153
3.......................................... 177 177 162 145
4.......................................... 179 179 159 136
5.......................................... 181 181 156 129
6.......................................... 182 182 153 121
7.......................................... 184 184 150 115
8.......................................... 186 186 147 108
9.......................................... 187 187 144 102
10......................................... 189 189 141 96
--------------------------------------------------------------------
Total.................................. 1,814 1,814 1,544 1,268
--------------------------------------------------------------------
Annualized............................. ........... .............. 181 181
----------------------------------------------------------------------------------------------------------------
The proposed rule would enhance surface transportation security by
reducing vulnerability to attacks perpetrated by insiders.
Specifically, the proposed rule would subject individuals that
currently work, or that in the future will work (applicants), at
covered entities to pass an STA, administered by TSA. The introduction
of an STA requirement allows TSA to confirm the individual's identity
and determine from background information whether he or she poses or
may pose a threat to transportation security or national security, or
of terrorism. Absent the STA requirement, individuals who may pose a
threat would continue to work in their respective positions. This is
particularly relevant for individuals that perform the functions of a
security coordinator or security-sensitive employee. Once an individual
has completed the STA process and receives a favorable STA, they are
then required to maintain a DOE during the entire span of their tenure
as a security-sensitive employee or a security coordinator. This will
help ensure that only individuals that do not pose a threat will be
eligible to continue their employment at covered entities while
limiting those with an unfavorable STA from using their employment to
carry out a nefarious act. Covered entities would also be required to
maintain records on employee STAs and make them available to TSA upon
request. This requirement increases the robustness of the program by
encouraging covered entities to be in compliance with the requirements
and providing a mechanism for TSA to assess that compliance. Higher
levels of compliance increase the benefits associated with STAs by
virtue of their increased use. While security vetting is not an
absolute deterrent for terrorists intent on carrying out attacks on
surface modes of transportation, TSA expects the probability of success
for such attacks to decrease if security coordinators and security-
sensitive employees within these transportation modes are vetted under
the proposed rule.
TSA uses a break-even analysis to frame the relationship between
the potential benefits of the proposed rule and the costs of
implementing the rule. When it is not possible to quantify or monetize
a majority of the incremental benefits of a regulation, OMB recommends
conducting a threshold, or ``break-even'' analysis. According to OMB
Circular No. A-4, ``Regulatory Analysis,'' such an analysis answers the
question ``How small could the value of the non-qualified benefits be
(or how large would the value of the non-quantified costs need to be)
before the rule would yield zero net benefits?'' \69\ To conduct the
break-even analysis,
[[Page 33503]]
TSA evaluates composite scenarios for each of the three modes covered
by the proposed rule. For each mode, the composite scenario represents
the potential monetized losses associated with the deaths, injuries, as
well as property damage and remediation caused by a terrorist attack on
the corresponding transportation mode. TSA estimates a total monetary
consequence from an estimated statistical value of the human casualties
and capital replacement resulting from the attack.\70\
---------------------------------------------------------------------------
\69\ OMB, ``Circular A-4: Regulatory Analysis'', Section B. The
Need for Federal Regulatory Action. September 17, 2003. pg. 2.
\70\ See Section 4.4 of the TSA Security Vetting of Certain
Surface Transportation Workers Preliminary Regulatory Impact
Analysis (RIA) for a more detailed description of these
calculations; however, many assumptions regarding specific terrorist
attacks scenarios are Sensitive Security Information (SSI) and
cannot be publicly released.
---------------------------------------------------------------------------
Table 18 presents the composite or weighted average of direct
consequences from an attack executed on each mode.
[GRAPHIC] [TIFF OMITTED] TP23MY23.021
TSA compared the estimated direct monetary costs from an attack to
the annualized cost (discounted at 7 percent) to industry and TSA from
the proposed rule for each mode to estimate how often an attack of that
nature would need to be averted for the expected benefits to equal
estimated costs. Table 19 presents the results of the break-even
analysis for each mode.\73\ For example, Table 19 shows that if the
freight rail vetting requirements in this rule prevents one freight
rail terrorist attack every 129 years,\74\ the freight rail provisions
of this rule ``break-even'' (the benefits equal the costs). These
breakeven frequencies are once every 129 years for freight rail, once
every 78 years for PTPR, and once every 238 years for OTRB.
---------------------------------------------------------------------------
\71\ As explained in the RIA in the docket, to monetize
injuries, TSA used two approaches (depending on whether the injury
was due to exposure to hazardous chemicals). To monetize ``non-
chemical'' injuries, TSA uses guidance from the Department of
Transportation for valuing injuries based on the Abbreviated Injury
Scale. To monetize chemical-related injuries, TSA obtained
information on the cost of medical treatment for poisoning injuries.
\72\ Total Direct Consequences = (Deaths x $11.6 million VSL) +
(Severe injuries x $3.085 million) + (Moderate injuries x $0.545
million) + (Severe chemical injuries x $49,769) + (Moderate chemical
injuries x $1.715) + Public property loss + Private property loss +
Rescue and clean-up cost.
\73\ The total cost for each mode includes the TSA costs
associated with it.
\74\ TSA divided the total direct consequences of each composite
scenario by the annualized cost for its respective mode to estimate
the frequency of terrorist attacks the proposed rule would need to
avert for its costs to equal its benefits.
Table 19--Break-Even Results
[$ Thousands]
----------------------------------------------------------------------------------------------------------------
Weighted average direct Annualized cost of Break-even averted attack
Modes costs of an attack the proposed rule frequency
a b c = a / b
----------------------------------------------------------------------------------------------------------------
Freight Rail.................. $589,298 $4,572 Once every 129 years.
PTPR.......................... 588,148 7,587 Once every 78 years.
OTRB.......................... 39,771 167 Once every 238 years.
----------------------------------------------------------------------------------------------------------------
In the break-even analysis, TSA only considers the estimated direct
costs: direct economic losses of the attack scenarios that would be
averted as a result of the proposed rule. The break-even analysis does
not include the difficult-to-quantify indirect costs of an attack or
the macroeconomic impacts that could occur due to a major attack. In
addition to the direct impacts of a terrorist attack in terms of lost
life and property, there are other more indirect impacts that are
difficult to measure. As noted by Cass Sunstein in Laws of Fear, ``. .
. fear is a real social cost, and it is likely to lead to other social
costs.'' In addition, Ackerman and Heinzerling state ``. . . terrorism
`works' through the fear and demoralization caused by uncontrollable
uncertainty.'' As devastating as the direct impacts of a successful
terrorist attack can be in terms of the immediate loss of life and
property, avoiding the impacts of the
[[Page 33504]]
more difficult to measure indirect effects are also substantial
benefits of preventing a terrorist attack. Because the analysis only
accounts for a portion of the full impacts of the terrorist attack
scenarios, it is likely that the costs associated with the attack
scenarios, and therefore the cost savings or benefits from vetting
security-sensitive employees, are underestimated in this analysis.
3. OMB A-4 Statement
The OMB A-4 Accounting Statement presents annualized costs and
qualitative benefits of the proposed rule.
Table 20--OMB A-4 Accounting Statement
[$ Millions]
--------------------------------------------------------------------------------------------------------------------------------------------------------
Estimates Units
------------------------------------------------------------------------
Category Period Notes
Primary Low High Year Discount covered
dollar rate (%) (years)
--------------------------------------------------------------------------------------------------------------------------------------------------------
Benefits
--------------------------------------------------------------------------------------------------------------------------------------------------------
Annualized Monetized ($ millions/year)..... N/A N/A N/A N/A 7 N/A Not Quantified.
N/A N/A N/A N/A 3 N/A
Annualized Quantified...................... N/A N/A N/A N/A 7 N/A Not Quantified.
N/A N/A N/A N/A 3 N/A
------------------------------------------------------------------------------------------------------------
Qualitative................................ The requirements proposed in this rule, if finalized, would produce
benefits by reducing security risks through STAs of security-sensitive
employees and security coordinators of affected surface transportation
modes to identify and/or mitigate potential insider threats.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Costs
--------------------------------------------------------------------------------------------------------------------------------------------------------
Annualized Monetized ($ millions/year)..... $12.33 N/A N/A 2020 7 10 NPRM RIA.
$11.50 N/A N/A 2020 3 10
Annualized Quantified...................... N/A N/A N/A N/A 7 N/A Not Quantified.
N/A N/A N/A N/A 3 N/A
------------------------------------------------------------------------------------------------------------
Qualitative................................ Not estimated
--------------------------------------------------------------------------------------------------------------------------------------------------------
Transfers
--------------------------------------------------------------------------------------------------------------------------------------------------------
Annualized Monetized Transfers: Employer $0.10 N/A N/A 2020 7 N/A NPRM RIA.
compensation transfers ($ millions/year). $0.10 N/A N/A 2020 3 N/A
--------------------------------------------------------------------------------------------------------------------------------------------------------
From/To: From:
Displaced Employees
To: Replacemen
t Labor.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Annualized Monetized Transfers: $0.02 N/A N/A 2020 7 N/A NPRM RIA.
Unemployment transfer payment to employees $0.01 N/A N/A 2020 3 N/A
($ millions/year).
--------------------------------------------------------------------------------------------------------------------------------------------------------
From/To: From:
States
To: Displaced
Employees.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Annualized Monetized Transfers: A reduction $0.01 N/A N/A 2020 7 N/A NPRM RIA.
in employment taxes transfer payments ($ $0.01 N/A N/A 2020 3 N/A
millions/year).
--------------------------------------------------------------------------------------------------------------------------------------------------------
From/To: From:
Employees and
Displaced Employees
To: Federal
Government
.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Effects
--------------------------------------------------------------------------------------------------------------------------------------------------------
State, Local, and/or Tribal Government..... None ...................................
Small Business............................. Prepared IRFA NPRM IRFA.
Wages...................................... None
Growth..................................... Not measured
--------------------------------------------------------------------------------------------------------------------------------------------------------
4. Alternatives Considered
In addition to the proposed rule, TSA also considered three
alternative regulatory options. The first alternative (Alternative 1)
requires OTRB security-sensitive employees to undergo a Level-2 STA.
Compared to the proposed rule, Alternative 1 would increase the total
number of STAs performed, but align the OTRB industry with the
requirements placed upon freight rail and PTPR. Unlike freight rail and
PTPR, there is no statutory requirement in the 9/11 Act to perform STAs
on OTRB security-sensitive employees.\75\ TSA carefully considered
making Alternative 1 the preferred alternative for this NPRM to ensure
security-sensitive employees across all three modes undergo an STA, but
ultimately decided to first seek public comment on the applicability
used in Alternative 1 that would require OTRB security-sensitive
employees to undergo a Level-2 STA, and whether that applicability
should be the preferred alternative in the final rule.
---------------------------------------------------------------------------
\75\ Note that TSA has broad authority to establish security
requirements, including STAs for individuals with access to the
transportation system, under 49 U.S.C. 114.
---------------------------------------------------------------------------
The second alternative (Alternative 2) represents a lower-cost
alternative that adjusts certain regulatory requirements while
complying with the text and purpose of the 9/11 Act. Specifically,
Alternative 2 would remove the proposed rule's vetting requirement for
freight rail and OTRB owner/operator security coordinators with U.S.
citizenship, as well as the vetting requirements for freight rail
shippers and receivers (FRSR) and PTPR security coordinators. The 9/11
Act mainly
[[Page 33505]]
requires a ``name-based security background check against the
consolidated terrorist watchlist and an immigration check'' for
frontline public transportation employees \76\ and frontline railroad
employees.77 78 The 9/11 Act also requires an ``individual
serving as the security coordinator'' for freight rail and OTRBs to be
``a citizen of the United States,'' except if TSA waives this
requirement after an appropriate background check of the
individual.79 80 Therefore, under Alternative 2 security
coordinators with U.S. citizenship would not need to undergo an
STA.\81\ A Level 3 STA would be required only of a freight rail and
OTRB security coordinator who is not a citizen of the United States.
For those who are vetted under this Alternative, TSA retains the
proposed rule requirements necessary to sustain the benefits of TSA's
vetting program including: (1) the 5-year renewal cycle; (2) recurrent
vetting; (3) STA recordkeeping; (4) contact information updates; and
(5) compliance inspections. Compared to the proposed rule, the total
number of affected entities would decrease under Alternative 2, as FRSR
entities and non-high-risk PTPR agencies would not be impacted by this
alternative. The number of OTRB owner/operators affected by Alternative
2 would not change relative to the proposed rule; however, the number
of security coordinators affected would decrease as only non-US
citizens would be required to be vetted. By restricting the population
of affected employees, Alternative 2 would reduce the number of STAs
performed and would likely limit TSA's ability to identify higher-risk
individuals seeking access to the transportation infrastructure.
---------------------------------------------------------------------------
\76\ See sec. 1411, the 9/11 Commission Act, Public Law 110-53,
(121 Stat. 266, Aug. 3, 2007); codified at 6 U.S.C. 1140.
\77\ See sec. 1520 of the 9/11 Act.
\78\ As discussed in greater detail in the preamble of this
NPRM, TSA uses ``security-sensitive'' in place of ``frontline''
employee, to mirror the terminology changes made in the Surface
Training rulemaking.
\79\ See sec. 1512, codified at 6 U.S.C. 1162 (freight rail);
sec. 1531, codified at 6 U.S.C. 1181 (OTRB).
\80\ As discussed in the NPRM the 9/11 Act does not require a
specific type of background check that would take the place of
requiring U.S. citizenship. TSA proposes to require OTRB security
coordinators to undergo a Level 3 STA, due to the access to security
and privacy information security coordinators have, and consistent
with other TSA vetting programs.
\81\ TSA requires these additional requirements in the proposed
rule based on its broad authority under 49 U.S.C. 114 (f)(12) with
regard to transportation security vetting, and TSA also believes
that a higher level of vetting for security coordinators is
justified because security coordinators have particularly sensitive
and important security-related functions.
---------------------------------------------------------------------------
Under Alternative 3, TSA would offer the option for entities
affected by the proposed rule to provide STA enrollment services by
allowing them to train security coordinators who have successfully
completed a Level 3 STA to serve as ``trusted agents'' and perform the
enrollment process for security-sensitive employees. Under this
alternative, owner/operators would train trusted agents to ensure that
they adhere to minimum enrollment standards for protecting the privacy
of information, accurately collecting biometric and biographic
information, performing identity verification, collecting and
processing TSA's fees correctly, and sending the enrollment data to
TSA. While this alternative would have the advantage of potentially
increasing the availability of enrollment locations for STA applicants,
it would have the disadvantage of increasing costs for affected owner/
operators as they would have to establish and maintain appropriate on-
site enrollment capabilities and costly electronic infrastructure to
securely connect with TSA's systems. This alternative would increase
costs for TSA to ensure each entity met information technology and
legal standards and requirements to conduct their own enrollments.
