76745Federal Register / Vol. 67, No. 240 / Friday, December 13, 2002 / Notices
Emergency and Hazardous Chemical
Inventory to the LEPC, SERC, and fire
departments with jurisdiction over the
facilities, in violation of EPCRA section
312, 42 U.S.C. 11022.
Pursuant to 40 CFR 22.45(b)(2)(iii),
the following is a list of facilities at
which ADT self-disclosed violations of
CWA section 311(b)(3): 5400 West
Rosecrans Avenue, Hawthorne,
California; 14200 Exposition Avenue,
Aurora, Colorado; 9000 Town Center
Parkway, Bradenton, Florida; 1052
South Powerline Road, Deerfield,
Florida; 9512 Sunbeam Center Drive,
Jacksonville, Florida; 7805 NW 97th
Terrace, Kansas City, Missouri; 502
Fortune Drive, Papillion, Nebraska; and
285 Thruway Park Drive, West
Henrietta, New York. These facilities are
not required to obtain water permits for
the requirements relating to the SPCC
violations disclosed.
In addition, ADT self-disclosed
violations of EPCRA sections 302 and/
or sections 311 and 312 at facilities
located in the following states: Alabama,
Arkansas, California, Colorado,
Connecticut, Delaware, Florida, Georgia,
Illinois, Indiana, Kansas, Louisiana,
Massachusetts, Maryland, Michigan,
Minnesota, Missouri, North Carolina,
Nebraska, New Hampshire, New Jersey,
New York, Nevada, Ohio, Pennsylvania,
Rhode Island, South Carolina,
Tennessee, Texas, Virginia, Washington,
and the District of Columbia. ADT self-
disclosed violations of CAA section 110
at facilities located in California.
EPA determined that ADT met the
criteria set out in the Audit Policy for
a 100% waiver of the gravity component
of the penalty. As a result, EPA
proposes to waive the gravity based
penalty ($1,914,965) and proposes a
settlement penalty amount of thirty-one
thousand, seven hundred and forty-one
dollars ($31,741). This is the amount of
the economic benefit gained by ADT,
attributable to their delayed compliance
with the SPCC, CAA and EPCRA
regulations. ADT Security Services, Inc.
has agreed to pay this amount. EPA and
ADT negotiated and signed an
administrative consent agreement,
following the Consolidated Rules of
Practice, 40 CFR 22.13(b), on October
18, 2002 (In Re: ADT Security Services,
Inc., Docket Nos. CWA–HQ–2002–6000,
EPCRA–HQ–2002–6000, CAA–HQ–
2002–6000). This consent agreement is
subject to public notice and comment
under CWA section 311(b)(6), 33 U.S.C.
1321(b)(6).
Under CWA section 311(b)(6)(A), 33
U.S.C. 1321 (b)(6)(A), any owner,
operator, or person in charge of a vessel,
onshore facility, or offshore facility from
which oil is discharged in violation of
the CWA section 311 (b)(3), 33 U.S.C.
1321 (b)(3), or who fails or refuses to
comply with any regulations that have
been issued under CWA section 311 (j),
33 U.S.C. 1321(j), may be assessed an
administrative civil penalty of up to
$137,500 by EPA. Class II proceedings
under CWA section 311(b)(6) are
conducted in accordance with 40 CFR
part 22.
Under CAA section 113(d), the
Administrator may issue an
administrative order assessing a civil
penalty against any person who has
violated an applicable implementation
plan or any other requirement of the
Act, including any rule, order, waiver,
permit or plan. Proceedings under CAA
section 113(d) are conducted in
accordance with 40 CFR part 22.
Under EPCRA section 325, the
Administrator may issue an
administrative order assessing a civil
penalty against any person who has
violated applicable emergency planning
or right to know requirements, or any
other requirement of the Act.
Proceedings under EPCRA section 325
are conducted in accordance with 40
CFR part 22.
