OFFICE
OF
POLICY Action Development Series
[Guidance for EPA Staff on Developing Quality Actions
/'
Revised: March 2011
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Acronyms Used Throughout This Document 5
Introduction to This Guidance 7
What is the Purpose of This Guidance?
How is "Agency Action" Defined and Used throughout This Guidance? j
How are the Terms "You," "Manager," "Senior Management," and "Lead Program Office
used Throughout this Guidance? ^
What is Not Covered in This Guidance?
Overview of EPA's Action Development Process , n
**•••• Iu
What is the Purpose of EPAs Action Development Process (ADP)? j q
What are the Five Key Elements of the ADP?
Who Needs to Know About the ADP? ^
What are the Five Major Stages of the ADP?
What are the Products of a Quality Action?
Who is Involved in the ADP?
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How is the ADP Managed?
What ADP Resources are Available? ^
Stage 1. Tiering the Action
Step 1: Understanding Tiering and Commencement
Approval ^
Step 2: Placing the Action in the ApproPriate Tier
• — 2.*
Step 3: Obtaining Tiering Approval ^
Stage 2. Developing the Proposed/Draft Action 2g
Developing Tier 1 & 2 Actions
Step 1: Chartering the Workgroup- --
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Step 2: Getting the Workgroup Underway. 31
Step 3: Preparing the Preliminary Analytic Blueprint and Getting Early Guidance
from Senior Management 33
Step 4: Preparing the Detailed Analytic Blueprint 36
Step 5: Completing Data Gathering, Consultation, Analyses, Peer Review, Options
Development and Establishing a Docket 37
Step 6: Selecting Options 38
Step 7: Drafting the Proposed Action 40
Step 8: Conducting Final Agency Review. 41
General Management of Tier 3 Actions .44
Step 1: Understanding Side Agreements 44
Step 2: Managing Tier 3 Actions 45
Step 3: Developing a Tier 3 Action 46
Stage 3. OMB Review under EO 12866 for Proposed and Final
Regulatory Actions and Significant Guidance Documents (if
necessary) 48
Step 1: Determining if EO 12866 Review for Proposed and Final Regulatory Actions
and Significant Guidance Documents is Necessary. 48
Step 2: Preparing Your Regulatory Action for Submission to OMB under EO 12866 49
Step 3: Addressing OMB's Comments for Regulatory Actions 50
Step 4: Docketing Changes Made During EO 12866 Review of Regulatory Actions 51
Stage 4. Requesting Signature, Publishing an Action in the Federal
Register, and Soliciting and Accepting Public Comments 52
Step 1: Requesting Signature 52
Step 2: Publishing an Action in the Federal Register 55
Step 3: Soliciting and Accepting Public Comments 56
Stage 5. Developing the Final Action and Ensuring Congressional
Review m* 57
Step 1: Addressing Public Comments 57
Step 2; Determining Next Steps 58
Step 3: Submitting Actions to Congress and GAO under the Congressional Review
Act or the Courtesy Copy Policy. 60
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Appendix A: Additional Information for Action Developers on Specific
Topics
Action Aid 1: EPAk Semi-Annual Regulatory Agenda and Regulatory Plan 64
Action Aid 2: Tiering a New Action vs. "Splitting" an Action 66
Action Aid 3: Workgroup Responsibilities 68
Action Aid 4: Elevating and Resolving Workgroup Issues 7
Action Aid 5: Issues to Consider when Giving Early Guidance 73
Action Aid 6: Involving the Public and Other Stakeholders in the ADP 75
Action Aid 7: Options Selection Meetings
Action Aid 8: Recommendations for Scheduling Key Milestone Meetings 80
Action Aid 9: Procedures for Requesting an Expedited FAR Process 83
Action Aid 10: Side Agreement for Tier 3 Actions
Action Aid 11: Ordering of Statutes and Executive Orders, and Discussions for Rule
Preambles
Action Aid 12: A Reference for OMB Review of Significant Guidance Documents
under EO 12866 Review. gg
Action Aid 13: EPAs Courtesy Copy Policy.
Action Aid 14: Notices of Data Availability (NODA)
Action Aid 15: Reports to Congress - Procedures for Internal Review and Submission
to OMB
Standard Operating Procedures for Reporting Requirement Reports, Mandated by the
Appropriations Committees 200
Appendix B: Overview of the ADP.
Appendix C: Other Websites That May Be Of Assistance to EPA Action
Developers
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Acronyms Used
Throughout This
Document
AA: Assistant (or Associate) Administrator
RA: Regional Administrator
ABP: Analytic Blueprint
ADP: Action Development Process
ANPRM: Advance Notice of Proposed Rulemaking
AO: Administrator's Office
APA: Administrative Procedure Act
CCP: Courtesy Copy Policy
CFR: Code of Federal Regulations
CPRC: Conflict Prevention and Resolution Center
CRA: Congressional Review Act
DAA/DRA: Deputy Assistant Administrator/Deputy Regional Administrator
DABP: Detailed Analytic Blueprint
DFRM: Direct Final Rulemaking
EFSC: Economic Forum Steering Committee
EO: Executive Order
EPA: Environmental Protection Agency
FACA: Federal Advisory Committee Act
FAR: Final Agency Review
FDMS: Federal Docket Management System
FR: Federal Register
GAO: Government Accountability Office
I AC: Innovation Action Council
ICR: Information Collection Request
NCEE: National Center for Environmental Economics
NoA: Notice of Availability
NODA: Notice of Data Availability
NPRM: Notice of Proposed Rulemaking
NRA: Negotiated Rulemaking Act
NTTAA: National Technology Transfer & Advancement Act
OAR: Office of Air and Radiation
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OCHPEE: Office of Children's Health Proiection and Environmental Education
OCIR: Office of Congressional and Intergovernmental Relations
OCSPP: Office of Chemical Safety and Pollution Prevention
OD: Office Director
OECA: Office of Enforcement and Compliance Assurance
OEI: Office of Environmental Information
OEJ: Office of Environmental Justice
OEX: Office of the Executive Secretariat
OFR: Office of Federal Register
OGC: Office of General Counsel
OIRA: OMB's Office of Information and Regulatory Affairs
OMB: Office of Management and Budget
OPA: Office of Public Affairs
OP: Office of Policy
ORC: Office of Regional Counsel
ORD: Office of Research and Development
ORPM: Office of Regulatory Policy and Management
OSWER: Office of Solid Waste and Emergency Response
OW: Office of Water
PABP Preliminary Analytic Blueprint
PRA: Paperwork Reduction Act
PRAD: Policy and Regulatory Analysis Division
QIC: Quality and Information Council
RAPIDS: Rule and Policy Information Development System
RFA: Regulatory Flexibility Act
RIA: Regulatory Impact Analysis
RIN: Regulation Identifier Number
RMD: Regulatory Management Division
ROCIS: Regulatory Information Service Center and Office of Information and Regulatory
Affairs Consolidated
RPC: Regulatory Policy Council
RPO: Regulatory Policy Officer
RRC: Regional Regulatory Contact
RSC: Regulatory Steering Committee
SAN: Start Action Number
SBO: Senior Budget Officer
SBREFA Small Business Regulatory Enforcement Fairness Act
SNPRM Supplemental Notice of Proposed Rulemaking
S&EO: Statutes and Executive Orders
SPC: Senior Policy Council
UMRA: Unfunded Mandates Reform Act
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Introduction to this
Guidance
This section introduces the reader to the guidance's
purpose and use, as well as identifying what is not
covered in the guidance.
What is the Purpose of This Guidance?
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The purpose of this document is to ensure that Agency actions are of consistently high
quality, involve senior managers early in the development process, are supported with
strong analysis, and are developed via an open process. This document lays out the Action
Development Process (ADP) and tells you where to get additional information and guidance
as you develop Agency actions.
How is "Agency Action" Defined and Used throughout This Guidance?
Agency actions include certain rules, policy statements, risk assessments, guidance
documents, models that may be used in future rulemakings, reports to Congress that go
beyond narrow budgetary issues (see Action Aid 15), certain other regulatory documents
(e.g., some petition responses), and regulatory-related strategies. In this document, the terms
"action" and "Agency action" are used in their broadest sense; they are not limited to their
statutory definitions.
The Administrative Procedure Act defines a "rule" as "the whole or a part of an Agency
statement of general or particular applicability and future effect designed to implement,
interpret, or prescribe law or policy ... (5 CFR 1.551(4))." "Rulemaking" is defined as an
Agency process for formulating, amending, or repealing a rule. (5 CFR 1.551(5))." The
terms "rule," "rulemaking," and "regulation" are used synonymously through this guidance.
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How are the Terms "You,""Manager,""Senior Management," and "Lead
Program Office" used Throughout This Guidance?
"You" is the term used for EPA staff who are assigned to work on some aspect of an action
development project. The term "manager" refers to the manager of an EPA staff member
who is assigned to participate in the development of an action, either as a workgroup chair
or as a workgroup participant. "Senior management usually refers to AA/DAA/RA/DRA-
level managers who have EPA staff that are assigned to participate in the development of
an EPA action. "Lead office" or "lead program" usually refers to the office that has primary
responsibility for the development of an EPA action.
What is Not Covered in This Guidance?
This guidance is intended to provide a complete guide to the ADR but makes no attempt
to comprehensively address topics which, while they may be necessary to develop a quality
action, are thoroughly addressed in other Agency guidance, such as:
¦ Specific guidance on the various Statutes and Executive Orders (S&EO) that govern
rulemaking (e.g., Children's Health, Environmental Justice, Federalism, etc.) Please
refer to the ADP Library for this guidance at http://intranet.epa.gov/adplibrary.
¦ Establishing and populating a public docket in the Federal Docket Management
System (FDMS). For this guidance, please refer to the Office of Environmental
Information at http://intranet.epa.gov/fdmsinfo/index.html and "Creating and
Managing Dockets: Frequently Asked Questions for EPA Action Developers" at the
ADP Library at http://intranet.epa.gov/adplibrary.
¦ Preparing a detailed economic analysis. Please refer to the National Center for
Environmental Economics (NCEE) at http://yosemite.epa.gov/ee/epa/eed.nsf/
Webpages/Guidelines .html.
¦ Preparing a risk assessment. Please refer to the National Center for Environmental
Assessment's (NCEE) portal at http://www.epa.gov.risk.
¦ Performing a scientific analysis with peer review. Please refer to the Office of the
Science Advisor in the Office of Research and Development at http://www.epa.gov/
osa/spc/2peerrev. htm.
¦ Developing and maintaining information collections. Please refer to the Office of
Environmental Information, Office of Information Collection at http://intranet.epa.
gov/icrintra/.
¦ Recordkeeping and document storage requirements. Please refer to http://www.epa.
gov/records/. Similarly, this guidance does not cover other Agency processes, such
as:
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Agency's Directives Clearance Review Process, which addresses procedures for
developing Delegations of Authority, Agency Manuals, EPA Orders, etc. More
information on these and other processes is available on the Agency intranet at:
http ://intrane t. epa. gov/ohr/impolicy/.
Agency's Product Review process, which governs the development of
communication materials (e.g., booklets, fact sheets, brochures, guidance
documents, etc.) More information on the product review process is available at
http ://www. epa. gov/productrevie w/faqs. html.
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Overview of EPA's
Action Development
Process
This section identifies the ADP's purpose, stages,
participants, primary users, and available resources.
What is the Purpose of EPA's Action Development Process (ADP)?
E
| Actions covered by the ADP represent the Agency's public face. The Agency's public-
documents form the basis of its reputation among its external stakeholders: regulated enti
State and local governments, Congress, environmental groups, and the public at large emilIeS'
EPA is one of the most active regulatory agencies in the Federal government. A substantial
proportion of ADP actions are regulatory in nature or directly related to a regulatory
program. Thus, developing environmental regulations is one of the Agency's princi pal tasks
In fact, much of EPAs environmental success and organizational credibility is directly link 1
to the quality of this work. Therefore, it is important for EPAs actions to be based on sound
scientific, economic, legal, and policy analyses and for the Agency to involve the public
throughout development. Through the ADP, the Agency aligns its actions with its stated
goals made in EPAs strategic plan, budget requests, and commitments under the Government
Performance and Results Act.
As an EPA rulewriter, or as the manager of an EPA rulewriter, you assume an important
professional role as a public servant. The gravity and scope of responsibility borne
by Federal rule writers is too often underestimated. Regulations are one of the most
important sources of law in the United States. Congress enacts statutes that provide the
legal framework. The Executive Branch, through the regulatory process, establishes the
substantive and procedural details and promulgates the enforceable requirements of the law.
Due to the seriousness of these tasks, over 25 years ago, EPA designed a comprehensive
process for developing quality actions; this process is cailed the Aajon Develo , p
At various intervals, these procedures have been reviewed, reinforced, and strengthened bv '
the Agencys senior management and professional staff. With each effort, the Acencv has
sought to encourage better planning and analysis, promote improved collaboration among
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offices and agencies, and foster a creative problem-solving environment where EPA can
develop cost-effective and scientifically sound solutions to our environmental problems.
The ADP relies on a multi-disciplinary, collaborative, cross-office and cross-media approach
to ensure that a variety of perspectives are incorporated and expertise from EPA offices is
encouraged throughout the process. EPAs Office of Policy (OP) coordinates the ADP and
serves as liaison to other agencies when they become involved in the ADP (e.g., when the
Office of Management and Budget (OMB) reviews an EPA action). The ADP is designed
to bring together a diverse group of professionals to develop and deliver quality actions
that are based in sound science, promote economic efficiency, and accelerate the progress
of protecting human health and the environment. EPA has a long, impressive history of
producing superior actions, and the ADP is the mechanism by which we can ensure this
legacy is carried into the future.
The ADP is a method for producing quality actions. It serves as a comprehensive framework
to ensure the use of quality information to support our actions and an open process. It also
makes certain that scientific, economic, and policy issues are adequately addressed at the
appropriate stages in action development. It provides opportunities for senior management
to get involved early and to provide guidance and direction to staff at key points in the
process.
EPA prepares and releases hundreds of actions a year that define the technical and
operational details of environmental programs. Some actions are fairly narrow and routine,
while others may be broad and complex, but all must be of consistently high quality. Quality
actions have the following common characteristics; they:
¦ Achieve environmental objectives cost-effectively.
¦ Are consistent with legal requirements, executive orders, directives, Agency
guidance, and national policies.
¦ Reflect EPA-wide involvement as appropriate.
¦ Reflect appropriate solicitation and consideration of views outside EPA.
¦ Consider multimedia effects.
¦ Consider pollution prevention principles and innovative alternatives during the
investigative and development process.
¦ Are based on sound economic, scientific, legal, policy, and technical analyses.
¦ Can be efficiently implemented and effectively enforced.
¦ Are clear, concise and written in plain language.
¦ Are timely.
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EPA Decisions Balance Different Qualities
Flexible
Legally Defensible
Sound Analysis DECISION
Comprehensive
Simple and Timely
Cost-effective
Easy to Implement
& Enforce
Clear & Concise
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Figure 1
While all of these are important characteristics to produce aualifv art.™,
that we do not always have the resources to maximize all of these char, ,' WC recoSni2e
action. Recognizing that tradeoffs are often necessary and frequentlyZfT™ * ***
needing resolution, the ADP calls upon the Agency's managers to l° ,SSUCS
. Give early consideration to the full range of characteristics.
. Ensure input from internal and external stakeholders on any tradeoffs necessary.
. Provide early guidance on what tradeoffs, if any, are appropriate.
¦ Be explicit about any tradeoffs made
In cases where tradeoffs among the quali,y characteristics are necessary lead AAs/ra,
responsible for achieving a balance that results in quality actions (sec Figure a ^
It is important to recognize that the ADP, although presented here « u
not intended to be a rigid process. Flexibility is often appropriate during ? *
the ADP when developing a quality action and should be worked out am **phcnjon of
and lead AA/RA in consultation with OP ' n8 l^e workgroup
What are the Five Key Elements of the ADP?
eep^ n^to:fddrbrdtrux™^:b:£ms' t°
research. e"Ce' robust economK ^alysis, and quality
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2. It includes steps for developing and selecting regulatory and non-regulatory
options based on relevant scientific, economic, and policy analyses.
EPA often has a range of options for addressing and solving environmental problems.
In order to choose the best possible option, EPA looks at different aspects of an action,
legal, scientific, social, public health, economic, and environmental, and takes them into
account when developing the action. Strong analysis in these areas allows EPA to develop
options for the action and then choose the best one based on relevant factors.
3. It calls upon affected Headquarters and Regional managers to get involved early
in developing an action and stay involved until the final action is completed.
Actions must be developed with appropriate management involvement to be successful.
This involvement ensures that actions fully reflect EPAJs priorities and that significant
issues are raised early and resolved efficiently. Investing management time early in the
process saves time and work in the long run. Management provides guidance, addresses
issues, guides development of the action, selects preferred options, and approves the final
product throughout the ADP
4. It ensures active and appropriate cross-Agency participation.
The ADP relies on collaborative and collegial involvement across the Agency to ensure
actions are discussed and developed using all of the available and appropriate Agency
expertise.
5. It encourages appropriate and meaningful consultation with external stakeholders
in the process through substantive consultative procedures.
In order to develop quality actions that can be implemented, the ADP encourages you
to involve State, Tribal, and local partners, regulated entities, environmental groups,
and other concerned individuals at appropriate points during the process. EPAs Public
Involvement Policy (PIP) encourages managers and staff to provide opportunities for
public involvement above and beyond the minimum requirements. However, such
involvement does not replace internal Agency deliberations. Moreover, the ADP facilitates
consultation with other Federal agencies via the interagency review process defined in
Executive Order (EO) 12866.
Who Needs to Know About the ADP?
All EPA staff and managers who work on Agency actions are responsible for working together
to produce quality actions. They should be familiar with the ADP, this guidance, and be
aware of the available resources related to the ADP.
EPA managers
Managers provide policy direction and ensure the integrity of the process. Therefore,
they should be familiar with their role in the ADP and with the statutes, Executive Orders
(EOs), and Agency guidance, policies, and procedures that apply to action development.
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They are also relied upon to provide direction, whether as a manager of the lead office or,
as a manager of a workgroup member, on policy approaches and activities fundamentally
related to action development (e.g., consultation, research, analysis, public meetings,
and/or resource investment).
EPA staff who develop actions
It is important that you be familiar with the ADP, your role and responsibilities under the
ADP, and any related laws or EOs and Agency guidance, policies, and procedures that
apply to actions being developed. You should use the ADP and follow the applicable
steps to ensure development of quality regulatory and non-regulatory actions.
What are the Five Major Stages of the ADP?
Stage I. Tiering the Action and Obtaining Commencement Approval
Prior to initiating substantive development activities, the lead office prepares and submits a
tiering form describing the new action. This information is used (1) to solicit the approval
of the Agency's Regulatory Policy Officer (RPO) to proceed and (2) to assign the action to
| one of three tiers based on the nature of the anticipated issues and the level of cross-Agency
g interactions needed to ensure a quality action. The first process is called "commencement
§ approval." The second is called tiering.
The commencement approval and tiering processes should be initiated as soon as a program
knows that it may need to develop some type of action on an issue, or as early in the process
as possible. For additional information about this process, visit the ADP Library at http://
intranet. epa. gov/adplibrary
Stage 2. Developing the Proposed Rule or Draft Action
Once commencement and tiering have been approved by the RPO and OP/AA, respectively,
you use a standard process for the assigned tier to develop the proposed rule or draft action.
The number of steps and level of management approval varies by tier.
Stage 3. Requesting OMB Review (if necessary) for Proposed (and Final) Actions
EO 12866 requires EPA to work with the Office of Management and Budget's (OMB) Office
of Information and Regulatory Affairs (OIRA) to determine in advance which actions will
be reviewed by OMB. If OMB review is necessary, the Agency must submit a regulatory
package to OMB and address OMBs comments. All actions requiring interagency review
are transmitted by OP via OMB's Regulatory Information Service Center and Office of
Information and Regulatory Affairs Consolidated (ROCIS) database. The ROC1S database
accepts agency submissions for OMB review, as defined by EO 12866. These documents are
also displayed on OMB's RegInfo.gov website, thus allowing the public to see which actions
are under review.
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Stage 4. Requesting Signature, Publishing an Action in the Federal Register, and
Soliciting and Accepting Public Comment
After an action is developed, there are still several tasks you should complete before it can
be published, or otherwise released by the Agency Depending on the type of action, these
steps may include ensuring the docket is complete, requesting the signature of the proper
Agency official, publishing an action in the Federal Register (FR), if necessary, and soliciting
and accepting public comment (refer to "Creating and Managing Dockets: Frequently Asked
Questions for EPA Action Developers", visit the ADP Library at http://intranet.epa.gov/
adplibrary). Most regulatory actions are signed by the Administrator unless that authority is
placed with someone else by law or regulation, or otherwise delegated by the Administrator.
Stage 5. Developing the Final Action and Ensuring Congressional Review
After public comments have been received and considered, the workgroup should
recommend any changes to the proposal and senior management decides the approach the
Agency will take for the final action. This will likely require repeating some, if not all, of
the steps in the process for developing the proposed action. The final step in this process
is submitting final rules to the FR for publication and to Congress and the Government
Accountability Office (GAO) under the Congressional Review Act (CRA) (available on the
ADP Library at http://intranet.epa.gov/adplibrary) or the Courtesy Copy Policy (CCP); see
Action Aid 13).
What are the Products of a Quality Action?
Workgroups using the ADP generally produce a number of basic documents along the way.
The following documents are typically required for a Tier 1 or Tier 2 action. The list is
somewhat shorter for Tier 3 actions, and non-regulatory actions will vary further based on
type and prominence. The list includes:
¦ Tiering Form.
¦ Preliminary Analytic Blueprint (PABP).
¦ Early Guidance Briefing Package.
¦ Early Guidance Memorandum.
¦ Detailed Analytic Blueprint (DABP).
¦ Options Selection Briefing Package.
¦ Draft action (e.g., rule text, report to Congress, policy or guidance).
• For rules, draft preamble addressing applicable S&EOs.
• For rules, draft economic and scientific supporting analysis (as necessary).