Moreover, under this alternative, TSA would have less control over the
vetting process and enforcement compliance, which may adversely affect
the vetting process and leave the surface transportation infrastructure
more vulnerable to an insider threat.
Table 21 presents a comparison of the costs between the proposed
rule and the alternatives considered.
---------------------------------------------------------------------------
\82\ This estimate consists of 457 Class I, II, and III freight
railroads and 174 freight shippers and receivers.
\83\ This estimate consists of 23 bus-only PTPR agencies and 92
rail PTPR agencies (including Amtrak).
Table 21--Comparison of Costs Between Proposed Rule and Alternatives
[Discounted at 7%, $ thousands]
----------------------------------------------------------------------------------------------------------------
10-Year costs
Initial affected --------------------------------------
population Industry TSA Total
Alternative (number of Requirements --------------------------------------
entities) c =
a b [Sigma]a,b
----------------------------------------------------------------------------------------------------------------
Proposed Rule............... 631 Freight Rail (1) Require high-risk $85,310 $1,268 $86,578
Entities,\82\ 115 freight railroad and
PTPR PTPR security-
Agencies,\83\ 222 sensitive employees to
OTRB Owner/ undergo Level 2 STA;
Operators. (2) Require security
coordinators to
undergo Level 3 STA;
(3) Maintain
employees' STA
records; (4) Update
contact information;
(5) Allow TSA to
perform onsite
inspections; (6) Use
the redress provisions
if affected by the
proposed STAs.
Alternative 1............... Affected (1) Require security- 100,938 1,619 102,557
population of sensitive employees,
entities is the including OTRB, to
same as the undergo Level-2 STA;
Proposed Rule. (2) Require security
coordinators to
undergo Level 3 STA;
(3) Maintain
employees' STA
records; (4) Update
contact information,
(5) Allow TSA to
perform onsite
inspections; (6) Use
of redress provisions
if found ineligible.
Alternative 2............... 457 Freight Rail (1) Require high-risk 82,951 1,187 84,138
Entities, 48 PTPR freight railroad and
Agencies, 222 PTPR security-
OTRB Owner/ sensitive employees to
Operators. undergo Level 2 STA;
(2) Require freight
rail and OTRB security
coordinators without
U.S. citizenship to
undergo Level 3 STA;
(3) Maintain
employees' STA
records; (4) Update
contact information,
(5) Allow TSA to
perform onsite
inspections; (6) Use
the redress provisions
if affected by the
proposed STAs..
[[Page 33506]]
Alternative 3............... Affected (1) Allow covered 72,690 45,571 118,261
population of entities to train and
entities is the use vetted security
same as the coordinators to serve
Proposed Rule. as trusted agents (2)
Require freight
railroad and PTPR
security-sensitive
employees to undergo
Level 2 STA; (3)
Require security
coordinators to
undergo Level 3 STA;
(4) Maintain
employees' STA
records; (5) Update
contact information;
(6) Allow TSA to
perform onsite
inspections; (7) Use
the redress provisions
if affected by the
proposed STAs.
----------------------------------------------------------------------------------------------------------------
Although not the least costly option, TSA presents the proposed
rule as its preferred option. TSA did not select Alternative 1, which
includes STA requirements for OTRB security-sensitive employees,
because it first wants to solicit public comment on requiring more than
is explicitly required in the 9/11 Act for the OTRB security-sensitive
population. The regulatory impact analysis for this proposed rule
provides details on the cost estimates for OTRB employees impacted by
this alternative.
It is TSA's belief that the proposed rule would mitigate potential
insider threats more effectively than Alternative 2 because it proposes
a more stringent level of vetting for security coordinators, given
their unique roles and critical responsibilities. By removing the STA
requirements for security coordinators, Alternative 2 would leave a
critical population that has particularly sensitive and important
security functions without any STA, which would lead to surface
transportation modes that are more vulnerable to insider threat. As a
result, despite the lower cost of Alternative 2, TSA believes the
additional security in the proposed rule outweighs its additional
costs.
Even though Alternative 3 may provide more flexibility, it includes
additional entity and TSA costs to establish and maintain appropriate
enrollment capabilities. Based on experience with another vetting
program that allowed for non-TSA enrollment STAs, TSA estimated the
potential costs to establish and maintain appropriate enrollment
capabilities. The RIA includes a description of the costs of this
alternative, including costs to the regulated entities and TSA. As
described in the RIA, Alternative 3 would cost approximately $31.68
million over the proposed rule costs for the 10-year analysis period.
TSA also strongly prefers to maintain in-house, high-quality, and
consistent identity verification and application processing, which
would not be available if Alternative 3 was selected. In contrast, the
proposed rule would enable the use of TSA enrollment centers where TSA
personnel would be directly involved in the STA process from the time
the applicant is accurately identified through the closing of the
applicant's case.
TSA did not consider as an alternative to the requirements in the
proposed rule the adoption of any regulatory regimes that would not
meaningfully realize the security benefits that Congress intended in
the 9/11 Act and that in TSA's view are warranted. For instance, TSA is
aware that one might arguably interpret the 9/11 Act so narrowly as to
require only (1) a one-time, name-based security background check
against the consolidated terrorist watchlist and an immigration check
for freight railroad \84\ and public transportation frontline employees
\85\ similar to the threat assessment screening program required for
maritime facility employees and longshoreman; \86\ (2) an adequate
redress process for covered individuals subjected to an adverse
employment decision and have the authority to order an appropriate
remedy; and (3) that individuals serving as a security coordinators for
freight railroads \87\ and OTRB operator \88\ be citizens of the United
States or undergo a background check.
---------------------------------------------------------------------------
\84\ Implementing Recommendations of the 9/11 Commission Act of
2007, Public Law 110-53, sec. 1520 (Aug. 3, 2007).
\85\ Implementing Recommendations of the 9/11 Commission Act of
2007, sec. 1411 (Aug. 3, 2007); codified at 6 U.S.C. 1140.
\86\ Coast Guard Notice USCG-2006-24189, 71 FR 25066 (Apr. 8,
2006).
\87\ Implementing Recommendations of the 9/11 Commission Act of
2007, Public Law 110-53, sec. 1512 (Aug. 3, 2007).
\88\ Implementing Recommendations of the 9/11 Commission Act of
2007, Public Law 110-53, sec. 1531 (Aug. 3, 2007).
---------------------------------------------------------------------------
Such a proposal would create a security gap, not reflect current
vetting standards and capabilities, and not provide sufficient means to
accurately and efficiently administer the program. Therefore, TSA did
not include this approach as a reasonable alternative. Nonetheless, TSA
estimates the costs associated with it to freight rail, PTPR, and OTRB
industries and TSA, over 10 years, as $86.96 million undiscounted,
$79.62 million discounted at 3 percent, and $71.80 million discounted
at 7 percent.\89\ The cost estimate includes: a one-time vet,
accounting for growth and turnover, of high-risk freight rail and PTPR
frontline employees; a one-time vet, accounting for growth and
turnover, of freight rail and OTRB security coordinators without U.S.
citizenship; redress process cost; disqualification, replacement, and
lost productivity costs to owner/operators for individuals with
unfavorable STAs; familiarization costs to familiarize owner/operators
with the requirements of the rulemaking; and new management policies
and other related administrative task costs associated with adopting
the rule.
---------------------------------------------------------------------------
\89\ The cost of such an exceedingly narrow potential
implementation of the 9/11 Act could be further reduced for industry
if TSA allowed covered entities to conduct vetting as trusted
agents, similar to Alternative 3. However, while the cost to
industry would decrease under this approach, the overall cost of
this approach would increase because introducing trusted agents and
private IT systems to the vetting process would result in additional
costs for TSA to stand-up the program.
---------------------------------------------------------------------------
5. Regulatory Flexibility Assessment
The Regulatory Flexibility Act (RFA) of 1980 requires agencies to
consider the impacts of their rules on small entities. TSA performed an
Initial Regulatory Flexibility Analysis (IRFA) to analyze the impact to
small entities affected by the proposed rule. See the RIA in the docket
for the full IRFA. A summary of the RFA is below.
Under the RFA, the term ``small entities'' comprises small
businesses, not-for-profit organizations that are independently owned,
operated, and not dominant in their fields,\90\ as well as
[[Page 33507]]
small governmental jurisdictions with populations of less than
50,000.\91\ TSA performed an IRFA of the impacts on small entities from
this proposed rule in the first year of the analysis and found that it
may affect an estimated 968 U.S. entities (457 corporate-level Class I,
II, and III freight railroads, 174 corporate-level freight shippers and
receivers, 115 PTPR agencies, and 222 OTRB owner/operators). Using a
random sample, TSA found that 59 percent of them would be considered
small.
---------------------------------------------------------------------------
\90\ The definition of a small business varies from industry to
industry to properly reflect the relative differences in size
between industries. An agency must either use the U.S. Small
Business Administration (SBA) definition for a small business or
establish an alternative definition for the industry. TSA has
adopted the SBA small business size standards for each relevant
industry.
\91\ Individuals and States are not considered ``small
entities'' based on the definitions in the RFA (5 U.S.C. 601).
---------------------------------------------------------------------------
The proposed rule would require small entities to vet their
affected security-sensitive employees (except for OTRB owner/operators)
and security coordinators using STAs, maintain vetting records, update
employee contact information when applicable, and familiarize
themselves with the proposed rule, in addition to allowing TSA
personnel onsite for inspections. A small number of owner/operators may
incur a cost to dismiss an employee as a result of negative DOE.
To perform the freight rail IRFA assessment, TSA randomly sampled
242 Class I, II, and III freight railroads and 156 freight shippers and
receivers, that would be affected by this proposed rule. TSA uses the
SBA size standards to identify that 167 freight rail owner/operators
(of the 242) and 90 freight shippers and receivers (of the 156)
affected by the final rule are considered a small business. TSA
estimates that the proposed rule's requirements would cost small
freight railroads an average of $168 per security-sensitive employee
(for railroads requirements only) and $2,942 per entity for non-high-
risk freight entities and $3,888 per entity for high-risk freight
entities.\92\ TSA estimates that the first-year cost of the proposed
rule would have an impact of less than 1 percent of revenue for 143 of
all 147 small freight rail entities, or 97 percent. This result is
based on the assumption that there would be no disqualified employees
from security vetting. Table 22 presents the likely distribution of
impact for small freight rail owner/operators.
---------------------------------------------------------------------------
\92\ First year costs include STA costs such as travel, wait and
enrollment time, travel costs, and STA fees. The STA costs are not
required to be paid specifically by the entity, and these costs
could be incurred by the individual enrolling in the STA. To err on
the side that makes the potential costs to small entities higher,
TSA assumed the STA cost would be covered by the employer. Other
first year costs include recordkeeping and contact information
updates per STA, as well as the cost of familiarization with the
proposed rule and inspection compliance, all of which would be paid
by each entity. Per entity costs include costs for security
coordinator STAs per entity.
Table 22--Number of Affected Small Class II and III Freight Railroad Entities by Revenue Impact
----------------------------------------------------------------------------------------------------------------
Number of affected Percentage of affected
Revenue impact range small entities small entities
----------------------------------------------------------------------------------------------------------------
0% < Impact <= 1%............................................. 143 97
1% < Impact <= 3%............................................. 4 3
3% < Impact <= 5%............................................. 0 0
5% < Impact <= 10%............................................ 0 0
Above 10%..................................................... 0 0
-------------------------------------------------
Total..................................................... 147 100
----------------------------------------------------------------------------------------------------------------
If a freight rail entity had a disqualified security-sensitive
employee or security coordinator, TSA estimates the entity would incur
a replacement and lost productivity cost of $35,667 or $67,021,
respectively.\93\ TSA also performed the a stress test to see if there
would be a significant impact to small freight rail entities if TSA
assumes one security coordinator would be disqualified at a cost of
$67,021, which was added to each entity's first year cost. TSA found
that under this scenario, 90 small entities, or 62 percent of all 147
small freight rail entities in the sample, would have an impact greater
than 1 percent of revenue.\94\
---------------------------------------------------------------------------
\93\ Because disqualifications based on a terrorism check are
rare, TSA does not account for them in the IRFA. In addition, as
discussed in Section 2.6 of the RIA, TSA does not account for the
replacement costs of employees deemed ineligible based on an
immigration check because those are not considered costs of this
proposed rule, but rather costs of the immigration laws. Therefore,
TSA does not estimate replacement costs for security-sensitive
employees who would be required to undergo the terrorism and
immigration checks in their Level-2 STA.
\94\ Thirty-six freight railroad small entities would have an
impact between 1 and 3 percent of revenue, 19 small entities would
have an impact between 3 and 5 percent of revenue, 16 small entities
would have an impact between 5 and 10 percent of revenue, and 16
small entities would have an impact over 10 percent of revenue.
---------------------------------------------------------------------------
For small freight rail shippers and receivers, TSA estimated a
first year cost of $2,472 per entity.\95\ TSA estimates that the first-
year cost of the proposed rule would have an impact of less than 1
percent of revenue for 77 of the 80 entities in the sample. Table 23
presents the likely distribution of impact for small freight rail
shipper and receiver entities.
---------------------------------------------------------------------------
\95\ First year costs include security coordinator STA costs,
such as travel, wait and enrollment time, travel costs, and STA
fees. TSA does not require the owner/operator to pay the STA fees
(although some may do so) and these costs could be incurred by the
individual enrolling in the STA. For a conservative assessment of
potential small entity costs, TSA included the STA cost for
entities. Other first year costs include recordkeeping and contact
information updates per STA, as well as familiarization with the
proposed rule and inspections per entity.
