An Information Collection Request (ICR) is a federal agency's request for approval from the Office of Management and Budget (OMB) to collect information from the public.
Under the Paperwork Reduction Act (PRA), agencies must justify why the information is needed and how it will be used.
Federal agencies are required to submit an ICR whenever they create, renew, modify, or discontinue an information collection. Each ICR includes a description of the collection,
supporting materials and documentation (such as forms, surveys, or scripts), and proof that the agency has met the requirements of the PRA.
The ICR is submitted to the The Office of Information and Regulatory Affairs (OIRA) within OMB for review and approval. OIRA grants approval for a maximum of three years, after
which the collection must be renewed through a new ICR submission.
ICRs are publicly available on RegInfo.gov, and additional guidance can be found in the FAQs.
Note: Presidential Action influences are notated for ICRs received between January 20, 2025 and July 19, 2025.
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| 201901-1505-001CF | Collection of Demographic Information | TREAS/DO | 2019-01-15 | Active | RCF New
Collection of Demographic Information
Key Information
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| 201810-2060-015 | NSPS for Metal Coil Surface Coating (40 CFR part 60, subpart TT) (Renewal) | EPA/OAR | 2018-11-01 | Active | Extension without change of a currently approved collection
NSPS for Metal Coil Surface Coating (40 CFR part 60, subpart TT) (Renewal)
Key Information
Abstract
The New Source Performance Standards (NSPS) for Metal Coil Surface Coating (40 CFR Part 60, Subpart TT) apply to the following surface coating lines in the metal coil surface coating industry: each prime coat operation; each finish coat operation; and each prime and finish coat operation cured simultaneously, where the finish coat is applied wet-on-wet over the prime coat. In general, all NSPS standards require initial notification reports, performance tests, and periodic reports by the owners/operators of the affected facilities. They are also required to maintain records of the occurrence and duration of any startup, shutdown, or malfunction in the operation of an affected facility, or any period during which the monitoring system is inoperative. These notifications, reports, and records are essential in determining compliance with 40 CFR Part 60, Subpart TT. |
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| 201809-3170-001CF | CFPB's use of SF-85 Questionnaire for Non-Sensitive Positions | CFPB | 2018-09-19 | Active | RCF Recertification
CFPB's use of SF-85 Questionnaire for Non-Sensitive Positions
Key Information
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| 201808-2060-010 | Emissions Certification and Compliance Requirements for Nonroad Compression-ignition Engines and On-highway Heavy Duty Engines (Renewal) | EPA/OAR | 2018-08-31 | Active | Extension without change of a currently approved collection
Emissions Certification and Compliance Requirements for Nonroad Compression-ignition Engines and On-highway Heavy Duty Engines (Renewal)
Key Information
Abstract
The ICR addresses certification and compliance requirements for the following industries: nonroad (NR) compression-ignition (CI) engines and equipment, marine CI engines in Categories 1 and 2; and heavy-duty (HD) engines. In addition, the following ICRs are being incorporated, either in whole or in part, to eliminate redundancy: Control of Emissions from New Marine Compression-Ignition Engines at or Above 30 Liters per Cylinder (2060-0641); Engine Emission Defect Information Reports and Voluntary Emission Recall Reports (2060-0048); Emissions Certification and Compliance Requirements for Locomotives and Locomotive Engines (2060-0392); and Certification and Compliance Requirements for Medium- and Heavy-Duty Engines and Vehicles (2060-0678). With this consolidation, we are combining all certification and compliance burden associated with the heavy-duty and nonroad compression-ignition engine, equipment and vehicle industries under a single ICR. Title II of the Clean Air Act (CAA), charges EPA with issuing certificates of conformity for those engines and vehicles that comply with applicable emission requirements. Such a certificate must be issued before those products may be legally introduced into commerce. To apply for a certificate of conformity, manufacturers are required to submit descriptions of their planned production, descriptions of emission control systems and test data. The emission values achieved during certification testing may also be used in the Averaging, Banking, and Trading (ABT) Program, which allows engine manufacturers to bank credits for engine families that emit below the standard and use the credits to certify engine families that emit above the standard. The CAA also mandates EPA verify that manufacturers