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16695

Rules and Regulations Federal Register


Vol. 72, No. 65

Thursday, April 5, 2007

This section of the FEDERAL REGISTER at the time of a misappropriation, and and the value of the petty cash fund
contains regulatory documents having general the post-discovery steps described should be no more than $500.
applicability and legal effect, most of which below are followed by the committee,
are keyed to and codified in the Code of B. Post-Discovery of Misappropriation
the FEC will not seek a monetary
Federal Regulations, which is published under Activity
penalty on the political committee for
50 titles pursuant to 44 U.S.C. 1510. As soon as a misappropriation is
filing incorrect reports due to the
The Code of Federal Regulations is sold by misappropriation of committee funds.1 discovered, the political committee:
the Superintendent of Documents. Prices of The Commission will also consider the b Notifies relevant law enforcement of
new books are listed in the first FEDERAL presence of some, but not all, of these the misappropriation.
REGISTER issue of each week. practices, or of comparable safeguards, b Notifies the FEC of the
as a mitigating factor in considering any misappropriation.
monetary liability resulting from a b Voluntarily files amended reports to
FEDERAL ELECTION COMMISSION misappropriation.2 correct any reporting errors due to
the misappropriation, as required
11 CFR Part 104 A. Internal Controls by the FEC.
b All bank accounts are opened in the This notice represents a general
[NOTICE 2007–9]
name of the committee, never an statement of policy announcing the
Statement of Policy; Safe Harbor for individual, using the committee’s general course of action that the
Misreporting Due to Embezzlement Employer Identification Number, Commission intends to follow. This
not an individual’s Social Security policy statement does not constitute an
AGENCY: Federal Election Commission. Number. agency regulation requiring notice of
ACTION: Statement of policy. b Bank statements are reviewed for proposed rulemaking, opportunities for
unauthorized transactions and public participation, prior publication,
SUMMARY: The Commission is issuing a and delay in effective date under 5
reconciled to the accounting
Statement of Policy to announce that it records each month. Further, bank U.S.C. 553 of the Administrative
is creating a safe harbor for the benefit records are reconciled to disclosure Procedures Act (‘‘APA’’). As such, it
of political committees that have certain reports prior to filing. The does not bind the Commission or any
internal controls in place to prevent reconciliations are done by member of the general public. The
misappropriations and associated someone other than a check signer provisions of the Regulatory Flexibility
misreporting. Specifically, the or an individual responsible for Act, 5 U.S.C. 605(b), which apply when
Commission does not intend to seek handling the committee’s notice and comment are required by the
civil penalties against a political accounting. APA or another statute, are not
committee for filing incorrect reports b Checks in excess of $1000 are applicable.
due to the misappropriation of authorized in writing and/or signed Dated: March 22, 2007.
committee funds if the committee has by two individuals. Further, all Robert D. Lenhard,
the specified safeguards in place. wire transfers are authorized in Chairman, Federal Election Commission.
EFFECTIVE DATE: April 5, 2007. writing by two individuals. The [FR Doc. E7–6299 Filed 4–4–07; 8:45 am]
FOR FURTHER INFORMATION CONTACT: Mr. individuals who may authorize BILLING CODE 6715–01–P
Joseph Stoltz, Assistant Staff Director, disbursements or sign checks
Audit Division, 999 E Street, NW., should be identified in writing in
Washington, DC 20463, (202) 694–1200. the committee’s internal policies. FEDERAL ELECTION COMMISSION
SUPPLEMENTARY INFORMATION: The b An individual who does not handle
Commission has encountered a dramatic the committee’s accounting or have 11 CFR Part 111
increase in the number of cases where banking authority receives [Notice 2007–8]
political committee staff incoming checks and monitors all
misappropriates committee funds. other incoming receipts. This Policy Regarding Self-Reporting of
Misappropriations are often individual makes a list of all Campaign Finance Violations (Sua
accompanied by the filing of inaccurate committee receipts and places a Sponte Submissions)
disclosure reports with the FEC, leaving restrictive endorsement, such as:
For Deposit Only to the Account of AGENCY: Federal Election Commission.
committees vulnerable to a FEC
enforcement action and potential the Payee’’ on all checks. ACTION: Statement of Policy.
liability for those reporting errors. In b If the committee has a petty cash
SUMMARY: In order to encourage the self-
response to the rise in this activity, the fund, an imprest system 3 is used,
reporting of violations about which the
Commission has concluded that the 1 The internal controls set forth here represent the Commission would not otherwise have
following internal controls are minimal minimum efforts a committee must take to qualify learned, the Commission will generally
safeguards a committee should for this safe harbor. The FEC provides additional
implement to prevent misappropriations guidance on internal controls best practices at the last replenishment and the remaining cash
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and associated misreporting. http://www.fec.gov/law/policy.shtml#guidance. always equals the stated amount of the fund. When
2 This policy does not absolve or mitigate FEC
This policy does not impose new legal the fund is replenished the amount of the
liability for individuals responsible or complicit in replenishment equals the amounts recorded since
requirements on political committees; the misappropriations. the prior replenishment and should bring the cash
rather it creates a safe harbor. If the 3 An imprest fund is one in which the sum of the balance back to the stated amount. Only one person
following internal controls are in place disbursements recorded in the petty cash log since should be in charge of the fund.

