Notice By Financial Institutions of Government Securities Broker or Government Securities Dealer Activities; Notice By Financial Institutions of Termination of Activities as a Government
ICR 199805-7100-004
OMB: 7100-0224
Federal Form Document
⚠️ Notice: This information collection may be outdated. More recent filings for OMB 7100-0224 can be found here:
Notice By Financial
Institutions of Government Securities Broker or Government
Securities Dealer Activities; Notice By Financial Institutions of
Termination of Activities as a Government
Extension without change of a currently approved collection
The Government Securities Act of 1986
requires all financial institutions that act as Government
securities brokers and dealers to notify their appropriate
regulatory authority of their broker-dealer activities, unless
exempted from the notice requirement by Treasury Department
regulation. These forms were developed to meet the requirements of
the act.
On behalf of this Federal agency, I certify that
the collection of information encompassed by this request complies
with 5 CFR 1320.9 and the related provisions of 5 CFR
1320.8(b)(3).
The following is a summary of the topics, regarding
the proposed collection of information, that the certification
covers:
(i) Why the information is being collected;
(ii) Use of information;
(iii) Burden estimate;
(iv) Nature of response (voluntary, required for a
benefit, or mandatory);
(v) Nature and extent of confidentiality; and
(vi) Need to display currently valid OMB control
number;
If you are unable to certify compliance with any of
these provisions, identify the item by leaving the box unchecked
and explain the reason in the Supporting Statement.