The procedures by which the public
may comment on a proposed Class II
penalty order, or participate in a Clean
Water Act Class II penalty proceeding,
are set forth in 40 CFR 22.45. The
deadline for submitting public comment
on this proposed final order is January
13, 2003. All comments will be
transferred to the Environmental
Appeals Board (‘‘EAB’’) of EPA for
consideration. The powers and duties of
the EAB are outlined in 40 CFR 22.4(a).
Pursuant to CWA section 311(b)(6)(C),
EPA will not issue an order in this
proceeding prior to the close of the
public comment period.
Dated: December 4, 2002.
Rosemarie A. Kelley,
Acting Director, Multimedia Enforcement
Division, Office of Enforcement and
Compliance Assurance.
[FR Doc. 02–31468 Filed 12–12–02; 8:45 am]
BILLING CODE 6560 –50–P
FEDERAL DEPOSIT INSURANCE
CORPORATION
Agency Information Collection
Activities: Proposed Collection;
Comment Request
AGENCY: Federal Deposit Insurance
Corporation (FDIC).
ACTION: Notice and request for comment.
SUMMARY: The FDIC, as part of its
continuing effort to reduce paperwork
and respondent burden, invites the
general public and other Federal
agencies to take this opportunity to
comment on proposed and/or
continuing information collections, as
required by the Paperwork Reduction
Act of 1995 (44 U.S.C. chapter 35).
Currently, the FDIC is soliciting
comments concerning an information
collection titled ‘‘Certification of
Compliance with Mandatory Bars to
Employment.’’
DATES: Comments must be submitted on
or before February 11, 2003.
ADDRESSES: Interested parties are
invited to submit written comments to
Tamara R. Manly, Management Analyst
(Consumer and Compliance Unit), (202)
898–7453, Legal Division, Room MB–
3109, Attention: Comments/Legal,
Federal Deposit Insurance Corporation,
550 17th Street, NW., Washington, DC
20429. All comments should refer to
‘‘Certification of Compliance with
Mandatory Bars to Employment.’’
Comments may be hand-delivered to the
guard station at the rear of the 17th
Street Building (located on F Street), on
business days between 7 a.m. and 5 p.m.
(Internet address: comments@ fdic.gov).
Comments may also be submitted to the
OMB desk officer for the FDIC: Joseph
F. Lackey, Jr., Office of Information and
Regulatory Affairs, Office of
Management and Budget, New
Executive Office Building, Room 10236,
Washington, DC 20503.
FOR FURTHER INFORMATION CONTACT:
Tamara R. Manly, at the address
identified above.
SUPPLEMENTARY INFORMATION: Proposal
to renew the following currently
approved collection of information:
Title: Certification of Compliance
with Mandatory Bars to Employment.
OMB Number: 3064–0121.
Frequency of Response: On occasion.
Affected Public: Persons interested in
being employed or providing services to
the FDIC.
Estimated Number of Respondents:
248.
Estimated Time per Response: 10
minutes.
Estimated Total Annual Burden:
41.34 hours.
General Description of Collection:
Prior to an offer of employment, job
applicants to the FDIC must sign a
certification that they have not been
convicted of a felony or been in other
circumstances that prohibit persons
from becoming employed by or
providing services to the FDIC.
Request for Comment
Comments are invited on: (a) Whether
the collection of information is
necessary for the proper performance of
VerDate 0ct<31>2002 15:21 Dec 12, 2002 Jkt 200001 PO 00000 Frm 00033 Fmt 4703 Sfmt 4703 E:\FR\FM\13DEN1.SGM 13DEN1
Emergency and Hazardous Chemical
Inventory to the LEPC, SERC, and fire
departments with jurisdiction over the
facilities, in violation of EPCRA section
312, 42 U.S.C. 11022.
Pursuant to 40 CFR 22.45(b)(2)(iii),
the following is a list of facilities at
which ADT self-disclosed violations of
CWA section 311(b)(3): 5400 West
Rosecrans Avenue, Hawthorne,
California; 14200 Exposition Avenue,
Aurora, Colorado; 9000 Town Center
Parkway, Bradenton, Florida; 1052
South Powerline Road, Deerfield,
Florida; 9512 Sunbeam Center Drive,
Jacksonville, Florida; 7805 NW 97th
Terrace, Kansas City, Missouri; 502
Fortune Drive, Papillion, Nebraska; and
285 Thruway Park Drive, West
Henrietta, New York. These facilities are
not required to obtain water permits for
the requirements relating to the SPCC
violations disclosed.