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16696 Federal Register / Vol. 72, No. 65 / Thursday, April 5, 2007 / Rules and Regulations

offer penalties between 25% and 75% the Commission’s Audit or Reports to the Commission’s attention violations
lower than the Commission would Analysis Divisions).2 of the FECA and Commission
otherwise have sought in identical The Commission recently has seen an regulations and who cooperates with
matters arising by other means. The increase in self-reported violations, any resulting investigation will also
Commission will also use a new which may be attributable, at least in generally receive appropriate
expedited procedure through which the part, to greater attention being placed on consideration in the terms of an
Commission may allow individuals and compliance programs for areas of eventual conciliation agreement. For
organizations that self-report violations potential organizational liability, and example, the Commission may do one
and that make a complete report of their recognition that addressing a problem or more of the following:
internal investigation to proceed through self-auditing and self-reporting • Take no action against particular
directly into conciliation prior to the may help minimize reputational harm. respondents;
Commission determining whether their The increase in the number of self-
• Offer a significantly lower penalty
conduct may have violated statutes or reported matters has highlighted the
than what the Commission otherwise
regulations within its jurisdiction. This need to increase the transparency of
would have sought in a complaint-
policy also addresses various issues that Commission policies and procedures.
Moreover, the Commission seeks to generated matter involving similar
can arise in connection with parallel circumstances or, where appropriate, no
criminal, administrative or civil provide appropriate incentives for this
demonstration of cooperation and civil penalty;
proceedings.
responsibility. • Offer conciliation before a finding
DATES: Effective April 5, 2007. On December 8, 2006, the of probable cause to believe a violation
FOR FURTHER INFORMATION CONTACT: Commission published a proposed occurred, and in certain cases proceed
Mark Shonkwiler, Assistant General policy statement on self-reporting of directly to conciliation without the
Counsel, or April J. Sands, Attorney, violations. See Proposed Policy Commission first finding reason to
Enforcement Division, Federal Election Regarding Self-Reporting of Campaign believe that a violation occurred;
Commission, 999 E Street, NW., Finance Violations (Sua Sponte • Refrain from making a formal
Washington, DC 20463, (202) 694–1650 Submissions), 71 FR 71090 (December finding that a violation was knowing
or (800) 424–9530. 8, 2006). The comment period ended on and willful, even where the available
SUPPLEMENTARY INFORMATION: January 29, 2007. Two comments were information would otherwise support
received. One of the comments such a finding;
I. Goals and Scope of the Policy supported the proposed policy and • Proceed only as to an organization
The Commission periodically receives suggested some minor revisions. The rather than as to various individual
submissions from persons who self- other comment opposed the proposed agents or, where appropriate, proceed
report statutory or regulatory violations policy. only as to individuals rather than
of which the Commission had no prior This policy provides an overview of organizational respondents;
knowledge. The Commission considers the factors that influence the • Include language in the conciliation
such self-reports (which also are Commission’s handling and disposition agreement that indicates the level of
referred to as sua sponte submissions) of self-reported matters. It should be cooperation provided by respondents