¦ Action Memorandum.
¦ Communications Plan, coordinated with the Office of Public Affairs (OPA).
¦ Information Collection Request (ICR), if necessary, coordinated with the Office of
Environmental Information (OEI).
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The documents listed above, as well as other forms and documents that may be needed, are
referenced throughout this guidance with added information about where to find specific
instructions for preparing them.
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o
Who is Involved in the ADP?
During a typical action development project, the Agency* Action Development Workgroup
for the particular project is involved in the primary day-to-day activity.
Action Development Workgroup
The Action Development Workgroup includes the Workgroup Chair (representing the
lead office) core office representatives for all Tier 1 and 2 actions (discussed below),
representatives of other interested Offices or Regions, and for economically significant rules,
1 c r w i r m i i
an Economics Subgroup. As part of the tiering process, workgroups are formally chartered
and workgroup representatives are assigned to the groups. Workgroups are sometimes called
"teams" for Tier 3 actions, but in this document the term "workgroup" is used to refer to
individuals working together to develop an action. Workgroups are responsible for working
together on:
. Preparing planning documents for the action.
. Obtaining appropriate management guidance.
m Collecting data, consulting with external constituencies, conducting analyses, and
developing options.
¦ Complying with any applicable laws and EOs, and considering relevant guidance
documents that govern action development.
Preparing the action, e.g., preamble and rule, report to Congress, or significant
policy or guidance document, and supporting documents.
Core Offices
The core offices are the Office of General Counsel fnr:r^ th* r\fc c r,
Office of Enforcement and Compliance Assurance (OECA) and thToffic Yp ^
Development (ORD). Core offices should have a (UfcL^nd the Qffi^ ^ ^search and
representative on all Tier 1 and 2 workgroups. Their
functions include assuring that appropriate options are
considered and that actions are based on sound legal, A Cow office may opt out of a Tier 1 or 2
policy, economic, and scientific analyses. , actl°" "If*1* appears to be no relevant
^ ^ issues for that office (e.g., no science Issues,
. Office of General Counsel so ORO could choose not to participate).
However, this option must be exercised
OGC's Cross-Cutting Issues Law Office facilitates ex?cJ!,y ?ur,,n8 the tiering process and
the assignment of an OGC workgroup member to
to every Tier 1 and 2 workgroup and many Tier 3
1 1 i 4 VI » <» 1 «-
to every ner 1 aim wunv^uup emu many lier j
workgroups to participate in the development of
Agency actions.
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The OGC attorney assigned to the workgroup provides legal and, where appropriate,
policy advice to the workgroup and EPA managers. The OGC attorney also ensures that
decision makers are well informed about available regulatory options and associated legal
issues.
¦ Office of Policy
OP is involved in action development in many ways (discussed in more detail below), but
in the context of typical workgroup activities, two divisions in OP's Office of Regulatory
Policy and Management (ORPM) are particularly active. ORPM's Office of Policy and
Regulatory Analysis Division (PRAD) assigns a workgroup member to participate in
virtually all tiered actions (including Tier 3 actions) to generally serve as OP's primary
point of contact and provide policy analysis, advice, and cross-media perspective. ORPM's
Regulatory Management Division (RMD) assigns a Desk Officer to each program office
to serve as the point of contact and resource regarding all management and procedural
aspects of the ADP related activities. Furthermore, RMD transmits all documents to OMB
for interagency review via OMB's ROCIS database.
¦ Office of Enforcement and Compliance Assurance
OECA assigns a workgroup member to all Tier 1 and 2 actions when necessary to ensure
that actions are clear and concise, that compliance measures can be understood and that
final actions can be enforced.
¦ Office of Research and Development
ORD assigns a workgroup member to all Tier 1 and 2 actions, in addition to providing
scientific expertise to all actions that have science issues. ORD is a resource for, and a
steward of, sound science in Agency decisions. ORD ensures that science is considered at
all points in the decision-making process.
How is the ADP Managed?
The ADP's management structure reflects its central relationship to the success of the Agency's
mission. A senior management council provides overarching ADP policy and direction,
a mid-level committee serves as a vital communication and implementation link, and OP
staff manages the day-to-day operations and information systems that underpin the whole
process. The management structure includes:
¦ Regulatory Policy Officer.
¦ Regulatory Steering Committee.
¦ OP's Office of Regulatory Policy and Management.
• Regulatory Management Division.
• Policy and Regulatory Analysis Division.
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Regulatory Policy Officer (RPO)
The Regulatory Policy Officer (RPO), who is also the AA for OP, is the primary decision-
maker for the ADP The RPO engages with OMB and other Federal Agencies on regulatory
matters and manages the interpretation and implementation of the main executive orders and
statutes that apply to the ADR
Regulatory Steering Committee (RSC)
The Regulatory Steering Committee (RSC) is a standing body with representation from each
Assistant Administrator, the General Counsel, and each Region, as well as representatives
from certain advocacy offices (e.g., OCHPEH and OEJ). It is the primary mechanism for
coordinating, integrating, and carrying out the operational details of the ADP The RSC meets
regularly to:
¦ Oversee the ADP
¦ Develop related guidance and training materials.
¦ Implement the monthly tiering process.
¦ Monitor the progress of action development workgroups (especially regarding
cross-media or inter-office problem-solving).
¦ Ensure that significant issues are resolved or elevated to the Regulatory Policy
Council.
The RSC is chaired by the Director of the Regulatory Management Division (RMD) in OPs
Office of Regulatory Policy and Management.
In addition to their role as members of the RSC, these representatives play an important role
within their offices (this may differ depending on each program office). They typically serve
as a first-line information resource for staff in their offices working on action development;
direct the flow of documents into and through the ADPs review systems (including early
guidance, analytic blueprint, options selection, FAR and FR activities); serve as their Assistant
Administrator's liaison with OMB; and direct their programs review of other offices' action
development activities. This list does not cover all responsibilities of RSC representatives
for any particular office. Their responsibilities will vary by program. A list of RSC
representatives can be found at the ADP Library at http://intranet.epa.gov/adplibrary
Office of Regulatory Policy and Management (ORPM)
The Office of Regulatory Policy and Management (ORPM) is responsible for ensuring that
EPA uses the most appropriate analytic information to determine regulatory policy and serves
as the liaison to other Federal Agencies for all actions. ORPM also manages the regulatory
infrastructure, and analyzes priority and cross-media regulatory and policy actions. To
accomplish this, ORPM works with program offices as early as possible in the regulatory
and policy development processes. Its goal is to increase the range of regulatory and policy
options considered in decision-making, incorporate input from the Agency's consultations
with advisory groups, State, local and Tribal governments, and other external stakeholders;
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and to strengthen the quality and consistency of regulations and other significant non-
regulatory decisions. ORPM's Director serves as the Agency's Small Business Advocacy Chair
to ensure EPAs compliance with all aspects of the Regulatory Flexibility Act, as amended by
the Small Business Regulatory Enforcement Fairness Act (RFA/SBREFA).
ORPM's staff in RMD and PRAD are involved in numerous facets of the ADP beyond the
typical workgroup process. ORPM's staff is tasked with representing OPs AA, who among
other things serves as the Administrator's chief policy advisor, OMB liaison, Federalism
Official, Economics Advisor, and overall regulatory manager. ORPM staff participate to
some extent on all ADP workgroups, but when the workgroup concludes its work at a
Final Agency Review (FAR) meeting, ORPM's work on the draft document is far from over.
ORPM goes on to receive, review, and transmit action packages when a program submits the
package for OMB review, the Administrator's signature, or publication in the Federal Register,
ORPM ensures, on behalf of the Administrator, that each action package is complete and
ready in all respects for signature and/or publication.
Regulatory Management Division (RMD)
RMD's goal is to protect EPAs investment in regulation and policy-making by ensuring
effective flexible administration of the many procedural requirements that govern
rulemaking by improving action development tools for Agency staff and by earning public
respect through sensible advocacy for small entities subject to environmental regulation.
Specifically, RMD:
¦ Manages the Agency's ADP.
¦ Develops and provides training to Agency management and staff at Headquarters
and in the Regions on regulation development and the ADP
¦ Maintains liaison with the regulatory and information management offices within
other Federal agencies (e.g., the Office of the Federal Register, GAO, etc.), as well as
with OMB for administration of Executive Order 12866.
¦ Provides support to the Agency's Small Business Advocacy Chair in administering
the requirements of the RFA/SBREFA.
¦ Chairs and staffs the RSC.
¦ Maintains RAPIDS, the database supporting the ADP and the ADP Library website
(http://www.epa.gov/adplibrary).
¦ Maintains an online overview of laws related to EPA and general regulatory
information. See the Laws and Regulations website http://www.epa.gov/lawregs)
and the Rulemaking Gateway (http://www.epa.gov/rulemaking).
Policy and Regulatory Analysis Division (PRAD)
PRAD participates in workgroup development of Agency actions to make certain that
decision processes are invested with high-quality and timely information. PRAD ensures
that appropriate consideration is given to all relevant scientific, economic, and policy
factors and that an appropriate range of alternatives is considered to achieve the best
overall environmental results. The Division's responsibilities are to:
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¦ Participate in action development workgroups to ensure that:
• Managerial decision points occur in an appropriate and timely manner;
• A broad range of policy alternatives are considered; and
• Agency decision-making includes science and economic analysis.
¦ Ensure that a transparent process exists for the presentation of scientific, economic
and other technical issues, including uncertainties.
¦ Identify and help resolve cross-Agency issues.
¦ Support the Administrator and Deputy Administrators general discussions with the
National Program Managers and Headquarters Programs with data related to the
timeliness of actions.
¦ Monitor and maintain the integrity of information in the SCOUT (see description
below) database.
¦ Develop, evaluate, and recommend policy approaches that achieve more cost-
effective environmental regulations, policies, or programs.
¦ Support the implementation of the Administrator's priorities into Agency actions
and programs.
What ADP Resources are Available?
Many resources are available to help you develop quality actions, including:
¦ The ADP Library (http://intranet.epa.gov/adplibrary)
Contains information about the ADP process, including this guidance, S&rHOs, other
Agency guidance documents concerning the development of actions, template language
for preambles, forms that apply at various stages in the ADP, and contact information for
your RSC representative/RRC and your office's Desk Officer.
¦ Rule and Policy Information and Development System (RAPIDS)
Is a database used to manage actions in the ADP The RSC uses RAPIDS and other linked
IT systems to manage creating, tracking, approving, and reporting on Agency actions.
RAPIDS data (e.g., timelines for critical milestones in the process) are used to prepare
reports for the Agency's senior management (SCOUT system) and certain data are
extracted twice a year for publication in the Semi-annual Regulatory Agenda to inform the
public about our rulemaking activities. For rules that appear in the Rulemaking Gateway
(generally, Tier 1 and Tier 2 rules), certain data are extracted from RAPIDS on a monthly
basis—or even daily basis. Therefore, it is important to keep the data in RAPIDS current
as you proceed through the ADP All Agency staff may be granted reader access rights
to RAPIDS upon request. Editor access varies from office to office; check with your RSC
representative/ RRC
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Action Aids
Are provided in Appendix A; they contain a series of more detailed guidance on key areas
of the ADP
The Preamble Wizard
Is a tool that will help you prepare Federal Register documents. Before using the Wizard,
you should familiarize yourself with the Agency guidance on statutory and Executive
Order reviews. The Wizard asks you a series of questions designed to efficiently identify
the correct preamble template that you require. When you finish entering responses,
the Preamble Wizard will compile all the required template language and export it as a
Microsoft Word file to which you can then add other parts of the preamble and regulatory
text.
Links to Websites
With additional resource information are provided throughout this document. All of the
links are also collected and listed in Appendix C.
RSC Representatives and Regional Regulatory Contacts
Can provide guidance at any stage of the ADP Every AA-ship and Region has a
representative assigned to the RSC. The Headquarters representatives are known as
RSC representatives, while each Region has a Regional Regulatory Contact (RRC). You
can contact your RSC representative/RRC at any time in the process of developing an
action, but particularly if you have questions or concerns pertaining to the ADP, S&EOs,
guidance, office-specific questions, or issues that may call for senior management
attention. The list of RSC representatives/RRCs can be found at: http://intranet.epa.gov/
adplibrary.
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Stage I.
Tierins the Action
Agency actions developed through the ADP are assigned
to one of three tiers. This section describes the three
tiers and discusses the criteria for assigning a tier to an
action.
Step I: Understanding Tiering and Commencement^pprov^j
This step defines tiering, describes what actions are tiered, and explains how th
tiered. It also describes commencement. are
What is action tiering?
Tiering is the approach we use to determine which process should be used to develop
an action. Actions are assigned to one of three tiers according to the criteria m Xable I
below. Under the ADP, each new regulatory action is assigned a tier level that appropriatel
corresponds to the level of complexity, needed cross-Agency input, controversy/vjsjbility ancj
need for involvement by top-level managers. The particular steps and approvjng 0ffiaa|s for
each tier are different, but the approaches for all tiers ensure that we develop t|Ua|j(y
actions. In addition, EPAs RPO needs to approve the commencement of each action
In order to request a tier level for an action under the ADP, the lead office completes a form
describing the new action to be developed and submits the form to OP for processing and
approval via the lead office's RSC representative/RRC.
What is commencement approval?
The same form used for action tiering initiates commencement approval. Eo \ 2866, as
amended by EO 13422 requires a Presidential Appointee to serve as the Agency RpO. The
RpO's approval is needed to commence any regulatory development activity, ari(j ^ rpo
may then choose to be involved in all stages of the regulatory process or assign it l0 an AA or
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What actions are tiered?
The following regulatory actions should be tiered:
¦ All rules signed by the Administrator.
¦ Rules not signed by the Administrator, but of sufficient importance to appear in the
Semi-Annual Regulatory Agenda. (See Action Aid 1 for more information on the
Regulatory Agenda).
¦ Significant guidance documents. The process for preparing and submitting
significant guidance documents is available at the ADP Library at http://intranet.epa.
gov/adplibrary. (See Action Aid 12 for a summary reference guide for preparing and
submitting significant guidance documents).
In general, all other regulatory and non-regulatory actions that meet the Tier 1 or Tier 2
criteria should be developed through the Agency's ADP, including, but not limited to:
¦ Policy statements.
¦ Guidance documents.
¦ Risk assessments.
¦ Models that may be used in future rulemakings.
¦ Regulatory-related strategies.
¦ Reports to Congress that go beyond narrow budget issues. (For information on
Reports to Congress, see Action Aid 15).
¦ Certain other regulatory documents (e.g., some petition responses).
If an action will be developed through another established Agency process, (e.g., one
established for developing documents by the Science Policy Council (SPC), or Quality and
Information Council (QIC)) the lead office is expected to note this on the tiering form.
During the review process for the tiering form, other offices will have an opportunity to
concur or question the use of this other process. If the use of an alternative process is
challenged, the challenging RSC representative/RRC should work with the lead office to
resolve the issue. If this is not possible, OP/AA, in consultation with the lead office's AA/RA,
will determine the process that will be used.
If your action is not a rule that will be signed by the Administrator, will not appear in the
Semi-Annual Regulatory Agenda, and does not meet the Tier 1 or Tier 2 criteria, you may
choose to develop it through the Tier 3 process or any other approach you prefer — within
the general outlines of the Agency's generic side-agreement for Tier 3 actions (see Action
Aid 10). The generic side-agreement calls for the lead office and representatives of other
interested offices on the workgroup to discuss and come to agreement on the appropriate
process steps for a Tier 3 action.
If the lead office wishes to use a process that is not already established and that differs from
the ADP for developing a non-regulatory action, that office may note this on the tiering form.
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The workgroup that is formed to develop the action is expected to evaluate whet he
alternative process is appropriate and propose what the alternative process flight be The
RSC is responsible for approving/disapproving the alternative process. It is expectec] tha
workgroup will develop the alternative process within 90 days ol tiering approval- h 3
it will be assumed that the ADP applies to the action. ' erwi$e
If you would like advice on how tiering applies to your action, you should consul
representative/RRC. 1 ^°Ur ^
When are actions tiered?
Actions are tiered as soon as a program knows that it may need to develop some t e f
action on an issue, or as early in the process as possible. Agency actions should beT ° d
even if the available information is scarce and the date the action will he finali-r,, j 6
to be far in the future. 1S exPected
Regulatory actions need commencement approval by the RPO before substantive w >rk
begins, so if the lead office plans to gather data and analysis in order to decide whether
or not a regulation or other Federal intervention is warranted - that exploratory work
may also be appropriate for tiering. Commencement approval takes place on a M
basis in conjunction with the tiering process and occurs before tiering approval For ^
information on commencement and tiering approval see Stage 1, Step 3, below ° m°re
In some instances, rather than submitting a new tiering request, circumstances
that an action is appropriate for "splitting" from an already tiered action. There"13^ 1Qalf
situations when "splitting" might be appropriate; for example, when a program officeh
issued a proposal and then decides not to finalize all issues in a single final action S 1'3S
an action allows each of those final actions to be tracked separately but to retain 1 tm8
tiering and commencement approval. See Action Aid 2 for information on tier
action vs. splitting an action.
Step 2: Placing the Action in the A ppropriate Tier
In this step, you determine which tier is appropriate.
How do you decide which tier is most appropriate for your action?
The table below will help you determine the appropriate tier for your action. If you have
questions, contact your RSC representative/RRC, This table explains the criteria for each tier
and the cross-Agency procedural interactions for each.
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Tiering Criteria
The table that follows shows the criteria that should be used when tiering actions.
Tier 1: "Administrator's Priority Actions" Tier 2: "Cross-Media and/or Actions with Tier 3: "Lead Office Delegation"
Significant Issues"
This tier will include top actions that
demand the ongoing involvement of the
Administrator's office and extensive cross-
Agency involvement on the part of the AAs/
RAs.
These actions are targeted for extensive cross-
media or cross-Agency involvement or are
single media actions with significant issues.
Primary decision authority rests with the lead
AA/RA.
In general, actions which include
significant science, policy, economic and/or
implementation issues should be placed in
Tier 2.
Actions in this category are those
for which there is little or no need
for cross-Agency participation. A
workgroup may not be needed.
For the most part, lead offices
have the flexibility to design their
own processes. While there are
few system requirements, the lead
AA/RA is responsible for cross-
Agency staff linkages and external
stakeholder involvement to
produce a quality action.
Factors to consider in making a judgment
about placing an action in Tier 1 are:
¦ major cross-Agency or cross-media policy
implications or precedents;
¦ potential for major or precedent-setting
implementation issues;
¦ potential for major cross-Agency,
cross-media, or inter-agency controversy;
¦ potential for major economic impact
on other levels of government or the
regulated community;
¦ highly controversial in terms of external
interest;
¦ ongoing, formal involvement of the
Agency's highest level of management
(Administrator, Deputy Administrator) is
necessary or desired;
¦ presents a significant opportunity for the
Agency to advance the Administrator's
priorities.
Factors to be considered for this Tier are:
a significant policy decisions that may be
precedent-setting, even if primarily within
the lead office;
¦ potential for significant or controversial
implementation issues;
¦ cross-Agency or cross-media policy
implications;
¦ potential for cross-Agency or cross-media
controversy;
¦ major interest from a variety of external
groups, which suggests the need for
cross-Agency representation and a
workgroup;
¦ necessity for senior management (AAs,
RAs) involvement from other than the lead
AA or RA.
Factors to be considered for this
Tier are:
¦ quality of the actions does not
depend on formal, extensive
cross-Agency interactions;
¦ implementation issues are
routine;
¦ the action is routine, is not
controversial, has broad-based
support, or implements
statutory provisions with little
or no discretion;
¦ the concerns of those outside
the originating office can
be addressed through
informal discussions and/
or formal agreements (e.g.,
side-agreements) made during
the tiering process.
Your Action should be placed in Tier 1 if...
¦ science issue(s) are precedent setting and
controversial;
¦ it is economically significant per E.O.
12866 (i.e., > $ 100 million). It should be
placed in Tier 1 unless the program office
can justify placement in Tier 2;
¦ economics issue(s) are precedent setting
and controversial.
Your Action should be placed in Tier 2 if...
¦ it involves a significant new use of science;
¦ science issues are controversial,
unresolved or unaccepted;
¦ it includes an action or decision made
based on a risk assessment;
¦ a non-routine use of science Is interpreted
or characterized In the document;
¦ it involves a significant new use of
economics not covered in the Agency's
Economic Analysis Guidelines;
¦ economic issues are controversial,
unresolved or unaccepted;
¦ a non-routine use of economics is
interpreted or characterized in the
document.
Your Action should be placed in
Tier 3 if...
¦ use of science is well known
and accepted;
¦ it generally Involves the routine
use and application of science;
¦ use of science is new, but minor
and not controversial;
¦ use of economics is well known
and accepted;
¦ it generally involves the
routine use and application of
economics;
¦ use of economics is new, but
minor and not controversial.
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Step 3: Obtaining Tiering Approval
5tep j; v^utdii 11115 . .. .0 . ., ,
This step describes the process for completing the tiering form and obtaining tiering
approval.
How does the tiering process work?
Actions are assigned to tiers through a monthly cross-Agency tiering process. The major
steps in the process are:
Note:
Information from your tiering form
Is used to Issue Action Initiation Lists
(AILs) and to import information to
the Rulemaking Gateway.
1. The lead AA/RAs office (or the AA/RA designee)
identifies an action to be developed and completes the
tiering form in RAPIDS. Program leads for developing
actions should check with their RSC representative/
RRC to confirm who has responsibility for completing
the tiering form in their office.
AILs are used to notify the public about new rules and other regulatory action, 41,
posted on the EPA website at roughly the end of each month. The AIL descnhLl ^
actions that were approved for commencement during the given monih. ThisTroZf
gtves the pubhe more up-to-date information about upcoming regulatory actio^ |n th,
past, the public had to wa„ for EPAfe Semiannual Regulatory Agenda, wh.ch is uLtd
only every stx months. You may view the AIL at http://www.epa.gov/lawsregSrch/ail.