Table 23--Number of Affected Small Freight Shipper and Receiver Entities by Revenue Impact
----------------------------------------------------------------------------------------------------------------
Number of affected Percentage of affected
Revenue impact range small entities small entities
----------------------------------------------------------------------------------------------------------------
0% < Impact <= 1%............................................. 77 96
1% < Impact <= 3%............................................. 3 4
3% < Impact <= 5%............................................. 0 0
5% < Impact <= 10%............................................ 0 0
[[Page 33508]]
Above 10%..................................................... 0 0
-------------------------------------------------
Total..................................................... 80 100
----------------------------------------------------------------------------------------------------------------
If a freight rail shipper and receiver entity had a disqualified
security coordinator, TSA estimates the entity would incur a
replacement and lost productivity cost of $55,416.\96\ TSA also
performed a stress test to see if there would be a significant impact
to freight rail shippers and receivers small entities if TSA assumes
one security coordinator would be disqualified at a cost of $55,416,
which was added to each entity's first year cost. TSA found based on a
stress test of one security coordinator disqualification, 27 small
entities, or 34 percent of all 80 small freight shipper and receivers
in the sample would have an impact greater than 1 percent of
revenue.\97\
---------------------------------------------------------------------------
\96\ Because disqualifications based on a terrorism check are
rare, TSA does not account for them in the IRFA. In addition, as
discussed in Section 2.6 of the RIA, TSA does not account for the
replacement costs of employees deemed ineligible based on an
immigration check because those are not considered costs of this
proposed rule, but rather costs of the immigration laws. Therefore,
TSA does not estimate replacement costs for security-sensitive
employees who would be required to undergo the terrorism and
immigration checks in their Level-2 STA.
\97\ Fourteen freight rail shipper and receiver small entities
would have an impact between 1 and 3 percent of revenue, four small
entities would have an impact between 3 and 5 percent of revenue,
four small entities would have an impact between 5 and 10 percent,
and five small entities would have an impact greater than 10
percent. The additional 10 entities that did not have data were
assumed to be small and TSA did not specifically assess revenue
impacts for these entities.
---------------------------------------------------------------------------
For the PTPR industry, TSA randomly sampled 100 agencies. Using SBA
size standards, TSA identifies four of the 100 PTPR agencies regulated
under the proposed rule as small entities.\98\ TSA estimates that the
proposed rule's requirements would cost small PTPR agencies $154 per
security-sensitive employee, and $2,827 per entity for non-high-risk-
PTPR agencies and $3,733 per entity for high-risk-PTPR agencies.\99\
TSA estimated that the first-year cost of the proposed rule would have
an impact of less than 1 percent of revenue for three small PTPR owner/
operators or 100 percent of the sample of entities with information
available. This result is based on the assumption that there would be
no disqualified employees from security vetting. Table 24 presents the
likely distribution of impact for small PTPR agencies.
---------------------------------------------------------------------------
\98\ While four of these PTPR agencies are considered to be
small entities, one is assumed to be a small entity due to the
unavailability of data.
\99\ First year costs include STA costs, such as travel, wait
and enrollment time, travel costs, and STA fees. TSA does not
require the owner/operator to pay the STA fees (although some may do
so) and these costs could be incurred by the individual enrolling in
the STA. To err on the side that makes the potential costs to small
entities higher, TSA assumed the STA cost would be covered by the
employer. Other first year costs include recordkeeping and contact
information updates per STA, as well as the cost of familiarization
with the rule and inspection compliance, all of which would be paid
by each entity.
Table 24--Number of Affected Small PTPR Agencies by Revenue Impact
----------------------------------------------------------------------------------------------------------------
Number of affected Percentage of affected
Revenue impact range small entities small entities
----------------------------------------------------------------------------------------------------------------
0% < Impact <= 1%............................................. 3 100
1% < Impact <= 3%............................................. 0 0
3% < Impact <= 5%............................................. 0 0
5% < Impact <= 10%............................................ 0 0
Above 10%..................................................... 0 0
-------------------------------------------------
Total..................................................... 3 100
----------------------------------------------------------------------------------------------------------------
If a PTPR entity had a disqualified security-sensitive employee or
security coordinator, TSA estimates the entity would incur a
replacement cost of $26,628 or $60,395, respectively. TSA performed a
stress test to see if there would be any significant impact to small
PTPR entities if TSA assumes one security coordinator would be
disqualified at a cost of $60,395, which was added to each entity's
first year cost. TSA found that under this stress-test scenario, two
small entities of all three small PTPR agencies in the sample, would
have an impact greater than 1 percent of revenue.\100\
---------------------------------------------------------------------------
\100\ TSA found two PTPR small entities would have an impact
between 1 and 3 percent of revenue, and assumed the one entity that
did not have data would also have an impact of over one percent in
this scenario.
---------------------------------------------------------------------------
For the OTRB industry, TSA randomly sampled 130 owners/operators.
Likewise, TSA estimates-using SBA size standards-111 OTRB owner/
operators affected by the proposed rule to be small entities or 85
percent. TSA estimates that the proposed rule's requirements would cost
small OTRB entities $2,275 per entity.\101\ TSA estimated that the
first-year cost of the proposed rule would have an impact of less than
1 percent of revenue for 98 percent of the 93 small OTRB sample
entities. This result is based on the assumption that there would be no
disqualified employees from security vetting. Table 25 presents the
likely distribution of impact for small OTRB owner/operators.
---------------------------------------------------------------------------
\101\ First year costs include security coordinator STA costs,
such as travel, wait and enrollment time, travel costs, and STA
fees. TSA does not require the owner/operator to pay the STA fees
(although some may do so) and these costs could be incurred by the
individual enrolling in the STA. To err on the side that makes the
potential costs to small entities higher, TSA assumed the STA cost
would be covered by the employer. Other first year costs include
recordkeeping and contact information updates per STA, as well as
the cost of familiarization with the proposed rule and inspection
compliance, all of which would be paid by each entity.
[[Page 33509]]
Table 25--Number of Affected Small OTRB Owner/Operators by Revenue Impact
----------------------------------------------------------------------------------------------------------------
Number of affected Percentage of affected
Revenue impact range small entities small entities
----------------------------------------------------------------------------------------------------------------
0% < Impact <= 1%............................................. 91 98
1% < Impact <= 3%............................................. 2 2
3% < Impact <= 5%............................................. 0 0
5% < Impact <= 10%............................................ 0 0
Above 10%..................................................... 0 0
-------------------------------------------------
Total..................................................... 93 100
----------------------------------------------------------------------------------------------------------------
If an OTRB entity had a security coordinator disqualified as a
result of the STA, TSA estimates the entity would incur a replacement
cost of $21,880. TSA performed a stress test to see if there would be a
significant impact on small OTRB entities if TSA assumed a replacement
cost of $21,880, which was added to each entity's first year cost. TSA
found that under this stress-test scenario 77 small entities, or 83
percent of all 93 small OTRB owner/operators, would have an impact
greater than 1 percent of revenue.\102\
---------------------------------------------------------------------------
\102\ Based on OTRB small entities with available data, 29 small
entities would have an impact between 1 and 3 percent of revenue,
nine small entities would have an impact between 3 and 5 percent of
revenue, 10 small entities would have an impact between 5 and 10
percent, and 29 small entities would have an impact greater than 10
percent.
---------------------------------------------------------------------------
A Description of the Projected Reporting, Record Keeping, and Other
Compliance Requirements of the Proposed Rule, Including an Estimate of
the Classes of Small Entities That Would be Subject to the Requirements
and the Type of Professional Skills Necessary for Preparation of the
Report or Record
Under the provisions of the proposed rule, the regulated
populations would incur costs associated with maintaining a system of
recordkeeping that verifies completion of STAs. TSA assumes the
recordkeeping requirements of the proposed rule would be performed by
employees with administrative and clinical skills, and bases its cost
estimate on administrative compensation rates.
An Identification, to the Extent Practicable, of All Relevant Federal
Rules Which May Duplicate, Overlap, or Conflict with the Proposed Rule
TSA is aware that other federal agencies conduct regulatory vetting
programs that may affect individuals who are covered by the vetting
programs in this proposed rule. The design of this proposed rule is to
achieve comparability amongst TSA vetting programs and similar vetting
done by other federal agencies when possible, thereby avoiding
duplication and overlap.\103\ In addition, to the extent there are
duplicative vetting requirements of which TSA is currently unaware, the
proposed rule indicates a procedure for requesting comparability
determination from TSA.\104\
---------------------------------------------------------------------------
\103\ See Sec. 1530.509.
\104\ See Sec. 1524.515(e) and Sec. 1524.515(f).
---------------------------------------------------------------------------
A Description of Any Significant Alternatives to the Proposed Rule That
Accomplish the Stated Objectives of Applicable Statues and May Minimize
Any Significant Economic Impact of the Proposed Rule on Small Entities,
Including Alternatives Considered
TSA considered Alternative 1 of great interest as a regulatory
alternative, as it would add the requirement for the vetting of OTRB
security-sensitive employees and, hence, create a more standard set of
vetting requirements across the proposed rule's three surface modes,
which is consistent with the agency's risk-based security policies.
Therefore, TSA asks for public comments on the IRFA for this
alternative, given this is a preferred option, which not only increases
the number of security-sensitive employees who would undergo a Level 2
STA, but also increases the cost to OTRB owner/operators.
TSA increased the cost of the proposed rule to each of the 93
sampled small OTRB entities with complete information to include the
Level 2 STAs on OTRB security-sensitive employees, with a cost of $186
per security-sensitive employee. TSA estimated that the first-year cost
of this regulatory option would have an impact of less than 1 percent
of revenue for 56 of the 93 small OTRB entities, or 63 percent. TSA
also performed a stress test to see if there would be any additional
significant impact to small OTRB entities if TSA assumed one security
coordinator would be disqualified per entity, at a cost of $50,540,
which was added to each entity's first year cost. TSA found that
subjecting Alternative 1 to this stress-test scenario results in 80
small entities, or 90 percent of owner/operators, with revenue impacts
that exceed 1 percent of revenue.\105\
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\105\ Of the 93 small OTRB owner/operators with available data,
25 small entities would have an impact between 1 and 3 percent of
revenue, eight small entities would have an impact between 3 and 5
percent of revenue, 15 small entities would have an impact between 5
and 10 percent, and 14 small entities would have an impact greater
than 10 percent.
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6. International Trade Impact Assessment
The Trade Agreement Act of 1979 prohibits Federal agencies from
establishing any standards or engaging in related activities that
create unnecessary obstacles to the foreign commerce of the United
States. The Trade Agreement Act does not consider legitimate domestic
objectives, such as essential security, as unnecessary obstacles. The
statute also requires that international standards be considered and,
where appropriate, that they be the basis for U.S. standards. TSA has
assessed the potential effect of this proposed rule and has determined
this rulemaking would not have an adverse impact on international
trade.
7. Unfunded Mandates Assessment
Title II of the Unfunded Mandates Reform Act of 1995 (UMRA), Public
Law 104-4, establishes requirements for Federal agencies to assess the
effects of their regulatory actions on State, local, and tribal
governments and the private sector. Under sec. 202 of the UMRA, TSA
generally must prepare a written statement, including a cost-benefit
analysis, for proposed and final rules with ``Federal mandates'' that
may result in expenditures by State, local, and tribal governments in
the aggregate or by the private sector of $100 million (adjusted for
inflation) or more in any one year. Before TSA promulgates a rule for
which a written statement is required, sec. 205 of the UMRA generally
requires TSA to identify and consider a reasonable number of regulatory
alternatives and adopt the least costly, most cost-effective, or least
burdensome alternative that achieves
[[Page 33510]]
the objectives of the rule. The provisions of sec. 205 do not apply
when they are inconsistent with applicable law. Moreover, sec. 205
allows TSA to adopt an alternative other than the least costly, most
cost-effective, or least burdensome alternative if the Administrator
publishes with the final rule an explanation why that alternative was
not adopted. Before TSA establishes any regulatory requirements that
may significantly or uniquely affect small governments, including
tribal governments, it must develop under sec. 203 of the UMRA a small
government agency plan. The plan must provide for notifying potentially
affected small governments, enabling officials of affected small
governments to have meaningful and timely input in the development of
TSA regulatory proposals with significant Federal intergovernmental
mandates, and informing, educating, and advising small governments on
compliance with the regulatory requirements.
When adjusted for inflation, the threshold for expenditures becomes
$158.1 million in 2020 dollars. TSA has determined that this proposed
rule does not contain a Federal mandate that may result in expenditures
that exceed that amount either for State, local, and tribal governments
in the aggregate in any one year. TSA will publish a final analysis,
including its response to public comments, when it publishes a final
rule.
C. Executive Order 13132, Federalism
A rule has implications for federalism under Executive Order 13132
``Federalism'' (64 FR 43255, Aug. 10, 1999), if it has a substantial
direct effect on the States, on the relationship between the national
government and the States, or on the distribution of power and
responsibilities among the various levels of government. TSA has
analyzed this proposed rule under Executive Order 13132 and determined
that it does not have implications for federalism. TSA welcomes public
comments on Executive Order 13132 federalism implications.
D. Environmental Analysis
TSA has reviewed this rulemaking for purposes of the National
Environmental Policy Act of 1969 (NEPA) (42 U.S.C. 4321-4347) and has
determined that this action will not have a significant effect on the
human environment. This action is covered by categorical exclusion
number A3(b) in DHS Management Directive 023-01 (formerly Management
Directive 5100.1), Environmental Planning Program, which guides TSA
compliance with NEPA.
E. Energy Impact Analysis
The energy impact of this rulemaking has been assessed in
accordance with the Energy Policy and Conservation Act (EPCA), Public
Law 94-163, as amended (42 U.S.C. 6362). TSA has determined that this
rulemaking would not be a major regulatory action under the provisions
of the EPCA.
List of Subjects
49 CFR Part 1500
Air carriers, Air transportation, Aircraft, Airports, Bus transit
systems, Commuter bus systems, Law enforcement officer, Maritime
carriers, Over-the-Road buses, Public transportation, Rail hazardous
materials receivers, Rail hazardous materials shippers, Rail transit
systems, Railroad carriers, Railroad safety, Railroads, Reporting and
recordkeeping requirements, Security measures, Transportation facility,
Vessels.
49 CFR Part 1530
Administrative law judge, Appeal, Background check, Criminal
history records check, Fees, Immigration check, Terrorism check,
Redress, Security measures, Security threat assessment, Waiver.
49 CFR Part 1570
Commuter bus systems, Crime, Fraud, Hazardous materials
transportation, Motor carriers, Over-the-Road bus safety, Over-the-Road
buses, Public transportation, Public transportation safety, Rail
hazardous materials receivers, Rail hazardous materials shippers, Rail
transit systems, Railroad carriers, Railroad safety, Railroads,
Reporting and recordkeeping requirements, Security measures,
Transportation facility, Transportation Security-Sensitive Materials.
49 CFR Part 1572
Crime, Explosives, Hazardous materials transportation, Motor
carriers, Railroads, Reporting and recordkeeping requirements, Security
measures.