as information ascertained in the normal noted that while cooperation in general, and the remedial action taken.
course of carrying out its supervisory and self-reporting in particular, will be
considered by the Commission as Additionally, in cases where the
responsibilities pursuant to 2 U.S.C. submission includes privileged or
437g(a)(2), and may investigate if it mitigating factors, they do not excuse a
violation of the Act or end the sensitive information, the Commission
determines there is reason to believe a may work with the submitter to protect
violation has occurred. The Commission enforcement process. Also, this policy
does not confer any rights on any person privileged information from public
also investigates complaints reporting disclosure while still allowing the
the potentially illegal conduct of and does not in any way limit the right
of the Commission to evaluate every Commission to verify the sufficiency of
another, submitted pursuant to 2 U.S.C. the submission.
437g(a)(1), but which also, by case individually on its own facts and
implication, provide a basis for circumstances.3 III. Factors Considered in Self-Reported
investigating the complainant itself.1 As II. Self-Reporting of FECA Violations Matters
a general proposition, self-reported
Self-reporting of violations typically The Commission may take into
matters, when accompanied by full
allows respondents to resolve their civil account various factors in considering
cooperation, will be resolved more
liability in a manner which has the how to proceed regarding self-reported
quickly and on more favorable terms
potential to: (1) Reduce the investigative violations. In general, more expedited
than identical matters arising by other
burden on both the Commission and processing and a more favorable
means (e.g., those arising via external
themselves; (2) demonstrate their outcome will result when the self-
complaints, referrals from other
acceptance of organizational or personal reporting party can show that upon
government agencies, or referrals from
responsibility and commitment to discovery of the potential violations,
1 If a person who self-reports a violation of the internal compliance; and (3) conclude there was an immediate end to the
FECA also makes specific allegations as to other their involvement in the Commission’s activity giving rise to the violation(s);
persons not joining in the submission, and enforcement process on an expedited the respondent made a timely and
particularly where the person making the complete disclosure to the Commission
submission seeks to assign primary responsibility
basis. As a result, a person who brings
for the violations to another person (including an
and fully cooperated in the disposition
organization’s former officers or employees), the 2 When violations are found, FECA requires the of the matter; and the respondent
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Commission, acting through its Office of General Commission to attempt to correct or prevent implemented appropriate and timely
Counsel, may advise the self-reporting person that violations through conciliation agreements before corrective measures, including internal
a portion of the relevant materials should be re- suit may be filed in federal district court.
submitted as a complaint to which other persons 3 Some violations, for instance, are subject to a safeguards necessary to prevent any
would be allowed to respond prior to any findings mandatory minimum penalty prescribed by statute. recurrence. Further detail as to these
by the Commission. See 2 U.S.C. 437g(a)(6)(C). factors is supplied below.

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Federal Register / Vol. 72, No. 65 / Thursday, April 5, 2007 / Rules and Regulations 16697