The Rulemaking Gateway is an EPA website that provides a transparent way to keen ir, 1,
of the Agencys pnonty rulemakings (i.e., generally Tier 1 and Tier 2 act.ons) it oro^H
users with earher and more targeted information as well as special filters lha wUlaZ?
users to find rules and related documents that interest them Updates are 11 .
on a monthly basis; some timeline updates (e.g., pubIicatlon
basis. You may vtew the Rulemaking Gateway at: http://www.epa.gov/rulemakTn^ V
2. After the lead AVRA (or the AA/RA designee) approves the tiering form, the RSC
representative/RRC forwards the tiering form to RMD.
3. RMD assigns a Start Action Number (SAN), compiles all tiering form,
them ,0 aI. RSC representatives/RRCs on a monthly
coordinates the response from their organization to:
. Approve or recommend changes to the proposed tiering placements.
¦ Indicate interest in serving on a workgroup.
¦ Identify their office/Region>s representative(s) for the workgroup.
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4. Each month, while the RSC is reviewing proposed tiering actions, OP will review the
tiering forms for clarity and conciseness to ensure the public's understanding of what
the action will do when it appears in the Rulemaking Gateway and on the Action
Initiation List. These comments will be provided to the workgroup chair and the
RSC representative for the action. Also at this time, OP works with the RPO who is
responsible for approving the commencement of applicable actions.
5. Each RSC representative/RRC provides their comments to the lead office and RMD,
including the names of their representative(s) for the workgroup.
6. Upon commencement approval, the tiering coordinator in RMD will compile approval
and tiering responses and meet with OP management
for final tiering approval.
7. If a tiering level is challenged, the challenging RSC
representative/RRC should work with the lead office
to resolve the issue. If this is not possible, OP/AA,
in consultation with the lead office's AA/RA, will
determine the appropriate tier level.
8. After tiering approval, RMD sends a tiering approval
report to the RSC representatives/RRCs.
9. If at any time during the development of an action, the lead office or a participating office
concludes the tiering designation needs adjusting, the RSC representative/RRC for the
requesting offices should submit a tiering change request, including a justification for
the up-tiering/down-tiering of the action. The tier change request will then go through
the same review/approval process as the original tiering action—alerting the Agency of
the request and providing an opportunity for other offices to concur. Note that the
participating office submitting a tier change request should discuss the matter with the
lead RSC prior to any tier change request being submitted.
In lieu of the format workgroup and ADP
milestones called for under Tier 1 and 2,
all Tier 3 actions, use as a starting point
the side agreement, which establishes the
ground-rules for the development process
for Tier 3 actions. See Action Aid 10 for
details.
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jtage 2.
Developing the III
Proposed/Draft Action
JC g
o
a. ~
£ "S
a >-
> O
Q XI
. II
N O
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and throughout development of the action. Involvement by the following participants is
particularly important:
¦ Core Offices
Core offices should have a representative on all Tier land 2 actions. The core offices are
OGC, OP, OECA, and ORD. Their functions include assuring that appropriate options
are considered, that actions are enforceable, and that actions are based on sound legal,
policy, economic, and scientific analyses.
In limited cases, a core office may determine that an action does not include any
significant issues relevant to that core office and may decide to have minimal participation
during the workgroup process. The core office RSC representative/RRC will notify the
lead office RSC representative/RRC of these actions during the tiering process. Since
the ADP for a particular action may span over several years and the scope of an action
could change, the lead office RSC representative/RRC will notify (i.e., key milestones)
the core office RSC representative/RCC that the scope of the action has not changed and
that issues involving the core office have not surfaced. Based on this notification, the
core office RSC representative/RRC will reconfirm their participation is not necessary. It
is expected that core offices will be notified at the following milestones: early guidance,
analytic blueprint approval, options selection, and FAR.
¦ Regional Offices
The workgroup should have adequate representation from Regional offices, when
appropriate. Because of the Regions' critical role in implementing most actions, their
experience is often vital in developing effective actions that can be enforced. Where full-
time participation of Regional offices cannot be arranged, lead offices should find other
ways to ensure they can produce a quality action that addresses implementation and
related issues of Regional expertise. Such means might include contacting the Office
of Regional Operations in the Office of Congressional and Intergovernmental Relations
(OCIR) or the OCIR RSC representative for assistance.
¦ State, Tribal and Local Government Representatives
Lead offices should consult with State, Tribal and local government representatives
when developing rules for which States, Tribes or local governments are charged with
actual day-to-day management of the program or regulation. There are several ways to
conduct such consultation without interfering with the Agency's internal decision-making
processes. For example, the work group could consult regularly with the State, Tribal,
and local governments to solicit input from the government representatives. Or the lead
office could establish an advisory group made up of State, Tribal, and local governments
and solicit their recommendations on specific issues that the rulemaking workgroup is
considering. Finally, in limited circumstances the work group could consider including
State, Tribal and local government representatives as work group members.
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Expectations regarding the scope of State, Tribal and local government rePreseritatives'
involvement, including involvement in inherently internal processes (e g - e^r]y „ui j
options selection, etc.), should be made clear at the outset of deliberations. \Vhen
considering State, Tribal and local government participation, the lead office should
consult with its RSC representative/RRC and OGC to evaluate the policy and legal issues
related to such participation. For example, meetings involving non-federal partjci
may trigger the Federal Advisory Committee Act (FACA), Although the ^n^Unded
Mandates Reform Act exempts meetings with State, Tribal and local governrnej-^
representatives from FACA requirements, this exemption applies only to certajn .
Some meetings involving State, Tribal and local governments are not covered by
exemption. OGC can help you determine if FACA requirements would be triggerecj
for meetings involving State, Tribal and local government representatives. AlSo it j
important to remember that documents shared with State, Tribal, and local governments
may have to be released should someone from the public submit a FOlA reqUest j
is important to consider the ramifications on EPASs internal deliberative Proeess when
deciding how to involve State, Tribal and local government representatives, especjan
ueuumg uu»» ..
when they serve on your workgroup
wnen mcy ¦
OCIR is available to assist with identifying potential State and local government
representatives. The Office of International and Tnbal Affairs (http://www.epa gov/
indian) is available to assist with identifying potential Tribal participants. For additional
information on consultations, please visit the ADP Library at http.Y/intranet.epa
gov/adplibrary or contact your RSC representative/RRC. See Step 5 below f0r more
information regarding public involvement.
What are the expectations for workgroup rr>embers?_
To function effectively, all workgroup members are expected to fulfill the following
responsibilities'.
m Represent the positions of their AA-ships/Regions.
You should represent the positions of your AA-ship/Region as the action is developed
(if more than one workgroup member is assigned by an AA-ship/Region, the primary
workgroup member should provide all positions). You may raise concerns and ensure
that those issues are addressed or elevated in a timely manner so the lead AA-ship/Region
can formulate an appropriate response, when needed. This may include elevating the
issue formally. To elevate an issue formally, you should notify the workgroup chair of
your intent and then raise the issue to your own management at the appropriate level.
Your management should then contact the workgroup chair's management for resolution.
If the dissenting office is not satisfied at this level, they may pursue the issue up the
management chain in similar fashion. Ultimately, they could elevate the issue to the
Administrator, through a dissent memorandum. For more information on elevating and
resolving issues, see Action Aid 4.
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¦ Contribute to developing the action.
You are expected to be an active participant on the workgroup. You should contribute
a meaningful degree of work to the process of developing and writing the action.
Additionally, while lead offices have ultimate responsibility for producing quality
actions, other workgroup members share in that responsibility by participating actively
in discussions and reviews, by providing meaningful comments, and by contributing
relevant data and analysis.
¦ Pay attention to timeliness.
You are expected to work with the workgroup chair to establish reasonable timelines
and meet them. You should raise issues as early as possible in the process so there is
sufficient time for those issues to be addressed and resolved. You are expected to be a
part of the process of developing the action until it is finalized and should participate in
all workgroup meetings and review all drafts in a timely fashion. In order to make this
task easier, you should use redline/strikeout, or similar tools i.e., wikis or the EPA Portal,
when reviewing draft documents to highlight comments or changes since the prior draft.
The lead office should provide for these tools when requesting review and needs to allow
sufficient time for review.
¦ Identify changes in representation in the workgroup.
If you find you cannot fulfill your obligations to the workgroup, or you are reassigned,
then you are responsible for letting your RSC representative/RRC and the workgroup
chair know of the change so a replacement can be assigned.
For additional information on workgroup responsibilities, see Action Aid 3.
Step 2: Getting the Workgroup Underway
In this step, the workgroup begins meeting to develop the action.
When should the first meeting take place?
In general, the workgroup chair should hold the first meeting soon after tiering approval,
even if concerted effort on the action will not start for some time. As noted above under RPO
commencement and tiering approval, an ADP workgroup should be convened before the
lead office prepares a detailed workplan, determines its use of contract resources, or receives
early guidance from senior management.
What happens at the first meeting?
The workgroup will begin the following:
¦ Discussing and reaching agreement on a problem statement.
The workgroup defines the issue or problem they are being asked to address or solve;
they develop a problem statement. A shared understanding of the problem helps the
workgroup avoid misunderstandings later in the process.
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¦ Setting expectations.
The workgroup begins to discuss goals, schedule, issues, process requirements, S&rEOs
affecting action development, expectations of the chair and members, and anticipated
analytic needs. Setting clear expectations for the workgroup based on an open discussion
with all participants at the beginning avoids surprises later.
¦ Identifying key constituencies.
The workgroup identifies key external stakeholders (such as States, Tribes, local
governments, small entities, public interest groups, and other members of the regulated
community) to begin making plans (choosing consultation methods and identifying
schedules) for consulting with these groups.
¦ Identifying preliminary issues and questions for senior management.
The workgroup identifies preliminary issues or questions for senior management to begin
the process of developing the preliminary analytic blueprint (PABP) and getting early
J g management guidance (see Step 4 below).
fl
§¦« How often should the workgroup meet?
* 2
> o
a tj
. 01
* o
Workgroups need to meet frequently enough to ensure that all significant issues and options
are fully discussed and agreed upon by all members. These workgroup discussions are
J* 2 essential because one-on-one meetings may result in one office reaching a satisfactory
resolution while creating unanticipated problems for another. The workgroup should
meet often enough to ensure a cross-Agency understanding of issues and options prior to
management-level meetings and decisions (e.g., early guidance, analytic blueprints, options
selection, and general agreement on drafts of the action before Final Agency Review).
If an action is being developed in conjunction with a related Federal Advisory Committee
Act (FACA) process, such as negotiated rulemaking, workgroups should meet to prepare
before FACA meetings, circulate the results of such meetings, and discuss any findings or
considerations, as well as the overall direction of the Committee. For more information on
Agency policy regarding public involvement, FACA, and other consultative procedures, visit
http://www.epa.gov/publicinvolvement
What should meetings focus on?
Workgroups should hold meetings to discuss issues, make decisions, and help meet the
milestones for each step of the ADP. The workgroup chair should prepare and circulate
agendas before and summaries of decisions and action items after each meeting. Materials
should be prepared and shared in advance to allow sufficient time for review. You should
adequately brief your management prior to major milestone meetings so that each AA-ship/
Region's position is represented.
32
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Step 3: Preparing the Preliminary Analytic Blueprint and
Getting Early Guidance from Senior Management
In this step, the workgroup creates a preliminary blueprint for developing the action
and gets initial guidance from senior management.
What is an analytic blueprint?
An analytic blueprint (ABP) is a document which spells out a workgroup's plans for the
data collection and analyses that will support development of a specific action. The ABP
describes how this information will be collected, peer reviewed, and used to craft the action
within a specific budget and time frame. In addition, the ABP process serves to expand
EPAs opportunities to consider a broad range of possible regulatory (and non-regulatory)
strategies, including alternative or innovative approaches that complement traditional
methods. ABPs are developed in two phases, a Preliminary ABP (PABP), and a Detailed ABP
(DABP). In this section we will discuss the PABR The DABP is discussed below in Step 4.
The Agency prepared a detailed stand-alone guidance on developing Analytic Blueprints
(ABPs) available on the ADP Library at http://inranet.epa.gov/adplibrary
What actions call for an ABP?
ABPs are expected for all Tier 1 and Tier 2 actions and are encouraged for Tier 3 actions
(some AA-ships expect them for Tier 3 actions too—check with your RSC representative
RRC).
Who is responsible for developing the ABP?
The workgroup develops the ABP as a collaborative effort; it is not just a product of the
lead office. The workgroup is expected to follow it once it is adopted. Since the ABP is a
living document, the workgroup, in consultation with management, can modify the ABP
throughout the process as necessary.
When is an ABP expected?
Development of the ABP should commence with the convening of the workgroup, which
should occur as soon as is practicable after tiering approval. The PABP is generally expected
to be completed within 60 days of tiering approval. Every effort should be made to complete
the PABP within the 60 days; however, sometimes circumstances may prevent this from
occurring. The DABP should be completed and approved within approximately 150 days of
tiering approval.
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What is a PABP?
A PABP is a project management tool intended to help the workgroup manage its work
it's an outline that helps the workgroup organize itself and prepare for the early guidance
discussion with senior management. The PABP should define the problem the action will
address and provide the context for the action (e.g., statutory requirements, EOs affecting
development, deadlines, and previous actions). It should also identify broad analytic areas
that the workgroup will address, including an outline of possible economic and scientific
issues, areas of research to be addressed, plans for dealing with applicable S&EOs, plans for
consultation with stakeholders, and how the workgroup will focus on each topic. Guidance
and templates on how to consider the S&EOs while developing Agency actions are available
on the ADP Library http://intranet.epa.gov/adplibrary. When feasible, a PABP also describes
possible broad approaches for addressing the problem (e.g., regulatory, voluntary, and/or
innovative approaches) and any other issues important to senior management.
What is early guidance?
Early guidance is usually a meeting with senior managers, although it can sometimes take the
form of a speech or memorandum from a senior manager. Early guidance is used to establish
policy priorities and communicate expectations for the workgroup. Senior managers identify
issues of significant concern and guide the process of developing the action.
What is the role of the PABP in early guidance?
The workgroup develops the PABP and submits it to senior management within 60 days of
the date the tier designation was approved by OP All members of the workgroup should
agree that the PABP is ready to be provided to senior management before this occurs.
Providing the PABP to senior management in advance of early guidance allows for senior
management consideration and an opportunity for workgroup members to consult with
them on general direction for the action. If workgroup members cannot agree, the issues of
disagreement should be presented to management for resolution. The expectation is that
management will give early guidance within 30 days of receiving the PABP.
How can the workgroup prepare for the early guidance meeting?
Upon completion of the PABP, the workgroup turns its attention to early guidance meeting
preparations. To ensure a predictable and productive early guidance meeting, it helps if the
workgroup discusses and prioritizes the issues on which to seek senior management input.
The lead office may then choose to prepare a draft early guidance briefing document and
share it with the workgroup for a quick review. The resulting briefing document can then be
used by you to pre-brief your management for the early guidance meeting. At that pre-brief,
you can also give your manager a copy of the PABP to review prior to the early guidance
meeting.
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Who should provide early guidance to the workgroup?
Early guidance always comes from senior management, although the level of management
giving guidance differs for Tier 1 and Tier 2 actions:
¦ Tier 1 Actions
The Administrator or Deputy Administrator provides early guidance, with input from
participating AAs/RAs from across the Agency. The lead AA/RA is responsible for assuring
that it is communicated to the workgroup in writing.
¦ Tier 2 Actions
The lead AA/RA, in consultation with other participating AAs/RAs, gives early guidance
to the workgroup. The lead AA/RA should consider policy issues and priorities of other
AAs/RAs when giving early guidance. In some cases, the AAs/RAs may delegate this
authority explicitly to an Office Director (OD), but whoever is authorized to provide
the guidance is also responsible for assuring that it is communicated directly to the
workgroup in writing.
For both Tier 1 and Tier 2 actions, the lead office should provide participating AAs/RAs
with meaningful opportunities to contribute to early guidance decisions and should obtain
agreement from participating offices on issues that affect them. The recommended way to
accomplish this is to have an early guidance meeting involving all of the participating offices
to discuss significant issues and to mutually agree on the priorities and general direction for
the action.
If the workgroup agrees there are no significant issues, and the direction for the action is
clear, it may recommend that an early guidance meeting is not necessary. The decision-
maker (A/DA or AA/RA) should make this determination.
What topics might be considered when preparing early guidance?
Early guidance is the opportunity for EPAs management to make its priorities clear—it
is not where final decisions on options are made (see Step 7: Selecting Options below).
Management should consider giving guidance on a range of issues, including:
¦ Priority policy and key analytic issues.
¦ Research and scientific analysis to be undertaken.
¦ How, and by whom, the Agency action should be implemented (States, Tribes,
Regions, and/or Headquarters).
¦ Significant cost issues, such as administrative burden associated with implementing
the Agency action both for the regulated community and the regulators, or the
potential for significant economic impacts.
¦ Opportunities to consider nontraditional approaches, such as non-regulatory
alternatives, voluntary programs, or approaches that differ from the command and
control paradigm.
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c
o
¦ Schedule and resource constraints.
¦ Key external constituencies to consult with, including consultation methods and
schedules, and related issues/concerns.
¦ Critical issues or points in the process that might need special attention from
management.
For more information on early guidance, see "Issues to Consider when Giving Early
Guidance" in Action Aid 5 and contrast with the information provided in Action Aid 7:
Options Selection Meetings.
Step 4: Preparing the Detailed Analytic Blueprint
In this step, the workgroup incorporates the early guidance it received and develops a
DABP describing the scope of the action and the analytical work necessary to develop
the action, as well as key milestones.
Je 1 What is the DABP?
—
| J The DABP is based on the PABP It is modified as necessary as a result of early guidance
11 and provides greater detail than the PABP It should identify the key activities, analyses,
« §. consultation activities (including those called for by relevant S&EOs), contributors,' and
3 | timelines. The DABP should discuss the plan for peer review of major scientific and
technical products. This should include a schedule for the review and identify the resources
that will be needed to conduct it. Because sound analyses (economic, scientific, technical,
and legal), consultation, and peer review are important elements of good decision-making
and a quality action, the DABP allows workgroups to lay out all of the tasks needed to
complete those analyses. It should also identify resource needs, individual workgroup
assignments, and timelines. Additionally, it can raise issues the workgroup may need to
elevate to management for decision. Essentially, the DABP identifies the information that will
be available to decision makers at options selection and the timeline for developing it.
How are DABPs approved?
In contrast to the relatively informal approach to PABP approval, DABPs go through a more
formal approval process similar to the process currently used for Final Agency Review (see
Step 9 below) involving participating AA/RA-level approval. For detailed information on
this step and the rest of the ABP process, please refer to the Analytic Blueprint guidance
document on the ADP Library at http://intranet.epa.gov/adplibrary.
36
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Step 5: Completing Data Gathering, Consultation, Analyses,
Peer Review, Options Development and Establishing a Docket
In this step, the workgroup investigates the problem, gathers relevant information, and
develops options for resolving the problem.
At this point, members of the workgroup implement the DABP they prepared in Step 5 and
complete the following tasks:
¦ Data Gathering
The workgroup gathers data and information about the problem they are addressing. The
data may suggest alternatives to a regulatory approach.
¦ Consultation
The workgroup consults with key stakeholders potentially affected by the action. Key
constituencies may include: Tribal representatives, State representatives, local government
representatives, public interest groups, small entities, and industry. In some cases, it
may also be necessary for management to consult with State, local and/or Tribal elected
officials or their designated employees or authorized representatives, as may be required
by various S&EOs (e.g., UMRA, Federalism EO, Tribal Governments EO, etc.). Similarly,
consultations with small business, small governments and/or small non-profits may be
required under the RFA; for guidance and further information on these S&EOs, see the
ADP Library at http://intranet.epa.gov/adplibrary For more information on planning
for and conducting stakeholder involvement processes, see "Involving Stakeholders in
Rulemaking and Other Actions" Action Aid 6.
¦ Analyses
Under lead office oversight, the workgroup conducts the scientific, economic, policy and
legal analyses called for in the DABP. Generally, the lead office will control and direct the
analyses, but when appropriate, and with workgroup agreement, other involved offices
may take the lead on particular analytic efforts to support the action.
¦ Peer Review
Any major scientific and/or technical work product that supports an action should
undergo peer review. Peer review is a documented, critical review of a work product,
performed by experts who are independent of those who developed the product. Peer
review should be completed as early in the process as possible. In addition, the Action
Memorandum accompanying each action submitted for signature must explicitly address
the use of peer review.
For more information on peer review, visit the ADP Library at: http://intranet.epa.gov/
adplibrary.
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¦ Options Development
The workgroup identifies and scopes out the costs and benefits (even if the available
information allows for only a qualitative assessment), pros and tons, and biluy of
different options they have identified. The options presented to senior management at
the options selection meeting are based on this work.
¦ Establishing a Docket
A docket can be established at any lime during the ADP G.e created in the EPA Federal
Docket Management System (FDMS).) The docket should become publicly available and
open no later than the date of issuance/publication of the action or FR document (e.g.,
notice proposed or final rule). For additional information on dockets, see Creating and
Managing Dockets: Frequently Asked Questions for EPA Action Developers a, ,he ADP
Library hup'.//intranet, epa.gov/adplibrary.
1 *
£ o
*1
Step 6: Selecting Options
In this step, the workgroup identifies significant issues and a range of options to resolve
each issue. Senior management then selects those options that would best achieve the
11 goals of the action.
0 &
* £ What is options selection?
SS c
Options selection is the last formal step for senior management to provide input in the
development process before the workgroup completes drafting of the action. At this point,
the workgroup has usually completed its research, consulted with stakeholders, conducted
| analyses, completed peer review, identified issues, weighed the costs and benefits, considered
^ the pros and cons and assessed the overall feasibility of the options available. (See Action Aid
7 for additional information on options selection.) After doing this the workgroup is ready
to present several possible options for each issue, and to the extent practicable, identify and
discuss any options with workgroup consensus and provide recommendations that would
achieve a quality action. For more information on the characteristics of a quality action, see
page 11
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and workgroup representatives of the participating offices. The A/DA chairs the meeting
for Tier 1 actions and the lead AA/DAA chairs the meeting for Tier 2 actions. Lead AAs/
DAAs are encouraged to hold preliminary options selection meetings prior to an A/DA
option selection for a Tier 1 rule and to invite participating AAs and RAs. Such preliminary
meetings should help ensure efficient decision meetings with the Administrator or Deputy
Administrator.
