SORN OPM_GOVT-5 Recruiting, Examining, and Placement Records 79FR16834 03262014

SORN OPM_GOVT-5 Recruiting, Examining, and Placement Records 79FR16834 03262014 2014-0659.pdf

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SORN OPM_GOVT-5 Recruiting, Examining, and Placement Records 79FR16834 03262014

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16834

Federal Register / Vol. 79, No. 58 / Wednesday, March 26, 2014 / Notices

entering the comment submissions into
ADAMS.
II. Further Information
The NUREG provides guidance to a
licensee for preparing requests for
changes of control and about
bankruptcy involving byproduct,
source, or special nuclear materials
licenses. The NUREG also provides the
NRC with criteria for reviewing requests
for changes of control and bankruptcy.
The purpose of this notice is to provide
the public with an opportunity to
review and provide comments on draft
NUREG–1556, Volume 15, Revision 1,
‘‘Consolidated Guidance about Materials
Licenses: Guidance about Changes of
Control and about Bankruptcy Involving
Byproduct, Source, or Special Nuclear
Materials Licenses.’’ These comments
will be considered in the final version
or subsequent revisions.
Dated at Rockville, Maryland, this 19th day
of March, 2014.
For the U.S. Nuclear Regulatory
Commission.
John M. Moses,
Acting Deputy Director, Division of Materials
Safety and State Agreements, Office of
Federal and State Materials and
Environmental Management Programs.
[FR Doc. 2014–06721 Filed 3–25–14; 8:45 am]
BILLING CODE 7590–01–P

NUCLEAR REGULATORY
COMMISSION
[NRC–2014–0060]

Response Strategies for Potential
Aircraft Threats
Nuclear Regulatory
Commission.
ACTION: Regulatory guide; issuance.
AGENCY:

The U.S. Nuclear Regulatory
Commission (NRC) is issuing revision 1
to Regulatory Guide (RG) 1.214,
‘‘Response Strategies for Potential
Aircraft Threats.’’ The revision contains
updated references and minor
corrections. The revision does not
contain substantive changes in the NRC
staff’s regulatory positions. The guide
describes a method that the NRC staff
considers acceptable for applicants for,
and holders of, nuclear power plant
licenses to comply with NRC
requirements to develop, implement,
and maintain procedures for responding
to potential aircraft threats.
ADDRESSES: The document will be made
available for those individuals who have
established a ‘‘need-to-know’’ and
possess access permission to Official
Use Only-Security Related Information
(OUO–SRI). To access and review the

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SUMMARY:

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document contact: James Vaughn,
telephone: 301–287–3586, email:
james.vaughn@nrc.gov.
FOR FURTHER INFORMATION CONTACT:

James Vaughn, telephone: 301–287–
3586, email: james.vaughn@nrc.gov, or
Mekonen Bayssie, telephone: 301–251–
7489, email: mekonen.bayssie@nrc.gov,
U.S. Nuclear Regulatory Commission,
Washington, DC 20555–0001.
SUPPLEMENTARY INFORMATION:
I. Introduction
The NRC is issuing a revision to an
existing guide in the NRC’s ‘‘Regulatory
Guide’’ series. Regulatory guides were
developed to describe and make
available to the public, to the extent
possible, information and methods that
are acceptable to the NRC staff for
implementing specific parts of the
agency’s regulations, techniques that the
staff uses in evaluating specific
problems or postulated accidents, and
data that the staff needs in its review of
applications for permits and licenses.
The NRC typically seeks public
comment on a draft version of a
regulatory guide by announcing its
availability for comment in the Federal
Register. However, as explained in
section III.F. of the Handbook for NRC
Management Directive 6.6, ‘‘Regulatory
Guides’’ (Agencywide Documents
Access and Management System
Accession No. ML110330475), the NRC
may directly issue a final regulatory
guide without a draft version or public
comment period if the changes to the
regulatory guide are non-substantive.
Furthermore, RG 1.214 is withheld from
public disclosure but is available to
those affected licensees and cleared
stakeholders who can or have
demonstrated a ‘‘need-to-know.’’
The NRC is issuing Revision 1 of RG
1.214 directly as a final regulatory guide
because the changes between Revision 0
and Revision 1 are non-substantive.
This revision of RG 1.214 incorporates
editorial changes, updates the guide to
conform to the current format for
regulatory guides, and updates
references to related guidance for
emergency preparedness (EP). These
changes are intended to improve clarity
of the guidance and alignment with the
EP requirements in part 50 of Title 10
of the Code of Federal Regulations (10
CFR), Appendix E, and do not alter the
staff regulatory guidance.
II. Backfitting and Issue Finality
Issuance of this final regulatory guide
does not constitute backfitting as
defined in 10 CFR 50.109 (the Backfit
Rule) and is not otherwise inconsistent
with the issue finality provisions in 10