In addition, ADT self-disclosed
violations of EPCRA sections 302 and/
or sections 311 and 312 at facilities
located in the following states: Alabama,
Arkansas, California, Colorado,
Connecticut, Delaware, Florida, Georgia,
Illinois, Indiana, Kansas, Louisiana,
Massachusetts, Maryland, Michigan,
Minnesota, Missouri, North Carolina,
Nebraska, New Hampshire, New Jersey,
New York, Nevada, Ohio, Pennsylvania,
Rhode Island, South Carolina,
Tennessee, Texas, Virginia, Washington,
and the District of Columbia. ADT self-
disclosed violations of CAA section 110
at facilities located in California.
EPA determined that ADT met the
criteria set out in the Audit Policy for
a 100% waiver of the gravity component
of the penalty. As a result, EPA
proposes to waive the gravity based
penalty ($1,914,965) and proposes a
settlement penalty amount of thirty-one
thousand, seven hundred and forty-one
dollars ($31,741). This is the amount of
the economic benefit gained by ADT,
attributable to their delayed compliance
with the SPCC, CAA and EPCRA
regulations. ADT Security Services, Inc.
has agreed to pay this amount. EPA and
ADT negotiated and signed an
administrative consent agreement,
following the Consolidated Rules of
Practice, 40 CFR 22.13(b), on October
18, 2002 (In Re: ADT Security Services,
Inc., Docket Nos. CWA–HQ–2002–6000,
EPCRA–HQ–2002–6000, CAA–HQ–
2002–6000). This consent agreement is
subject to public notice and comment
under CWA section 311(b)(6), 33 U.S.C.
1321(b)(6).
Under CWA section 311(b)(6)(A), 33
U.S.C. 1321 (b)(6)(A), any owner,
operator, or person in charge of a vessel,
onshore facility, or offshore facility from
which oil is discharged in violation of
the CWA section 311 (b)(3), 33 U.S.C.
1321 (b)(3), or who fails or refuses to
comply with any regulations that have
been issued under CWA section 311 (j),
33 U.S.C. 1321(j), may be assessed an
administrative civil penalty of up to
$137,500 by EPA. Class II proceedings
under CWA section 311(b)(6) are
conducted in accordance with 40 CFR
part 22.
Under CAA section 113(d), the
Administrator may issue an
administrative order assessing a civil
penalty against any person who has
violated an applicable implementation
plan or any other requirement of the
Act, including any rule, order, waiver,
permit or plan. Proceedings under CAA
section 113(d) are conducted in
accordance with 40 CFR part 22.
Under EPCRA section 325, the
Administrator may issue an
administrative order assessing a civil
penalty against any person who has
violated applicable emergency planning
or right to know requirements, or any
other requirement of the Act.
Proceedings under EPCRA section 325
are conducted in accordance with 40
CFR part 22.
The procedures by which the public
may comment on a proposed Class II
penalty order, or participate in a Clean
Water Act Class II penalty proceeding,
are set forth in 40 CFR 22.45. The
deadline for submitting public comment
on this proposed final order is January
13, 2003. All comments will be
transferred to the Environmental
Appeals Board (‘‘EAB’’) of EPA for
consideration. The powers and duties of
the EAB are outlined in 40 CFR 22.4(a).
Pursuant to CWA section 311(b)(6)(C),
EPA will not issue an order in this
proceeding prior to the close of the
public comment period.
Dated: December 4, 2002.
Rosemarie A. Kelley,
Acting Director, Multimedia Enforcement
Division, Office of Enforcement and
Compliance Assurance.