If the workgroup agrees there are no significant issues and no options that require senior
management involvement, it may recommend that an options selection meeting is not
necessary. The decision-maker (A/DA or AA/RA) should make this final determination.
What do offices do to prepare for an options selection meeting?
To prepare for the options selection meeting, the lead office should:
¦ Have a workgroup meeting to discuss the regulatory options and policies to be
considered at the options selection meeting.
¦ Include the workgroup chair and other members in any pre-briefs of senior
managers, in particular when important issues affecting their office's interests are
discussed.
¦ Prepare a summary of other offices' positions on the options, and include it with the
background information for the meeting.
¦ Prepare a summary of the views of stakeholders as a result of any stakeholder
involvement or consultation processes.
¦ Schedule the options selection meeting.
¦ Distribute background materials that lay out issues and options to be discussed
preferably two weeks, but no later than one week, before the meeting.
To prepare for the options selection meeting, non-lead offices participating on the workgroup
should pre-brief their senior management so that every participating office is appropriately
represented at the options selection meeting. For recommendations on the scheduling and
timing of key milestone meetings in the ADP, see Action Aid 8.
What happens at an options selection meeting?
At the options selection meeting, the workgroup and senior management review and discuss
all of the identified issues and proposed options. Then, senior management will either:
¦ Select a final option for the action, or
¦ Narrow the list of potential options to be presented in the proposed action.
What does the lead office do after an options selection meeting?
The lead office will draft a memorandum that documents the options discussed, decisions
made, and follow-up actions agreed to and distribute it to all participants in the meeting.
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Step 7: Drafting the Proposed Action
In thus step, the workgroup will prepare the action under the leadership of the
workgroup chair.
What parts of the action does the workgroup prepare?
Once options are selected or narrowed down, the workgroup is responsible for drafting the
action and supporting materials under the leadership of the workgroup chair. For most
actions, this will include preparing the following:
The action itself, which may be regulatory text
and preamble language, report to Congress,
policy or guidance documents, relevant FR
documents where appropriate, and supporting
documents, which may include risk assessments,
environmental impact assessments, and/or
economic impact analyses.
Draft action memorandum transmitting the action
for signature (for guidance on how to prepare an
Action Memorandum, visit the ADP Library at
http ://intranet .epa .gov/adplibrary).
Communication strategy or plan (which should be
coordinated with your communication director in
OPA).
ANPRMs:
Sometimes an Advance Notice of
Proposed Rulemaking (ANPRM) may be
issued. An ANPRM is a "notice" intended
to solicit comments and/or information
from all segments of the public interested
in a particular issue prior to an agency
determining whether an action will be
proposed. As such, it does not propose
or impose any regulatory requirements.
Workgroups may choose to develop an
ANPRM for actions which are still in the
early stages of development and for
which public input may be particularly
helpful to the ADP. Additional information
for developing ANPRMs is available at
the ADP website: http://intranet.epa.gov/
adplibrary
¦ ICR(s) (if required, this should be coordinated with your information officer in OHI).
All of the documents listed above should be completed before the materials are distributed
for FAR. You are encouraged to provide timely responses at every opportunity. Every
attempt should be made to identify and resolve issues before FAR. If the lead office and
participating offices have carefully followed the ADP, ideally, no new issues should be raised
at FAR.
What format do 1 use to write a document to be published in the FR?
The Office of the Federal Register (OFR) has specific requirements for documents they
publish. You will find templates for formatting the preamble, including the "Summary"
"Dates" and "Addresses" sections on the ADP Library website at http://intranet.epa.gov/
adplibrary. For specific information on FR requirements, you may visit the OFR website at
http://www.archives.gov//ederaJ_registen OFR's Document Drafting Handbook can be found
at the website and provides specific guidance and procedures for drafting and formatting a
document for publication in the Federal Register.
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Step 8: Conducting Final Agency Review
In this step, the action goes through a Final Agency Review.
What is FAR?
FAR is the last point for internal EPA review of an action. FAR meetings are chaired by the
Director of RMD, or his/her representative, and are held to confirm that:
¦ All issues have been resolved, or elevated.
¦ The action package is ready for OMB submission (if required) or signature.
¦ All EPA and external requirements have been met.
During FAR, you are expected to present the position of your AA/RA, unless the AA/RA has
expressly designated another management level to have that authority. Positions must be
submitted in writing. An email from the AA/RA or their designee stating an office or Region's
position is acceptable.
How do workgroups decide that an action is ready for FAR?
During the course of developing the action, you typically have several opportunities to
review and comment on the drafts of materials that are included in the FAR package. When
the workgroup chair believes the FAR package (described in the next section) is complete,
the workgroup is polled to seek agreement that the package is ready for FAR. Once the
workgroup agrees the package is ready to move forward, the workgroup chair will ask you
to identify and report any unresolved issues which have been vetted by the workgroup
or possible non-concurrences. These concerns are reported to management and RSC
representatives/RRCs to consider prior to FAR initiation. Because the FAR meeting is the last
point for Agency input before OMB review or signature, it is important that unresolved issues
are addressed prior to the FAR meeting whenever possible. Your RSC representative/RRC can
assist you in elevating unresolved issues to the appropriate levels of management.
Once the workgroup agrees the package is ready, the workgroup chair will work with their
RSC representative/RRC to schedule the FAR meeting. The package should be in a state
where the lead AA/RA would be comfortable publishing it under his/her signature. For
recommendations on the scheduling and timing of milestone meetings in the ADP, see Action
Aid 8.
What does the workgroup need to include in the package that goes to FAR?
For a package to go through FAR, it should include each of the following items:
¦ FAR announcement memorandum from lead RSC representative/RRC (a sample
memorandum is available on the ADP Library at http://intranet.epa.gov/adplibrary).
¦ Draft action memorandum (for guidance on how to prepare an Action
Memorandum, visit the ADP Library at http://intranet.epa.gov/adplibrary).
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¦ Current workgroup membership list.
¦ Draft action (e.g., rule, report to Congress, policy or guidance document)
¦ For rules, draft preamble that addresses S&EOs, if any, and the text of the action
¦ For rules, draft Regulatory Impact Analysis (R1A), or other appropriate economic
and scientific supporting analysis (as necessary).
¦ For rules that are economically significant, an OMB Circular A-4 (economics) table
¦ Draft ICR (if required, this should be coordinated with your information officer in
OEI).
¦ Draft communications strategy or plan (this should be coordinated with your
communication director in OPA).
What happens once the FAR package is complete?
The lead RSC representative/RRC schedules the FAR meeting through the RMD Desk Officer
(RMD assigns a staff Desk Officer to each program area; the current list of Desk Officers is
available on the ADP Library at http://intranet.epa.gov/adplibrary). The FAR meeting should
be scheduled no sooner than 15 working days after the FAR package is distributed to the
participating AAs and RAs. There could be times when this isn't possible. If this occurs a
request for an expedited FAR process is necessary. See Action Aid 9 for more information on
expedited FARs. The lead AA-ship/Region is responsible for distributing the package to the
workgroup members as well as the RSC representatives/RRCs affected.
In order to prepare for FAR, it is important for you to brief your senior management on the
action and obtain your AAS/RAk position on the action. The AAs/RAk (or their designee's)
position should be provided in writing no later than at the time of the FAR meeting Only
the AA/RA or their designee may submit a written position; office designees must be
on file with RMD in order for the position to be accepted. A hardcopy of a signed FAR
memorandum or a PDF of a signed memorandum is acceptable as long as the memorandum
is signed by the AA/RA or their designee. RMD will accept positions in the text of an email if
it is sent directly from the AA/RA or their designee.
What happens at a FAR meeting?
The RMD Director will chair the FAR meeting and request the position of each participating
AA-ship/Region. As stated above, the position should be in writing and approved by the AA/
RA or their designee and sent to the lead AA/RA. Copies should be sent to the workgroup
chair, the RSC representative/RRC for the lead AA/RA, and the appropriate RMD Desk
Officer. The AA/RA or their designee may take one of the following positions:
¦ If an office has minor, non-substantive comments, they may concur without
comment.
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¦ If an office has substantive comments, they may concur with comment. The
lead office is responsible for consulting with the workgroup to determine how
to address substantive comments. If the workgroup cannot agree on a way to
address the comments, the lead office should include the comments in the Action
Memorandum with an explanation of why it cannot satisfactorily address the
comments. For guidance on how to write an Action Memorandum, visit the ADP
Library at http://intranet.epa.gov/adplibrary. While the lead office should try to
resolve the issue(s) raised by the comments, it may choose to go forward to OMB
for review, or to the Administrator for signature, without resolving the issues.
¦ If an office feels that a major issue remains unresolved (e.g., the action lacks legal
authority or conflicts with other EPA rules or policies), it may non-concur. Non-
concurrence indicates that the AA or RA objects to the action being forwarded
to OMB, or to the Administrator for signature. Non-concurrences should be
submitted to the lead AA/RA and copies should be sent to the workgroup, the RSC
representative/RRC for the lead AA/RA, and the relevant RMD Desk Officer.
The lead office is responsible for consulting with the workgroup to determine how to
address the comments. If the lead office and the workgroup (including their AA/RA)
cannot agree on how to resolve the non-concurrence(s,) then the following process
applies depending on the given situation: if more than one office non-concurs, and
no agreement was reached on how to proceed, OP will alert the RPO about the non-
concurrence. The RPO may pursue any of the following options:
¦ Authorize the rule to proceed to OMB review, or to the Administrator for signature,
without further changes.
¦ Determine how to revise the rule to meet concerns raised in the non-concurrences.
¦ Defer the decision to the lead AA/RA.
If one office non-concurs and no agreement is reached on how to proceed, the lead
office should include the comments in the Action Memorandum with an explanation of
why it cannot satisfactorily address them.
What if a participating office does not provide a written position from the A A or
their designee at the FAR meeting?
The appropriate RMD Desk Officer will contact the RSC representative/RRC for the
participating AA-ship/Region to obtain its position. If a written position is not provided
by the AA/RA or their designee within two working days after the FAR meeting, RMD
may record their position as "no position provided." In the event there are extenuating
circumstances that prevent an AA/RA or their designee from providing their position in
writing, the RMD Director may extend this timeframe. See Action Aid 9 for the process in
the case of an expedited FAR.
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How is the FAR process recorded?
The RMD Desk Officer prepares a memorandum summarizing the FAR meeting providing the
position of each participating office at the time of FAR and will attach all written comments,
including non-concurrences. This memorandum is signed by the Chair of the meeting and
distributed to all workgroup members and their RSC representatives/RRCs. It accompanies
the package when it is submitted to OP for approval to go to OMB (if necessary), or to the
Administrator for signature. The FAR summary memorandum will not be transmitted to
OMB, but gives the AO information about any substantive issues at the time of the FAR
meeting. The Action Memorandum also provides the information on how non-concurrences
were resolved and any remaining issues.
What happens after FAR?
After FAR the proposed rule, or draft action, will be submitted, via OP, to OMB, if required,
or to the Administrator for signature. The process for submitting your action to OMB is
discussed under Stage 3 of this guidance as outlined below. The process for submitting
your action for the Administrator's signature is discussed under Stage 4 of this guidance as
outlined below.
General Management of Tier 3 Actions
Lead offices have considerably more discretion to decide what methods are appropriate for
developing Tier 3 actions. This is usually referred to as the side agreement and is described
below. Although Tier 3 actions allow more discretion and flexibility, it is still built on the
same foundation of collaboration as Tier 1 and Tier 2 actions. Most Tier 3 actions still
need to be transparent and inclusive, and should typically include OGC and OP in the
development of the action, as well as all other offices expressing an interest in participating.
If a lead office believes an action warrants senior management attention in offices other than
OGC and OP the Tier 3 designation should be reconsidered.
Step I: Understanding Side Agreements
In this step, the lead office and interested offices establish the side agreement.
What is the "side agreement"?
Side agreements establish the ground rules for interested offices to take part in the
development of an action for which no formal workgroup is convened. The agreement
defines a relationship between the lead office and other offices and Regions that asked to be
involved in developing a Tier 3 action. For a copy of the side agreement, see Action Aid 10.
What does the side agreement do?
The side agreement ensures that concerns outside the lead office/Region are appropriately
considered during development of the action. The AA-ships/Regions that ask to participate
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in the development of a Tier 3 action are consulted and given an opportunity to participate in
specific and discrete parts of the development and decision making process for these actions.
The Agency's side agreement is suitable for most Tier 3 actions, but may be modified and
tailored by the individual offices to suit their needs. In those rare circumstances where
additional agreements must be added, those agreements will need to be clearly documented
to avoid any surprises or misunderstandings later in the process.
Step 2: Managing Tier 3 Actions
In this step, the lead office consults early, promotes quality actions, and ensures
management involvement.
The management of Tier 3 actions rests primarily with the lead office. The lead office
has considerable autonomy to decide how it will develop an action, but it also has the
responsibility for making sure that whatever the process, it has been agreed upon, and the
end result is a quality action that addresses the agreements reached with other participating
offices. The lead office is responsible for:
¦ Consulting early.
The lead office should consider what consultation and stakeholder involvement is
needed. They should consult with workgroup members from participating offices
to identify their specific areas of interest or concern and define the level of their
participation. The lead office should also identify key external stakeholders, including
State, Tribal, and local governments, industry, small entities, and public interest groups
for consultation where appropriate. (See page 37 for issues to consider when consulting
with State, Tribal, and local governments). Once the lead office identifies these
stakeholders, it should begin making plans for appropriate consultation and stakeholder
involvement processes or methods and scheduling outreach activities. Effective
consultation and stakeholder involvement should precede major decisions in action
development. For more information on the Public Involvement Policy and stakeholder
involvement, see Action Aid 6.
¦ Ensuring that actions meet the characteristics of quality.
The lead office is accountable for producing an action that meets the characteristics of
a quality action. For the characteristics of a quality action, go to page 11 & 12. The
lead office is also responsible for conducting the necessary analyses and peer reviews to
support the actions.
¦ Establishing a management structure to provide guidance and internal closure.
Since there is flexibility in the internal Agency process for developing Tier 3 actions, the
lead office needs to make sure that the action stays on track. To do this, the lead office
may want to establish consistent internal procedures for developing and managing Tier 3
actions, adhering to the side agreement for Tier 3 actions and ensuring closure/approval
of Tier 3 actions.
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Step 3: Developing a Tier 3 Action
In this step, the lead office should consider involving other offices, using available Agency-
expertise, developing an ABP, and providing participating offices with copies of the
proposed action for their review.
What should the lead office consider in developing Tier 3 actions?
¦ Involving other offices.
Even though Tier 3 actions do not require workgroups, the lead AA/RA is expected to take
steps to involve the AA-ships/Regions that expressed an interest in participating when the
action was tiered, consistent with the Tier 3 side agreement. In most cases, OGC and OP
will be involved in the development of a Tier 3 action. The lead office should consider
the level of assistance needed from Regions and other offices to produce a quality action.
The Regions are in a particularly good position to assist the lead office in ensuring actions
can be enforced and implemented in the field. The lead office should invite workgroup
members to workgroup meetings and to key management briefings if they are held.
¦ Using EPA expertise to develop the action.
Lead offices should develop in-house expertise and/or consult early with EPA experts
(e.g., attorneys, RSC representatives/RRCs, Federal Register Liaison) regarding applicable
laws, EOs, and Federal Register drafting guidance, well in advance of signature and other
deadlines to ensure they develop quality actions. Additional information can be found at
the ADP Library at http://intranet.epa.gov/adplibrary
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Developing an analytic blueprint.
An analytic blueprint is not required for Tier 3 actions, but it is encouraged. Some
program offices may require it; please contact your RSC representative/RRC for more
office specific information. Lead offices may find an informal blueprint helpful for
effective planning. The analytic blueprint is an early agreement on the scope of the action
and the analytical work required to develop the action.
Providing other offices with copies of the proposed action.
Tier 3 actions are not required to go through FAR. At a minimum, however, the lead
office should provide all participating offices with an opportunity to review issue papers,
briefing documents, and options selection papers prepared for management. The lead
office should also provide workgroup members opportunity to review the action's draft
and final documents, and ensure sufficient time is provided to permit a meaningful
review. The lead office should work with participating offices to address comments and
issues raised during the reviews.
Resolving issues.
The lead office and the participating offices should work together to resolve issues and to
quickly elevate unresolved issues to management for resolution.
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fctage 3. l| II |
OMB Review under EO 12866 for Proposed
and Final Regulatory Actions and Significant
Guidance Documents (if necessary) :|H
This section describes the process for determining if OMB
review under EO 12866 is necessary for proposed and final
regulatory actions and significant guidance documents. It
also explains how to prepare your action for submission to OMB,
and how to address OMB's comments.
Step I: Determining if EO 12866 Review for Proposed and
Final Regulatory Actions and Significant Guidance Documents
is Necessary
In this step, the lead office will determine if EO 12866 review is necessary and how the
lead office should proceed based on this determination.
—
Does EO 12866 review apply to all regulatory actions?
Not all EPA actions must undergo EO 12866 review. Only those regulatory actions and some
guidance documents designated "significant" under EO 12866, "Regulatory Planning and
Review" are subject to EO 12866 review. This section discusses how EO 12866 applies to
regulatory actions. See Action Aid 12 for detailed information on how EO 12866 applies to
significant guidance documents.
What makes a regulatory action significant under EO 12866?
There is no direct relationship between a determination of significance under EO 12866 and
placement of EPA actions in tiers. Under EO 12866, significant regulatory actions are those
that meet at least one of the following four criteria:
¦ Have an annual effect on the economy of $ 100 million or more or adversely affect
in a material way the economy, a sector of the economy, productivity competition,
jobs, the environment, public health or safety, or State, local, or Tribal governments
or communities;
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¦ Create a serious inconsistency or otherwise interfere with an action taken or planned
by another agency;
¦ Materially alter the budgetary impact of entitlements, grants, user fees, or loan
programs or the rights and obligations of recipients thereof; or
¦ Raise novel legal or policy issues arising out of legal mandates, the President's
priorities, or the principles set forth in this EO.
Who determines if a regulatory action is significant?
The lead program offers a significance determination. Via the following process, OMB
either agrees or disagrees with the lead program's determination. Twice a year, RMD issues
a call letter to the programs soliciting information on regulatory actions currently under
development by the Agency. RMD compiles a list of upcoming regulatory actions including
the title of the action, the Agency's significance determination, justification for a non-
significant determination if warranted, the stage of the action (e.g., NPRM or Final Rule), the
timeline for the action (including statutory or judicial deadlines), and a description (abstract)
of the action under development. This list is subsequently submitted to OMB, and they have
10 days to agree or disagree with the Agency's significance determination.
Step 2: Preparing Your Regulatory Action for Submission to
OMB under EO 12866
In this step, if EO 12866 review is necessary, the lead office must prepare a regulatory
package for submission to OMB.
What should be included in the package sent to OP for EO 12866 review?
When a package is ready for EO 12866 review, the lead AA/RA submits it to OP/RMD. OP is the only organization
authorized to formally submit packages to OMB for EO 12866 review. The package should contain one original and
one copy of the following items
(Note: Lead AA-ships/Regions may call for additional copies)
¦ The draft Action Memorandum (for guidance on how to write an Action Memorandum, visit the ADP Library
at http://intranet.epa.gov/adplibrary);
¦ For actions developed under Tier 1 or 2, the FAR Summary Memorandum and copies of any non-
concurrences or substantive FAR comments;
¦ The action itself (e.g., regulatory text and preamble, report to Congress, policy or guidance document, and
relevant Federal Register document or notice of
availability, as applicable);
¦ For economically significant rules, the OMB Circular
A-4 (economics) table.
¦ For economically significant rules, the Regulatory
Impact Analysis;
¦ An Electronic version of al I the above.
Note: Documents submited to OMB should follow
the format for labeling documents as outlined in EPA's
"Guidelines for Documenting EO 12866 Review and
Consistently Labeling Documents in FDMS.'These
guidelines are available in the ADP library at http://
intranet.epa.gov/adplibrary
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nnnr^ a ^ffilntory action for submission to OMB
What should thp i**d office do to preEar*jL~£i*™2JL
under EO 12866?
¦ r 1 ^inn be formally Submitted to OMB for review under EO
If a significant regu atory a nrepare a package for submission to OMB. For Tier 1
12866, then the lead office needs^ to, prepa^ ^ ^ Qp ^ 3
actions do
and 2, this package is prepare a er review and transmittal to OMB when that is
not require a FAR and may go directly to un-
necessary.
. . , frr -llu.mjt-cion to OMB for review?
Who approves the action for supmis&_
~U pap are submitted to OP for review and submission to
Actions that do not go r0 & e than one non-concurrence, the AA/OP approves
OMB. For actions t at o participating office/Region has non-concurred,
submission. For actionswhere m"e ^urrenKce. The RPO will either:
OP will alert the RPO about the non-co
! ~ nrnr^pd to OMB for review, without further changes.
. Authorize the action to proceed
• u thp action to meet concerns raised in the non-
¦ Determine how to revise tne ac^
concurrences, or
¦ Defer the decision to the lead AA/RA-
How long wil' FO 12866 review of a_sig»f'cant a«ion last?
„ , sive5 OMB 90 days to review regulatory actions (other types of actions will have
EO 12866 gi i-, _r eq 12866 authorizes EPA to request a one-time 30-day
a shorter review peno . ' , prepared by the lead office in the form of a
extension. Requests for ex d tQ the rmd Desk Officer for transmittal to OMB.
Foran'example a memorandum requesting an extension from OMB, visit the ADP Ltbrary
at: http://intranet.epa.gov/adplibrary
Step 3: Addressing OMB's Comments for Regulatory Actions
In this step, the lead office will address questions and comments raised by OMB,
or in response to other Federal agencies that participate in inter-agency review of
your regulatory action.