have translated their certified prototypes into mass produced engines; and that these engines comply with emission standards throughout their useful lives. EPA verifies this through Compliance Programs, including Production Line Testing (PLT), In-use Testing and Selective Enforcement Audits (SEAs). PLT is a self-audit program that allows marine engine manufacturers to monitor their products emissions profile with statistical certainty and minimize the cost of correcting errors through early detection. In-use testing verifies compliance with emission standards throughout an engine family's useful life. Through SEAs, EPA verifies that test data submitted by engine manufacturers is reliable and testing is performed according to EPA regulations. Under the Transition Program for Equipment Manufacturers (TPEM), NRCI equipment manufacturers may delay compliance with Tier 4 standards for up to seven years if they comply with certain limitations. The Program seeks to ease the impact of new emission standards on equipment manufacturers as they often need to redesign their products. |
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| 201808-2060-007 | EG for Sewage Sludge Incinerators (40 CFR part 60, subpart MMMM) (Renewal) | EPA/OAR | 2018-08-23 | Active | Extension without change of a currently approved collection
EG for Sewage Sludge Incinerators (40 CFR part 60, subpart MMMM) (Renewal)
Key Information
Abstract
The Emission Guidelines for Sewage Sludge Incinerators (SSI) for Sewage Sludge Incinerators (40 CFR Part 60, Subpart MMMM) apply to the administrators of air quality programs in a state or U.S. protectorate with one or more SSI units that commenced construction either on or before the date of proposal. States may choose to incorporate the model rule text directly in their state plan. If a State does not develop, adopt, and submit an approvable State plan, the EPA must develop a Federal plan to implement the emission guidelines. These regulations do not directly apply to SSI unit owners and operators. However, SSI unit owners and operators must comply with the state plan to implement the emission guidelines contained in this Subpart. These standards only affect existing units constructed on or before October 14, 2010; therefore, no new units will become subject to these same standards. This information is being collected to assure compliance with 40 CFR Part 60, Subpart MMMM. In general, all emission guidelines require initial notifications, performance tests, and periodic reports by the owners/operators of the affected facilities. They are also required to maintain records of the occurrence and duration of any startup, shutdown, or malfunction in the operation of an affected facility, or any period during which the monitoring system is inoperative. These notifications, reports, and records are essential in determining compliance, and are required of all affected facilities subject to emission guidelines. |
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| 201707-1006-003CF | BOR Usage of Form DI-1926, “Application for Permit for Archaeological Investigations” | DOI/RB | 2018-07-19 | Active | RCF New
BOR Usage of Form DI-1926, “Application for Permit for Archaeological Investigations”
Key Information
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| 201707-1004-012CF | BLM Usage of DI-1926, “Application for Permit for Archaeological Investigations” | DOI/BLM | 2018-07-19 | Active | RCF New
BLM Usage of DI-1926, “Application for Permit for Archaeological Investigations”
Key Information
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| 201707-1076-002CF | BIA Usage of Form DI-1926, “Application for Permit for Archaeological Investigations” | DOI/BIA | 2018-07-19 | Active | RCF New
BIA Usage of Form DI-1926, “Application for Permit for Archaeological Investigations”
Key Information
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| 201707-1018-004CF | FWS Usage of Form DI-1926, “Application for Permit for Archeological Investigations” | DOI/FWS | 2018-07-19 | Active | RCF New
FWS Usage of Form DI-1926, “Application for Permit for Archeological Investigations”
Key Information
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| 201805-2060-002 | EPA's Light-Duty In-Use Vehicle Testing Program (Renewal) | EPA/OAR | 2018-05-30 | Active | Extension without change of a currently approved collection
EPA's Light-Duty In-Use Vehicle Testing Program (Renewal)
Key Information
Abstract
EPA's light-duty in-use vehicle testing program provides a spot-check audit of manufacturers' compliance with the provision of the Clean Air Act. The ICR covers the solicitation of owners for participation, the responses of those who are interested in participating, and the additional information collected from those who do participate. Vehicle owners who volunteer to participate are required to provide information regarding their vehicle before it is eligible to be accepted for testing. The information includes identification of the vehicle, optional scheduled maintenance records where available, problems with the vehicle, etc. This allows the Agency to procure properly maintained and used vehicles for testing. This ICR renews only the light-duty portion of EPA's in-use testing programs; the heavy-duty and off-road portions will be renewed separately. |