49 CFR Part 1580
Hazardous materials transportation, Rail hazardous materials
receivers, Rail hazardous materials shippers, Railroad carriers,
Railroad safety, Railroads, Reporting and recordkeeping requirements,
Security measures.
49 CFR Part 1582
Public transportation, Public transportation safety, Railroad
carriers, Railroad safety, Railroads, Rail transit systems, Reporting
and recordkeeping requirements, Security measures.
49 CFR Part 1584
Over-the-Road bus safety, Over-the-Road buses, Reporting and
recordkeeping requirements, Security measures.
The Proposed Amendments
For the reasons set forth in the preamble, the Transportation
Security Administration proposes to amend chapter XII of title 49, Code
of Federal Regulations, as follows:
SUBCHAPTER A--ADMINISTRATIVE AND PROCEDURAL RULES
PART 1500--APPLICABILITY, TERMS, AND ABBREVIATIONS
0
1. The authority citation for part 1500 continues to read as follows:
Authority: 49 U.S.C. 114, 5103, 40113, 44901-44907, 44913-
44914, 44916-44918, 44935-44936, 44942, 46105; Pub. L. 110-53 (121
Stat. 266, Aug. 3, 2007) secs. 1408 (6 U.S.C. 1137), 1501 (6 U.S.C.
1151), 1517 (6 U.S.C. 1167), and 1534 (6 U.S.C. 1184).
0
2. In Sec. 1500.3, add the following definition for ``Security threat
assessment'' in alphabetical order:
* * * * *
Security threat assessment (STA) means a procedure conducted by TSA
consisting of one or more checks of relevant databases and other
sources of information to verify an individual's identity and determine
whether the individual is eligible for certain access to the nation's
transportation systems, or for certain privileges or credentials. An
STA constitutes a security background check for purposes of Sec.
1570.305(b) of this chapter.
* * * * *
SUBCHAPTER B--SECURITY RULES FOR ALL MODES OF TRANSPORTATION
0
3. Add part 1530 to subchapter B to read as follows:
PART 1530--SECURITY THREAT ASSESSMENT STANDARDS
Subpart A--General
Sec.
1530.1 Scope.
1530.3 Terms used in this part.
1530.5 Levels of security threat assessments.
1530.7 Duration of security threat assessment and Determination of
Eligibility.
1530.9 Fraud and intentional falsification of records; knowing
misrepresentation.
1530.11 Fraudulent use or manufacture; responsibilities of persons.
1530.13 Compliance, inspection, and enforcement.
[[Page 33511]]
Subpart B--Individual Enrollment Requirements and Continuing
Responsibilities
Sec.
1530.101 Information required for security threat assessments
(STAs).
1530.103 Collection of biometrics.
1530.105 Payment of fees.
1530.107 Individual's continuing responsibilities.
1530.109 Identity verification.
Subpart C [Reserved]
Subpart D--Fees
Sec.
1530.301 Establishing and adjusting fees.
1530.303 Fees for security threat assessment services.
1530.305 Fees for levels of security threat assessments.
1530.307 Fee computation for comparable security threat assessments.
1530.309 Processing fees for security threat assessments.
Subpart E--Adjudication Procedures
Sec.
1530.401 Procedures for fingerprint-based criminal history records
checks.
1530.403 Procedures for terrorism check and other analyses.
1530.405 Procedures for immigration checks.
1530.407 [Reserved]
1530.409 [Reserved]
1530.411 [Reserved]
1530.413 Determination of Eligibility.
1530.415 Preliminary Determination of Ineligibility.
1530.417 Preliminary Determination of Ineligibility with immediate
suspension.
1530.419 Final Determination of Ineligibility.
Subpart F--Standards
Sec.
1530.501 Standards.
1530.503 Disqualifying criminal offenses.
1530.505 Immigration check.
1530.507 Terrorism check and other analyses.
1530.509 Comparability of security threat assessments.
Subpart G--Appeal and Waiver Procedures for Security Threat Assessments
Sec.
1530.601 Scope and General Requirements.
1530.603 [Reserved]
1530.605 Appeal based on criminal conviction, immigration, or mental
capacity standards.
1530.607 Requests for waiver of criminal offenses, immigration, or
mental capacity standards.
1530.609 Appeal of security threat assessment based on terrorism
check and other analyses.
1530.611 Review by administrative law judge.
1530.613 Review by TSA Final Decision Maker.
Authority: 6 U.S.C. 469, 1140, 1143, 1170, and 1181; 46 U.S.C.
70105; 49 U.S.C. 114, 5103a, 40113-40114, 41718 note, 44901-44907,
44913-44914, 44916-44918, 44932, 44935-44936, 44939, 44942, 46105,
and 46111.
PART 1530--SECURITY THREAT ASSESSMENT STANDARDS
Subpart A--General
Sec. 1530.1 Scope.
(a) This part applies to the following:
(1) Individuals applying for a security threat assessment (STA)
conducted by TSA.
(2) Persons regulated by TSA who employ individuals or use
authorized representatives who work in security-sensitive positions, as
security coordinators, or who require a credential, access, or
authorization that requires a TSA STA.
(b) This part does not apply to STAs governed by 49 CFR part 1572.
Sec. 1530.3 Terms used in this part.
Terms used in parts 1500, 1503, 1540, 1570, and 1572 of this
chapter apply in this part. In addition, the following terms are used
in this part:
Administrative law judge means an administrative law judge
appointed pursuant to the provisions of 5 U.S.C. 3105.
Assistant Administrator means the officer designated by the
Administrator to carry out certain STA and redress functions described
in this part. The Assistant Administrator may appoint a designee to
assume his or her duties.
Date of service means--
(1) In the case of personal service, the date of personal delivery
to the residential address listed on the application;
(2) In the case of mailing to the address designated on the
application as the mailing address, with a certificate of service, the
date shown on the certificate of service;
(3) In the case of mailing to the address designated on the
application as the mailing address, without a certificate of service,
10 days from the date mailed;
(4) In the case of mailing to the address designated on the
application as the mailing address, with no certificate of service or
postmark, the date other evidence indicates it was sent; or
(5) The date on which an electronic transmission to the
individual's email or other electronic address occurs.
Day means calendar day.
Incarceration means under the custody of a bureau of prisons and
confined to a prison, jail, or institution for the criminally insane
pursuant to a sentence imposed as the result of a criminal conviction
or finding of not guilty by reason of insanity. Time spent under the
custody of a bureau of prisons or confined or restricted to a half-way
house, treatment facility, home incarceration, or similar institution,
pursuant to a sentence imposed as the result of a criminal conviction
or finding of not guilty by reason of insanity, constitutes
incarceration for purposes of this part.
Individual means the individual who has applied for an STA in
accordance with the terms of part 1530. This includes an individual who
previously applied for and was found to meet the standards of the STA,
but who TSA later determined does not meet the STA standards.
Mail includes U.S. mail, or use of an express mail service.
Party means the individual or the agency, whether acting with or
without an attorney.
Personal delivery includes hand-delivery or use of a contract or
express messenger service, but does not include the use of U.S. mail
service.
Properly addressed means a document that shows a residential,
business, or other address submitted by a person on any document
provided under this subpart; or address shown by other reasonable,
available means.
Serve means provide a document to a party during an appeal or
waiver process under this subpart by personal delivery, mail, or
electronic means.
Substantial evidence means such relevant evidence as a reasonable
person might accept as adequate to support a conclusion.
TSA Final Decision Maker means the Administrator, acting in the
capacity of the decision maker on appeal, or any person to whom the
Administrator has delegated the Administrator's decision-making
authority.
Sec. 1530.5 Levels of security threat assessments.
(a) A Level 1 STA consists of a terrorism check and other analyses.
(b) A Level 2 STA consists of--
(1) A terrorism check and other analyses; and
(2) An immigration check to verify that the individual is a U.S.
citizen, U.S. National, or falls within the permissible categories
listed in section 1530.505.
(c) A Level 3 STA consists of--
(1) A terrorism check and other analyses;
(2) An immigration check to verify that the individual is a U.S.
citizen, U.S. National, or falls within the permissible categories
listed in section 1530.505; and.
(3) A fingerprint-based criminal history records check (CHRC).
[[Page 33512]]
Sec. 1530.7 Duration of security threat assessment and Determination
of Eligibility.
(a) Except as provided in paragraph (b) of this section, a
determination of eligibility (DOE) issued to an individual, based on an
STA under this part, remains valid for 5 years from the date on which
TSA issued the DOE. If the DOE is based, in part, on one or more
comparable checks from an earlier STA, the DOE remains valid for 5
years from the date on which the earliest comparable check was
completed.
(b) A DOE expires on the earliest date--
(1) TSA serves a final determination of ineligibility (FDI) on the
individual;
(2) TSA serves a preliminary determination of ineligibility with
immediate revocation (PDIIR) on the individual;
(3) An individual with a Level 3 STA is indicted for, subject of a
criminal complaint, convicted of, or found not guilty by reason of
insanity, of any of the disqualifying crimes applicable to that
individual under Sec. 1530.503 of this part; or
(4) An individual with a Level 2 or 3 STA is no longer meets the
immigration standards as described in Sec. 1530.505 of this part.
Sec. 1530.9 Fraud and intentional falsification of records; knowing
misrepresentation.
(a) No person may make, or cause to be made, any of the following:
(1) Any fraudulent or intentionally false statement in any
application, statement, record, or report that is submitted, kept,
made, or used in compliance with, or to show compliance with this part.
(2) Any reproduction or alteration, for fraudulent purpose, of any
application, statement, record, report, security program, access
medium, identification medium, biometric data (fingerprints or
photograph), documentation, or certification issued pursuant to
standards in this part.
(b) Any person who violates the requirements in paragraph (a) of
this section is ineligible to receive the access, privilege, or
credential associated with a DOE based on an STA conducted under this
part.
Sec. 1530.11 Fraudulent use or manufacture; responsibilities of
persons.
(a) No person may use or attempt to use, or represent or attempt to
represent that he or she holds, a DOE or STA issued or conducted under
this part that was issued or conducted for another person.
(b) No person may cause or attempt to cause another person to
violate paragraph (a) of this section.
(c) Any person who violates the requirements of this section is
ineligible to receive a DOE based on an STA conducted under this part.
Sec. 1530.13 Compliance, inspection, and enforcement.
(a) Each individual who is required to undergo an STA under this
part, and their employers or entities for whom they act as authorized
representatives are required to undergo STAs under this part, must
allow DHS, at any time or place, to make any inspections or tests,
including copying records, to determine the person's compliance with
this part and part 1520 of this chapter.
(b) At the request of TSA, each person subject to this part must
provide evidence of compliance with this part and part 1520 of this
chapter, including copies of records.
Subpart B--Individual's Enrollment Requirements and Continuing
Responsibilities
Sec. 1530.101 Information required for security threat assessments
(STAs).
(a) Each individual applying for an STA under this part must
provide the information and/or documents required by paragraph (b) of
this section, and may provide the information specified in paragraph
(c) of this section, in a form and manner authorized by TSA.
(b) The individual must provide the following information and/or
documents:
(1) Legal name, including first, middle, and last; any applicable
suffix; and any other names used previously.
(2)(i) Current and previous mailing address, current residential
address if it differs from the current mailing address, and email
address if available.
(ii) If an individual prefers to receive correspondence and
notification via email instead of physical mail, the individual should
so state.
(3) Date of birth.
(4) Gender.
(5) Height, weight, hair color, and eye color.
(6) City, state, and country of birth; and country of citizenship.
(7) Immigration information, and--
(i) If a naturalized citizen of the United States, the date of
naturalization;
(ii) If present in the United States based on a visa, the type of
visa, the visa number, and the date on which it expires; and
(iii) If a commercial driver licensed in Canada, whether the
individual holds a Free and Secure Trade (FAST), Secure Electronic
Network for Travelers Rapid Inspection (SENTRI), Global Entry or NEXUS
card, or a Canadian passport number.
(8) If not a national or citizen of the United States, the alien
registration number and/or the number assigned to the individual on the
U.S. Customs and Border Protection (CBP) Arrival-Departure Record, Form
I-94, if issued.
(9) The individual's daytime telephone number.
(10) The individual's current employer(s), and the employer's
address, facsimile number (if available), and telephone number. If the
individual's current employer is the U.S. military, also list the
branch of the service. If the individual is self-employed, provide the
name of the company (if any), address, telephone number, and facsimile
number.
(11) Each individual must present documentary evidence in a form
and manner specified by TSA that he or she meets the immigration
standards, as described in Sec. 1530.505, such as proof of U.S.
citizenship or nationality if the individual claims U.S. citizenship or
nationality.
(c) The individual may also provide the information requested in
paragraphs (c)(1)-(c)(5) of this section:
(1) Social Security number. Providing the Social Security number is
voluntary; however, failure to provide it may delay or prevent
completion of the STA.
(2) Passport number, city of issuance, date of issuance, and date
of expiration. This information is voluntary and may expedite the
adjudication process for an individual who is a U.S. citizen born
abroad.
(3) Department of State Consular Report of Birth Abroad. This
information is voluntary and may expedite the adjudication process for
an individual who is a U.S. citizen born abroad.
(4) Whether the individual has previously completed a comparable
TSA STA, and if so, the date and program for which it was completed.
This information must be provided if the individual wishes to use the
comparable STA as described in Sec. 1530.509 of this part to avoid
redundant checks and reduce the STA fee.
(5) Whether the individual currently holds a Federal security
clearance, and if so, the type of clearance, date, and agency for which
the clearance was performed. If TSA determines that the security
clearance is a comparable STA pursuant to Sec. 1530.509 of this part,
this information must be provided if the individual wishes to use the
security clearance to avoid redundant checks and reduce the STA fee.
(d) The individual must certify in writing that all information
provided is true, complete, and correct. The
[[Page 33513]]
individual must acknowledge that a false statement or material omission
can be punished by fine or imprisonment or both, and may be grounds for
TSA to determine that the individual is ineligible.
(e) The individual must acknowledge in writing that TSA may notify
his or her employer in the case of an imminent threat, and provide
limited information to reduce the risk of injury or damage to a
facility.
(f) The individual must acknowledge in writing that there is a
continuing obligation to report an event or condition that makes the
individual ineligible.
Sec. 1530.103 Collection of biometrics.
Each individual applying for an STA that includes a CHRC must
submit fingerprints to TSA in a form and manner prescribed by TSA.
Sec. 1530.105 Payment of fees.
(a) The individual must pay the STA fees as required in subpart D
of this part when he or she submits biographic and/or biometric data.