How are OMB questions and comments on the draft regulatory action addressed?
During OMB review, the lead office may make changes to the regulatory action in response
to questions and comments raised by OMB, or in response to other Federal agencies that
participate in the inter-Agency review process under EO 12866. Any discussions with
OMB should include the OP workgroup representative. The representatives of the other
core offices should be included when significant issues relevant to those programs are being
discussed.
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Whenever time permits, the lead office should consult with OP and other members of
the workgroup prior to making significant changes to the regulatory package or guidance
document while it is at OMB. When time does not permit, the lead office should inform the
workgroup members, as soon as possible after the fact, but before the regulatory package
goes to the Administrator for signature. The workgroup chair should let the workgroup
members know about these changes. Workgroup members are then responsible for
informing their management of these changes.
Step 4: Docketing Changes Made During EO 12866 Review of
Regulatory Actions
This step discusses how to identify and docket EO 12866 review material and changes
made during that review.
What EO 12866 related materials are docketed?
If your regulatory action is reviewed by OMB under EO 12866, you should identify and
place each of the following in the public docket:
¦ The draft action and any other documents
sent to OIRA for review, such as analyses
and assessments.
¦ The substantive changes, if any, between
the draft action sent to OIRA for review and
the action subsequently made available to
the public, regardless of who requested the
changes.
¦ The subset of changes made at the suggestion or recomendation of OIRA.
For additional information on compliance with EO 12866 docketing requirements, please
visit the ADP Library at: http://intranet.epa.gov/adplibrary.
For additional information on documenting EO 12866 review, refer to the "Guidelines
for Documentating EO 12866 Review and Consistency Labeling Documents in FDMS"
document located at the ADP library, http://intranet.epa/gov/adplibrary.
Note:
Certain provisions of the Clean Air Act and
the Toxic Substances Control Act impose
additional docketing requirements related
to interagency reviews, including reviews
under EO 12866. For more information
about these requirements, contact your RSC
representative and/or the OGC attorney
assigned to your workgroup.
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Stage 4.
Requesting Signature, Publishing an
Action in the Federal and
Soliciting and Accepting Public Corriments
This section describes the procedures for requesting
signature on proposed and final actions, publishing
actions in the Federal Register as well as soliciting ancj
I accepting public comments.
£ Step I: Requesting Signature
In this step, the lead office prepares the action for signature.
What actions are signed by the Administrator?
In general, most regulatory actions are signed by the Administrator unless that authority is
placed with someone else by law or regulation, or otherwise delegated by the Administrator
You should have written evidence of delegation of signature authority before someone other
than the Administrator signs a regulatory action.
What if your action will be signed by an EPA official other than the Adminict-rator?
For those actions where the signature authority has been delegated, you should contact your
RSC representative/RRC for information about the signature process in your AA-ship/Region
Sometimes a delegation may allow the AA/RA to further delegate signature authority. See the
Agency's Delegations Manual for more information about who can sign what at the website-
http://intranet.epa.gov/ohr/rmpolicy.
What should be done if an action will be signed by the Administrator?
The lead office should do the following before the Administrator signs an action-
1. Request preliminary review of a regulatory action by EPA!s Federal Register Liaison,
if appropriate.
The lead office should have the Federal Register Liaison review the preamble and the rule
at the same time that OMB is reviewing it. If OMB does not need to review the regulatory
action, then a copy should be provided to the Federal Register Liaison after the FAR for
I Tier 1 or 2 actions, or after workgroup approval for Tier 3 actions. You may send your
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action to the Federal Register Liaison via email. The Federal Register Liaison assures
that actions comply with Federal Register publication standards and requirements. The
Federal Register Liaison for all EPA offices is located in OP's RMD (with the exception of
the Office of Chemical Safety and Pollution Prevention (OCSPP), which has an office-
specific liaison.) The Federal Register Liaison always reviews the action after signature,
but preliminary review avoids problems and delays at this stage.
2. Address OMB's concerns and issues.
Generally the Administrator signs significant EPA regulatory actions after the lead office
has addressed OMB's concerns and has resolved any outstanding issues, and after OMB
has cleared the action. It is the responsibility of the RMD Desk Officer to confirm OMB's
clearance of an action before moving it forward for signature.
3. Assure a complete docket.
A docket can be established at any time during the ADP, but should open no later than
the date of issuance/publication of the first action or FR
document to be published (e.g., notice, proposed, or
final rule).
A docket should contain:
¦ All information relied upon by EPA in developing
an action.
¦ All public comments.
¦ EPAs response to significant public comments (e.g., a response to comment
document).
¦ Other information EPA considers relevant to the development of an action (e.g.,
environmental or public health assessments, cost and benefit analyses, technical
support documents, etc.) with the exception of confidential business information
and other information whose public disclosure is protected by statute.
¦ Information concerning changes made during EO 12866 review (see Stage 3, Step
4).
The docket generally should not include internal documents that capture pre-decisional
discussions that were deliberative in nature. This includes materials generated prior to the
making of a decision such as day-to-day staff notes, briefing papers, action memoranda
and other staff advice and recommendations. Confidential business information and other
information whose public disclosure is protected by statute should not be included in the
public docket. The docket process may vary by program. For more information about
what to include in your docket, please consult experts in your program such as your RSC
representative/RRC contact or the OGC or Regional attorney assigned to your action.
For additional information on docketing see "Creating and Managing Dockets: Frequently
Asked Questions for EPA Action Developers" at http://intranet.epa.gov/adplibrary.
Note:
Some statutes require the docket to
be established no later than the date
of signature.
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Dockets for regulatory actions are posted iri the Agencys official electronic docketing system,
the Federal Docket Management System (FDMS). Non-regulatory actions have more
discretion (i.e., may be posted on the Internet). For more information about FDMS, visit the
FDMS information Web page at http://intranet.epa.gov/fdmsinfo.
What does the lead office include in the package requesting the Administrator's signature?
When an action is ready to be signed by the Administrator, the lead office submits a signature package to Rmd h h
includes, the original and two copies (unless otherwise noted) of the following items
(Note: Lead AA-ships/Regions may call for additional copies):
¦ The draft Action Memorandum (for guidance on how to write an Action Memorandum, visit the ADP L h
http://intranet.epa.gov/adplibrary); 1 rar^at
¦ For actions developed under Tier 1 or 2, the FAR Summary Memorandum and copies of any non-concu
substantive FAR comments; rrences or
«, ¦ The action itself (e.g., regulatory text and preamble, report to Congress, policy or guidance document and
= relevantFedera//?eg/sferdocumentornoticeofavailability,asapplicable); '
c ¦ For economically significant rules, the OMB Circular A-4 (economics) table.
|/) o
j. '5 ¦ Fact sheets, if available;
O <0
5 2 ¦ A disk or CD that contains an electronic version of any action to be
.? 3 published in the Federal Register;
§ £ ¦ A letter (original only) to the OFR certifying that the hardcopy of an action
< c to be published in the FR is identical to the one on the disk, if needed; and
v to
a, ¦ A typesetting request (one copy) (EPA Form 2340-15), if needed.
cn
£
ji
Note: Some parts of this
process may be different for
OCSPP since that Office has its
own Federal Register staff.
Who is respond!" W requesting the Administrator's
signature?
The lead AA/RA is responsible for requesting the Administrator's
signature via an Action Memorandum. The lead AA/RA submits
the complete package to OP for final review and approval. OP
reviews the package and if no outstanding issues remain, seeks approval from either the
AA/OP or the RPO. The AA/O? approves packages that do not have more than one non-
concurrence at FAR. OP transmits the package to the Office of the Executive Secretariat
(OEX) for the Administrator's signature.
What happens if changes are^ade after an action has been signed by the
Administrator?
Occasionally, it is necessary to make changes to a regulatory action after it has been signed by
the Administrator, but before it has been published in the Federal Register. If these changes
are only clerical or typographical and do not affect the substance of the action, authorized
EPA staff can make the changes and initial them without further review by the Administrator,
however, these changes should be reviewed by OP.
Note:
Lead AA-ships/Regions may call
for additional copies.
54
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Proposed substantive changes should be submitted by the lead AA/RA with concurrence
from OGC and OP through a memorandum to the Administrator. Substantive changes must
be approved by the Administrator before transmitting the action to the Federal Register for
publication.
Any questions regarding whether a change is substantive should be discussed with OGC,
since in some cases, even a clerical, typographical, or format change, such as a change to a
regulatory citation, may affect substance. (More information on this topic is available at the
ADP Library: http://intranet.epa.gov/adplibrary)
When can I post my action on the Internet?
After the Administrator, Deputy Administrator, or Assistant Administrator has signed your
action, your office may decide to post it on the Internet before it is published in the Federal
Register (see Step 2 below). The workgroup will review and approve the documents prior to
posting. When your office decides it is necessary to release a signed, pre-publication version
of a document on the Internet, or mail it directly to external parties, a disclaimer should be
added to the document and the document should match the subsequent Federal Register
publication. Minor stylistic or formatting discrepancies are acceptable. For additional
information about posting on the Internet and the specific disclaimer to use, visit the ADP
Library at http://intranet.epa.gov/adplibrary.
Step 2: Publishing an Action in the Federal Register
In this step, OEX sends the action to the Federal Register Liaison for review and
submission for publication in the Federal Register, if appropriate.
When is the action sent to the Federal Register!
After the Administrator signs the action, OEX sends it to the Agency's Federal Register
Liaison, if appropriate. The Federal Register Liaison conducts a final review of the action and
transmits it to the Federal Register for publication. Regulatory actions generally are published
in the Federal Register.
How does the Federal Register process work?
Once actions are sent to the Federal Register, they are usually published within four business
days if they are under fifty pages and do not contain tables. Otherwise, it will likely take
longer.
For specific information on the Federal Register process you should visit the OFR website
at http://www.archives.gOv//ederaLregisfer/write/handbook. OFR's Document Drafting
Handbook, which can be found at the website, provides specific guidance and examples
for drafting and formatting a document for publication in the Federal Register. The manual
also includes guidance on how to request an expedited publication or "withdrawal before
publication" of an action from the OFR.
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m
c
S> g
^ *«
5 §
% S
£ •£
i£
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i: «
Step 3: Soliciting and Accepting Public Comments
In ihk step, the public responds to sol,citations for comments and sends comments to
the Agency.
How does the public comment process work?
Each action published, or otherwise released for public comment, must include clear
instructions for the public on when, where, and how to submit comments to EPA. These
instructions are usually included in the preamble for your regulatory action. Template
language for use in regulatory packages is available on the ADP Library at http://intranet epa
gov/adplibrary.
An electronic public docket may also be established in the Federal Docket Management
System (FDMS) for some non-regulatory actions that will solicit public comment. For
guidance on establishing and populating a public docket in FDMS, please refer to OEI's
website at http://intranet.epa.gov/fdmsinfo/index.html, as well as OPs "Creating and
Managing Dockets: Frequently Asked Questions for EPA Action Developers" also available on
the ADP Library at http://intranet.epa.gov/adplibrary.
In addition to accepting public comments in writing, the Agency may also choose to hold
one or more public meetings during the comment period. If you think public meetings
would be appropriate for your action, work with your OGC workgroup representative and
|> your RSC representative or RRC to ensure you take the appropriate steps to notify the public
5 of the meeting and properly record public comments.
56
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Stage 5.
Developing the Final
Action and Ensuring
Congressional Review
n this step, the workgroup reconvenes to finalize the
action. This section also describes how to comply with the
Congressional Review Act or the Courtesy Copy Policy „
¦
vo
Cri
At this point in the process, the workgroup should consider any comments received and jB
determine which, if any, present substantive issues which may impact the development of
the final action. If the Agency receives substantive comments on the proposed Tier 1 or Tier g.
2 action, the workgroup should return to the early guidance step and seek direction from
senior management on how to proceed. At the early guidance meeting, senior management
will hear the workgroup's recommendations on the substantive issues raised and plan for
proceeding to a final action. As part of early guidance, senior management may also decide
whether procedural steps like revising the DABP and/or options selection are necessary for
the final action. If the workgroup agrees that there are no significant issues following the
public comment period, and the direction for the final action is clear, it may not be necessary
to have an early guidance meeting or option selection meeting. The lead AA/RA should make
this final determination, and the lead office should share that decision in writing with the
workgroup. After that point, the workgroup proceeds to complete development of the final
action and ultimately concludes the workgroup with a Final Agency Review process.
Step I: Addressing Public Comments
In this step, the workgroup considers public comments and may reconsider options,
based on the public comments received.
How does the workgroup address public comments?
Following solicitation of public comments on a proposed rule or draft action, the workgroup
first reviews and considers the comments and any other relevant new information that may
have come to its attention since it published the proposed action. Based on its assessment
of the comments, the workgroup develops recommendations on how to proceed, including
whether to reconsider the preferred options and/or analyze new options.
57
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Does the workgroup have to respond to every comment received?
No, when developing a final action, the workgroup should consider all significant public
comments that are relevant to the proposal and submitted during the applicable comment
period. Sometimes, the same comments may be received by numerous commentors and
need to be addressed only once. The consideration of significant comments is documented
consistent with legal requirements and applicable docket policies. Depending on the nature
and extent of public comments received, you may choose to prepare a separate "response
to comments" document or simply address them in the preamble to the final action. For
assistance with docketing, please see "Creating and Managing Dockets: Frequently Asked
Questions for EPA Action Developers", visit the ADP Library at http://intranet.epa.gov/
adplibrary.
Sometimes, an office may elect to consider a comment that was submitted after the formal
comment period has ended. Generally, if you consider one comment received after the close
of the comment period, you must consider all such comments. Consult the OGC attorney
assigned to your action and your RSC Representative/RRC for guidance. They may advise
you to issue a Supplemental NPRM.
How many comments can the Agency expect to receive?
The volume of comments varies tremendously from action to action. In some cases there can
be tens of thousands of comments; in others, only a few. While the number of comments
may be indicative of the general interest in the action, it is the substantive content of the
comments, not merely the number, that is most important. Commenters may, for example,
submit new information prompting reconsideration of options or supporting material,
including economic analyses prepared for the proposed rule. New information and data
should be reconsidered in the development of the final action.
Should others be involved in the response to comments?
If clarification or discussion of public comment is useful, the workgroup can consider
whether the Agency may want to contact stakeholders to discuss the comments further, but
you will need to work with OGC to ensure that any such post-proposal outreach is managed
and documented properly.
Step 2: Determining Next Steps
In this step, the workgroup briefs management and receives guidance on how to
proceed in developing the final action. The level of management involvement will
depend on the tier level of the action.
How does the workgroup determine what the next steps are for developing the final
action?
At the end of the comment period, the workgroup will brief management on the scope of the
comments received and provide recommendations on how they believe the Agency should
respond to the comments. Management will consider the recommendations and provide
guidance on how to proceed in developing the final action.
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Management guidance should come from the A/DA for Tier 1 actions, AA/DAA for Tier 2
actions, and AA/DAA or designated OD for Tier 3 actions. In light of public comments and
any new data, a workgroup might face a range of possible approaches—everything from
making minor rule changes and clarifications to new data gathering and possible re-proposal.
Below are some ways that a workgroup may be directed to address the different types of
comments it receives in response to a proposed action.
¦ Comments indicate that the preferred option presented in the proposed action
is acceptable.
In this case, the workgroup may recommend to management that the final action
use the proposed option. If management agrees, there may be no need to make
changes to the action and the workgroup may be able to proceed expeditiously to
FAR.
¦ Comments indicate that another option presented in the proposed action
should be considered.
This would involve another round of management decisions based on the new
information received, which would be accomplished by having an options selection
meeting prior to the FAR process.
¦ Comments indicate that an option not identified in the proposed action should
be considered.
This is an unusual, but not an unheard of circumstance. In this case, the
workgroup may need to revisit the Analytic Blueprint and update it in order to plan
additional analysis and options development. New options would subsequently
be presented to management in an options selection meeting. In addition to
considering the substantive options, management will also need to evaluate
procedural options, i.e., how to provide notice to the public that the Agency
is considering an approach other than one previously proposed, which could
include a re-proposal, known as a Supplemental NPRM for rules. A Notice of
Data Availability (NODA) may be issued if comments have provided new data or
additional information on the action. (See Action Aid 14 for detailed information
on NOD As.)
How does the workgroup develop the final action?
After receiving management guidance, the workgroup employs the particular ADP steps as
directed using the procedures outlined earlier in this document. For Tier 1 and 2 actions,
preparing the final action will include FAR, and for all tiers, submission to OMB if necessary.
As with the draft or proposed stage, during final action development the workgroup should
continue as a transparent collaborative body - collegially generating and sharing documents
for internal review and comment prior to seeking senior management and approval or sign-
off.
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Step 3: Submitting Actions to Congress and GAO under the
Congressional Review Act or the Courtesy Copy Policy
In this step, actions are submitted to Congress and GAO for Congressional review
after they are signed, but before they are published in the Federal Register, or otherwise
issued.
Many of the Agency's final actions are submitted to Congress and the Government
Accountability Office (GAO) under either the Congressional Review Act (CRA) or the
Courtesy Copy Policy (CCP). Proposed rules are not subject to Congressional review.
The CRA and CCP are discussed below. In addition, a separate guidance document was
written for the CRA, while the CCP is the subject of Action Aid 13, included at the end of
this document. Both documents are available on the ADP Library at http://intranet.epa.gov/
adplibrary.
§ What is Congressional Review?
5 Federal agencies must submit most final rules (see exceptions below) to Congress and GAO
J under the CRA. The CRA provides an expedited way for Congress to review and potentially
»H disapprove final rules issued by Federal agencies. Under the CRA, a member of Congress
can introduce a joint resolution to disapprove a particular rule within a specified period of
" time and have that joint resolution considered using expedited procedures. It also generally
prohibits any rule meeting the CRA definition of "major rule" from taking effect until 60 days
after publication in the Federal Register.
What EPA actions are subject to Congressional Review under the Congressional
Review Act (CRA)?
Final rules, with few exceptions, are subject to Congressional review, including actions
that may contain legally binding requirements regardless of their title or whether they are
published in the "Rules and Regulations" section of the FR.
Examples of rules that are not subject to Congressional review include:
¦ Rules of particular applicability (i.e., entities subject to the requirements of the rule
are specifically named in the rule).
¦ Rules relating to Agency management or personnel.
¦ Rules of Agency organization, procedure, or practice that do not substantially affect
the rights or obligations of non-Agency parties.
What is a "Major Rule" for the Purposes of the CRA?
¦ A "major rule" is a rule that the Administrator of OMB/OIRA finds has resulted in,
or is likely to result in:
¦ An annual effect on the economy of $100 million or more.
60
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* A major increase in costs or prices for consumers, individual industries, Federal,
State, or local government agencies, or geographic regions; or
¦ Significant adverse effects on competition, employment, investment, productivity,
innovation, or on the ability of United States-based enterprises to compete with
foreign-based enterprises in domestic and export markets.
This is similar to the definition of an economically significant rule under EO 12866. Thus,
an "economically significant" rule under EO 12866 is likely (but not certainly) to also be
designated as "major" under the CRA. It is important to note that a rule can be a "significant
regulatory action" (i.e., is reviewed by OMB) under EO 12866 without being a major rule
under the CRA. This is because EO 12866 has more criteria for making a rule "significant"
than the CRA does for making a rule "major." In addition, a rule that EPA finds is not
economically significant under EO 12866 may be determined by OMB to be major under the
CRA.
For more information on CRA and CCP, visit the ADP Library at http://intranet.epa.gov/
adplibrary or contact your RSC representative/RRC.
When is an action submitted to Congress and GAO under the CRA?
In general, before a final rule can take effect, EPA must submit a rule report, as defined
in the CRA, to each house of Congress and the Comptroller General of the Government
Accountability Office (GAO). According to Agency policy, RMD submits a rule report on or
before the date of their publication of the rule in the Federal Register.
Congress and GAO sign a "receipt of delivery" for actions submitted under CRA/CCP, and a
copy of this receipt is sent to the lead RSC representative/RRC within about a day of delivery.
Program offices should put receipts in the docket for the relevant action. RMD keeps the
original receipts for CRA/CCP submissions as official documentation that the action was
submitted to both houses of Congress and GAO.
What are the consequences of not submitting a CRA rule prior to the effective date?
Even though a rule subject to the CRA may be published in the Federal Register, the rule will
not be effective on the cited date unless EPA has submitted the rule to Congress and GAO
(unless the Agency invokes the good cause exception from the CRAs effective date provision.)
This is a particularly important issue for rules that are expected to be effective upon or before
the date of publication in the Federal Register.
What office submits EPA actions for
Congressional review?
RMD is the only EPA office authorized to submit final
rules under CRA and other documents under CCP
to Congress and GAO. Regional and Headquarters
program offices must not submit rules, policies,
and other guidance documents under the CRA/CCP
directly to Congress, GAO for any reason. There are
no exceptions.
Note:
Legislative and Appropriations reports to
Congress are not submitted to Congress
and GAO under the CRA or CCP. They are
submitted to Congress and GAO through
the normal procedures for such reports to
Congress, through OCIR or OCFO.
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Whjt should Ihe le,i
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Appendix A.
Additional Information
for Action Developers
on Specific Topics
T
his section includes numerous Action Aids to assist you in
developing actions.
This section contains several "Action Aids" about the following topics:
Action Aid 1
Action Aid 2
Action Aid 3
Action Aid 4
Action Aid 5
Action Aid 6
Action Aid 7
Action Aid 8
Action Aid 9
EPA's Semi-Annual Regulatory Agenda and Regulatory Plan
Tiering a New Action vs. "Splitting" an Action
Workgroup Responsibilities
Elevating and Resolving Workgroup Issues
Issues to Consider when Giving Early Guidance
Involving the Public and Other Stakeholders in the ADP
Options Selection Meetings
Recommendations for Scheduling Key Milestone Meetings
Procedures for Requesting an Expedited Final Agency Review Process
Action Aid 10: Side Agreement for Tier 3 Actions
Action Aid 11: Ordering of Statutes and Executive Orders, and Discussions for Rule
Preambles
Action Aid 12: A Reference to EPA's Implementation of OMB's Good Guidance Practices
Bulletin
Action Aid 13: EPA's Courtesy Copy Policy
Action Aid 14: Notices of Data Availability (NODA)
Action Aid 15: Reports to Congress - Procedures for Internal Review and Submission to
OMB
For more information about the ADP, please visit the ADP Library at http://intranet.epa.
gov/adplibrary or contact your RSC representative.