Nature of the Violation of excessive or prohibited contributions • Respondents alert the Commission
(1) The type of violation: Whether the and instructed recipients to disgorge to potential violations before the
violation was knowing and willful, or such funds to the U.S. Treasury; violation had been or was about to be
resulted from reckless disregard for legal (5) Post-discovery compliance discovered by any outside party,
requirements or deliberate indifference measures: Whether there are assurances including the Commission;
to indicia of wrongful conduct; that the conduct is unlikely to recur; • The violation immediately ceased
negligent; an inadvertent mistake; or whether the respondent has adopted and was promptly reported to the
based on the advice of counsel; 4 and ensured enforcement of more Commission upon discovery;
(2) The magnitude of the violation: effective internal controls and • Respondents take appropriate and
Whether the violation resulted from a procedures designed to prevent a prompt corrective action(s) (e.g.,
one-time event or an ongoing pattern of recurrence of the violation; and whether changes to internal procedures to
conduct repeated over an extended the respondent provided the prevent a recurrence of the violation;
period of time (and whether there was Commission with sufficient information increased training; disciplinary action
a history of similar conduct); how many for it to evaluate the measures taken to where appropriate);
people were involved in or were aware correct the situation and ensure that the • Respondents amend reports or
of the violation and the relative level of conduct does not recur. disclosures to correct past errors, if
authority of these people within the applicable;
Disclosure and Cooperation • Any appropriate refunds, transfers,
organization; whether individuals were
coerced into participating in the (6) Full disclosure of the violation to and disgorgements are made and/or
violation; the amount of money the Commission: Whether steps were waived; and
involved either in terms of absolute taken upon learning of the violation; • Respondents fully cooperate with
dollar amount or in terms of the whether the disclosure was voluntary or the Commission in ensuring that the sua
percentage of an entity’s activity; and made in recognition that the violation sponte submission is complete and
the impact the violation may have had had been or was about to be discovered, accurate.
on any federal election; or in recognition that a complaint was In addition, the Commission may
(3) The origin of the violation: filed, or was about to be filed, by grant a civil penalty reduction of up to
Whether the conduct was intended to someone else; and whether a 75% to respondents for violations in sua
advance the organization’s interests or comprehensive and detailed disclosure sponte submissions based on other
to defraud the organization for the of the results of its internal review was factors such as submissions that were
personal gain of a particular individual; provided to the Commission in a timely uncovered as a result of independent
whether there were compliance fashion; experts that were hired by respondents
procedures in place to prevent the type (7) Full cooperation with the to conduct a thorough review,
of violation now uncovered and, if so, Commission: Whether the respondent investigation or audit, or an equally
why those procedures failed to stop or promptly made relevant records and comprehensive internal review,
deter the wrongful conduct; and witnesses available to the Commission, investigation or audit. In order to
whether the persons with knowledge of and made all reasonable efforts to secure receive this reduction, respondents
the violation were high-level officials in the cooperation of relevant employees, must also meet the above criteria for a
the organization. volunteers, vendors, donors and other 50% reduction and provide the
staff without requiring compulsory Commission with all documentation of
Extent of Corrective Action and New process; whether the respondent agreed the experts’ review, investigation, or
Self-Governance Measures to waive or toll the statute of limitations audit.5
(4) Investigative and corrective for activity that previously had been The required scope of the review,
actions: Whether the violation concealed or not disclosed in a timely investigation or audit will depend on
immediately ceased upon its discovery; fashion. the circumstances. For example, if an
how long it took after discovery of the The Commission recognizes that all of organization discovers that an
violation to take appropriate corrective the above-listed factors will not be employee, stockholder or member may
measures, including disciplinary action relevant in every instance of self- have reimbursed political contributions
against persons responsible for any reporting of potential FECA violations, with organization funds, the
misconduct; whether there was a nor is the Commission required to take Commission would consider a thorough
thorough review of the nature, extent, all such factors into account. In review to include: Identification of all
origins, and consequences of the addition, these factors should not be political contributions made by the
conduct and related behavior; whether viewed as an exhaustive list. suspect employee subsequent to and for
the respondent expeditiously corrected at least three years prior to the
and clarified the public record by IV. Reduction in Penalties for Self- suspected reimbursement (and
making appropriate and timely Reporting Matters extending further if additional suspect
disclosures as to the source and The Commission will generally contributions are found); a review of
recipients of any funds involved in a reduce opening civil penalty offers by contributions by anyone associated with
violation; whether a federal political between 25% and 75% compared with the organization (including, but not
committee promptly made any identical matters arising from a limited to, relatives and subordinates)
necessary refunds of excessive or complaint or by other means. The corresponding in time or recipient to the
prohibited contributions; and whether amount of the reduction depends on the suspected reimbursed contributions; a
an organization or individual facts and circumstances of a particular review of the organization’s
respondent waived its claim to refunds case. The Commission will consider the compensation (especially bonus) and
expense reimbursement policies and
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factors set forth above.