TSA will begin processing an STA application only upon receipt of all
required fees.
(b) Fees must be processed in accordance with Sec. 1530.309 of
this subpart.
(c) TSA will not refund fees once paid.
Sec. 1530.107 Individual's continuing responsibilities.
(a) Reporting responsibilities. Each individual who has
successfully completed an STA and received a DOE from TSA under this
part, or has applied for an STA and is awaiting a DOE, must report the
occurrence of any of the events listed below to TSA within 24 hours of
occurrence:
(1) Each individual who applies for, or successfully completes, an
STA that includes a CHRC, must report--
(i) An indictment, conviction, or finding of not guilty by reason
of insanity, of a disqualifying crime; or
(ii) Being adjudicated as lacking mental capacity, or being
committed to a mental health facility.
(2) Each individual who applies for, or successfully completes an
STA that includes an immigration check under Sec. 1530.505 of this
part, must report if he or she no longer meets the immigration
standards as described in Sec. 1530.503.
(b) Contact information. An individual who applies for an STA, or
who receives a DOE from TSA under this part, must report to TSA any
changes in the information provided to TSA under Sec. 1530.101(b)(1),
(2), or (9) of this subpart. This reporting obligation continues until
the DOE expires.
Sec. 1530.109 Identity verification.
(a) The identity of each individual applying for an STA under this
part must be verified by TSA.
(b) The individual must present at least two forms of
identification to verify identity. At least one form of identification
must be issued by a government authority and bear a photograph of the
individual.
(c) TSA must examine the identification documents the individual
presents to determine whether they appear to be genuine, unexpired, and
relate to the individual presenting them.
Subpart C [Reserved]
Subpart D--Fees
Sec. 1530.301 Establishing and adjusting fees.
(a) Establishing and adjusting fees. Pursuant to 6 U.S.C. 469, TSA
must collect user fees to fund the cost of an STA. These fees apply to
all STAs conducted under this part. TSA determines fee amounts in
accordance with Federal guidelines including Office of Management and
Budget (OMB) Circular Number A-25 ``User Charges''. This Federal policy
provides information for determining full program costs, the amount of
the fee assessed on those that benefit from a special service, and when
the fee should be collected. The fee rate and necessary revisions will
be calculated using the best available records of the agency, will be
consistent with widely accepted accounting principles and practices,
and will be calculated in accordance with the provisions of 31 U.S.C.
9701 and other applicable Federal law. TSA will publish the initial
fees established under this part in a notice in the Federal Register.
Once TSA establishes a fee, it will review the amount of the fee at
least once every 2 years to determine the current cost of providing the
service the fee covers. If necessary, TSA will revise the fee to cover
the costs of the STA services and publish a notice in the Federal
Register of the revised fee.
(b) Inflation adjustment. TSA may adjust the fees prescribed in
this section for inflation annually on or after October 1, __. TSA will
announce any inflation adjustments by publishing a notice in the
Federal Register. The adjustment will be a composite of the Federal
civilian pay raise assumption and non-pay inflation factor for that
fiscal year issued by the OMB for agency use in implementing OMB
Circular A-76, weighted by the pay and non-pay proportions of total
funding for that fiscal year. If Congress enacts a different Federal
civilian pay raise percentage than the percentage issued by OMB for
Circular A-76, TSA may adjust the fees to reflect the enacted amount.
The required fee will be the amount prescribed pursuant to this
subpart, adjusted to account for the latest inflation adjustment.
Sec. 1530.303 Fees for security threat assessment services.
(a) Mandatory fees. This section describes the fees for each
service TSA provides in an STA. TSA must receive the appropriate fee(s)
listed below before it can conduct the STA. If it becomes necessary to
adjust these fees in the future, TSA may publish a notice in the
Federal Register announcing the revised fees.
(b) Processing fees--(1) Processing fee. This fee covers the cost
to establish, operate, and maintain physical enrollment centers,
equipment, personnel, and electronic systems to facilitate the
collection of an individual's biographic and biometric information,
verify identity, collect and process fees, and support these services.
This fee is $43.00 to $65.00.
(2) Reduced processing fee. This fee covers the cost to establish,
operate, and maintain an online enrollment platform, including
equipment, software, personnel, and electronic systems to capture an
individual's biographic and biometric information, verify identity,
collect and process fees, and support these services. This fee is
$24.00 to $36.00.
(c) Terrorism check and other analyses fee. This fee covers the
cost to establish, operate, maintain, and access information sources
TSA uses to conduct the terrorism check and other analyses, adjudicate
the information received, and process appeal requests. This fee is
$6.00 to $10.00.
(d) Immigration check fee. This fee covers the cost to establish,
operate, maintain, and access the appropriate immigration records,
adjudicate the results, and process appeal requests. This fee is $2.00
to $4.00.
(e) Criminal history records check fee. This fee covers the
personnel, equipment, and system costs to establish, operate, and
maintain a system to process applicant fingerprint submissions and the
cost to adjudicate the criminal history records associated with the
individual to determine whether the records show a disqualifying
criminal offense or open disposition, and to process appeal and waiver
requests.
(1) The CHRC fee for the initial enrollment in-person at an
enrollment center is $17.00 to $25.00.
[[Page 33514]]
(2) The fee for renewing a CHRC online is $8.00 to $12.00.
Sec. 1530.305 Fees by levels of security threat assessments.
(a) Level 1 STA. An individual applying for a Level 1 STA must pay
TSA's fees for the following components:
(1) The processing or reduced processing fee.
(2) The terrorism check and other analyses fee.
(b) Level 2 STA. An individual applying for a Level 2 STA must pay
TSA's fees for the following components:
(1) The processing or reduced processing fee.
(2) The terrorism check and other analyses fee.
(3) The immigration check fee.
(c) Level 3 STA. An individual applying for a Level 3 STA must pay
TSA's fees for the following components:
(1) The processing or reduced processing fee.
(2) The terrorism check and other analyses fee.
(3) The immigration check fee.
(4) The initial CHRC fee for in-person enrollment at an enrollment
center or a renewal fee for online CHRC renewal.
Sec. 1530.307 Fee computation for comparable security threat
assessments.
(a) An individual who successfully completed an STA at an earlier
date may apply to rely on one or more of the previous unexpired checks
when applying for a new STA.
(b) If one or more of the previous unexpired checks are comparable
to checks required in the new STA, TSA will not conduct a new check for
that portion of the new STA. TSA computes the fee for the new STA based
on the checks actually performed in connection with the new
application.
Sec. 1530.309 Processing fees for security threat assessments.
(a) All fees for an STA must be processed via a method approved by
TSA and in accordance with U.S. Treasury guidelines.
(b) TSA will not begin an STA until it has received the required
fees.
(c) TSA will not issue any fee refunds.
Subpart E--Adjudication Procedures
Sec. 1530.401 Procedures for fingerprint-based criminal history
records checks.
(a) TSA will transmit fingerprints to the Federal Bureau of
Investigation's (FBI) Criminal Justice Information Services Division
(CJIS) in accordance with the FBI CJIS fingerprint submission
standards. TSA may also transmit fingerprints to the DHS IDENT system.
(b) TSA will receive and adjudicate the results of the check from
the FBI CJIS and IDENT in accordance with Sec. Sec. 1530.501 and
1530.503 of this part, including any results TSA receives through the
FBI CJIS' Rap Back service.
Sec. 1530.403 Procedures for terrorism checks and other analyses.
(a) To conduct a terrorism check and other analyses, TSA completes
the following procedures:
(1) Reviews the individual's information required for enrollment in
subpart B of this part.
(2) Searches domestic and international government databases
described in Sec. 1530.507 of this part, as applicable.
(3) Adjudicates the results of the check, in accordance with
Sec. Sec. 1530.501, 1530.505, and 1530.507 of this part, as
applicable.
(b) If the searches listed in this section indicate that an
individual has an outstanding want or warrant, or is subject to a
removal order under the immigration laws of the United States, TSA
sends the individual's information to the appropriate law enforcement
or immigration agency.
Sec. 1530.405 Procedures for immigration checks.
To conduct the immigration check, TSA will check relevant
government databases and may perform other checks, including whether
the U.S. Citizenship and Immigration Services (USCIS) alien
registration number, CBP Form I-94 Arrival/Departure Record number, or
other pertinent identifying document number is valid and associated
with the individual.
Sec. 1530.407 [Reserved]
Sec. 1530.409 [Reserved]
Sec. 1530.411 [Reserved]
Sec. 1530.413 Determination of Eligibility.
TSA will issue a DOE to the individual and the TSA-regulated person
employing or contracting with the individual, or other person, as
appropriate, if TSA determines that the individual meets the STA
standards in Sec. 1530.501 of this part.
Sec. 1530.415 Preliminary Determination of Ineligibility.
TSA will serve a preliminary determination of ineligibility (PDI)
on the individual if TSA determines he or she may not meet, or may no
longer meet, the STA standards in Sec. 1530.501 of this part. The PDI
will include:
(a) Statement. A statement that TSA has determined that the
individual may not meet, or may no longer meet, the STA standards in
Sec. 1530.501 of this part, or may need to provide additional
information for TSA to issue a DOE;
(b) Basis. A statement that explains TSA's basis for the
preliminary determination;
(c) Appeal and waiver information. (1) Information about how the
individual may appeal or apply for a waiver of the determination, as
described in Sec. 1530.605, Sec. 1530.607 or Sec. 1530.609 of this
part, as applicable, including Determination of Arrest Status and
correction of records, as provided in paragraphs (d) and (e) of this
section, and
(2) A statement that if the individual does not appeal or apply for
a waiver of TSA's determination, or request an extension of time to
file an appeal or waiver request, within 60 days of service of the PDI,
the PDI will automatically convert to an FDI. The statement will also
explain the circumstances under which the individual may request an
extension of time beyond 60 days of service of the PDI.
(d) Determination of arrest status. (1) When a CHRC discloses an
arrest for a disqualifying crime listed in Sec. 1530.503 of this part
without indicating a disposition, TSA will notify the individual and
provide instructions on how the individual must clear the disposition,
in accordance with paragraph (d)(2) of this section. Upon request, TSA
will provide the individual with a copy of the FBI record.
(2) The individual must provide TSA with written proof that the
arrest did not result in a conviction for the disqualifying criminal
offense within 60 days after the service date of the PDI. If the
individual does not send written proof in that time, or a request for
an extension of time, TSA will notify the individual that he or she is
disqualified. TSA will also so notify the individual's employer or
entity for whom the individual is an authorized representative.
(e) Corrective action by the individual. When a CHRC discloses an
arrest for a disqualifying crime listed in Sec. 1530.503 of this part,
the individual may contact the local jurisdiction responsible for the
information and the FBI to complete or correct the information
contained in his or her record. The individual must send a copy of the
revised FBI record, or a certified true copy of the information from
the appropriate court within 60 days after the service date of the PDI.
[[Page 33515]]
Sec. 1530.417 Preliminary determination of Ineligibility with
immediate revocation.
(a) TSA will serve a PDIIR on the individual and, as applicable,
the TSA-regulated person who employs or contracts with the individual,
if TSA determines that the individual may not meet, or may no longer
meet, the STA standards in Sec. 1530.501 of this part, and that
immediate revocation of the associated credential, access, or
authorization is warranted.
(b) Following the immediate revocation, TSA will process the PDIIR
in accordance with the procedures for a PDI in Sec. 1530.415 of this
part.
(c) If TSA does not issue an FDI, TSA will reinstate the
individual's credential, access, or authorization and notify the
individual and, as applicable, the employer or person who contracts
with the individual, of the reinstatement.
Sec. 1530.419 Final Determination of Ineligibility.
(a) If an individual does not appeal or request a waiver of the PDI
or PDIIR in accordance with Sec. 1530.415, or request an extension of
time, the preliminary determination will automatically convert to an
FDI. The individual's credential, access, or authorization will be
denied or revoked.
(b) If an individual appeals or requests a waiver of the PDI or
PDIIR and TSA denies the appeal or waiver request, TSA will serve an
FDI on the individual. The individual's credential, access, or
authorization will be denied or revoked.
Subpart F--Standards
Sec. 1530.501 Standards.
(a) Determination of Eligibility. TSA will issue a DOE following an
STA under this part to an individual only if the results of the STA do
not indicate that the individual poses or may pose a threat to
transportation security or national security, or of terrorism. For TSA
to reach such a conclusion, all of the following conditions in this
paragraph (a) must be met:
(1) TSA is able to verify the individual's identity.
(2) The results of the terrorism check and other analyses as
described in Sec. 1530.507 of this part do not indicate that the
individual poses or may pose a threat to transportation security or
national security, or of terrorism.
(3) If the individual is applying for or renewing a Level 2 or
Level 3 STA, he or she is a U.S. citizen, U.S. National, or is in a
permissible category listed in Sec. 1530.505 of this part.
(4) If the individual is applying for or renewing a Level 3 STA, he
or she qualifies under Sec. 1530.503 of this part.
(b) Reapplication or re-enrollment. An individual who fails to
complete an STA successfully may reapply or re-enroll for an STA when
the conditions that make him or her ineligible no longer exist.
Sec. 1530.503 Disqualifying criminal offenses.
(a) Scope. This section applies to an individual applying for or
renewing a Level 3 STA as defined in Sec. 1530.5 of this part. It does
not apply to an individual applying for or renewing a Level 1 or Level
2 STA as defined in Sec. 1530.5 of this part.
(1) Permanent disqualifying criminal offenses. An individual has a
permanent disqualifying offense if convicted, or found not guilty by
reason of insanity, in a civilian or military, domestic or foreign
jurisdiction of any of the following felonies:
(A) Espionage or conspiracy to commit espionage.
(B) Sedition, or conspiracy to commit sedition.
(C) Treason, or conspiracy to commit treason.
(D) A Federal crime of terrorism as defined in 18 U.S.C. 2332b(g),
or comparable State law, or conspiracy to commit such crime.
(E) A crime involving a transportation security incident. A
transportation security incident is a security incident resulting in a
significant loss of life, environmental damage, transportation system
disruption, or economic disruption in a particular area, as defined in
46 U.S.C. 70101. The term ``economic disruption'' does not include a
work stoppage or other employee-related action not related to terrorism
and resulting from an employer-employee dispute.
(F) Improper transportation of a hazardous material under 49 U.S.C.
5124, or a State law that is comparable.