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A Ction Aid IEPA's Semi-Annual Regulatory Agenda and Regulatory
Plan
What is the Regulatory Agenda?
The Regulatory Agenda is an information tool to give stakeholders an opportunity to be
effectively involved in developing regulations. Each spring and fall, OMB sends out a request
to all Federal agencies involved in regulation development. This request asks agencies to
provide information on all regulatory actions under development that may be submitted to
OMB for review under EO 12866. All agencies provide information to OMB as part of the
Unified Regulatory Agenda. In addition to regulatory actions, agencies have the discretion
to include entries on important policies, strategies, and guidance documents that may be of
particular interest to the public.
As part of the fall Regulatory Agenda some agencies, including EPA, also publish an Annual
Regulatory Plan. The Plan highlights a very limited number of the most significant actions
the Agency intends to publish in the coming year. Plan entries include everything that is in
Agenda entries plus additional required information fields on alternatives, costs and benefits,
risks, and a statement that addresses why a regulation is necessary.
What kind of information is published in the Regulatory Agenda?
Agenda entries generally include the following:
¦ A brief description of the action, the abstract.
¦ Legal authority.
¦ Contact information.
¦ A timetable of upcoming dates related to the action (e.g., NPRM, projected
publication date in the FR, etc.).
¦ Where to find supporting documents for the regulatory action, or the docket
location.
¦ North American Industry Classification System (NAICS) codes associated with the
action.
¦ Links to additional information.
¦ Up to 20 other types of information related to the action.
How is EPA's Regulatory Agenda information updated?
OMB sends an Agenda call letter to OP with directions and a schedule. The Chair of the RSC
then sends a call letter to the RSC requesting the program office to update Agenda entries in
RAPIDS. Agenda updates are reviewed by OGC and OP/PRAD. They are then submitted to
the GSAs Regulatory Information Service Center (RISC) which coordinates review with OMB
before providing EPA a galley version about six weeks later for final revisions. If the program
office needs assistance during this process, they should contact their RSC representative/RRC
or their RMD Desk Officer. Contact information is available at the ADP Library at http://
intranet.epa.gov/adplibrary.
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OP pays for the basic Federal Register typesetting, reprinting, and distribution costs for the
Agenda. If a correction notice has to be published, as occasionally happens for entries that
did not receive an adequate and timely review, the FR costs for the correction are generally
charged to the program office account requesting the change.
How is the Regulatory Agenda used?
The Regulatory Agenda provides information to citizens to give them the opportunity to be
involved in the rulemaking process. It also helps to coordinate regulatory activity within
the Executive Branch of the government; Users include OMB, Congress, EPA and other
Executive Branch agencies, the media, trade associations, interest groups, State and local
governments, the general public, and interested foreign parties.
How do I get a copy of the Semi-Annual Regulatory Agenda and Annual Regulatory
Plan?
EPAs Regulatory Agenda and Regulatory Plan can be accessed at http://www.epa.gov/
lawsregs/search/regagenda.html.
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Action Aid 2.* Tiering a New Action vs."Splitting"an Action
The RAPIDS and Scout systems track actions that follow the ADP and were created for
consistency of planning and development of regulatory or related activities. Actions are
divided into stages, and stages, in turn, are composed of specific milestones. The structure
assumes that each stage has one end point, typically signature or management approval,
which culminates as a single final action. The most common pattern or development track
for Agency actions is a proposal stage followed by the final stage. Occasionally, however, an
action begun with an expected single final stage changes course and it becomes necessary
to add differing action stages. When that occurs, program offices should work with OP to
determine the most appropriate way to track the actions in RAPIDS/Scout, either by tiering a
new action or by "splitting" the current action.
When is it appropriate for an action to be tiered as a new action vs. splitting an
action?
A new action or activity is tiered at the beginning of the ADP which typically commences as
an NPRM and is commonly referred to as the proposal stage. In some cases, the program
office will initiate a new action by first issuing preliminary data in the form of an ANPRM
and in other cases by issuing a Direct Final Rulemaking (DFRM). For any action or activity
that uses an ANPRM, NPRM or DFRM, or their functional equivalents, the action developer
should submit a commencement/tiering approval form in order to obtain a new SAN. For
more information about tiering or about when to directly issue a DFRM, see http://intranet.
epa.gov/adplibrary.
It is generally not appropriate to add any additional stages in RAPIDS to an action that has
been completed in the final action stage. There should be only one final stage per SAN
in RAPIDS. Completed actions should not be split or used to add stages for subsequent
actions based merely on a similarity or close relationship of subject matter. Instead, a
commencement/tiering approval form for a new action should be completed and submitted
to OP for approval.
When is splitting an action appropriate?
The most common and straightforward case for "splitting" an action is when a program
office has issued a proposal and then decides that it will not finalize all issues in a single final
action. Splitting an action allows each of those final actions to be tracked separately but to
retain original tiering and commencement approval. It may be appropriate to split an action
under the following circumstances:
¦ When an Agency-initiated correction to the final rule will be issued.
¦ When a minor amendment will be issued and the amendment is temporally close to
the promulgation of the original rule. Significant amendments or those that will be
proposed substantially after the final rule (e.g., more than 12 months following the
final rule) should be tiered as new actions.
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¦ When a "generic" action has multiple stages that are part of an on-going effort.
For example, a singularly tiered action, such as a Federal Implementation Plan,
may have frequent but unpredictable changes when State Implementation Plans
are developed. In this circumstance, split actions can be created to avoid adding
duplicative stages to the original action.
¦ For some petitions when they are covered by a generic SAN.
How do I request approval to split an action?
The initiating office's RSC representative/RRC should contact the appropriate RMD Desk
Officer to request a split action. The request should include:
¦ A new title.
¦ An edited or revised abstract for both the original and new action.
¦ A timetable for the new action.
¦ Any other information normally required on a tiering form that varies from the
original action, e.g., court deadlines, workgroup members, etc.
¦ A reference to the original action (title & SAN) for the maintenance form of the new
action.
The RMD Director is the approving authority for split action requests.
What happens after a "split" is approved?
As with tiering approval notifications, RMD will notify the RSC representatives/RRCs once
a split is approved. The commencement approval, tier level, workgroup members, OMB
significance level, and other key data elements will be applied to the new action, unless
requests are made otherwise. The split action will receive a new SAN, which will appear as
a decimal point to the related existing action. For example, SAN 6100.1 would be newly
created from the existing SAN 6100. In addition, if the action is a rule, it will receive a new
Regulation Identifier Number (RIN) and title. Once the RMD Desk Officer has assigned
the new split SAN, the requester will be notified via email and will have 5 business days to
complete the maintenance form for the new action in RAPIDS. Failure to complete the form
will result in the split action being deleted from the system and the need to tier it as a new
action.
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Action Aid 3: Workgroup Responsibilities
Workgroups are formed soon after tiering and workgroup members are assigned through
the tiering process. Workgroups consist of a workgroup chair (representing the lead office
developing the action) and workgroup members (representing the AAs/RAs who responded
to the tiering request). Whether you are the workgroup chair or a workgroup member, if
you have been assigned to a workgroup, you will need to be involved in the development of
the action throughout the ADR
What are the workgroup members' responsibilities?
Workgroup members and the chair share the same responsibilities for participation, although
the workgroup chair has some additional responsibilities.
Responsibilities the workgroup members and the chair share are:
¦ Being prepared for meetings by having reviewed materials and discussed issues and
positions with management;
¦ Contributing a meaningful amount of work to the process of developing the action*
¦ Regularly attending meetings or ensuring that a qualified alternate attends
workgroup meetings (the use of alternates should be minimized and workgroup
representatives should be sure they support any positions taken by alternates in
their absence);
¦ Representing their office's or Region's management positions on issues;
¦ Helping to find solutions on issues;
¦ Raising timely issues within their individual offices or Regions and ensuring the
issues raised are documented, elevated, and resolved as soon as possible, preferably
before options selection and Final Agency Review;
¦ Implementing the issue elevation and resolution process when necessary;
¦ Honoring decisions the lead office senior management or other upper management
makes, unless they are appealed to a higher level in the Agency in a timely manner;
¦ Seeking outside assistance when the workgroup needs vital information;
¦ Using rediine/strikeout or similar tools to highlight comments on or revised
language in draft documents to expedite the review process;
¦ Ensuring products meet Agency quality standards; and
¦ Contacting the appropriate lead AA/RA representative (for example, a RSC
representative/RRC) for help with problems in the workgroup.
Additional responsibilities of the workgroup chair are:
¦ Involving the workgroup throughout the process;
¦ Facilitating; a meaningful and responsive workgroup process at all times, including,
times when dissenting members have asked for senior management decisions; ^
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Facilitating attendance at workgroup meetings by scheduling meetings with
sufficient notice and providing meeting materials well in advance of the meeting;
Documenting workgroup meetings, issues addressed, and decisions made;
Determining whether the package is complete and ready for Final Agency Review,
including polling workgroup members to determine if they think it is ready for
Final Agency Review;
Sharing early drafts of documents for workgroup input before they are approved by
management (e.g., PABP, DABP, options selection briefing);
Maintaining all documentation throughout the workgroup process (including
decisions, issues, and participation);
Ensuring consistency with the ADP and compliance with the S&EOs addressing
rulemaking;
Producing a comprehensive and comprehensible action that complies with all
internal and external administrative processes and requirements;
Ensuring that issues are identified and resolved at the appropriate management
level in a fair and open manner;
Seeking additional members for workgroup, if needed;
Informing your management and RSG representative/RRC of any changes to
workgroup membership;
Guaranteeing that lead office management is routinely informed of issues and
agreements reached at the workgroup level as they occur;
Documenting and distributing changes made to the package during and after FAR
to workgroup members; and
Considering whether a neutral facilitator might be useful to manage discussions and
assist in preventing or resolving issues or disagreements.
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Action Aid 4.' Elevating and Resolving Workgroup Issues
Throughout the ADP, issues that arise that workgroup members cannot resolve. When this
occurs, it is important for workgroup members to elevate these issues to a higher level of
management in a timely fashion.
How do workgroups effectively deal with issues that arise?
Workgroup procedures can help achieve the goal of a timely, quality product even while
allowing members to raise and work through significant issues. To do this, workgroup
procedures should:
¦ Encourage members to raise issues;
¦ Provide for open discussion and timely resolution of issues;
¦ Progress toward resolving issues while encouraging diverse views;
¦ Seek agreement with the workgroup while being mindful of deadlines;
¦ Document resolved issues and dissents; and
¦ Develop a means to quickly elevate issues to management if the workgroup hasn't
resolved them in a reasonable time period.
Workgroups can avail themselves of the services of an internal facilitator or contract a neutral
facilitator in order to assist in laying out operational ground rules, managing productive
discussions and airing and resolving differences. For guidance in locating a neutral
facilitator, see the OGC's Conflict Prevention and Resolution Center's (CPRC) website at
http://intranet.epa.gov/adr/.
How does the workgroup process help workgroups elevate and resolve issues?
Workgroups should try to resolve issues within that forum. If they can't, they should act
quickly to elevate issues to their management for resolution. The workgroup should avoid
two extremes: (1) unreasonable delays because of unresolved issues, and (2) failure to
address legitimate substantive issues which were raised by workgroup members.
The workgroup process includes four elements that help strike the right balance between
open discussion and resolution of issues. These elements are:
1. Building a spirit of teamwork and collaboration
It is the responsibility of the lead AA-ship/Region to produce a quality action that
addresses all relevant information and issues. For this reason the lead AA-ship/Region
should make the best possible use of the expertise available on the workgroup. A
successful workgroup that functions as a collaborative team will be able to resolve most
issues through internal discussions in a reasonable time period. The workgroup chair
can help foster collaboration by scheduling regular meetings for the workgroup with his
or her management to get continuing feedback and resolve issues. At these meetings any
member of the workgroup should feel free to raise issues. Sometimes it is useful for the
chair to access a neutral facilitator to assist the group in airing and resolving differences
in a timely and collegial manner.
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Implementing lead office prerogative
There may be some issues that a workgroup cannot reach agreement on in a reasonable
time. If these are major issues, the chair and workgroup members should agree to
elevate the issue to managers for resolution. In some rare cases, however, when the lead
office/Region feels an issue needs to be resolved by the workgroup in order to avoid
delay, the lead office/Region has the following options:
¦ If the workgroup is unable to reach agreement on the issue within a reasonable
time, the lead office/Region has the prerogative to propose a solution and move
forward based on the proposal without accommodating all of the concerns of the
dissenting office(s).
¦ If the lead office/Region chooses to exercise the prerogative, the workgroup chair
should document the decision and the reasons for the selected approach, and
communicate it to all workgroup members and to lead office management.
Elevating issues quickly
Issues can be elevated informally, in a meeting with the lead office/Region's management;
or formally, with a dissenting member's management. When workgroup members
can't elevate the issue informally, they should elevate the issue formally through their
management chain.
Elevating issues informally
Workgroups are encouraged to elevate important issues to management when
they can't resolve the issue themselves or when they want management guidance.
Informal elevation takes place with the workgroup chair's management in a feedback
session. Workgroup chairs should schedule workgroup feedback sessions with their
management periodically during the development process, and particularly when
substantive disagreements are impeding workgroup progress.
Elevating issues formally
To elevate the issue formally, the dissenting workgroup member should notify
the chair of their intent and then raise the issue to their own management at the
appropriate level. The dissenting member's management should then contact the
workgroup chair's management for resolution. If the dissenting office is not satisfied
at this level, they may pursue the issue up the management chain in similar fashion,
depending upon their degree of concern regarding the issue. Ultimately; they could
elevate the issue to the Administrator, but this would be unusual except for Tier 1
rules.
Documenting agreements and dissents
Carefully documenting issues and their resolution helps the workgroup focus on the
most important issues and keeps all members aware of important decisions.
¦ To facilitate discussion or elevation of an issue, a workgroup member may submit
a dissent memorandum to the workgroup chair to object to the lead office^
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solution. The memorandum should outline the nature of the objection and the
rationale for it, and propose an alternative approach.
If a program or Region submits a dissent memorandum with an OD or AA/RA-
level signature, the lead office OD or AA/RA must respond to it and indicate
how the concern was addressed or why it was not. If the issue(s) in the dissent
memorandum are not resolved by the time of Final Agency Review, an AA/RA-level
dissent memorandum and the lead office/Region response to it should be attached
to the package circulated for Final Agency Review.
The CPRC offers training to improve negotiating and consensus building skills.
For a list of their courses as well as additional conflict prevention and resolution
resources, vist their site at http://intraent.epa.gov/adr.
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A Ction Aid 5: Issues to Consider when Giving Early Guidance
Early guidance is the opportunity for senior managers to raise questions that will focus
the direction of the workgroup. Listed below are suggested questions for consideration;
however, this list is not inclusive. Only a few of the questions may be pertinent to a
particular situation and there may be other relevant questions to consider that are not listed
here.
Have you considered the Administration's Priorities?
¦ Does this action involve climate change?
¦ Will this action help to improve air quality?
¦ Is this action assuring the safe use of chemicals?
¦ Will this action help clean up communities?
¦ Will this action help in protecting waters?
¦ How can we expand involvement on environmentalism and work toward
environmental justice with this action?
¦ Will this action help to build stronger State and Tribal partnerships?
What are the general management issues?
¦ What is our expected product?
¦ Is there a particular schedule to which we should (or must) adhere? How will that
affect the level of analysis and selection of options or alternatives?
¦ How often do I need to receive briefings on this action? At particular decision
points?
¦ Is this action likely to need OMB review?
¦ Should we involve other Federal agencies, and if so, how and when?
¦ What kinds of stakeholder involvement will improve the quality and durability of
the rule?
¦ Is this action appropriate for some type of negotiated or consensual rulemaking?
¦ What are the quality characteristics that are of particular interest? (For a list of
quality characteristics, go to page 11 & 12 of this guidance document.)
¦ What does our action's assigned tier determine about our process?
What policy and procedural issues do we need to examine?
a Do statutory mandates limit our policy options?
a Are there cross-media implications?
a What type of scientific data and research will be required?
a Should we examine market-based incentives or other innovative approaches as an
option to regulation?
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¦ In what ways could we encourage pollution prevention?
¦ What public participation provisions can we include?
¦ In what ways should we involve the regulated community?
¦ In what ways could we encourage other levels of government (co-regulators) to
have input into the rulemaking process?
¦ What further information and/or briefing does management want from the
workgroup? At what points?
¦ What documents might require peer review?
¦ What do we need to do to ensure the quality of the information supporting the
action?
What other S&EOs may require analysis?
¦ Is this action "significant" under EO 12866, as amended? If so, what kinds of
economic analysis do we need to do?
¦ Does this rule have energy impacts under EO 13211?
¦ Will this rulemaking affect small entities (i.e., small businesses, small governments,
and non profits)? Specific guidance on how to make this determination is available
at the ADP Library http://intranet.epa.gov/adplibrary
¦ Will this rulemaking impose a reporting or record keeping burden on the regulated
community?
¦ Will this rulemaking impose mandates on States or local governments? If so, it may
require consultation with affected parties or federal funding for activities under the
Unfunded Mandates Reform Act (UMRA).
¦ Will this rulemaking require consultation with State, local, or Tribal elected
officials?
¦ Will this rulemaking show an actual or potential lack of fair treatment for any
group, including minority or low-income populations? EPAs guidance on how to
determine if your action will have Environmental Justice concerns will be available
soon on the ADP Library at http://intranet.epa.gov/adplibrary.
¦ Will this rulemaking require special consideration of its impact on children?
Specific guidance on how to make this determination is available at the ADP
Library, http://intranet.epa.gov/adplibrary
¦ Will it have a significant or unique impact on small governments?
¦ Are there voluntary technical standards that may apply?
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Action Aid 6: Involving the Public and Other Stakeholders in the
ADP
When should the public and stakeholders be involved in the ADP?
Under the Public Involvement Policy (PIP), "whenever possible" Agency officials should
strive to provide opportunities for public involvement above and beyond the minimum
regulatory requirements when actions are expected to be classified as "significant" under
terms of EO 12866. You can access the PIP at http://www.epa.gov/publicinvolvement/public
Involving outside stakeholders at the earliest practicable time in constructing an EPA action
or EPA decision provides additional viewpoints, data, and options that can be valuable in
designing the most effective and implementable regulations and programs. These public
involvement activities may be in addition to efforts under certain statutes, regulations and
executive orders which require more formal consultation. The efforts and timing of public
involvement activities should be such that the information that is presented, sought, and
obtained can be integrated in a timely way with the Agencyls internal deliberation and
decision-making processes.
Who are stakeholders?
Stakeholders are those members of the public who may have an interest in a specific decision
or action the Agency is about to take. They may include Tribal, State, and local governments;
regulated industry and their suppliers; and/or economic, social, environmental and public
interest groups. While the general public is invited to participate in the notice and comment
process when the NPRM is published, during the rule development stage you may find
it useful to actively seek out and engage groups of people or organizations which can be
identified as affected either directly or indirectly, They may be able to provide additional
viewpoints, data, information, options, or insights that you don't already have access to.
Since stakeholders provide real world experiences that can improve die effectiveness of our
regulatory actions, the PIP encourages EPA officials to conduct outreach to the public to
ensure that all who may be interested or affected have an opportunity to participate.
How do we get stakeholders involved in the ADP?
The workgroup should work together to develop a plan for stakeholder involvement during
the ABP process and solicit feedback on the plan from management at the early guidance
meeting. Getting stakeholders involved requires planning to achieve identified goals;
identifying the interested and affected parties; conducting the involvement process; and
using the results of the involvement process. It should be connected to the development of
the action in a way that helps inform -the action at the earliest possible stage and continues
throughout the ADP in order to produce a quality action that is both durable and effective.
In order to be credible and productive, processes for conducting public invohfcnieitt Should
be carefully selected and the goals and endpoints ot me process should be communicated
clearly to the stakeholders. The CPRC has many resources for rulewriteis trying to design
and manage stakeholder participation. Visit their website at httpy/intranet.epa.gov/adr.
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What are the four stakeholder involvement processes?
There is not a single preferred method of stakeholder involvement. EPA has identified four
stakeholder involvement processes applicable to action development that may be appropriate
based on the desired goal or end product of the process. Involving stakeholders in the ADP
may include one or several types of processes.
Outreach - Used when EPA wants to inform stakeholders about the information, data,
options, and direction of the rulemaking or other action. This is a one-way information
sharing process. Outreach is an important component of most other stakeholder
involvement processes.
Information Exchange - Used when EPA wants to share, discuss, and exchange information,
data, and options with stakeholders. This is a two-way process that can be conducted
in a collaborative manner and can recognize convergence in views, but it does not build
consensus.
Recommendations - Used when EPA' wants to engage in a dialogue with stakeholders
identifying or narrowing down potential options. This process involves continuing
discussion with and between stakeholders. Design of a recommendations process should
involve an analysis of the applicability of the FACA.
Agreements - Used when EPA wants to engage in negotiations with stakeholders to develop
mutually acceptable options for the action. This process is known as negotiated rulemaking.
It typically involves establishment or use of a FACA with EPA taking the lead in the
negotiations.
How does the workgroup know which stakeholder involvement process to use?
The primary factors to consider in determining which stakeholder involvement process to
use include: the amount of information already available to the Agency and stakeholders, the
degree of controversy, the degree of complexity, and the time and resources available to EPA
and the stakeholders. For assistance in deciding which stakeholder involvement process is
appropriate, you can contact the Conflict Prevention and Resolution Center at http://www.
epa.gov/adr.
What is the timing of stakeholder involvement?
Planning for stakeholder involvement occurs during the development of the PABP and
the DABR. Although the stakeholder involvement process could occur earlier, ideally it
occurs during the period after the approval of the DABP and before options selection. The
information and/or recommendations obtained from stakeholders may be used in developing
the options for the options selection meeting.