4 A respondent seeking to defend conduct based
Absent unusual circumstances, the
on advice of counsel may not simultaneously 5 As discussed above, the Commission will,

withhold documentary or other evidence


Commission will grant a civil penalty where appropriate, work with the submitter to
supporting that assertion based on the attorney- reduction of 50% to respondents who protect privileged information from public
client privilege. meet the following criteria: disclosure.

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16698 Federal Register / Vol. 72, No. 65 / Thursday, April 5, 2007 / Rules and Regulations

practices for the relevant periods to respondents to resolve certain matters conciliation without requiring
identify potential contribution short of the Commission finding that respondents to admit that their conduct
reimbursements. Similarly, if an there is reason to believe that a violation was knowing and willful, even where
organization discovers it has misstated has occurred. Examples of matters that there is evidence that may be viewed as
financial information on its reports, the might be eligible for such treatment supporting this conclusion. The
Commission would consider a through include: Commission has followed this practice
review to include: An audit reconciling • Matters in which an individual in several self-reported matters where
bank and internal financial records with contributor discovers that he or she the organizational respondents
FEC reports for the period in which the inadvertently violated the individual
promptly self-reported and took
error was discovered, any subsequent aggregate election cycle contribution
comprehensive and immediate
reporting periods, and prior reporting limit contained in 2 U.S.C. 441a(a)(3);
• Matters in which a political corrective action that included the
periods for at least a year prior to the
error (and extending further if committee seeks to disclose and correct dismissal of all individual corporate
additional errors are found); a review relatively straightforward reporting officers whose actions formed the basis
addressing internal controls and violations; for the organization’s potential knowing
reporting procedures and identifying • Matters in which a contributor and and willful violation.
weaknesses contributing to the errors a political committee jointly seek to The Commission has the statutory
and remedies for those weaknesses. resolve their liability for a simple and authority to refer knowing and willful
The Commission will be the sole inadvertent excessive or prohibited violations of the FECA to the
arbiter of whether the facts of each case contribution; and Department of Justice for potential
warrant a particular reduction in the • Matters in which the initial self-
criminal prosecution, 2 U.S.C.
penalty. The Commission will generally reporting submission by the
respondents is sufficiently thorough that 437g(a)(5)(C), and to report information
not give a respondent the benefit of this regarding violations of law not within
policy if the respondent is the subject of only very limited, if any, follow-up by
the Office of the General Counsel is its jurisdiction to appropriate law
a criminal or other government
necessary to complete the factual enforcement authorities. 2 U.S.C.
investigation. In considering
appropriate penalties, the Commission record. 437d(a)(9). The Commission will take
will also consider the presence of into consideration the fact of self-
VI. Parallel Proceedings reporting in deciding whether to refer a
aggravating factors, such as knowing
and willful conduct or involvement by The Commission recognizes that matter. However, the Commission will
senior officials of an entity. persons self-reporting to the not negotiate whether it refers, reports,
Commission may face special concerns or otherwise discusses information with
V. Fast-Track Resolution in connection with parallel criminal other law enforcement agencies.
The Commission will generally not investigations, State administrative Although the Commission cannot
make a reason-to-believe finding or proceedings, and/or civil litigation. The disclose information regarding an
open a formal investigation for Commission expects that persons who investigation to the public, it can and
respondents that self-report violations, self-report to the Commission will does share information on a confidential
if: (1) All potential respondents in a inform the Commission of any existing basis with other law enforcement
matter have joined in a self-reporting parallel proceedings. The Commission agencies.
submission that acknowledges their encourages persons who self-report to
respective violations of the FECA; (2) the Commission also to self-report VII. Conclusion
those violations do not appear to be related violations to any law
knowing and willful; (3) the submission enforcement agency with jurisdiction The Commission seeks to encourage
is substantially complete and reasonably over the activity. This will assist the the self-reporting of violations. To that
addresses the significant questions or Commission, where appropriate and end, the Commission has adopted this
issues related to the violation; and (4) possible, in working with other federal, policy that explains that sua sponte
the factual and legal issues are state, and local agencies to facilitate a submissions will, in general, receive
reasonably clear. Accordingly, the global and/or contemporaneous more expedited processing and more
Commission is modifying its current resolution of related violations by a self- favorable outcomes than identical
practice to allow for an expedited Fast- reporting person. The possibility of such matters arising by other means.
Track Resolution (‘‘FTR’’) for a limited a resolution is enhanced when the self- This notice represents a general
number of matters involving self- reporting person expresses a willingness statement of policy announcing the
reported violations. This procedure is to engage other government agencies general course of action that the
available at the Commission’s that may have jurisdiction over the
Commission intends to follow. This
discretion, but may be requested by conduct and to cooperate with joint
policy statement does not constitute an
respondents. discovery and disclosure of facts and
Respondents eligible for the FTR agency regulation requiring notice of
settlement positions with respect to the
process will meet with the Office of different agencies. proposed rulemaking, opportunities for
General Counsel to negotiate a proposed In situations where contemporaneous public participation, prior publication,
conciliation agreement before the resolution of parallel matters is not and delay in effective date under 5
Commission makes any formal findings feasible, the Commission will consider U.S.C. 553 of the Administrative
in the matter. Although the Commission whether terms contained in a Procedures Act (‘‘APA’’). As such, it
is always free to reject or seek conciliation agreement with the does not bind the Commission or any
modifications to a proposed conciliation Commission may affect potential member of the general public. The
provisions of the Regulatory Flexibility
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agreement, it is expected that this liability the same respondent