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CFR part 52. The changes in Revision 1
of RG 1.214 are limited to editorial
changes to improve clarity of the
guidance and alignment with the EP
requirements in 10 CFR part 50,
Appendix E. These changes do not fall
within the kinds of agency actions that
constitute backfitting or are subject to
limitations in the issue finality
provisions of 10 CFR part 52.
Accordingly, the NRC did not address
the Backfit Rule or issue finality
provisions of 10 CFR part 52.
III. Congressional Review Act
This action is not a rule as defined in
the Congressional Review Act (5 U.S.C.
801–808).
IV. Submitting Suggestions for
Improvement of Regulatory Guides
Revision 1 of RG 1.214 is being issued
without an opportunity for comment.
However, you may at any time submit
suggestions to the NRC for improvement
of existing regulatory guides or for the
development of new regulatory guides
to address new issues. The input
received will be considered in future
updates and enhancements of the
regulatory guide. Please coordinate with
James Vaughn from the NRC’s Office of
Nuclear Security and Incident Response
(telephone: 301–287–3686 or email:
james.vaughn@nrc.gov) regarding the
drafting and transmission of such
comments in order to protect comments
that contain OUO–SRI information.
Dated at Rockville, Maryland, this 19th day
of March, 2014.
For the Nuclear Regulatory Commission.
Thomas H. Boyce,
Chief, Regulatory Guide and Generic Issues
Branch, Division of Engineering, Office of
Nuclear Regulatory Research.
[FR Doc. 2014–06575 Filed 3–25–14; 8:45 am]
BILLING CODE 7590–01–P

OFFICE OF PERSONNEL
MANAGEMENT
Privacy Act of 1974: Update and
Amend System of Records
U.S. Office of Personnel
Management (OPM).
ACTION: Update and amend OPM/
GOVT–5, Recruiting, Examining, and
Placement Records.
AGENCY:

OPM proposes to update and
amend OPM/GOVT–5, Recruiting,
Examining, and Placement Records
contained in its inventory of record
systems subject to the Privacy Act of
1974 (5 U.S.C. 552a), as amended. This
action is necessary to meet the
requirements of the Privacy Act to

SUMMARY:

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publish in the Federal Register notice of
the existence and character, as well as
any new use or intended new use of
records maintained by the agency. 5
U.S.C. 552a(e)(4) and (11).
DATES: These changes will become
effective without further notice on May
5, 2014, unless we receive comments
that result in a contrary determination.
ADDRESSES: Send written comments to
the Director, Integrated Hiring
Solutions, Office of the Chief
Information Officer, U.S. Office of
Personnel Management, 1900 E Street
NW., Room 44690, Washington, DC
20415.
Paul
Craven, Director, Integrated Hiring
Solutions, paul.craven@opm.gov.
SUPPLEMENTARY INFORMATION: The Office
of Personnel Management’s (OPM)
system of record notices subject to the
Privacy Act of 1974 (5 U.S.C. 552a), as
amended, have been published in the
Federal Register. The proposed changes
consist of the deletion of an OPM office
from the System Locations, and the
designation of a replacement for the
existing System Manager. Both changes
reflect the results of an OPM reorganization that eliminated the
position previously named as System
Manager and the office previously
named in the Locations listing.
FOR FURTHER INFORMATION CONTACT:

U.S. Office of Personnel Management.
Katherine Archuleta,
Director.
OPM/GOVT–5
SYSTEM NAME:

Recruiting, Examining, and Placement
Records.
SYSTEM LOCATION:

Office of Personnel Management,
1900 E Street NW., Washington, DC
20415, OPM regional and area offices;
and personnel or other designated
offices of Federal agencies that are
authorized to make appointments and to
act for the Office by delegated authority.