How does FACA affect public involvement fn action development?
FACA generally applies whenever EPA establishes or utilizes (that is, manages or controls) a
group that includes one or more non-federal members to obtain group or collective advice or
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recommendations. FACAs public notice and transparency requirements mirror best practices
normally used in public involvement processes. A more detailed discussion of the FACA
and collaboration with the public can be found at http://www.epa.gov/publicinvolvement/
pdf/facaguide.pdf. Advice on how to design public involvement activities taking FACA
into consideration can be obtained from OGC's FACA attorney or the Office of Cooperative
Environmental Management.
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Action Aid 7: Options Selection Meetings
Options selection is the last formal step for senior management to provide input in the
development process before the workgroup completes drafting of the action.
How do 1 prepare for an options selection meeting?
¦ Prior to the options selection meeting, there is a workgroup meeting to discuss the
options and policies to be considered in advance of distributing the background
materials for the options selection meeting. The lead office prepares a summary of
other offices' positions on the options and includes it with the background materials
for the options selection meeting.
¦ The discussion and any material distributed for such a meeting are considered
deliberative and should not be discussed or released outside of EPA.
¦ The lead AA-ship/Region distributes the options selection briefing package and
background materials to the participating AAs/RAs and their RSC representatives/
RRC at least one week prior to the meeting.
Who should be invited to the options selection meeting?
¦ All participating AAs/RAs are invited to the options selection meeting. The
participating AAs/RAs should decide which staff member(s) they want to
accompany them to the meeting. The invited AA/RA may ask someone else to
represent him/her at the options selection meeting; however, the representative
must be fully able to commit the invited principal.
¦ Core offices (i.e., OP, ORD, OGC and OECA) are expected to participate on
Tier 1 and Tier 2 workgroups. Staff from these offices do not have to attend the
workgroup meeting on the options, and the AAs from these offices do not have to
attend the options selection meeting if they have no issues or concerns. Recognize,
though, that the office will miss its chance to contribute its views if an issue does
come up and the office elected to be absent.
How do I notify invitees?
• The workgroup chair advises his or her RSC representative/RRC as soon as planning
for an options selection meeting begins, but no later than two weeks in advance
of the meeting and provides him/her a list of participating AA-ships/Regions and
workgroup members identified by each office/Region.
¦ Lead RSC representatives then notify all RSC representatives/RRC from AA-ships/
Regions that are participating on the workgroup of the upcoming meeting and
include names of workgroup member(s) identified by each AA-ship/Region.
¦ RSC representatives/RRC will notify their RMD Desk Officers when an options
selection meeting is scheduled.
¦ RMD will notify RSC representatives/RRC of upcoming options selection meetings
in conjunction with the distribution of RSC meeting agendas.
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What is the protocol for an options selection meeting?
¦ The meetings are chaired by the Administrator or Deputy Administrator for Tier 1
actions, or the lead AA or Deputy AA for Tier 2 actions.
¦ The meeting focuses on selecting the approach and/or policies, identifying any
unresolved issues, and agreeing on follow-up actions.
¦ The lead office drafts a memorandum that documents the options discussed, the
decisions made, and the follow-up actions agreed to. It distributes this memorandum to
all participants.
¦ The memorandum is included in the FAR package and marked as an "internal
deliberative document."
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Action Aid 8.* Recommendations for Scheduling Key Milestone
Meetings
It is important that your office's early guidance, options selection, and FAR meetings (i.e.,
milestone meetings) are clearly described and communicated to the necessary staff to ensure
proper cross-Agency participation. This Action Aid describes recommended procedures for
scheduling your meetings in a manner that benefits all participating Program and Regional
offices. These procedures are not required. They simply help document some of the best
practices that offices have used in the past.
What is the appropriate time for scheduling key milestone meetings?
Notify participating offices of milestone meetings early enough that they are able to schedule
pre-briefs with their senior managers. Notify participating offices according to the following
time frames. (See "What should I include in my meeting notice?" section below for
recommended content of meeting notices.)
Early Guidance
Options Selection
FAR
¦ Notify participating offices of the
meeting 2 weeks in advance.
¦ Distribute the PABP briefing
materials a minimum of 5 working
days beforehand.
¦ Notify participating offices of
the meeting 2 weeks in advance.
¦ Distribute background materials
a minimum of 5 working days
beforehand,
¦ Notify participating offices and
distribute the FAR package a
minimum of 15 working days prior to
the meeting. For exceptions to 15-day
notification, see Action Aid 9.
Who are the recipients of meeting notices?
For early guidance and option selection meetings, meeting notices should be sent to the
AAs/RAs of the participating offices. The following individuals should be included in the
"Optional/cc" line:
¦ All workgroup members.
¦ The RSC representative or RRC for every participating office, as well as their
alternates. You can find a current list of RSC representatives and RRCs at http://
intranet.epa.gov/adplibrary.
¦ The Office Director responsible for the action.
¦ Other program office experts, as determined by the workgroup chair or the RSC
representative/RRC.
¦ The RMD Desk Officer for lead program and the RMD Director.
For FAR meetings, the lead office should notify the workgroup members rather than the RAs/
AAs as indicated above. All others listed in the bulleted list above should be added to the
"Optional/cc" line. Consult your Desk Officer in RMD for help. Desk Officers are listed at
http://intranet.epa.gov/adplibrary.
What should I include in the subject line of my meeting notification?
¦ The subject line of your meeting notice should include these four elements:
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¦ Type of milestone meeting (e.g., early guidance, options selection, FAR).
¦ Name of action.
¦ Stage of action when appropriate (e.g., NPRM, Final Rule).
• SAN.
What should I include in my meeting notice?
All meeting notices should include the following information in the body (i.e., the
"description" in a Lotus Notes meeting scheduler):
¦ The type of milestone meeting. (Restate it here even though it is in the Subject.)
¦ The name and SAN for the action. (Restate it here even though it is in the Subject.)
¦ Meeting purpose. (Limit this to 3-5 short bullet points.)
¦ A list of the workgroup members, RSC representatives/RRCs, and other program
office participants. Identify, all by office.
You may not have all of your materials prepared when first scheduling a meeting, but you
should distribute them as soon as possible. (See the "Timing" section for guidance on
deadlines to follow.) Meeting participants should receive the following materials:
Early Guidance
Options Selection
FAR
¦ Background material.
¦ Background material.
¦ FAR announcement memorandum.
¦ PABP.
¦ Options (try to limit to 4-5)
¦ Draft action memorandum.
¦ Major questions to
identified by the workgroup, For
¦ Draft action.
be addressed.
each option, describe:
¦ For rules:
¦ Specific issues where
• Preliminary scope of costs,
• Draft preamble.
other AA-ships or
benefits, and risks.
• Draft Regulatory Impact Analysis, or other analyses.
agencies may differ.
• Overview of how
¦ Economically significant rules must also include the
stakeholders may benefit or
OMB Circular A-4 table.
be adversely affected.
¦ Draft information collection request, if required.
¦ Decision Memorandum from options selection.
What are some things that have worked for key milestone meetings in the past?
RSC representatives and RRCs have a great deal of experience in scheduling and attending
milestone meetings. Here are their tips on what has worked well in the past:
¦ Request a meeting with the DA 2 months prior to your desired date, if it is a Tier 1
action.
¦ Schedule pre-briefs with senior managers at least 2 weeks before milestone
meetings.
¦ Make sure your workgroup list is up to date, and update the list in RAPIDS if it
changes. The lists in RAPIDS are often not current.
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In most offices, the AAs staff assistant schedules milestone meetings. Help the staff
assistant by including these elements in the meeting request you send to them:
• 3 prioritized options for the meeting date/time.
• The preferred location of the meeting.
• Audio/visual needs.
• A mailing list for the meeting notice that clearly indicates who should be in
the "Required/To" field and who should be in the "Optional/cc" field.
• The exact content of the meeting notice, so the staff assistant can cut and paste
your text. (See the above "What should I include in my meeting notice?"
section for more information.)
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Action Aid 9: Procedures for Requesting an Expedited FAR Process
Sometimes, it may be necessary to request an expedited FAR. This Action Aid establishes
procedures for requesting an expedited FAR. This procedure will be used whenever an office
believes they will not be able to provide the standard 15 working days to complete review of
the FAR package.
When is it okay to request an expedited FAR?
This expedited process is limited to those circumstances in which there is no other option,
given a deadline, or in cases where all participants agree to a shortened period. Typically,
the lead office provides participating offices/Regions with the complete FAR package (action
memorandum, Federal Register documents, economic assessment, information collection
request, communications strategy, decision memorandum, etc.) a minimum of fifteen
working days before the FAR meeting. In exceptional circumstances, it may be necessary
for this standard review period to be shortened (e.g., court-ordered deadline, etc.). An
expedited FAR does NOT mean that all documents in the FAR package do not have to be
complete. Quite the opposite, a truncated review period increases the importance of having
a complete package in hand when the review period begins.
What is the process for requesting an expedited FAR?
To shorten the FAR review period, the workgroup chair should follow the approach below:
1. The workgroup chair will seek agreement from all workgroup members to expedite the
FAR process. The chair will find out whether the workgroup members agree, or if they
have any concerns.
2. If the workgroup agrees, the workgroup chair will transmit the following information to
their RSC representative/RRC:
¦ Title and SAN for the action.
¦ The number of working days requested for the expedited FAR process.
¦ A justification for expediting the FAR process,
¦ A list of workgroup members, with Office and Regional affiliates.
¦ The position of all participating offices on the request to expedite the FAR process;
and
¦ Any concerns raised by other offices.
3. The lead RSC representative/RRC will then advise and seek agreement from the RSC
representatives/RRCs for all participating offices/Regions and address any remaining
concerns.
4. If the participating offices/Regions agree to an expedited FAR, the lead RSC
representative/RRC should provide the bulleted information in #2 above to the Director/
RMD.
5. Expedited FAR concurrences/non-concurrences must be submitted and will be addressed
according to the procedures outlined in Stage 2, Step 9 of this guidance document.
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Action Aid I Or Side Agreement for Tier 3 Actions
The lead AA-ship/Region is responsible for consulting with the identified representatives of
the other AA-ship/Regions that ask to participate in a Tier 3 action and for affording them
an opportunity to participate in the development and decision-making process. In those
rare circumstances where this side agreement needs to be supplemented with additional
agreements, those agreements will need to be clearly documented.
What are the responsibilities of the lead AA-ship/Region Workgroup Chair?
¦ Consult with the identified representative of the participating AA-ship/Region
shortly after tiering to identify specific interests/areas of concern and/or expertise,
and define the level of desired participation, i.e., full participation, reviewer,
consultant.
¦ Invite the identified representative of the participating AA-ship/Region to
workgroup meetings, if held, and to key management briefings, if held.
¦ Provide an opportunity for the identified representatives of the participating AA-
ships/Regions to participate in review (and where appropriate, the development) of
related issue, briefing, and option selection papers prepared for management.
¦ Provide an opportunity for the identified representative of the participating
AA-ship/Region to participate in the review (and where appropriate, the
development) of the action's draft document(s), i.e., the rule and preamble, Federal
Register document, guidance, policy statement, report, etc.
¦ Ensure that the participating AA-ship/Region has the opportunity to participate in
the final review of the document(s), and is informed of any distribution of a final
draft so that the participating AA-ship/Region can ensure that they provide their
final comments.
¦ Work with the participating AA-ship/Region to address comments and issues raised.
¦ Ensure that sufficient time is provided to the identified representative of the
participating AA-ship/Region, so that they may undertake a meaningful review and
complete any necessary discussions with their management.
What is expected of the participating AA-ship/Region staff contacts?
¦ Communicate and discuss with the workgroup chair shortly after tiering the
specific interests/areas of concern and/or expertise related to the Tier 3 action,
along with the level of their desired participation, i.e., full participation, reviewer,
consultant.
¦ Respond to meeting invitations. This will ensure that the workgroup chair knows
that they have received the message and confirms their continued involvement even
if they do not attend the meeting or briefing.
¦ Actively participate in the review (and where appropriate, the development) of
materials.
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¦ Ensure that comments and advice provided are representative of the AA-ship/
Region and program that they represent, and clearly indicate when that is not the
case.
¦ Participate and comment in a timely manner, making sure to represent
managements position, and work with the lead office to resolve comments and
issues raised.
¦ Inform their RSC representative or RRC and the workgroup chair for the action
when they are reassigned, and provide the name of a replacement contact, even if
that person will only be an interim contact.
How are issues resolved?
The workgroup chair and the Participating AA-ship/Region Staff Contacts will work together
to resolve issues and to quickly elevate unresolved issues to management for resolution (see
Action Aid 4).
What if a participating office would like to discontinue its participation?
The participating contact may determine at any time that their office should no longer
participate in the action. In such cases, they must inform their RSC representative or RRC
that they recommend that their office withdraw from further participation in the action. The
RSC representative/RRC will determine whether the AA-ships/Regions will withdraw from
the activity. If so, that RSC representative/RRC will notify the RSC representative/RRC for
the Lead AA-ship/Region and OP that they are withdrawing from further participation in
that activity. The RSC representative/RRC will inform their workgroup chair, and OP will
document the withdrawal in RAPIDS.
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Action Aid II: Ordering of Statutes and Executive Orders, and
Discussions for Rule Preambles
Discussions of the S&EOs affecting rulemaking are included in a section at the end of the
preamble entitled "Statutory and Executive Order Reviews." This discussion is included in
the preamble of both your proposed and final rule. It may also appear in an ANPrm or other
type of notice. Consult your RSC representative/RRC contact or OGC attorney for advice in
these instances. The information presented in these discussions is developed as part of the
data collection and analysis portion of the ADP process (see Stage 2, Sep 3).
Is there a particular order the S&EO should follow?
Use the following standard ordering of the discussion of the "Statutory and Executive Order
Reviews" section that appears at the end of rule preambles for both proposed and final rules.1
¦ Executive Order 12866: Regulatory Planning and Review and Executive Order
13563: Improving Regulation and Regulatory Review
¦ Paperwork Reduction Act
¦ Regulatory Flexibility Act
¦ Unfunded Mandates Reform Act
¦ Executive Order 13132: Federalism
¦ Executive Order 13175: Consultation and Coordination with Indian Tribal
Governments
¦ Executive Order 13045: Protection of Children, from Environmental Health & Safety
Risks
¦ Executive Order 13211: Actions that Significantly Affect Energy Supply, Distribution,
or Use
¦ National Technology Transfer and Advancement Act
¦ Executive Order 12898: Federal Actions to Address Environmental Justice in
Minority Populations and Low-Income Populations
As necessary and appropriate, you may also include a discussion of the following:
¦ Executive Order 12630: Governmental Actions and Interference with
Constitutionally Protected Property Rights (Takings)
¦ Executive Order 12988: Civil Justice Reform
For all rules and non-rule notices published in the Final Rules Section of the Federal Register
and not for any notices published in any other section of the Federal Register:
¦ Congressional Review Act
1 Exceptions will be considered on a case-by-case basis. Contact your RSC representative or RRCfor guidance on excep-
tions.
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Where can I get information on how to prepare language for S&EOs?
For more information on the S&EOs listed above and preamble template language for each,
visit the following websites:
¦ ADP Library: http://intranet.epa.gov/adplibrary
¦ ICR website: http://intranet.epa.gov/icrintra
¦ RFA/SBREFA website: http://www.epa.gov/sbrefa
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A Ction Aid 12: A Reference for OMB Review of Significant Guidance
Documents under EO 12866 Review
A guidance document can be defined as an agency statement of general applicability and
future effect, other than a regulatory action, that sets forth policy on a statutory, regulatory
or technical issue or an interpretation of a statutory or regulatory issue. The definition of a
significant guidance document1 is similar to the definition of a "significant regulatory action"
under EO 12866, and includes guidance documents that may reasonably be anticipated to
"raise novel legal or policy issues arising out of legal mandates, presidential priorities, or
the principles set forth in EO 12866..An economically significant guidance document
includes guidance that "may reasonably be anticipated to...have an annual effect on the
economy greater than $100 million or adversely affect the economy, a sector of the economy
productivity, competition, jobs, the environment, public health or safety, or State, local, or
Tribal governments or communities..
See http://www.epa.gov/regulations/guidance/byoffice.html for a list of documents by
program or Regional offices the Agency has already determined are "significant".
How do I tier a significant guidance document?
Significant guidance documents should be tiered and should follow a written procedure for
development that includes core offices, where appropriate. The procedures for developing
a significant guidance document can be found at http://intranet.epa.gov/adplibrary. We
encourage you to use the ADP to develop significant guidance documents. If you use the
ADP as your process, the following information should be included on the tiering form: title
of document, program office, proposed tier level, desired development procedure, projected
dates for OMB review (if that becomes necessary), and signature or issuance date. Note
that all significant guidance documents should receive approval at the AA-ship/Region
level. Generally, once you have determined that a new guidance document under early
development could meet the definition of a "significant guidance document" you should
contact your RSC representative or RRC if you have questions about which procedure to
follow for developing your significant guidance document.
What should be included in my newly developed significant guidance document?
A number of elements that should be included in each newly-developed significant guidance
document can be found in a checklist on the ADP Library website at: http://intranet.epa.gov/
adplibrary.
Will OMB review a significant guidance document?
When a program is nearing completion of the significant guidance document and is
preparing for its release, RMD will notify OMB that a guidance document determined as
"significant" is under development and OMB will determine if it should be transmitted for
interagency review. OMB instructed agencies to notify it about any significant guidance
'See OMB's "Final Bulletin for Agency Good Guidance Practices," http://www. whitehouse.gov/omb/assets/regulatory_matters_pdf/
mO7-07.pdf
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documents no later than 10 days prior to intended dissemination,1 but as a practical
matter, if OMB wishes to review the guidance document, it may take 30 days or more. We
recommend that you allow sufficient time prior to release of a significant guidance document
to allow for potential interagency review. Be sure to work with your RSC representative/RRC
when developing a significant guidance document.
Two weeks prior to finalizing the significant guidance document or transmitting it to OMB,
lead program or Regional offices should submit the following materials to the appropriate
RMD Desk Officer:
¦ One paper original and one hard copy of the significant guidance document;
¦ One hard copy of any other supporting materials;
¦ One electronic version; and
¦ A transmittal memorandum.
The RMD Desk Officer will transmit the significant guidance document in the ROCIS
interagency database system.
Do I have to post a significant guidance document on EPA's website and do I have to
create a docket for a significant guidance document?
Yes, OMB has instructed each Agency to allow for public comment on all final significant
guidance documents. Agencies are under no obligation to respond to comments made
specifically about a significant guidance document. However, for economically significant
guidances, Agencies are expected to respond to comments. EPA has elected to use the federal
electronic rulemaking docket (http://www.reguktions.gov/) to recieve comments on each
Agency-issued significant guidance document. For detailed instructions on how to post your
significant guidance document to EPAs website and on how to establish the docket, including
the specific ahstract text, see http://intranet.epa.gov/adplibrarv.
'See OMB*impiemeriWttOT mm
ters_fdfim07-13.pdf.
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Action Aid 13: EPA's Courtesy Copy Policy
Program offices may develop guidance and interpretive documents that are not legally
binding and make them available to the public. In order to inform Congress and the GAO
about the availability of these materials, RMD sends courtesy copies to both Houses of
Congress and GAO under the CCP Program offices should not post new policy, guidance,
or interpretive documents on the internet or otherwise disseminate the documents without
concurrently (or earlier) following the CCP submission process.
What is the CCP submission process?
Program offices and Regions are responsible in the first instance for determining whether a
document should be submitted under the CCP The program office or Region should obtain
concurrence from OGC/ORC that the document does not contain binding legal requirements
EPA Regions should receive concurrence from the appropriate Headquarters program
office that the document does not conflict with existing national guidance. After internal
reviews are complete and concurrences have been obtained, lead offices should forward
four courtesy copies or a website URL to the CRA Coordinator in RMD. (If you don't know
who your CRA Coordinator is, ask your RMD Desk Officer, who is listed at http .//intranet/
epa.gov/adplibrary/contacts.) This submission should include a short note from OGC/ORC
indicating that there are no legally binding requirements in the document. RMD will keep
the OGC/ORC statement on file and attach a short cover note to accompany the submission
before delivering it promptly to both Houses of Congress and GAO.
How do I know what to send under the CCP?
In general, any non-binding policy, guidance, or interpretive document that reflects the
first written instance in which EPA publicly announces its approach to the implementation
of or offers an explanation for a given statutory or regulatory program would be submitted
to Congress and the GAO under CCP However, a public document that merely reiterates
statutory or regulatory requirements should not be submitted under CCP. Included within
the scope of "non-binding guidance" documents that should be submitted under CCP are
those:
¦ Containing recommendations used to draft permit conditions, variances, or waivers.
¦ Explaining EPAs view of what is included in or excluded from a requirement.
¦ Containing guidance that is directly communicated to the public and used by
program offices to implement or explain EPAs regulatory programs.
¦ Directed to Regions, States and/or the regulated community to:
• Explain what the regulated community should do to comply.
• Explain how EPA will exercise its discretion in implementing statutory or
regulatory requirements.
• Offer direction to the Regions on how to implement statutory or regulatory
provisions pursuant to a specific statutory authority or program (e.g.,
memorandum from Headquarters office to Regions).
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• Define multi-media or cross-program EPA positions explaining the treatment of
certain kinds of regulated entities.
¦ Offering technical guidance directly related to a regulatory requirement;
¦ Including "stand-alone" policy, guidance, and interpretive documents; or
¦ Containing non-binding guidance relating to grants or contracts.
Is the CCP different for Regional Offices?
In short, no. Any non-binding policy, guidance or interpretive document that implements
or explains a statutory or regulatory program, and could be applied more broadly to cases
or parties in other EPA Regions or offices, is covered under the CCP. This includes guidance
documents that:
¦ Further define, clarify, or explain statutory or regulatory requirements, or Agency
policy or guidance and cover a class or group of entities, directly or by implication.
¦ Are significant, precedent-setting, or historic.
¦ Are relevant to more than one facility and used by EPA to implement, describe or
explain a statutory or regulatory program.