[FR Doc. 02–31468 Filed 12–12–02; 8:45 am]
BILLING CODE 6560 –50–P
FEDERAL DEPOSIT INSURANCE
CORPORATION
Agency Information Collection
Activities: Proposed Collection;
Comment Request
AGENCY: Federal Deposit Insurance
Corporation (FDIC).
ACTION: Notice and request for comment.
SUMMARY: The FDIC, as part of its
continuing effort to reduce paperwork
and respondent burden, invites the
general public and other Federal
agencies to take this opportunity to
comment on proposed and/or
continuing information collections, as
required by the Paperwork Reduction
Act of 1995 (44 U.S.C. chapter 35).
Currently, the FDIC is soliciting
comments concerning an information
collection titled ‘‘Certification of
Compliance with Mandatory Bars to
Employment.’’
DATES: Comments must be submitted on
or before February 11, 2003.
ADDRESSES: Interested parties are
invited to submit written comments to
Tamara R. Manly, Management Analyst
(Consumer and Compliance Unit), (202)
898–7453, Legal Division, Room MB–
3109, Attention: Comments/Legal,
Federal Deposit Insurance Corporation,
550 17th Street, NW., Washington, DC
20429. All comments should refer to
‘‘Certification of Compliance with
Mandatory Bars to Employment.’’
Comments may be hand-delivered to the
guard station at the rear of the 17th
Street Building (located on F Street), on
business days between 7 a.m. and 5 p.m.
(Internet address: comments@ fdic.gov).
Comments may also be submitted to the
OMB desk officer for the FDIC: Joseph
F. Lackey, Jr., Office of Information and
Regulatory Affairs, Office of
Management and Budget, New
Executive Office Building, Room 10236,
Washington, DC 20503.
FOR FURTHER INFORMATION CONTACT:
Tamara R. Manly, at the address
identified above.
SUPPLEMENTARY INFORMATION: Proposal
to renew the following currently
approved collection of information:
Title: Certification of Compliance
with Mandatory Bars to Employment.
OMB Number: 3064–0121.
Frequency of Response: On occasion.
Affected Public: Persons interested in
being employed or providing services to
the FDIC.
Estimated Number of Respondents:
248.
Estimated Time per Response: 10
minutes.
Estimated Total Annual Burden:
41.34 hours.
General Description of Collection:
Prior to an offer of employment, job
applicants to the FDIC must sign a
certification that they have not been
convicted of a felony or been in other
circumstances that prohibit persons
from becoming employed by or
providing services to the FDIC.
Request for Comment
Comments are invited on: (a) Whether
the collection of information is
necessary for the proper performance of
VerDate 0ct<31>2002 15:21 Dec 12, 2002 Jkt 200001 PO 00000 Frm 00033 Fmt 4703 Sfmt 4703 E:\FR\FM\13DEN1.SGM 13DEN1
76746 Federal Register / Vol. 67, No. 240 / Friday, December 13, 2002 / Notices
the FDIC’s functions, including whether
the information has practical utility; (b)
the accuracy of the estimates of the
burden of the information collection,
including the validity of the
methodology and assumptions used; (c)
ways to enhance the quality, utility, and
clarity of the information to be
collected; and (d) ways to minimize the
burden of the information collection on
respondents, including through the use
of automated collection techniques or
other forms of information technology.
At the end of the comment period, the
comments and recommendations
received will be analyzed to determine
the extent to which the collection
should be modified prior to submission
to OMB for review and approval.
Comments submitted in response to
this notice also will be summarized or
included in the FDIC’s requests to OMB
for renewal of this collection. All
comments will become a matter of
public record.
Dated in Washington, DC, this 4th day of
December, 2002.
Federal Deposit Insurance Corporation.
Leneta G. Gregorie,
Counsel and Special Assistant.
[FR Doc. 02–31411 Filed 12–12–02; 8:45 am]
BILLING CODE 6714 –01–P
FEDERAL RESERVE SYSTEM
Change in Bank Control Notices;
Acquisition of Shares of Bank or Bank
Holding Companies
The notificants listed below have
applied under the Change in Bank
Control Act (12 U.S.C. 1817(j)) and
§ 225.41 of the Board’s Regulation Y (12
CFR 225.41) to acquire a bank or bank
holding company. The factors that are
considered in acting on the notices are
set forth in paragraph 7 of the Act (12
U.S.C. 1817(j)(7)).