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CATEGORIES OF INDIVIDUALS COVERED BY THE
SYSTEM:

a. Persons who have applied to the
Office or agencies for Federal
employment and current and former
Federal employees submitting
applications for other positions in the
Federal service.
b. Applicants for Federal employment
believed or found to be unsuitable for
employment on medical grounds.
CATEGORIES OF RECORDS IN THE SYSTEM:

In general, all records in this system
contain identifying information

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including name, date of birth, Social
Security Number, and home address.
These records pertain to assembled and
unassembled examining procedures and
contain information on both competitive
examinations and on certain
noncompetitive actions, such as
determinations of time-in-grade
restriction waivers, waiver of
qualification requirement
determinations, and variations in
regulatory requirements in individual
cases.
This system includes such records as:
a. Applications for employment that
contain information on work and
education, military service, convictions
for offenses against the law, military
service, and indications of specialized
training or receipt of awards or honors.
These records may also include copies
of correspondence between the
applicant and the Office or agency.
b. Results of written exams and
indications of how information in the
application was rated. These records
also contain information on the ranking
of an applicant, his or her placement on
a list of eligibles, what certificates
applicant’s names appeared on, an
agency’s request for Office approval of
the agency’s objection to an eligible’s
qualifications and the Office’s decision
in the matter, an agency’s request for
Office approval for the agency to pass
over an eligible and the Office’s
decision in the matter, and an agency’s
decision to object/pass over an eligible
when the agency has authority to make
such decisions under agreement with
the Office.
c. Records regarding the Office’s final
decision on an agency’s decision to
object/pass over an eligible for
suitability or medical reasons or when
the objection/pass over decision applies
to a compensable preference eligible
with 30 percent or more disability.
(Does not include a rating of ineligibility
for employment because of a confirmed
positive test result under Executive
Order 12564.)
d. Responses to and results of
approved personality or similar tests
administered by the Office or agency.
e. Records relating to rating appeals
filed with the Office or agency.
f. Registration sheets, control cards,
and related documents regarding
Federal employees requesting
placement assistance in view of pending
or realized displacement because of
reduction in force, transfer or
discontinuance of function, or
reorganization.
g. Records concerning noncompetitive action cases referred to the
Office for decision. These files include
such records as waiver of time-in-grade

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requirements, decisions on superior
qualification appointments, temporary
appointments outside a register, and
employee status determinations.
Authority for making decisions on many
of these actions has also been delegated
to agencies. The records retained by the
Office on such actions and copies of
such files retained by the agency
submitting the request to the Office,
along with records that agencies
maintain as a result of the Office’s
delegations of authorities, are
considered part of this system of
records.
h. Records retained to support
Schedule A appointments of severely
physically handicapped individuals,
retained both by the Office and agencies
acting under the Office delegated
authorities, are part of this system.
i. Agency applicant supply file
systems (when the agency retains
applications, resumes, and other related
records for hard-to-fill or unique
positions, for future consideration),
along with any pre-employment
vouchers obtained in connection with
an agency’s processing of an
application, are included in this system.
j. Records derived from the Officedeveloped or agency-developed
assessment center exercises.
k. Case files related to medical
suitability determinations and appeals.
l. Records related to an applicant’s
examination for use of illegal drugs
under provisions of Executive Order
12564. Such records may be retained by
the agency (e.g., evidence of confirmed
positive test results) or by a contractor
laboratory (e.g., the record of the testing
of an applicant, whether negative, or
confirmed or unconfirmed positive test
result).
NOTE 1:

Only Routine Use ‘p’ identified for
this system of records is applicable to
records relating to drug testing under
Executive Order 12564. Further, such
records shall be disclosed only to a very
limited number of officials within the
agency, generally only to the agency
Medical Review Official (MRO), the
administrator of the agency Employee
Assistance Program, and any
supervisory or management official
within the employee’s agency having
authority to take the adverse personnel
action against the employee.
NOTE 2:

OPM does not intend that records
created by agencies in connection with
the agency’s Merit Promotion Plan
program be included in the term
‘Applicant Supply File’ as used within
this notice. It is OPM’s position that

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Federal Register / Vol. 79, No. 58 / Wednesday, March 26, 2014 / Notices