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| 201711-1018-001 | Land-Based Wind Energy Guidelines | DOI/FWS | 2018-03-23 | Active | Extension without change of a currently approved collection
Land-Based Wind Energy Guidelines
Key Information
Authorizing Statutes
16 USC 668-668d (View Law) 16 USC 1531-1544 (View Law) 16 USC 661-667e (View Law) 16 USC 703-712 (View Law) Abstract
The U.S. Fish and Wildlife Service, working with the Wind Turbine Guidelines Advisory Committee, developed the Land-Based Wind Energy Guidelines (Guidelines). These voluntary Guidelines provide a structured, scientific process for addressing wildlife conservation concerns at all stages of land-based wind energy development. They describe a process for wind project developers to use to gather information to identify sites with low risk to wildlife, and to assess, mitigate, and monitor the potential adverse effects of wind energy projects on wildlife and their habitats. They also promote effective communication among wind energy developers and Federal, State, and local conservation agencies and tribes. These Guidelines are intended to: * Promote compliance with relevant wildlife laws and regulations; * Encourage scientifically rigorous survey, monitoring, assessment, and research designs proportionate to the risk to species of concern; * Produce potentially comparable data across the Nation; * Mitigate, including avoid, minimize, and compensate for potential adverse effects on species of concern and their habitats; and, * Improve the ability to predict and resolve effects locally, regionally, and nationally. Although the Guidelines are voluntary, they are designed to minimize impacts to wildlife, including species protected by the Migratory Bird Treaty Act (16 U.S.C 703-712), Bald and Golden Eagle Protection Act (16 U.S.C. 668-668d), and Endangered Species Act (16 U.S.C. 1531-1544), as well as species not afforded protection under these Acts, but which are potentially significantly impacted by wind energy development (e.g., sage grouse). The Guidelines are also consistent with the Fish and Wildlife Coordination Act (16 U.S.C. 661-667e) and Executive Order 13186, "Responsibilities of Federal Agencies to Protect Migratory Birds" (January 10, 2001). When used in concert with appropriate regulatory tools, the Guidelines form the best practical approach for conserving species of concern. |
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| 201802-0596-014CF | Tangible Personal Property Report and Instructions (SF-428, 428A, 428B, 428C, 428S) | USDA/FS | 2018-02-28 | Active | RCF New
Tangible Personal Property Report and Instructions (SF-428, 428A, 428B, 428C, 428S)
Key Information
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| 201708-1405-002 | J-1 Waiver Recommendation Application | STATE/AFA | 2017-08-10 | Active | Extension without change of a currently approved collection
J-1 Waiver Recommendation Application
Key Information
Abstract
The J-1 Waiver Recommendation Application is used to record the information required by 22 CFR 41.63 for a waiver request filed with the Secretary of State. The information requested on the form is limited to that which is necessary to enable the Waiver Review Division of the Visa Office of the Department of State (CA/VO/L/W) to act on the request. Applicants provide biographic data and details of their periods of stay on J visas in the United States. |
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| 201705-1091-002CF | DOI Use of Demographic Information on Applicants Form | DOI/OEO | 2017-05-30 | Active | RCF Recertification
DOI Use of Demographic Information on Applicants Form
Key Information
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| 201705-1225-015CF | Applicant Background Questionnaire | DOL/DM | 2017-05-30 | Active | RCF Recertification
Applicant Background Questionnaire
Key Information
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| 200804-2577-004 | Indian Housing Block Grant (IHBG) Evaluation | HUD/PIH | 2008-05-14 | Active | New collection (Request for a new OMB Control Number)
Indian Housing Block Grant (IHBG) Evaluation
Key Information
Authorizing Statutes
73 FR 27 73 FR 87 Abstract
Survey a sample of housing authorities and households recently admitted or on the waiting list for public housing or Housing Choice Vouchers to assess inequities and inefficiencies in the current system for subsidizing rents, setting rents and payment standards, and verifying income; and evaluate and propose effective reforms. |
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