process will allow for more expedited realistically faces from another agency. Act, 5 U.S.C. 605(b), which apply when
processing of certain types of violations In appropriate cases, where there has notice and comment are required by the
where factual and legal issues are been self-reporting and full cooperation, APA or another statute, are not
reasonably clear. It also will allow the Commission may agree to enter into applicable.

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Federal Register / Vol. 72, No. 65 / Thursday, April 5, 2007 / Rules and Regulations 16699

Dated: March 27, 2007. DEPARTMENT OF TRANSPORTATION Examining the AD Docket


Robert D. Lenhard, You may examine the AD docket on
Chairman, Federal Election Commission. Federal Aviation Administration the Internet at http://dms.dot.gov; or in
[FR Doc. E7–6185 Filed 4–4–07; 8:45 am] person at the Docket Management
14 CFR Part 39
BILLING CODE 6715–01–P Facility between 9 a.m. and 5 p.m.,
[Docket No. FAA–2007–27757; Directorate Monday through Friday, except Federal
Identifier 2007–NM–030–AD; Amendment holidays. The AD docket contains this
39–15014; AD 2007–07–13] AD, the regulatory evaluation, any
FARM CREDIT ADMINISTRATION RIN 2120–AA64 comments received, and other
information. The street address for the
12 CFR Parts 611, 612, 614, 615, 618, Airworthiness Directives; Gulfstream Docket Office (telephone (800) 647–
619, 620, and 630 Aerospace LP Model Galaxy Airplanes 5227) is in the ADDRESSES section.
and Model Gulfstream 200 Airplanes Comments will be available in the AD
RIN 3052–AC19 docket shortly after receipt.
AGENCY: Federal Aviation
Administration (FAA), Department of FOR FURTHER INFORMATION CONTACT:
Organization; Standards of Conduct Transportation (DOT). Mike Borfitz, Aerospace Engineer,
and Referral of Known or Suspected International Branch, ANM–116, FAA,
ACTION: Final rule; request for
Criminal Violations; Loan Policies and Transport Airplane Directorate, 1601
comments.
Operations; Funding and Fiscal Lind Avenue, SW., Renton, Washington
Affairs, Loan Policies and Operations, SUMMARY: We are adopting a new 98057–3356; telephone (425) 227–2677;
and Funding Operations; General airworthiness directive (AD) for the fax (425) 227–1149.
Provisions; Definitions; Disclosure to products listed above. This AD results SUPPLEMENTARY INFORMATION:
Shareholders; Disclosure to Investors from mandatory continuing
Streamlined Issuance of AD
in System-Wide and Consolidated airworthiness information (MCAI)
Bank Debt Obligations of the Farm originated by an aviation authority of The FAA is implementing a new
Credit System; Effective Date another country to identify and correct process for streamlining the issuance of
an unsafe condition on an aviation ADs related to MCAI. This streamlined
AGENCY: Farm Credit Administration. product. The MCAI describes the unsafe process will allow us to adopt MCAI
condition as: safety requirements in a more efficient
ACTION: Announcement of effective date. manner and will reduce safety risks to
Avionics and electrical wire harnesses are
routed behind the Primary Flight Displays the public. This process continues to
SUMMARY: The Farm Credit (PFD) tray at the rear of the instrument panel. follow all FAA AD issuance processes to
Administration (FCA) published a final In some cases, the wire harness has been meet legal, economic, Administrative
rule under parts 611, 612, 614, 615, 618, found to be chafing on the PFD tray. That Procedure Act, and Federal Register