(G) Unlawful possession, use, sale, distribution, manufacture,
purchase, receipt, transfer, shipping, transporting, import, export,
storage of, or dealing in an explosive or explosive device. An
explosive or explosive device includes, but is not limited to, an
explosive or explosive material as defined in 18 U.S.C. 232(5), 841(c)
through 841(f), and 844(j); and a destructive device, as defined in 18
U.S.C. 921(a)(4) and 26 U.S.C. 5845(f).
(H) Murder.
(I) Making any threat, or maliciously conveying false information
knowing the same to be false, concerning the deliverance, placement, or
detonation of an explosive or other lethal device in or against a place
of public use, a state or government facility, a public transportation
system, or an infrastructure facility.
(J) Violations of the Racketeer Influenced and Corrupt
Organizations Act, 18 U.S.C. 1961, et seq., or a comparable State law,
where one of the predicate acts found by a jury or admitted by the
defendant, consists of one of the crimes listed in paragraph (a)(1) of
this section.
(K) Attempt to commit the crimes in paragraphs (a)(1)(A) through
(D) of this section.
(L) Conspiracy or attempt to commit the crimes in paragraphs
(a)(1)(E) through (a)(1)(J) of this section.
(2) Look-back period for interim disqualifying criminal offenses.
The felonies listed in paragraph (a)(3) of this section are
disqualifying, if either--
(A) The individual was convicted, or found not guilty by reason of
insanity, of the crime in a civilian or military U.S. domestic or
foreign jurisdiction within 7 years of the date of the application; or
(B) The individual was incarcerated for that crime and released
from incarceration within 5 years of the date of the application.
(3) Interim disqualifying offenses. The interim disqualifying
felonies are:
(A) Unlawful possession, use, sale, manufacture, purchase,
distribution, receipt, transfer, shipping, transporting, delivery,
import, export of, or dealing in a firearm or other weapon. A firearm
or other weapon includes, but is not limited to, firearms as defined in
18 U.S.C. 921(a)(3) or 26 U.S.C. 5845(a), or items contained on the
U.S. Munitions Import List at 27 CFR part 447.21.
(B) Extortion.
(C) Dishonesty, fraud, or misrepresentation, including identity
fraud and money laundering where the money laundering is related to a
crime described in paragraphs (a)(1) or (a)(3) of this section. Welfare
fraud and passing bad checks do not constitute dishonesty, fraud, or
misrepresentation for purposes of this paragraph.
(D) Bribery.
(E) Smuggling.
(F) Immigration violations.
(G) Distribution of, possession with intent to distribute, or
importation of a controlled substance.
(H) Arson.
(I) Kidnapping or hostage taking.
(J) Rape or aggravated sexual abuse.
(K) Assault with intent to kill.
(L) Robbery.
(M) Entry by false pretenses to any real property, vessel, or
aircraft of the U.S. or secure area of any airport or seaport as
described in 18 U.S.C. 1036 or 49 U.S.C. 46312, or a comparable State
law.
[[Page 33516]]
(N) Violations of the Racketeer Influenced and Corrupt
Organizations Act, 18 U.S.C. 1961, et seq., or a comparable State law,
other than the violations listed in paragraph (a)(1)(J) of this
section.
(O) Manslaughter, as described in 18 U.S.C. 1112, or a comparable
state law.
(P) Conspiracy or attempt to commit the crimes in this paragraph
(a)(3).
(b) [Reserved]
(c) Under want, warrant, indictment, or criminal complaint. An
individual who is wanted, the subject of a warrant, under indictment,
or the subject of a criminal complaint, in any civilian or military
jurisdiction, for a felony listed in paragraph (a) is disqualified
until the want or warrant is released or the indictment or complaint is
dismissed.
(d) Mental incapacity. An individual who has been adjudicated as
lacking mental capacity or involuntarily committed to a mental health
facility, is disqualified until the adjudication is withdrawn or the
individual is released from the mental health facility.
Sec. 1530.505 Immigration check.
(a) An individual applying for an STA under this Part must be U.S.
citizen, U.S. National, or who is--
(1) Lawfully admitted for permanent residence;
(2) A refugee admitted under 8 U.S.C. 1157;
(3) Granted asylum under 8 U.S.C. 1158;
(4) In lawful nonimmigrant status;
(5) Paroled into the United States under 8 U.S.C. 1182(d)(5); or
(6) Is otherwise authorized to be employed in the United States.
(b) To determine whether an applicant falls within the categories
listed in paragraph (a) of this section, TSA will check relevant
Federal databases and may perform other checks, including the validity
of the applicant's alien registration number, Social Security number,
or I-94 Arrival-Departure Form number.
Sec. 1530.507 Terrorism check and other analyses.
(a) An individual applying for or holding a Level 1, 2, or 3 STA
must undergo a terrorism check and other analysis to determine whether
the individual poses or may pose a threat to transportation security or
national security, or of terrorism. TSA conducts this check based on a
search of the following--
(1) Interpol and other international databases, as appropriate.
(2) Terrorist watchlists and related databases.
(3) Any other databases or sources relevant to determining whether
an individual poses or may pose a threat to transportation security or
national security, or of terrorism, and that confirm an individual's
identity.
(b) TSA may also determine that the individual may pose a threat to
transportation security or national security, or of terrorism, and is
ineligible, if the check conducted under this part reveals extensive
foreign or domestic criminal convictions, a conviction for a serious
crime not listed in Sec. 1530.503 of this part, or a period of foreign
or domestic incarceration that exceeds 365 consecutive days.
Sec. 1530.509 Comparability of security threat assessments.
(a) Comparability of checks. TSA may determine that a previous
check, such as a CHRC, or a terrorism check and other analyses,
conducted as part of an earlier STA is comparable to the same check
needed for a later STA, following an examination of the factors set out
in paragraph (d) of this section, and if the following conditions are
met:
(1) The first check has not expired.
(2) The first check is part of a DOE that is not expired, revoked,
or suspended.
(3) The first check was adjudicated under standards that are
comparable to the standards for the check in the new STA applied for
under this part.
(b) Comparability of entire STA. TSA may accept a valid, unexpired
STA, background check, or investigation conducted by TSA or another
Federal governmental agency as satisfying an STA requirement under this
chapter if TSA determines, based on an examination of the factors set
out in paragraph (d) of this section, that the STA, background check,
or other investigation satisfies all of the requirements of the level
of STA applied for under this part.
(c) Duration of DOE. A DOE issued on the basis of an earlier,
comparable check, STA, background check, or investigation is computed
from the date of the earliest check included in the STA, background
check, or investigation. For example, if the later STA relies on an
immigration check conducted 2 years before as part of an earlier STA,
the validity of the second DOE will be 3 years, rather than 5 years, as
otherwise provided in Sec. 1530.7 of this part.
(d) Comparability determination considerations. Except as provided
in paragraphs (g) through (i) of this section (which set forth
comparability determinations that TSA has already made), in making a
comparability determination under paragraph (a) or (b) of this section,
TSA will consider--
(1) The minimum standards used for the check, STA, background
check, or investigation;
(2) The frequency and duration of the check, STA, background check,
or investigation;
(3) The date of the most recent check, STA, background check, or
investigation;
(4) As applicable, whether the STA, background check, or
investigation includes biometric identification and a biometric
credential; and
(5) Other factors TSA considers appropriate to determining
comparability.
(e) [Reserved]
(f) Information required to use a comparable assessment. If
asserting completion of a comparable check, STA, background check, or
investigation under paragraph (a) or (b) of this section, an individual
must--
(1) Present the credential (or similar documentation) that
corresponds to successful completion of the comparable assessment to
TSA;
(2) Notify TSA when the credential that corresponds to a successful
completion of the comparable assessment expires or is suspended or
revoked for any reason; and
(3) Complete the enrollment and pay associated fees, as required in
this part.
(g) Comparable to Level 1 STA. The following successful STAs are
comparable to a Level 1 STA:
(1) A Level 2 or a Level 3 STA.
(2) An STA completed under the FAST, NEXUS, Global Entry, and
SENTRI programs administered by U.S. Customs and Border Protection
(CBP).
(3) An STA conducted by TSA under part 1572 of this chapter for a
hazardous materials endorsement (HME) or transportation worker
identification credential (TWIC).
(4) An STA conducted by TSA under part 1540 of this chapter for
certain individuals engaged in cargo operations.
(5) An STA conducted by TSA for the TSA PreCheck[supreg]
Application Program.
(h) Comparable to Level 2 STA. The following successful STAs are
comparable to a Level 2 STA:
(1) A Level 3 STA.
(2) An STA completed under the FAST, NEXUS, Global Entry, and
SENTRI programs administered by CBP.
(3) An STA conducted by TSA under part 1572 of this chapter for an
HME or TWIC.
(4) An STA conducted by TSA for the TSA PreCheck[supreg]
Application Program.
(i) Comparable to Level 3 STA. The following successful STAs are
comparable to a Level 3 STA:
(1) An STA completed under the FAST, NEXUS, Global Entry, and
SENTRI programs administered by CBP.
[[Page 33517]]
(2) An STA conducted by TSA under part 1572 of this chapter for an
HME or TWIC.
(3) An STA conducted by TSA for the TSA PreCheck[supreg]
Application Program.
Subpart G--Appeal and Waiver Procedures for Security Threat
Assessments
Sec. 1530.601 Scope and General Requirements.
(a) Appeals. This subpart applies to individuals appealing a PDI or
a PDIIR as part of an STA as described in Sec. Sec. 1530.415 and
1530.417 of this part.
(b) Waivers. This subpart applies to individuals who are authorized
to apply for a waiver of certain STA standards by the statute,
regulation, security program, or other authority that requires him or
her to undergo an STA.
(c) Nondisclosure of certain information. In connection with the
procedures in this subpart, TSA does not disclose to the individual
and/or respondent classified information, as defined in section 1(a) of
the Classified Information Procedures Act (18 U.S.C. App.), as amended,
and will not disclose any other information or material not warranting
disclosure or protected from disclosure under law.
(d) Representation by counsel. For any proceedings under this
subpart, an individual or respondent may choose to be represented by
counsel at his or her expense.
(e) Extension of time. TSA may grant an individual an extension of
the time limits described in this subpart for good cause shown. An
individual's request for an extension of time must be in writing and
received by TSA within a reasonable time prior to the date to be
extended. If the request for an extension of time is not received by
TSA before the due date to be extended, an individual may request an
extension after the expiration of a due date by sending a written
request describing why the failure to file within the time limits may
be excusable.
(f) Exhaustion of administrative remedies. An individual must
exhaust the administrative remedies set forth in this subpart before
seeking judicial review.
Sec. 1530.603 [Reserved]
Sec. 1530.605 Appeal based on criminal, immigration, or mental
capacity standards.
(a) Scope. This section applies to individuals appealing a PDI or a
PDIIR based on one or more of the following:
(1) TSA's determination that an individual is ineligible because he
or she has a disqualifying criminal offense described in Sec. 1530.503
or criminal history in Sec. 1530.507(b) of this part.
(2) TSA's determination that an individual is ineligible because he
or she does not meet the immigration standards, as described in Sec.
1530.505 of this part.
(3) TSA's determination that an individual is ineligible because he
or she has been adjudicated as lacking mental capacity or committed to
a mental health facility.
(b) Grounds for appeal. An individual may appeal a PDI or a PDIIR
if the individual is asserting that he or she meets the standards for
the STA for which he or she is applying, and
(1) The basis for the denial is factually incorrect; or
(2) TSA has not applied the standards described in this part 1530
correctly.
(c) Initiating an appeal. (1) An individual who has received a PDI
or PDIIR may initiate an appeal by submitting a written request for
material from TSA in accordance with paragraph (d) of this section, or
a written reply to TSA in accordance with paragraph (e) of this
section, within 60 days of the date of service of the PDI. An
individual preserves the right to appeal a PDI or PDIIR, if he or she
requests an extension of time in accordance with Sec. 1530.601(e) of
this part and the request is granted.
(2) If the individual does not initiate an appeal, submit a written
request for material, or request an extension of time within 60 days of
the date of service of the PDI or PDIIR, the PDI or PDIIR becomes an
FDI.
(d) Request for material. (1) Within 60 days of the date of service
of the PDI or PDIIR, the individual may serve TSA with a written
request for copies of the material upon which the PDI or PDIIR was
based.
(2) Within 60 days of the date of service of the request for
material, TSA will serve the individual with copies of the releasable
material on which the PDI or PDIIR was based.
(3) Within 60 days of the date of service of the individual's
request for material, TSA may request additional information or
documents from the individual that TSA believes are necessary to make a
final determination.
(e) Reply. (1) Within 60 days of the date of service of the PDI or
PDIIR, the individual may serve on TSA a written reply to the PDI or
PDIIR.
(i) If the individual requested material under paragraph (d) of
this section, the individual may serve on TSA a written reply to the
PDI or PDIIR within 60 days of the date of service of TSA's response to
the individual's request for material.
(ii) The reply must include the rationale and information upon
which the individual disputes TSA's PDI or PDIIR.
(2) Within 60 days of the date of service of the individual's
written reply, TSA may request from the individual additional
information or documents that TSA believes are necessary to make a
final determination on the individual's appeal.
(3) TSA will consider only material that is relevant to whether the
individual meets the applicable standards for the STA for which the
individual is applying.
(f) Correction of records. If the PDI or PDIIR was based on a
record that the individual believes is erroneous, the individual may
correct the record by--
(1) Contacting the jurisdiction or entity responsible for the
information and attempting to correct or complete information contained
in his or her record; and
(2) Providing TSA the revised record, or a certified true copy of
the information from the appropriate entity, before TSA determines
whether the individual meets the standards for the STA.
(g) Final determination. Within 60 days of the date of service of
the individual's reply to the PDI of PDIIR, or a longer period of time
for good cause, TSA will serve either an FDI or a withdrawal of the
PDI/PDIIR, as provided in paragraph (g)(1) or (g)(2) of this section.
(1) Final Determination of Ineligibility. If the Assistant
Administrator concludes that an individual does not meet the standards
described in Sec. 1530.501 of this part, TSA will serve an FDI upon
the individual. Where applicable, TSA will serve the FDI on the
individual's employer or entity for whom the individual is an
authorized representative. The FDI will include a statement that the
Assistant Administrator has reviewed the PDI or PDIIR, the individual's
reply and accompanying information, and any other available material or
information, and has determined that the individual does not meet the
STA standards for which she or he has applied.
(2) Withdrawal of PDI/PDIIR. If the Assistant Administrator
concludes that the individual meets the STA standards, TSA will serve a
withdrawal of the PDI/PDIIR upon the individual, and where applicable,
the individual's employer, operator, or other person with security
responsibilities for the individual under this chapter.