The notices are available for
immediate inspection at the Federal
Reserve Bank indicated. The notices
also will be available for inspection at
the office of the Board of Governors.
Interested persons may express their
views in writing to the Reserve Bank
indicated for that notice or to the offices
of the Board of Governors. Comments
must be received not later than
December 30, 2002.
A. Federal Reserve Bank of Kansas
City (Susan Zubradt, Assistant Vice
President) 925 Grand Avenue, Kansas
City, Missouri 64198–0001:
1. Connie f. Rose, individually and as
trustee of the Jon F. Rose Revocable
Trust, Hastings, Nebraska; Paul H. and
Faye E. Powers, Hastings, Nebraska; and
Larry W. Coffey, Lincoln, Nebraska; to
acquire voting shares of Hastings
Bancorp, Inc., Hastings, Nebraska, and
thereby indirectly acquire voting shares
of Hastings State Bank, Hastings,
Nebraska.
Board of Governors of the Federal Reserve
System, December 9, 2002.
Robert deV. Frierson,
Deputy Secretary of the Board.
[FR Doc. 02–31392 Filed 12–12–02; 8:45 am]
BILLING CODE 6210 –01–S
FEDERAL RESERVE SYSTEM
Formations of, Acquisitions by, and
Mergers of Bank Holding Companies
The companies listed in this notice
have applied to the Board for approval,
pursuant to the Bank Holding Company
Act of 1956 (12 U.S.C. 1841 et seq.)
(BHC Act), Regulation Y (12 CFR part
225), and all other applicable statutes
and regulations to become a bank
holding company and/or to acquire the
assets or the ownerships of, control of,
or the power to vote shares of a bank or
bank holding company and all of the
banks and nonbanking companies
owned by the bank holding company,
including the companies listed below.
The applications listed below, as well
as other related filings required by the
Board, are available for immediate
inspection at the Federal Reserve Bank
indicated. The application also will be
available for inspection at the offices of
the Board of Governors. Interested
persons may express their views in
writing on the standards enumerated in
the BHC Act (12 U.S.C. 1842(c)). If the
proposal also involves the acquisition of
a nonbanking company, the review also
includes whether the acquisition of the
nonbanking company complies with the
standards in section 4 of the BHC Act
(12 U.S.C. 1843). Unless otherwise
noted, nonbanking activities will be
conducted throughout the United States.
Additional information on all bank
holding companies may be obtained
from the National Information Center
Web site at http//www.ffiec.gov/nic/.
Unless otherwise noted, comments
regarding each of these applications
must be received at the Reserve Bank
indicated or the offices of the Board of
Governors not later than January 10,
2003.
A. Federal Reserve Bank of Dallas (W.
Arthur Tribble, Vice President), 2200
North Pearl Street, Dallas, Texas 75201–
2272:
1. OSB Financial Services, Inc.,
Orange, Texas, and OSB Delaware
Financial Services, Inc., Dover,
Delaware; to acquire 100 percent of the
voting shares of Mauriceville National
Bank, Mauriceville, Texas.
Board of Governors of the Federal Reserve
System, December 9, 2002.
Robert deV. Frierson,
Deputy Secretary of the Board.
[FR Doc. 02–31393 Filed 12–12–02; 8:45 am]
BILLING CODE 6210 –01–M
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Administration on Aging
Agency Information Collection
Activities; Submission for OMB
Review; Comment Request; State
Program Report for Title III of the Older
Americans Act
AGENCY: Administration on Aging, HHS.
ACTION: Notice.
SUMMARY: The Administration on Aging
(AoA) is announcing that the proposed
collection of information listed below
has been submitted to the Office of
Management and Budget (OMB) for
review and clearance under the
Paperwork Reduction Act of 1995.