619, 620, and 630 on February 2, 2006. could result in electrical arcing and shorting requirements. We also continue to meet
This final rule amended our regulations and subsequent loss of systems essential for our technical decision-making
affecting the governance of the Farm safe flight. responsibilities to identify and correct
Credit System and became effective on This AD requires actions that are unsafe conditions on U.S.-certificated
April 5, 2006 (71 FR 18168, April 11, intended to address the unsafe products.
2006), except for the amendments to condition described in the MCAI. This AD references the MCAI and
§§ 611.210(a)(2), 611.220(a)(2)(i) and DATES: This AD becomes effective April related service information that we
(ii), 611.325, and 620.21(d)(2). This 20, 2007. considered in forming the engineering
document announces the effective date The Director of the Federal Register basis to correct the unsafe condition.
of those delayed portions of the rule. approved the incorporation by reference The AD contains text copied from the
of a certain publication listed in the AD MCAI and for this reason might not
EFFECTIVE DATE: The effective date for as of April 20, 2007. follow our plain language principles.
the amendments to §§ 611.210(a)(2), We must receive comments on this Discussion
611.220(a)(2)(i) and (ii), 611.325, and AD by May 7, 2007.
620.21(d)(2), published February 2, ADDRESSES: You may send comments by The Civil Aviation Authority of Israel
2006, at 71 FR 5740, is April 5, 2007. any of the following methods: (CAAI), which is the aviation authority
• DOT Docket Web site: Go to for Israel, has issued Israeli
FOR FURTHER INFORMATION CONTACT: Gary Airworthiness Directive 31–07–01–12,
Van Meter, Deputy Director, Office of http://dms.dot.gov and follow the
instructions for sending your comments dated February 15, 2007 (referred to
Regulatory Policy, Farm Credit after this as ‘‘the MCAI’’), to correct an
electronically.
Administration, McLean, VA 22102– • Fax: (202) 493–2251. unsafe condition for the specified
5090, (703) 883–4232, TTY (703) 883– • Mail: Docket Management Facility, products. The MCAI states:
4434; or Laura D. McFarland, Senior U.S. Department of Transportation, 400 Avionics and electrical wire harnesses are
Attorney, Office of General Counsel, Seventh Street, SW., Nassif Building, routed behind the Primary Flight Displays
Farm Credit Administration, McLean, Room PL–401, Washington, DC 20590– (PFD) tray at the rear of the instrument panel.
VA 22102–5090, (703) 883–4020, TTY 0001. In some cases, the wire harness has been
(703) 883–4020. • Hand Delivery: Room PL–401 on found to be chafing on the PFD tray. That
(12 U.S.C. 2252(a)(9) and (10)) the plaza level of the Nassif Building, could result in electrical arcing and shorting
400 Seventh Street, SW., Washington, and subsequent loss of systems essential for
Dated: April 2, 2007. safe flight.
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DC, between 9 a.m. and 5 p.m., Monday


Roland E. Smith,
through Friday, except Federal holidays. The corrective actions include
Secretary, Farm Credit Administration Board. • Federal eRulemaking Portal: http:// inspecting the wiring harness for
[FR Doc. E7–6357 Filed 4–4–07; 8:45 am] www.regulations.gov. Follow the chafing, performing repairs if required;
BILLING CODE 6705–01–P instructions for submitting comments. and inspecting the wire harnesses for

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