(h) Further review. For purposes of judicial review, the FDI issued
under this section constitutes a final agency order that the individual
does not meet
[[Page 33518]]
the STA standards, in accordance with 49 U.S.C. 46110.
Sec. 1530.607 Requests for waiver of criminal offense or mental
capacity standards.
(a) Scope. This section applies to individuals who are authorized
to apply for a waiver of STA standards by the statute, regulation,
security program, or other authority that requires him or her to
undergo an STA, and--
(1) Who have a disqualifying criminal offense described in Sec.
1530.503 of this part;
(2) Who have been determined to be ineligible due to a prior
adjudication of lacking mental capacity or prior commitment to a mental
health facility; or
(3) Who have been determined to be ineligible under Sec.
1530.507(b) of this part.
(b) Grounds for waiver. TSA may issue a waiver of the standards
described in paragraph (a) of this section if, based on a review of
information described in paragraph (c) of this section, TSA determines
that, despite a disqualifying criminal offense or mental capacity
issue, the evidence does not indicate that the individual poses or may
pose a threat to transportation security or national security, or of
terrorism, and the individual is otherwise eligible.
(c) Initiating waiver. (1) To initiate a waiver, the individual
must:
(i) Have already submitted a complete application for the required
STA, and paid all applicable fees.
(ii) Submit a written waiver to TSA. To be considered timely
submitted, such written waiver request--
(A) May be received as early as the same date that the individual
submitted the application and fee, and
(B) May be received no later than 60 days after final disposition
of an appeal undertaken consistent with in Sec. 1530.605 of this
subpart.
(C) An individual preserves the right submit a waiver request, if
he or she requests an extension of time in accordance with Sec.
1530.601(e) of this part and the request is granted.
(2) In determining whether to grant a waiver, TSA will consider the
following factors:
(i) The circumstances of the disqualifying offense.
(ii) Restitution made by the individual.
(iii) Any Federal or State mitigation remedies.
(iv) Court records or official medical release documents indicating
that the individual no longer lacks mental capacity.
(v) Term of incarceration, time elapsed since release from
incarceration/jail, and information concerning any criminal activity or
evidence of rehabilitation that occurred since release from
incarceration/jail.
(vi) Other factors that indicate the individual should or should
not be granted a waiver.
(d) Grant or Denial of Waiver. (1) Within 60 days of the date of
service of the individual's request for a waiver, the Assistant
Administrator will serve on the individual a written decision granting
or denying the waiver.
(2) If the Assistant Administrator denies the waiver, the
individual may seek review by an administrative law judge (ALJ) in
accordance with Sec. 1530.611 of this part. A denial of a waiver under
this section does not constitute a final agency order as provided in 49
U.S.C. 46110.
Sec. 1530.609 Appeal of security threat assessment based on terrorism
check and other analyses.
(a) Scope. This section applies to an individual appealing a PDI or
PDIIR based on a failure to meet the standards in Sec. 1530.507(a) of
this part.
(b) Grounds for appeal. An individual may appeal a PDI or PDIIR if
the individual is asserting that he or she meets the standards for the
STA for which he or she is applying.
(c) Procedures for Appeal. The appeal procedures set forth in
Sec. Sec. 1530.605(c) through (f) of this subpart apply to this
section.
(d) Final determination. Within 60 days of the date of service of
the individual's reply to the PDI/PDIIR, or a longer period of time for
good cause, TSA will serve either an FDI or a withdrawal of the PDI/
PDIIR as provided in paragraph (d)(1) or (d)(2) of this section.
(1) Final Determination of Ineligibility. If the Assistant
Administrator concludes that an individual does not meet the standards
described in Sec. 1530.501 of this part, TSA will serve an FDI upon
the individual. Where applicable, TSA will serve the FDI on the
individual's employer or entity for whom the individual is an
authorized representative. The FDI will include a statement that the
Assistant Administrator has reviewed the PDI/PDIIR, the individual's
reply and accompanying information, and any other available material or
information, and has determined that the individual does not meet the
STA standards for which she or he has applied.
(2) Withdrawal of PDI/PDIIR. If the Assistant Administrator
concludes that the individual meets the STA standards, TSA will serve a
withdrawal of the PDI/PDIIR upon the individual, and where applicable,
the individual's employer, operator, or other person with security
responsibilities for the individual under this chapter.
(e) Further review. If the Assistant Administrator denies the
appeal, the individual may seek review by an ALJ in accordance with
Sec. 1530.611 of this subpart. A final determination issued under this
section does not constitute a final agency order as provided in 49
U.S.C. 46110.
Sec. 1530.611 Review by administrative law judge.
(a) Scope. This section applies to the following:
(1) An individual who seeks review of a decision by TSA denying a
waiver request under Sec. 1530.607 of this part.
(2) An individual who seeks review of a decision by TSA denying an
appeal under Sec. 1530.609 of this part.
(b) Request for review by administrative law judge. An individual
must request review by an ALJ of TSA's decision to deny a waiver under
Sec. 1530.607 or an appeal under Sec. 1530.609 of this part, by
serving the request no later than 30 days from the date of service
TSA's final determination. If the individual fails to seek review
within 30 days of the date of service, the application is closed and
the individual is not eligible.
(1) The request for review must clearly state the issue(s) to be
considered by the ALJ, and include the following documents in support
of the request:
(i) A copy of the individual's request for waiver or appeal,
including all material the individual provided to TSA as part of the
request for waiver under Sec. 1530.607 of this part or appeal under
Sec. 1530.609 of this part; and
(ii) A copy of TSA's denial of the waiver request or appeal.
(2) The request for review may not include material, evidence, or
information that was not presented to TSA in the original waiver
request or appeal. The ALJ may consider only material, evidence, or
information that was presented to TSA in the waiver request or appeal.
(3) If the individual has new or additional material, evidence or
information that was not presented to TSA as part of the original
waiver request or appeal, the individual must file a new waiver request
under Sec. 1530.607 of this part or appeal under Sec. 1530.609 of
this part and the pending request for ALJ review will be dismissed.
[[Page 33519]]
(4) The individual may include in the request for review a request
for an in-person hearing before the ALJ.
(5) The individual must file the request for ALJ review with the
ALJ Docketing Center, U.S. Coast Guard, 40 S. Gay Street, Room 412,
Baltimore, MD 21202-4022, ATTENTION: Hearing Docket Clerk.
(c) Extension of time. (1) The ALJ may grant an extension of the
time limits described in this section for good cause shown.
(2) Requests for an extension of time must be in writing and
received by the ALJ within a reasonable time before the date to be
extended.
(3) An individual may request an extension of time after the
expiration of a due date by sending a written request describing why
the failure to file within the time limits should be excused.
(4) This paragraph (c) does not apply to time limits set by the ALJ
during the ALJ's review of the case.
(d) Duties of the administrative law judge. The ALJ who conducts
the review described in this section must possess the appropriate
security clearance necessary to review classified or otherwise
protected information and evidence. The ALJ may--
(1) Receive information and evidence presented to TSA in the
request for waiver under Sec. 1530.607 of this part or appeal under
Sec. 1530.609 of this part;
(2) Determine whether to grant a request for an in-person hearing,
by considering if there are genuine issues of fact regarding--
(i) The credibility of evidence or information submitted in the
individual's request for a waiver or appeal; and
(ii) Whether TSA's determination on a request for a waiver or
appeal under this subpart was made in accordance with this chapter.
(3) Give notice of and hold conferences and hearings;
(4) Administer oaths and affirmations;
(5) Examine witnesses;
(6) Regulate the course of the hearing including granting
extensions of time limits; and
(7) Dispose of procedural motions and requests, and issue a
decision that applies the substantial evidence on the record standard
of proof for conclusions of law.
(e) Hearing. If the ALJ grants a request for a hearing, except for
good cause shown, it will begin within 60 days of the date of receipt
of the request for hearing. The hearing is a limited discovery
proceeding and is conducted as follows:
(1) If applicable and upon request, TSA will provide to the
individual requesting a review an unclassified summary of classified
evidence upon which TSA's denial of the waiver or appeal was based, to
the extent possible given national security concerns. Preparation of an
unclassified summary constitutes good cause for the purposes of
extending the time limits described in this section.
(i) TSA will not disclose to the individual, or the individual's
counsel, classified information, as defined in E.O. 12968, section
1.1(d), as amended.
(ii) TSA will not disclose any other information or material that
does not warrant disclosure or is otherwise protected from disclosure
by law or regulation.
(2) The individual may present the case by oral testimony;
documentary, demonstrative, or rebuttal evidence; and conduct cross-
examination, as permitted by the ALJ. Oral testimony, and documentary,
demonstrative, and rebuttal evidence is limited to the evidence or
information that the individual presented to TSA in the request for a
waiver or during the appeal. The Federal Rules of Evidence may serve as
guidance, but are not binding and shall not preclude presentation of
evidence considered by TSA in making its decision to deny a waiver or
appeal, or evidence offered by the individual to TSA in support of
their waiver or appeal.
(3) The ALJ will review any classified information on an ex parte,
in camera basis, and may consider such information in rendering a
decision if the information appears to be material and relevant.
(4) The ALJ will assess whether TSA's determination is supported by
substantial evidence on the record.
(5) The parties may submit proposed findings of fact and
conclusions of law.
(6) If the individual fails to appear, the ALJ may issue a default
judgment.
(7) A verbatim transcript will be made of the hearing, including
any witnesses testifying ex parte, in camera, and will be provided upon
request at the expense of the requesting party. In cases in which
classified or otherwise protected evidence is received, the transcript
will be redacted for classified or otherwise protected information.
(8) The hearing will be held at TSA's Headquarters building or, on
request of a party, at an alternate location selected by the ALJ for
good cause shown. The ALJ may hold a hearing via teleconference or
video, as appropriate.
(f) Decision of the administrative law judge. (1) The record is
closed when the certified transcript and all documents and material
have been submitted for the record.
(2) The ALJ issues an unclassified written decision to the
individual no later than 60 days from the close of the record, and may
extend the time needed to issue the decision where appropriate. The ALJ
serves the decision on the parties. The ALJ may issue a classified
decision to TSA.
(3) The ALJ's decision may be appealed by either party to the TSA
Final Decision Maker in accordance with Sec. 1530.613 of this subpart.
In no event does an ALJ decision constitute a final agency order as
provided in 49 U.S.C. 46110.
(i) Concerning a review of a waiver denial, if the ALJ upholds
TSA's denial of the waiver request and the individual does not appeal
that to the TSA Final Decision Maker, TSA will issue a final agency
order denying a waiver to the individual.
(ii) Concerning a review of a waiver denial, if the ALJ reverses
TSA's denial of the waiver request and TSA does not appeal that to the
TSA Final Decision Maker, TSA will issue a final agency order granting
a waiver to the individual and if applicable, send a DOE to the
individual's employer, operator, or other person with security
responsibilities for the individual under this chapter.
(iii) Concerning a review of an appeal denial, if the ALJ upholds
TSA's denial of the appeal and the individual does not appeal that to
the TSA Final Decision Maker, TSA will issue a final order of
ineligibility to the individual.
(iv) Concerning a review of an appeal denial, if the ALJ reverses
TSA's denial of the appeal and TSA does not appeal that to the TSA
Final Decision Maker, TSA will re-adjudicate the STA consistent with
the ALJ's decision, issue a withdrawal of the final determination to
the individual, and if applicable, to the individual's employer,
operator, or other person with security responsibilities for the
individual under this chapter.
Sec. 1530.613 Review by TSA Final Decision Maker.
(a) Request for review. Either party may request that the TSA Final
Decision Maker review the ALJ's decision by serving a written request
no later than 30 days after the date of service of the ALJ's decision.
Requests for review served after 30 days of the date of service of the
ALJ's decision will be denied, except where good cause is shown. The
request must be--
(1) In writing;
(2) Served on the other party; and
(3) Address only whether the ALJ decision is supported by
substantial evidence on the record.
[[Page 33520]]
(b) Response to request for review. The other party may file a
response to the request for review no later than 30 days after receipt
of the request.
(c) Record for review. The ALJ will provide the TSA Final Decision
Maker with a certified transcript of the hearing and all unclassified
documents and material submitted for the record. TSA will provide any
classified material previously submitted.
(d) Decision of the TSA Final Decision Maker. No later than 60 days
after receipt of the request, or if the other party files a response,
30 days after receipt of the response, or such longer period as may be
appropriate, the TSA Final Decision Maker issues an unclassified
decision and serves the decision on the parties. The TSA Final Decision
Maker may issue a classified opinion to TSA, if applicable. The
decision of the TSA Final Decision Maker is a final agency order in
accordance with 49 U.S.C. 46110.
(1) In the case of a review of a waiver denial under Sec. 1530.607
of this part, if the TSA Final Decision Maker upholds the denial of the
individual's request for waiver, TSA issues a final agency order
denying a waiver request to the individual.
(2) In the case of a review of a waiver denial under Sec. 1530.607
of this part, if the TSA Final Decision Maker reverses the denial of
the individual's request for waiver, TSA will issue a final agency
order granting a waiver to the individual, and if applicable, send a
DOE to the TSA-regulated person employing or contracting with the
individual, or other person, as appropriate.
(3) In the case of a review of an appeal under Sec. 1530.609 of
this part, if the TSA Final Decision Maker determines that the
individual does not meet the STA standards in this part, TSA will issue
an FDI to the individual.
(4) In the case of a review of an appeal under Sec. 1530.609 of
this part, if the TSA Final Decision Maker determines that the
individual meets the STA standards, TSA will issue a withdrawal of the
FDI to the individual, and if applicable, to the individual's employer
or entity for whom the individual is an authorized representative.
(e) Judicial review. The individual may seek judicial review of a
final decision of the TSA Final Decision Maker in the U.S. Court of
Appeals of the District of Columbia Circuit, in accordance with 49
U.S.C. 46110.
SUBCHAPTER D--MARITIME AND LAND TRANSPORTATION SECURITY
PART 1570--GENERAL RULES
0
4. The authority citation for part 1570 is revised to read as follows:
Authority: 46 U.S.C. 70105; 49 U.S.C. 114, 5103a, 40113, and
46105; Pub. L. 108-90 (117 Stat. 1156; Oct. 1, 2003), sec. 520 (6
U.S.C. 469), as amended by Pub. L. 110-329 (122 Stat. 3689; Sept.