Merit Promotion Plan records are not a
system of records within the meaning of
the Privacy Act as such records are
usually filed by a vacancy
announcement number or some other
key that is not a unique personnel
identifier. Agencies may choose to
consider such records as within the
meaning of a system of records as used
in the Privacy Act, but if they do so,
they are solely responsible for
implementing Privacy Act requirements,
including establishment and notice of a
system of records pertaining to such
records.
NOTE 3:

To the extent that an agency utilizes
an automated medium in connection
with maintenance of records in this
system, the automated versions of these
records are considered covered by this
system of records.
AUTHORITY FOR MAINTENANCE OF THE SYSTEM:

5 U.S.C. 1302, 3109, 3301, 3302, 3304,
3305, 3306, 3307, 309, 3313, 3317, 3318,
3319, 3326, 4103, 4723, 5532, and 5533,
and Executive Order 9397.
PURPOSE(S):

The records are used in considering
individuals who have applied for
positions in the Federal service by
making determinations of qualifications
including medical qualifications, for
positions applied for, and to rate and
rank applicants applying for the same or
similar positions. They are also used to
refer candidates to Federal agencies for
employment consideration, including
appointment, transfer, reinstatement,
reassignment, or promotion. Records
derived from the Office-developed or
agency-developed assessment center
exercises may be used to determine
training needs of participants. These
records may also be used to locate
individuals for personnel research.
ROUTINE USES OF RECORDS MAINTAINED IN THE
SYSTEM, INCLUDING CATEGORIES OF USERS AND
THE PURPOSE OF SUCH USES:

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NOTE 4:

With the exception of Routine Use ‘p,’
none of the Other Routine Uses
identified for this system of records are
applicable to records relating to drug
testing under Executive Order 12564.
Further, such records shall be disclosed
only to a very limited number of
officials within that agency, generally
only to the agency Medical Review
Officer (MRO), the administrator of the
agency’s Employee Assistance Program,
and the management official
empowered to recommend or take
adverse action affecting the individual.
a. To refer applicants, including
current and former Federal employees

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to Federal agencies for consideration for
employment, transfer, reassignment,
reinstatement, or promotion.
b. With the permission of the
applicant, to refer applicants to State
and local governments, congressional
offices, international organizations, and
other public offices for employment
consideration.
c. To disclose pertinent information to
the appropriate Federal, State, or local
agency responsible for investigating,
prosecuting, enforcing, or implementing
a statute, rule, regulation, or order,
when the disclosing agency becomes
aware of an indication of a violation or
potential violation of civil or criminal
law or regulation.
d. To disclose information to any
source from which additional
information is requested (to the extent
necessary to identify the individual,
inform the source of the purposes of the
request, and to identify the type of
information requested), when necessary
to obtain information relevant to an
agency decision concerning hiring or
retaining an employee, issuing a
security clearance, conducting a
security or suitability investigation of an
individual, classifying positions, letting
a contract, or issuing a license, grant or
other benefit.
e. To disclose information to a Federal
agency, in response to its request, in
connection with hiring or retaining an
employee, issuing a security clearance,
conducting a security or suitability
investigation of an individual,
classifying positions, letting a contract,
or issuing a license, grant, or other
benefit by the requesting agency, to the
extent that the information is relevant
and necessary to the requesting agency’s
decision in the matter.
f. To disclose information to the
Office of Management and Budget at any
stage in the legislative coordination and
clearance process in connection with
private relief legislation as set forth in
OMB Circular No. A–19.
g. To provide information to a
congressional office from the record of
an individual in response to an inquiry
from that congressional office made at
the request of that individual.
h. To disclose information to another
Federal agency, to a court, or a party in
litigation before a court or in an
administrative proceeding being
conducted by a Federal agency, when
the Government is a party to a judicial
or administrative proceeding.
i. To disclose information to the
Department of Justice, or in a
proceeding before a court, adjudicative
body, or other administrative body
before which the agency is authorized to
appear, when:

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1. The agency, or any component
thereof; or
2. Any employee of the agency in his
or her official capacity; or
3. Any employee of the agency in his
or her individual capacity where the
Department of Justice or the agency has
agreed to represent the employee; or
4. The United States, when the agency
determines that litigation is likely to
affect the agency or any of its
components, is a party to litigation or
has an interest in such litigation, and
the use of such records by the
Department of Justice or the agency is
deemed by the agency to be relevant and
necessary to the litigation, provided,
however, that in each case it has been
determined that the disclosure is
compatible with the purpose for which
the records were collected.
j. By the National Archives and
Records Administration in records
management inspections and its role as
Archivist.
k. By the agency maintaining the
records or by the Office to locate
individuals for personnel research or
survey response or in producing
summary descriptive statistics and
analytical studies in support of the
function for which the records are
collected and maintained, or for related
workforce studies. While published
statistics and studies do not contain
individual identifiers, in some instances
the selection of elements of data
included in the study may be structured
in such a way as to make the data
individually identifiable by inference.
l. To disclose information to the Merit
Systems Protection Board or the Office
of the Special Counsel in connection
with appeals, special studies of the civil
service and other merit systems, review
of Office rules and rules and
regulations, investigations of alleged or
possible prohibited personnel practices,
and such other functions; e.g., as
prescribed in 5 U.S.C. chapter 12, or as
may be authorized by law.
m. To disclose information to the
Equal Employment Opportunity
Commission when requested in
connection with investigations into
alleged or possible discrimination
practices in the Federal sector,
examination of Federal affirmative
employment programs, compliance by
Federal agencies with the Uniform
Guidelines or Employee Selection
Procedures, or other functions vested in
the Commission.
n. To disclose information to the
Federal Labor Relations Authority or its
General Counsel when requested in
connection with investigations of
allegations of unfair labor practices or

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matters before the Federal Service
Impasses Panel.
o. To disclose, in response to a
request for discovery or for an
appearance of a witness, information
that is relevant to the subject matter
involved in a pending judicial or
administrative proceeding.
p. To disclose the results of a drug test
of a Federal employee pursuant to an
order of a court of competent
jurisdiction where required by the
United States Government to defend
against any challenge against any
adverse personnel action.
q. To disclose information to Federal,
State, local, and professional licensing
boards, Boards of Medical Examiners, or
to the Federation of State Medical
Boards or a similar non-government
entity which maintains records
concerning the issuance, retention, or
revocation of licenses, certifications, or
registration necessary to practice an
occupation, profession, or specialty, in
order to obtain information relevant to
an agency decision concerning the
hiring, retention, or termination of an
employee or to inform a Federal agency
or licensing board or the appropriate
non-government entity about the health
care practice of a terminated, resigned,
or retired health care employee whose
professional health care activity so
significantly failed to conform to
generally accepted standards of
professional medical practice as to raise
reasonable concern for the health and
safety of patients in the private sector or
from another Federal agency.
r. To disclose information to
contractors, grantees, or volunteers
performing or working on a contract,
service, grant, cooperative agreement, or
job for the Federal Government.
POLICIES AND PRACTICES FOR STORING,
RETRIEVING, SAFEGUARDING, RETAINING AND
DISPOSING OF RECORDS IN THE SYSTEM:
STORAGE:

Records are maintained on magnetic
tapes, disk, punched cards, microfiche,
cards, lists, and forms.
RETRIEVABILITY:

Records are retrieved by the name,
date of birth, social security number,
and/or identification number assigned
to the individual on whom they are
maintained.
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SAFEGUARDS:

Records are maintained in a secured
area or automated media with access
limited to authorized personnel whose
duties require access.
RETENTION AND DISPOSAL:

Records in this system are retained for
varying lengths of time, ranging from a

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few months to 5 years, e.g., applicant
records that are part of medical
determination case files or medical
suitability appeal files are retained for 3
years from completion of action on the
case. Most records are retained for a
period of 1 to 2 years. Some records,
such as individual applications, become
part of the person’s permanent official
records when hired, while some records
(e.g., non-competitive action case files),
are retained for 5 years. Some records
are destroyed by shredding or burning
while magnetic tapes or disks are
erased.
SYSTEM MANAGER(S) AND ADDRESS:

Director, Integrated Hiring Solutions,
Office of the Chief Information Officer,
U.S. Office of Personnel Management,
1900 E Street NW., Room 44690,
Washington, DC 20415.
NOTIFICATION PROCEDURE:

Individuals wishing to inquire
whether this system of records contains
information about them should contact
the agency or OPM where application
was made or examination was taken.
Individuals must provide the following
information for their records to be
located and identified:
a. Name.
b. Date of birth.
c. Social Security Number.
d. Identification number (if known).
e. Approximate date of record.
f. Title of examination or
announcement with which concerned.
g. Geographic area in which
consideration was requested.
RECORD ACCESS PROCEDURE:

Specific materials in this system have
been exempted from Privacy Act
provisions at 5 U.S.C. (c)(3) and (d),
regarding access to records.
The section of this notice titled
‘‘Systems Exempted from Certain
Provisions of the Act’’ indicates the
kind of material exempted and the
reasons for exempting them from access.
Individuals wishing to request access to
their non-exempt records should contact
the agency or the OPM where
application was made or examination
was taken. Individuals must provide the
following information for their records
to be located and identified:
a. Name.
b. Date of birth.
c. Social Security Number.
d. Identification number (if known).
e. Approximate date of record.
f. Title of examination or
announcement with which concerned.
g. Geographic area in which
consideration was requested.
Individuals requesting access must
also comply with the OPM’s Privacy Act

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regulations on verification of identity
and access to records (5 CFR part 297).
CONTESTING RECORD PROCEDURE:

Specific materials in this system have
been exempted from Privacy Act
provisions at 5 U.S.C. 552a(d), regarding
amendment of records. The section of
this notice titled ‘Systems Exempted
from Certain Provisions of the Act’
indicates the kinds of material
exempted and the reasons for exempting
them from amendment. An individual
may contact the agency or the Office
where the application is filed at any
time to update qualifications, education,
experience, or other data maintained in
the system.
Such regular administrative updating
of records should not be requested
under the provisions of the Privacy Act.
However, individuals wishing to request
amendment of other records under the
provisions of the Privacy Act should
contact the agency or the OPM where
the application was made or the
examination was taken. Individuals
must provide the following information
for their records to be located and
identified:
a. Name.
b. Date of birth.
c. Social Security Number.
d. Identification number (if known).
e. Approximate date of record.
f. Title of examination or
announcement with which concerned.
g. Geographic area in which
consideration was requested.
Individuals requesting amendment
must also comply with the OPM’s
Privacy Act regulations on verification
of identity and amendment of records (5
CFR part 297).
NOTE 5:

In responding to an inquiry or a
request for access or amendment,
resource specialists may contact the
OPM’s area office that provides
examining and rating assistance for help
in processing the request.
RECORD SOURCE CATEGORIES:

Information in this system of records
comes from the individual to whom it
applies or is derived from information
the individual supplied, reports from
medical personnel on physical
qualifications, results of examinations
that are made known to applicants,
agencies, and OPM records, and
vouchers supplied by references or
other sources that the applicant lists or
that are developed.
SYSTEMS EXEMPTED FROM CERTAIN PROVISIONS
OF THE ACT:

This system contains investigative
materials that are used solely to

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determine the appropriateness of a
request for approval of an objection to
an eligible’s qualifications for Federal
civilian employment or vouchers
received during the processing of an
application. The Privacy Act, at 5 U.S.C.
552a(k)(5), permits an agency to exempt
such investigative material from certain
provisions of the Act, to the extent that
release of the material to the individual
whom the information is about would—
a. Reveal the identity of a source who
furnished information to the
Government under an express promise
(granted on or after September 27, 1975)
that the identity of the source would be
held in confidence; or
b. Reveal the identity of a source who,
prior to September 27, 1975, furnished
information to the Government under an
implied promise that the identity of the
source would be held in confidence.
This system contains testing and
examination materials used solely to
determine individual qualifications for
appointment or promotion in the
Federal service. The Privacy Act, at 5
U.S.C. 552a(k)(6), permits an agency to
exempt all such testing or examination
material and information from certain
provisions of the Act, when disclosure
of the material would compromise the
objectivity or fairness of the testing or
examination process. OPM has claimed
exemptions from the requirements of 5
U.S.C. 552a(d), which relate to access to
and amendment of records.
The specific material exempted
include, but are not limited to, the
following
a. Answer keys.
b. Assessment center exercises.
c. Assessment center exercise reports.
d. Assessor guidance material.
e. Assessment center observation
reports.
f. Assessment center summary
reports.
g. Other applicant appraisal methods,
such as performance tests, work samples
and simulations, miniature training and
evaluation exercises, structured
interviews, and their associated
evaluation guides and reports.
h. Item analyses and similar data that
contain test keys and item response
data.
i. Ratings given for validating
examinations.
j. Rating schedules, including
crediting plans and scoring formulas for
other selection procedures.
k. Rating sheets.
l. Test booklets, including the written
instructions for their preparation and
automated versions of tests and related
selection materials and their complete
documentation.
m. Test item files.