DATES: Submit written comments on the
collection of information by January 13,
2003.
ADDRESSES: Submit written comments
on the collection of information to the
Office of Information and Regulatory
Affairs, OMB, New Executive Office
Bldg., 725 17th St. NW., rm. 10235,
Washington, DC 20503, Attn: Allison
Herron Eydt, Desk Officer for AoA.
FOR FURTHER INFORMATION CONTACT:
Saadia Greenberg, Office of Evaluation,
Administration on Aging, Room 5607,
Washington, DC 20201, (202) 357–3554.
SUPPLEMENTARY INFORMATION: In
compliance with 44 U.S.C. 3507, AoA
has submitted the following proposed
collection of information to OMB for
review and clearance.
State Program Reports provide state
totals of the number of persons served
for each type of service under the Older
Americans Act Title III and Title VII
programs as well as the number units of
services provided and some
characteristics of the clients.
Information is also reported on
expenditures for each type of service,
staffing levels of state and area agencies
on aging.
AoA estimates the burden of this
collection of information as
approximately 1 hour per state agency.
In the Federal Register of December
21, 2001 (Vol. 66, No. 246), the agency
requested comments on the proposed
collection of information. The
VerDate 0ct<31>2002 15:21 Dec 12, 2002 Jkt 200001 PO 00000 Frm 00034 Fmt 4703 Sfmt 4703 E:\FR\FM\13DEN1.SGM 13DEN1
the FDIC’s functions, including whether
the information has practical utility; (b)
the accuracy of the estimates of the
burden of the information collection,
including the validity of the
methodology and assumptions used; (c)
ways to enhance the quality, utility, and
clarity of the information to be
collected; and (d) ways to minimize the
burden of the information collection on
respondents, including through the use
of automated collection techniques or
other forms of information technology.
At the end of the comment period, the
comments and recommendations
received will be analyzed to determine
the extent to which the collection
should be modified prior to submission
to OMB for review and approval.
Comments submitted in response to
this notice also will be summarized or
included in the FDIC’s requests to OMB
for renewal of this collection. All
comments will become a matter of
public record.
Dated in Washington, DC, this 4th day of
December, 2002.
Federal Deposit Insurance Corporation.
Leneta G. Gregorie,
Counsel and Special Assistant.
[FR Doc. 02–31411 Filed 12–12–02; 8:45 am]
BILLING CODE 6714 –01–P
FEDERAL RESERVE SYSTEM
Change in Bank Control Notices;
Acquisition of Shares of Bank or Bank
Holding Companies
The notificants listed below have
applied under the Change in Bank
Control Act (12 U.S.C. 1817(j)) and
§ 225.41 of the Board’s Regulation Y (12
CFR 225.41) to acquire a bank or bank
holding company. The factors that are
considered in acting on the notices are
set forth in paragraph 7 of the Act (12
U.S.C. 1817(j)(7)).
The notices are available for
immediate inspection at the Federal
Reserve Bank indicated. The notices
also will be available for inspection at
the office of the Board of Governors.
Interested persons may express their
views in writing to the Reserve Bank
indicated for that notice or to the offices
of the Board of Governors. Comments
must be received not later than
December 30, 2002.
A. Federal Reserve Bank of Kansas
City (Susan Zubradt, Assistant Vice
President) 925 Grand Avenue, Kansas
City, Missouri 64198–0001:
1. Connie f. Rose, individually and as
trustee of the Jon F. Rose Revocable
Trust, Hastings, Nebraska; Paul H. and
Faye E. Powers, Hastings, Nebraska; and
Larry W. Coffey, Lincoln, Nebraska; to
acquire voting shares of Hastings
Bancorp, Inc., Hastings, Nebraska, and
thereby indirectly acquire voting shares
of Hastings State Bank, Hastings,
Nebraska.
Board of Governors of the Federal Reserve
System, December 9, 2002.
Robert deV. Frierson,
Deputy Secretary of the Board.