30, 2008) sec. 543 (6 U.S.C. 469); Pub. L. 110-53 (121 Stat. 266;
Aug. 3, 2007) secs. 1402 (6 U.S.C. 1131), 1405 (6 U.S.C. 1134), 1408
(6 U.S.C. 1137), 1411 (6 U.S.C. 1140); 1413 (6 U.S.C. 1142), 1414 (6
U.S.C. 1143), 1501 (6 U.S.C. 1151), 1512 (6 U.S.C. 1162), 1517 (6
U.S.C. 1167), 1520, 1522 (6 U.S.C. 1170), 1531 (6 U.S.C. 1181), and
1534 (6 U.S.C. 1184).
0
5. Add Sec. 1570.307 to part 1570 to read as follows:
* * * * *
Sec. 1570.307 Owner/operators and individuals subject to security
threat assessment requirements.
(a) Owner/operators. The specific STA requirements for owner/
operators in maritime and land transportation are set forth in parts
1530 (Security Threat Assessments), 1572 (Credentialing and Security
Threat Assessments for TWIC and HME), 1580 (Freight Rail Transportation
Security), 1582 (Public Transportation and Passenger Rail
Transportation Security), and 1584 (Highway and Motor Carriers) of this
chapter.
(b) Individuals. The specific STA requirements concerning
individuals in maritime and land transportation, including security
coordinators and security-sensitive employees, are set forth in parts
1530 (Security Threat Assessments), 1572 (Transportation Worker
Identification Credential and Hazardous Materials Endorsement
Programs), 1580 (Freight Rail), 1582 (Public Transportation and
Passenger Rail), and 1584 (Highway and Motor Carriers) of this chapter.
0
6. Revise the heading of part 1572 to read as follows:
PART 1572--CREDENTIALING AND SECURITY THREAT ASSESSMENTS FOR THE
HAZARDOUS MATERIALS ENDORSEMENT AND TRANSPORTATION WORKER
IDENTIFICATION CREDENTIAL PROGRAMS
PART 1580--RAIL TRANSPORTATION SECURITY
0
7. The authority citation for part 1580 is revised to read as follows:
Authority: 49 U.S.C. 114; Pub. L. 110-53 (121 Stat. 266, Aug.
3, 2007) secs. 1501 (6 U.S.C. 1151), 1512 (6 U.S.C. 1162), 1517 (6
U.S.C. 1167), 1520, and 1522 (6 U.S.C. 1170).
0
8. Revise Sec. 1580.3 introductory text to read as follows:
Sec. 1580.3 Terms used in this part.
In addition to the terms in Sec. Sec. 1500.3, 1500.5, and 1503.103
of subchapter A, Sec. 1530.3 of subchapter B, and Sec. 1570.3 of
subchapter D of this chapter, the following terms apply to this part:
* * * * *
0
9. Add subpart D to part 1580 to read as follows:
Subpart D--Security Threat Assessment Requirements for Owner/
Operators and Individuals
Sec.
1580.301 Owner/operator requirements.
1580.303 Requirements for individuals.
1580.305 TSA enrollment required.
1580.307 Effective dates.
Sec. 1580.301 Owner/operator requirements.
(a) Security coordinator security threat assessment. (1) An owner/
operator required to designate and use a primary and at least one
alternate security coordinator under Sec. 1570.201 of this chapter
must not designate or permit an individual to serve as a primary or
alternate security coordinator without confirmation from TSA that the
individual has successfully completed a Level 3 STA and holds a current
Determination of Eligibility (DOE) as described in part 1530 of this
chapter.
(2) The owner/operator must retain records, in a form and manner
authorized by TSA, that documents compliance with the requirement in
paragraph (a)(1) of this section from the date that the owner/operator
designates an individual as a primary or alternative security
coordinator and until 180 days after the owner/operated has terminated
such designation, and make those records available to TSA upon request.
(b) Security-sensitive employee STA. (1) An owner/operator
described in Sec. 1580.101 of this part must not authorize or permit
an individual to serve as a security-sensitive employee without
confirmation from TSA that the individual has successfully completed a
Level 2 STA and holds a current DOE as described in part 1530 of this
chapter.
(2) The owner/operator must retain records, in a form and manner
authorized by TSA, that documents compliance with the requirement in
paragraph (b)(1) of this section for 180 days after the individual has
left employment, and make those records available to TSA upon request.
(c) Continuing responsibilities. (1) An owner/operator must remove
an
[[Page 33521]]
individual from a position as a primary or alternate security
coordinator, or as a security-sensitive employee, if notified by TSA
that the individual no longer meets the standards described in Sec.
1530.501 of this chapter for such position.
(2) If an owner/operator becomes aware of information indicating
that an individual serving as a primary or alternate security
coordinator or security-sensitive employee is or may not be eligible
for the position, the owner/operator must immediately notify TSA.
(3) An owner/operator may reassign an individual to be a security
coordinator or security-sensitive employee if notified by TSA that the
individual is eligible.
Sec. 1580.303 Requirements for individuals.
(a) Security coordinator. An individual must not perform the
function of a primary or alternate security coordinator, unless he or
she successfully completes a Level 3 STA and holds a current DOE, as
described in part 1530 of this chapter. The criminal history records
check (CHRC) conducted as part of the STA must be adjudicated against
the standards and list of disqualifying criminal offenses in Sec.
1530.503 of this chapter.
(b) Security-sensitive employee. An individual must not serve as a
security-sensitive employee, unless he or she successfully completes a
Level 2 STA and holds a current DOE as described in part 1530 of this
chapter.
Sec. 1580.305 TSA enrollment required.
(a) Each individual required to undergo an STA under this subpart
must use the TSA enrollment system and procedures as described in part
1530 of this chapter, unless otherwise authorized by TSA.
(b) An owner/operator must use the TSA enrollment system and
procedures under part 1530 of this chapter for its employees who are
required to undergo an STA, unless otherwise authorized by TSA.
Sec. 1580.307 Effective dates.
(a) The effective date for Sec. Sec. 1580.301(a) and 1580.303(a)
of this part is [INSERT DATE 6 MONTHS AFTER DATE OF FINAL RULE
PUBLICATION IN THE Federal Register].
(b) The effective date for Sec. Sec. 1580.301(b) and 1580.303(b)
of this part is [INSERT DATE 12 MONTHS AFTER DATE OF FINAL RULE
PUBLICATION IN THE Federal Register].
(c) The effective date for Sec. 1580.305 of this part is [INSERT
DATE 30 DAYS AFTER DATE OF FINAL RULE PUBLICATION IN THE Federal
Register].
PART 1582--PUBLIC TRANSPORTATION AND PASSENGER RAILROAD SECURITY
0
10. The authority citation for part 1582 continues to read as follows:
Authority: 49 U.S.C. 114; Pub. L. 110-53 (121 Stat. 266, Aug.
3, 2007) secs. 1402 (6 U.S.C. 1131), 1405 (6 U.S.C. 1134), and 1408
(6 U.S.C. 1137).
Subpart A--General
0
11. Revise Sec. 1582.3 introductory text to read as follows:
Sec. 1582.3 Terms used in this part.
In addition to the terms in Sec. Sec. 1500.3, 1500.5, and
1503.103, of subchapter A, Sec. 1530.3 of subchapter B, and Sec.
1570.3 of subchapter D of this chapter, the following terms apply to
this part:
* * * * *
0
12. Add subpart C to part 1582 to read as follows:
Subpart C--Security Threat Assessment Requirements for Owner/
Operators and Individuals
Sec.
1582.201 Owner/operator requirements.
1582.203 Requirements for individuals.
1582.205 TSA enrollment required.
1582.207 Effective dates.
Sec. 1582.201 Owner/operator requirements.
(a) Security coordinator STA. (1) An owner/operator required to
designate and use a primary and alternate security coordinator under
Sec. 1570.201 of this chapter, must not designate or permit an
individual to serve as a primary or alternate security coordinator
without confirmation from TSA that the individual has successfully
completed a Level 3 security threat assessment (STA) and holds a
current determination of eligibility (DOE) as described in part 1530 of
this chapter.
(2) The owner/operator must retain records, in a form and manner
authorized by TSA, that documents compliance with the requirement in
paragraph (a)(1) of this section from the date that the owner/operator
designates an individual as a primary or alternative security
coordinator and until 180 days after the owner/operated has terminated
such designation, and make those records available to TSA upon request.
(b) Security-sensitive employee security threat assessment. (1) An
owner/operator, described in (a) of this section, must not permit an
individual to serve as a security-sensitive employee without
confirmation from TSA that the individual has successfully completed a
Level 2 STA and holds a current DOE as described in part 1530 of this
chapter.
(2) The owner/operator must retain records, in a form and manner
authorized by TSA, that documents compliance with the requirement in
paragraph (b)(1) of this section for 180 days after the individual has
left employment, and make those records available to TSA upon request.
(c) Continuing responsibilities. (1) An owner/operator must remove
an employee from a position as a primary or alternate security
coordinator or as a security-sensitive employee, if notified by TSA
that the individual no longer meets the standards described in Sec.
1530.501 of this chapter for those positions.
(2) If an owner/operator becomes aware of information indicating
that an individual serving as a primary or alternate security
coordinator or security-sensitive employee is or may not be eligible
for the position, the owner/operator must immediately notify TSA.
(3) An owner/operator may reassign an individual to be a security
coordinator or security-sensitive employee if notified by TSA that the
individual is eligible.
Sec. 1582.203 Requirements for individuals.
(a) Security Coordinator. An individual must not perform the
function of a primary or alternate security coordinator, unless he or
she successfully completes a Level 3 STA and holds a current DOE as
described in part 1530 of this chapter. The criminal history records
check (CHRC) conducted as part of the STA must be adjudicated against
the standards and list of disqualifying criminal offenses in Sec.
1530.503 of this part.
(b) Security-sensitive employee. An individual must not serve as a
security-sensitive employee, unless he or she successfully completes a
Level 2 STA and holds a current DOE as described in part 1530 of this
chapter.
Sec. 1582.205 TSA enrollment required.
(a) Each individual required to undergo an STA under this subpart,
must use the TSA enrollment system and procedures as described in part
1530 of this chapter, unless otherwise authorized by TSA.
(b) An owner/operator must use the TSA enrollment system and
procedures under part 1530 of this chapter for its employees who are
required to undergo an STA, unless otherwise authorized by TSA.
[[Page 33522]]
Sec. 1582.207 Effective dates.
(a) The effective date for Sec. Sec. 1582.201(a) and 1582.203(a)
of this part is [INSERT DATE 6 MONTHS AFTER DATE OF FINAL RULE
PUBLICATION IN THE Federal Register].
(b) The effective date for Sec. Sec. 1582.201(b) and 1582.203(b)
of this part is [INSERT DATE 12 MONTHS AFTER DATE OF FINAL RULE
PUBLICATION IN THE Federal Register].
(c) The effective date for Sec. 1582.205 of this part is [INSERT
DATE 30 DAYS AFTER DATE OF FINAL RULE PUBLICATION IN THE Federal
Register].
PART 1584--HIGHWAY AND MOTOR CARRIERS
0
13. The authority citation for part 1584 is revised to read as follows:
Authority: 49 U.S.C. 114; Pub. L. 110-53 (121 Stat. 266, Aug.
3, 2007) secs. 1501 (6 U.S.C. 1151), 1531 (6 U.S.C. 1181), and 1534
(6 U.S.C. 1184).
Subpart A--General
0
14. Revise Sec. 1584.3 introductory text to read as follows:
Sec. 1584.3 Terms used in this part.
In addition to the terms in Sec. Sec. 1500.3, 1500.5, and 1503.3
of subchapter A, Sec. 1530.3 of subchapter B, and Sec. 1570.3 of
subchapter D of this chapter, the following terms apply to this part:
* * * * *
0
15. Add subpart C to part 1584 to read as follows:
Subpart C--Security Threat Assessment Requirements for Owner/
Operators and Individuals
Sec.
1584.201 Owner/operator requirements.
1584.203 Requirements for individuals.
1584.205 TSA enrollment required.
1584.207 Effective date.
Sec. 1584.201 Owner/operator requirements.
(a) Security coordinator security threat assessment. (1) An owner/
operator, required to designate and use a primary and at least one
alternate security coordinator under Sec. 1570.201 of this chapter,
must not designate or permit an individual to serve as a primary or
alternate security coordinator without confirmation from TSA that the
individual has successfully completed a Level 3 security threat
assessment (STA) and holds a current Determination of Eligibility (DOE)
as described in part 1530 of this chapter.
(2) The owner/operator must retain records, in a form and manner
authorized by TSA, that documents compliance with the requirement in
paragraph (a)(1) of this part from the date that the owner/operator
designates an individual as a primary or alternative security
coordinator and until 180 days after the owner/operated has terminated
such designation, and make those records available to TSA upon request.
(b) Continuing responsibilities. (1) An owner/operator must remove
an employee from a position as a primary or alternate security
coordinator, if notified by TSA that he or she no longer meets the
standards described in Sec. 1530.501 of this chapter for those
positions.
(2) If an owner/operator becomes aware of information indicating
that an individual serving as a primary or alternate security
coordinator is, or may not, be eligible for position, the owner/
operator must immediately notify TSA.
(3) An owner/operator may reassign an individual to be a security
coordinator, if notified by TSA that the individual is eligible.
Sec. 1584.203 Requirements for individuals.
An individual must not perform the function of a primary or
alternate security coordinator unless he or she successfully completes
a Level 3 STA and holds a current DOE as described in part 1530 of this
chapter. The criminal history records check (CHRC) conducted as part of
the STA must be adjudicated against the standards and list of
disqualifying criminal offenses in Sec. 1530.503 of this chapter.
Sec. 1584.205 TSA enrollment required.
(a) Each individual required to undergo an STA under this subpart
must use the TSA enrollment system and procedures as described in part
1530 of this chapter, unless otherwise authorized by TSA.
(b) An owner/operator must use the TSA enrollment system and
procedures, as described in part 1530 of this chapter, for its
employees who are required to undergo an STA, unless otherwise
authorized by TSA.
Sec. 1584.207 Effective date.
(a) The effective date for Sec. 1584.201 and Sec. 1584.203 of
this part is [INSERT DATE 6 MONTHS AFTER DATE OF FINAL RULE PUBLICATION
IN THE Federal Register].
(b) The effective date for Sec. 1584.205 of this part is [INSERT
DATE 30 DAYS AFTER DATE OF FINAL RULE PUBLICATION IN THE Federal
Register].
Dated: May 4, 2023.
David P. Pekoske,
Administrator.
[FR Doc. 2023-10131 Filed 5-22-23; 8:45 am]
BILLING CODE 9110-05-P