VerDate Mar<15>2010

17:43 Mar 25, 2014

Jkt 232001

n. Test answer sheets.
[FR Doc. 2014–06593 Filed 3–25–14; 8:45 am]
BILLING CODE 6325–39–P

POSTAL SERVICE
Board of Governors; Sunshine Act
Meeting
DATES AND TIMES:

April 8, 2014, at 9:00

a.m.
PLACE:

Washington, DC.
Closed.

STATUS:

MATTERS TO BE CONSIDERED:

Tuesday, April 8, 2014 at 9:00 a.m.
1. Strategic Issues.
2. Financial Matters.
3. Pricing.
4. Personnel Matters and
Compensation Issues.
5. Governors’ Executive Session—
Discussion of prior agenda items and
Board Governance.
CONTACT PERSON FOR MORE INFORMATION:

Julie S. Moore, Secretary of the Board,
U.S. Postal Service, 475 L’Enfant Plaza
SW., Washington, DC 20260–1000.
Telephone (202) 268–4800.
Julie S. Moore,
Secretary.
[FR Doc. 2014–06862 Filed 3–24–14; 4:15 pm]
BILLING CODE 7710–12–P

SECURITIES AND EXCHANGE
COMMISSION
[OMB Control No. 3235–0515, SEC File No.
270–456]

Submission for OMB Review;
Comment Request
Upon Written Request Copies Available
From: Securities and Exchange
Commission, Office of Investor
Education and Advocacy,
Washington, DC 20549–0213.
Extension:
Schedule TO.

Notice is hereby given that, pursuant
to the Paperwork Reduction Act of 1995
(44 U.S.C. 3501 et seq.), the Securities
and Exchange Commission
(‘‘Commission’’) has submitted to the
Office of Management and Budget the
request for extension of the previously
approved collection of information
discussed below.
Schedule TO (17 CFR 240.14d–100)
must be filed by a reporting company
that makes a tender offer for its own
securities. Also, persons other than the
reporting company making a tender
offer for equity securities registered

PO 00000

Frm 00085

Fmt 4703

Sfmt 4703

under Section 12 of the Exchange Act
(15 U.S.C. 78l) (which offer, if
consummated, would cause that person
to own over 5% of that class of the
securities) must file a Schedule TO. The
purpose of Schedule TO is to improve
communications between public
companies and investors before
companies file registration statements
involving tender offer statements. This
information is made available to the
public. The information provided on
Schedule TO is mandatory. Schedule
TO takes approximately 43.5 hours per
response and is filed by approximately
820 issuers annually. We estimate that
50% of the 43.5 hours per response
(21.75 hours) is prepared by the issuer
for an annual reporting burden of 17,835
hours (21.75 hours per response × 820
responses).
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
unless it displays a currently valid
control number.
The public may view the background
documentation for this information
collection at the following Web site,
www.reginfo.gov . Comments should be
directed to: (i) Desk Officer for the
Securities and Exchange Commission,
Office of Information and Regulatory
Affairs, Office of Management and
Budget, Room 10102, New Executive
Office Building, Washington, DC 20503,
or by sending an email to: Shagufta_
Ahmed@omb.eop.gov; and (ii) Thomas
Bayer, Director/Chief Information
Officer, Securities and Exchange
Commission, c/o Remi Pavlik-Simon,
100 F Street NE., Washington, DC 20549
or send an email to: PRA_Mailbox@
sec.gov. Comments must be submitted to
OMB within 30 days of this notice.
Dated: March 20, 2014.
Kevin M. O’Neill,
Deputy Secretary.
[FR Doc. 2014–06609 Filed 3–25–14; 8:45 am]
BILLING CODE 8011–01–P

SECURITIES AND EXCHANGE
COMMISSION
Submission for OMB Review;
Comment Request
Upon Written Request, Copies Available
From: Securities and Exchange
Commission, Office of Investor
Education and Advocacy,
Washington, DC 20549–0213.
Extension:
Rule 15b6–1 and Form BDW, SEC File No.
270–17, OMB Control No. 3235–0018.

Notice is hereby given that, pursuant
to the Paperwork Reduction Act of 1995

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