[FR Doc. 02–31392 Filed 12–12–02; 8:45 am]
BILLING CODE 6210 –01–S
FEDERAL RESERVE SYSTEM
Formations of, Acquisitions by, and
Mergers of Bank Holding Companies
The companies listed in this notice
have applied to the Board for approval,
pursuant to the Bank Holding Company
Act of 1956 (12 U.S.C. 1841 et seq.)
(BHC Act), Regulation Y (12 CFR part
225), and all other applicable statutes
and regulations to become a bank
holding company and/or to acquire the
assets or the ownerships of, control of,
or the power to vote shares of a bank or
bank holding company and all of the
banks and nonbanking companies
owned by the bank holding company,
including the companies listed below.
The applications listed below, as well
as other related filings required by the
Board, are available for immediate
inspection at the Federal Reserve Bank
indicated. The application also will be
available for inspection at the offices of
the Board of Governors. Interested
persons may express their views in
writing on the standards enumerated in
the BHC Act (12 U.S.C. 1842(c)). If the
proposal also involves the acquisition of
a nonbanking company, the review also
includes whether the acquisition of the
nonbanking company complies with the
standards in section 4 of the BHC Act
(12 U.S.C. 1843). Unless otherwise
noted, nonbanking activities will be
conducted throughout the United States.
Additional information on all bank
holding companies may be obtained
from the National Information Center
Web site at http//www.ffiec.gov/nic/.
Unless otherwise noted, comments
regarding each of these applications
must be received at the Reserve Bank
indicated or the offices of the Board of
Governors not later than January 10,
2003.
A. Federal Reserve Bank of Dallas (W.
Arthur Tribble, Vice President), 2200
North Pearl Street, Dallas, Texas 75201–
2272:
1. OSB Financial Services, Inc.,
Orange, Texas, and OSB Delaware
Financial Services, Inc., Dover,
Delaware; to acquire 100 percent of the
voting shares of Mauriceville National
Bank, Mauriceville, Texas.
Board of Governors of the Federal Reserve
System, December 9, 2002.
Robert deV. Frierson,
Deputy Secretary of the Board.
[FR Doc. 02–31393 Filed 12–12–02; 8:45 am]
BILLING CODE 6210 –01–M
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Administration on Aging
Agency Information Collection
Activities; Submission for OMB
Review; Comment Request; State
Program Report for Title III of the Older
Americans Act
AGENCY: Administration on Aging, HHS.
ACTION: Notice.
SUMMARY: The Administration on Aging
(AoA) is announcing that the proposed
collection of information listed below
has been submitted to the Office of
Management and Budget (OMB) for
review and clearance under the
Paperwork Reduction Act of 1995.
DATES: Submit written comments on the
collection of information by January 13,
2003.
ADDRESSES: Submit written comments
on the collection of information to the
Office of Information and Regulatory
Affairs, OMB, New Executive Office
Bldg., 725 17th St. NW., rm. 10235,
Washington, DC 20503, Attn: Allison
Herron Eydt, Desk Officer for AoA.
FOR FURTHER INFORMATION CONTACT:
Saadia Greenberg, Office of Evaluation,
Administration on Aging, Room 5607,
Washington, DC 20201, (202) 357–3554.
SUPPLEMENTARY INFORMATION: In
compliance with 44 U.S.C. 3507, AoA
has submitted the following proposed
collection of information to OMB for
review and clearance.
State Program Reports provide state
totals of the number of persons served
for each type of service under the Older
Americans Act Title III and Title VII
programs as well as the number units of
services provided and some
characteristics of the clients.
Information is also reported on
expenditures for each type of service,
staffing levels of state and area agencies
on aging.
AoA estimates the burden of this
collection of information as
approximately 1 hour per state agency.
In the Federal Register of December
21, 2001 (Vol. 66, No. 246), the agency
requested comments on the proposed
collection of information. The
VerDate 0ct<31>2002 15:21 Dec 12, 2002 Jkt 200001 PO 00000 Frm 00034 Fmt 4703 Sfmt 4703 E:\FR\FM\13DEN1.SGM 13DEN1