¦ Are specific applicability determinations or jurisdictional letters sent to a facility or
source, or to a State regarding a facility/source, if they contain broadly applicable
policy statements of interest to regulated entities.
¦ Have been communicated to affected parties, in addition to the original inquirer.
Are there any general categories of documents not included in the CCP?
Yes. Documents that are exempted from the Congressional Review Act (CRA) (see question
6) are not included. Deliberative or otherwise privileged documents, enforcement-sensitive
documents, and scientific information used to support agency programs but not directly
related to a regulatory requirement, are not covered by the CCP In addition, site-specific
and individual determinations that do not meet the criteria described in question 4 are not
covered by the CCP
How does CCP differ from CRA?
The CRA (5 U.S.C. §§ 801-808) imposes a statutory requirement to submit rules to
Congress and the GAO. In accordance with the CRA, EPA submits all documents that
contain binding legal requirements, regardless of their title, unless the document falls within
one of the exemptions to the CRA. Guidance and interpretive documents generally should
not contain legally binding requirements, and thus would not fall within the scope of the
CRA. However, EPAs policy is to provide to Congress and GAO copies of our non-binding
guidance documents under the CCP. The following types of documents are expressly
exempted from the CRA under 5 U.S.C. §804(3) and are also not included in CCP;
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. Rules of particular applicability (i.e.. those applicable to specifically named entities).
. Rules related to Agency management or personnel.
. Rules related to Agency organization procedure or practice that do not substantially
affect the rights or obligations of non-agency parties.
Check with your OGC/ORC attorney for more information about exemptions from the CRA.
For additional CRA guidance, see http://intranet.epa.gov/adplibrary.
Does RMD track CCP submissions?.
Yes RMD tracks CCP submissions in the CRA/CCP database. In addition, RMD keeps
ligned^eceipts for these submissions on file. Contact RMD's CRA coordmator for more
information about specific CCP submissions or to get read-only access to the CRA/CCP
database.
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Action Aid 14: Notices of Data Availability (NODA)
What is the purpose of this action aid?
This Action Aid provides policy guidance and recommendations for Agency staff who are
considering using a NODA in a pending Agency rulemaking. NOD As do not impose legally
binding requirements. If you work on regulatory actions, you should consider how a NODA
would be used. Some past uses of NODAs resulted in criticism from stakeholders asserting
that the Agency appeared to be imposing new requirements without going through normal
rulemaking procedures. EPAs rulemaking activities are subject to public scrutiny, as well as
judicial review under various statutes, including the RFA and APA. Questions have arisen
in the past concerning the use of NODAs after the comment period on a proposed rule has
closed and before a final rule has been issued. Agency staff should be aware of potentially
applicable requirements of these statutes, especially when developing a NODA between the
proposed and final rule stages.
How does EPA use a NODA?
EPA can use a NODA in a variety of situations to provide notice to the public of data
developed or received by EPA on a particular issue or topic. The data may be contained in
the FR notice itself, or more commonly posted in the docket or on the web with information
in the FR notice on how the public can access the data.
The type of NODAs addressed by this Action Aid are NODAS that both:
¦ Make the public aware of new data EPA is considering during the development of
a rulemaking that is subject to notice and comment in the rulemaking procedure
under the APA or any other statute.
¦ Relate to a rulemaking that has already been proposed.
For example, EPA may use a N ODA to make available to the public a new technical study
that has been developed or received by EPA and is related to a proposed rule. The NODA
serves to inform the public that the data may be considered in developing the final rule.
Although placing the data in the public docket makes the data publicly available even
without a NODA, the NODA is a way to call attention to the addition of the data to the
docket.
How does OFR categorize NODAs for publication in the FR?
The OFR considers NODAs to be rule-related actions when they make available to the public
information relating to a previously proposed rule. OFR will generally publish such NODAs
in the "Proposed Rule" section. Other NODAs that are not related to a rulemaking may be
published in the "Notices" section.
In addition, the OFR allows agencies to issue a Notice of Availability (NoA), which makes
the public aware of a particular document - as opposed to data. Like a NODA, if a NoA
is related to a pending rulemaking, OFR generally will publish it in the "Proposed Rules*
section, and if a NoA is not related to a rulemaking, then it generally will be published in the
"Notices" section.
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What is a "new regulatory alternative"?
A new regulatory alternative is a substantive or enforceable rule provision or regulatory
option that was neither included in the original regulatory text of the proposed rule nor with
the scope of the discussion in the preamble.
What is the difference between Supplemental NPRMs (SNPRMs) and NODAs?
A SNPRM typically proposes a new regulatory alternative. In addition, a SNPRM may
present new data that EPA intends to consider in developing the final rule. A SNPRM that
contains a new regulatory alternative usually is signed by the same level of agency official
as the original proposal and may be subject to OMB review under EO 12866. A SNPRM
should address in the preamble EO 12866, RFA and other S&EO reviews applicable to the
rulemaking. A SNPRM may require a supplemental analysis, for example, under the RFA,
if a new regulatory alternative would have economic impacts that were not addressed in the
RFA analysis or certification for the original proposal. You should work with your OGC or
ORC attorney to ensure that the requirements of the RFA, as well as other S&EO reviews, are
satisfied.
EPAs policy is that a NODA, on the other hand, should only announce the availability of
the new data and should not otherwise propose or identify additional regulatory alternatives
or change the original proposed rule. Therefore, no additional economic analysis should
generally be needed.
Is EPA required to request public comments when it releases new data post-proposal?
When EPA releases new data that merely reinforce the supporting information for the rule
provisions or regulatory options presented in the proposed rulemaking, EPA does so in a
NODA. The APA does not require EPA to request additional public comment. However,
when EPA proposes or identifies a new regulatory alternative, EPAs policy is to do so in a
SNPRM, not in a NODA.
The APA, as interpreted by the courts in certain instances, may require EPA to provide the
public with notice and an opportunity to comment on new data that serve to expand the
scope of the rule provisions or regulatory options presented in the original proposal and
upon which EPA may rely in a final rule. As a result, a SNPRM is an important tool for
providing an additional opportunity for public comment on a new regulatory alternative or
new data that, in effect, expand the scope of the regulatory options in the original proposal.
If you have questions concerning whether to seek public comment on new data being made
available to the public after an initial public comment period has closed (or shortly before it
will be closing), you should consult your OGC or ORC attorney.
Do NOPAs undergo formal Agency review?
NODAs do not need to undergo all the same steps in the ADP as the proposed rule, but they
should still undergo a FAR-like process and otherwise be processed as you would a standard
regulatory action. This will help to ensure the NODA policy is addressed consistently across
the Agency.
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Does OMB review NODAs?
OMB generally does not review NODAs under EO 12866. If you follow this guidance and
your NODA doesn't propose new regulatory alternatives, the AO review performed by OP
should be sufficient.
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Action Aid 15: Reports to Congress-Procedures for Internal Review
and Submission to OMB
Congress often requests or directs the Agency to report on specific topics. Congress typically
makes these requests either through authorizing statutes (e.g., Clean Air Act or Clean
Water Act), or via appropriations legislation (i.e., the bills that provide the Agency with its
operating funds). OP may be involved in the development of the report to Congress in either
of these circumstances, and this Action Aid discusses the process for our involvement in
detail.
Are reports to Congress Tiered?
Reports to Congress are considered "non-regulatory" actions under the ADP and should be
developed according to these guidelines:
¦ Reports to Congress mandated by authorizing statute should all be tiered and should
follow the ADP for the designated Tier level.
¦ Reports to Congress called for by appropriations legislation, or requested through
committee reports, should be tiered if the substantive content of the report would
establish or amend policy or otherwise provide new or revised interpretations of
statutory, regulatory, or policy requirements. If the report to Congress called for by
appropriations legislation is tiered, it should follow the ADP for the designated Tier
level.
In RAPIDS, there is a specific tiering form available for reports to Congress, which is a
condensed version of the tiering form for regulatory actions. Program offices should
complete this form for each new report to Congress. The completed form should be
submitted via the lead office RSC Representative/RRC so that it can be included in the
Agency's monthly tiering exercise for review by the RSC and assignment of workgroup
representatives. Once the tiering is approved by OP management, each tiered report to
Congress should follow the appropriate steps in the ADR
Unlike the ADP for regulatory actions, the ADP for reports to Congress differs in stipulating
that the office coordinating the end of the development process varies based on the source of
the Congressional request. The office selected to coordinate OMB review and final sign-off
for transmittal to Congress varies based on the following criteria:
¦ The Office of Congressional and Intergovernmental Relations (OCIR) coordinates
reports to Congress called for by authorizing statutes.
¦ The Office of the Chief Financial Officer (OCFO) coordinates reports to Congress
called for through appropriations language or committee reports.
It is important to note that before such reports are submitted to either OMB or Congress
(without regard to the source of the Congressional request, internal coordinating office, or
ADP tier level), OP/ORPM is tasked with reviewing and approving all reports to Congress
that address substantive issues that could establish or amend policy or otherwise provide
new or revised interpretations of statutory, regulatory, or policy requirements.
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Reports to Congress Mandated by Authorizing Statute
Submitting the report to OMB
¦ When a report to Congress is ready for submission to OMB, the lead program/
Regional office should prepare an Action Memorandum requesting OMB/
Interagency clearance of the report. The Memo should summarize the primary
conclusions and recommendations in the report and the process used for the
development and review of the report. The Memo should be:
• From the lead program office AA/RA.
• Through the AA/OE
• To the AA/0C1R.
¦ The originating office should submit an original and one copy as well as an
electronic version of the Action Memorandum and the report to OP/ORPM with
a "cc" on the electronic version to OCIR at least ten weeks prior to the date the
report is due for submission to Congress. When the original schedule cannot
accommodate this target submission date, please contact your RSC representative/
RRC to work with OP and OCIR to identify a workable schedule for completing
your report on time.
¦ Upon receiving the report to Congress, OP/ORPM will review it for any resource
implications. If there are resource implications, OP/ORPM will forward an
electronic Copy of the report to the OCFO for review and include a due date for
completion of OCFO's review.
¦ OP/ORPM will promptly review the submitted reports to Congress and, in
consultation with OCIR, will recommend whether to forward the report to OMB for
OMB/Interagency clearance. Once approved by management to go to OMB, OP/
ORPM will electronically transmit the report to OCIR for immediate submission to
OMB and deliver a hard copy of the report to OCIR.
¦ OCIR will transmit the report to OMB with "cds" to OP/ORPM and the lead office/
Regional Office (including the RSC representative/RRC). The report to Congress
should be forwarded to OMB for review at least six weeks prior to the due date.
OMB has up to 30 days to review the report.
¦ OP/ORPM will enter the date of transmittal to OMB in RAPIDS.
¦ During OMB review, OCIR will work with the originating program office, including
the RSC representative/RRC, and OP/ORPM to consider OMB comments and will
inform, as necessary, other interested AA/RAs regarding any revisions requested
through interagency comments. Any discussions with OMB should include the OP/
ORPM workgroup representative. The representatives of the other core offices (i.e.,
OECA, OGC, & OR!)) should be included when significant issues relevant to those
programs are being discussed,
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Submitting the report for Signature
When a report to Congress has cleared OMB and is ready to be transmitted to Congress,
OCIR will work with the originating office to prepare transmittal letters for signature. Letters
will be sent to the President of the Senate and the Speaker of the House of Representatives,
and, as appropriate, to the chair and ranking member of committees of jurisdiction.
¦ The program office should finalize the Action Memorandum, including discussion
of any changes requested by OMB. The Memo should be:
• From the lead program office AA/RA.
• Through the AA/OR
• To the AA/OC1R.
¦ The program office AA/RA should submit a complete package for review and
approval for signature to OP with a cc to OCIR. The package should include the
original and 3 hard copies, as well as electronic versions of:
• The Action Memorandum.
• The transmittal letters.
• The final report to Congress.
¦ OP/ORPM will review reports to Congress and, in consultation with OCIR, will
recommend whether to forward the report to Congress. Once approved, OP/ORPM
will electronically transmit the report to OCIR and deliver the hard copies of the
report package to OCIR.
¦ OCIR will submit the transmittal letters for signature along with the report to
Congress, "cc" the originating program office (including the RSC representative/
RRC) and OP, and subsequently, transmit the report to Congress.
¦ OP/ORPM will enter the date of transmittal to Congress in RAPIDS.
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Reports to Congress Mandated through A ppropriations or Requested in Committee
Reports:
OCFO manages the reports to Congress requested via appropriations language or committee
reports. OCFO maintains and regularly updates a database which tracks Congressional
report requests, the status of each Agency response, and whether OP has 'flagged' a report
as being of interest. OCFO works directly with the Senior Budget Officers (SBOs) in each
Agency office and has issued written guidance regarding the development of the reports to
Congress under its purview, i.e.: Standard Operating Procedures for reporting Requirement
reports Mandated by the Appropriations Committees (included below).
Many of the reports to Congress OCFO coordinates do not deal directly with issues that
would establish or amend policy or otherwise provide new or revised interpretations of
statutory, regulatory, or policy requirements and the ADP will not apply to those actions.
However, to ensure offices represented on the RSC have an opportunity to get involved as
early as possible in the development of reports to Congress that do appropriately fit under
the ADP, the following procedures will be observed by OP/ORPM:
¦ Utilizing the brief summary information available in OCFO's database, OP/ORPM
will preliminarily identify reports to Congress that might warrant OP attention/
involvement.
¦ OP/ORPM will flag its interest in OCFO's database, assign an OP/ORPM analyst
and notify the lead program office RSC Representative/RRC who then notifies their
office's SBO (per OCFO's guidance, below).
¦ The OP/ORPM analyst is tasked with looking into the charge from Congress and
communicating with the program lead.
¦ If the OP/ORPM analyst concludes OP does not have a role to play on a particular
report, OP/ORPM will update the entry in OCFO's database to reflect that decision.
¦ If the OP/ORPM analyst believes OP does have a role, the analyst is to engage with
the program in the same capacity as if it were a rule, i.e.:
¦ If they believe milestones are necessary, they will suggest that to the program.
¦ If they believe the report should be tiered, they will raise it to the OP RSC
Representative to pursue through RSC channels.
¦ Whether tiered or not, OP/ORPM analysts will encourage programs to enter each
report into Scout to improve transparency during development.
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Standard Operating Procedures for Reporting Requirement
Reports, Mandated by the Appropriations Committees
The Congress acts on the various Budgets by developing, amending, and, ultimately, passing
bills which enact the Budgets into law. The Congressional Committees will then develop
Congressional (House, Senate, Conference) reports language to identify guidelines for
Agency's spending.
Within these Congressional reports, the Committees may request that a report(s) be
produced and provided to them by a specific date. These reports are designated as reporting
requirement reports (RRR) which may be either an Agency or in association with another
Agency (e.g., National Academy of Sciences, Army Corps of Engineers, etc.) report.
Reporting Requirements Issuance
The Office of Budget's (OB) Formulation Team reviews and updates the OB database with
the new reporting requirement reports (RRR) that are included in the House, Senate and
Conference reports. OB sends a memo to the Agency's Senior Budget Officers (SBOs), OP
contacts and the Office of Budget (OB) identifying the reporting requirements reports, office
assignments and due dates. The memo is notification that the database has been updated
with the new requirements.
With issuance of the memo, this is the Senior Budget Officers' (SBOs) opportunity to review
the database for due dates and accuracy of office assignments. If an office assignment is
incorrect, the designated SBO and media analyst will need to negotiate the reassignment.
After the SBOs agree upon the reassignment, the newly assigned SBO will advise the
Formulation Team via e-mail that both SBOs agree. The Formulation Team will then update
the database if a new assignment is required.
OP will review the OB database and flag any reporting requirements that fall within their
stated task of "substantive issues regarding protection of human health and the environment"
in which they wish to track. OP will contact the Regulatory Steering Committee (RSC)
representative within that office. The RSC representative within that office should work with
their SBO to ensure the office is aware of OP's interest.
OB media analysts and SBOs should read the entire House, Senate and Conference reports,
provided by OB's Formulation Team, for further details on reporting requirements and other
mandates (e.g., Congressional directives) directed by the Committees.
Development of the Report
The SBO coordinates the development of the report, in coordination with OP, if applicable,
and other interested parties to ensure that the report has been properly reviewed and
answered in accordance with the timeline below. RSC representatives may contact the
program office if the requirement deals directly with issues that establish or amend policy
or otherwise provide new or revised interpretations of statutory, regulatory or policy
requirements. OB media analysts will review and update the database with the report prior
to transmittal to OMB and in accordance with the timeline below.
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Extensions
If the SBO determines that the report will be late, the OB Office Director should be notified
in writing no later than five weeks prior to the due date. The SBO should include the media
analyst and Formulation Team as a cc. This note should include a justification for the delay
and an achievable, realistic due date that the program office is prepared to meet without
further extension. The media analyst prepares a formal request for an extension of the
deadline to the House and Senate Appropriations Subcommittees, for signature by the OB
Office Director. The media analyst provides copies of the requests and its results to the SBO,
Formulation Team, and OP if appropriate.
OMB Review
Six (6) weeks before the due date established by the Appropriations Committee, the SBO
office submits the report to the OB Media Staffs and OP (for RRRs of interest) for comment
and review. The OB media analyst reviews the report and coordinates a broader OCFO
review if necessary and ensures that all requirements identified in the Committees' request
have been satisfied. OP provides any comments to the SBO and OCFO.
Four (4) weeks prior to the Committee's due date, the media analyst provides the report
to OMB for clearance. The media analyst prepares a brief transmittal letter to OMB's
Environment Branch Chief, signed by the OB Office Director, and then forwards it to OMB.
The routing slip should include the Formulation Control and Policy Staff Director^ name for
concurrence. In addition, the media analyst ensures that the OB database is updated with a
copy of the complete package and the database status is changed to indicate "Sent to OMB."
This letter should request that OMB review the report and return it to the OB in two weeks.
The letter should identify the responsible media analyst, including the telephone number for
all questions, comments, edits, etc.
The Media Analyst works with the SBOs and OP, if appropriate, on all revisions or additional
information requested by OMB and has one week to resolve all issues.
Submission to Congress
One week prior to the due date, the OB Media Analyst prepares a cover letter tor signature by
the Chief Financial Officer. Please include the Agency^ Appropriations Liaison as the point
of contact. If necessary, the media analyst works with the SBO to develop the transmittal
letter. The transmittal letter should include a short (e.g., one to two paragraphs) summary
of the report. The SBO's Deputy Assistant Administrator must concur with the report and
transmittal letter and sign the routing slip,
Identical copies of the letter and report, as prepared above, should be individually addressed
to the Chairs and Ranking Minority Members of both House and Senate Appropriations
Subcommittees:
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U.S. Senate
Chairman, Subcommittee on
Interior, Environment, and
Related Agencies
Committee on Appropriations
United States Senate
Washington, DC 20510
Ranking Member, Subcommittee on
Interior, Environment, and
Related Agencies
Committee on Appropriations
United States Senate
Washington, DC 20510
U.S. House of Representatives
Chairman, Subcommittee on
Interior, Environment, and
Related Agencies
Committee on Appropriations
U.S. House of Representatives
Washington, DC 20515
Ranking Member, Subcommittee on
Interior, Environment and
Related Agencies
Committee on Appropriations
U.S. House of Representatives
Washington, DC 20515
The Agency's Appropriation Liaison ensures that the signed transmittal letter and report are
delivered to the Members listed above.
The OB media analyst will ensure that a final update to the RRR section in the OB database
includes: 1) a scanned copy of the dated and signed Congressional transmittal letter and
report; 2) a final statement, "This fulfills EPAs requirement and serves as the final update
related to this requirement" which will acknowledge that the requirement is complete; and
3) the report status is changed to "Final" in the OB database. The OB database will be the
repository for all House and Senate Appropriations Committee final reports.
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Reporting Requirement Responsibilities
OFFICE OF BUDGET
DUE DATE
ASSIGNMENT
Formulation Team
Media
Analysis
OCFO
SBOs
OP
At Time of
Issuance of
Committee
Reports
Review Congressional
Reports For Reporting And
Other Requirements
X
X
Updates OB database With
new requirements
X
Assign Reports and due dates
to NPMs
X
Identify report in database
that they wish to track and
inform RSC respresentative
X
Coordinate the programm-
matic review and develop-
ment of report
X
Six Weeks Prior
to Due Date
1) Transmit Report to OB and
OP
2) Notify OB if Report Will Be
Delayed
X
Request Congressional Ex-
tension, if Report Delayed
X
Coordinate OCFO Review
X
Four Weeks to
Due Date
1 )Transmit to OMB Review
2)Update the OB Database
X
Two Weeks
Prior to Due
Date
Coordinate OMB Review and
any Necessary Revisions
X
X
One Week
Prior to Due
Date
Prepare and Develop Four
Cover Letters and Reports to
Congress
X
X
Due Date
Transmit to Congress
X
Final Steps
Updates database
X
103
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Appendix B:
Overview of the ADP
The flowchart on the following two pages summarizes the "ADP" for Tier 1 and Tier 2
proposed rules as discussed throughout the text of this document. The lead office develops
the proposed rule, which may take months to years depending on the complexity of the rule,
a priorities, and court/statutory deadlines.
o
ca « EPA initiates the following steps upon identifying a cause for rulemaking, such as the
•- ** issuance of a new statute, court order, presidential initiative, or administrator priority.
¦ Step 1. Commencement and tiering the action
¦ Step 2. Preparation of the PABP
¦ Step 3. Receipt of early guidance from management
¦ Step 4. Preparation of the DABP
¦ Step 5. Senior management approval of the DABP
¦ Step 6. Development of regulatory options with appropriate analyses and
consultations
¦ Step 7. Selection of preferred regulatory option
¦ Step 8. Preparation of preamble, rule and support documents
¦ Step 9. Final Agency review by senior management in participating offices and
Regions
¦ Step 10. OP review for regulatory actions deemed "significant" under EO 12866
¦ Step 11. OMB review for significant regulatory actions
¦ Step 12. OP approval and the signature of the Administrator (or his/her designee)
¦ Step 13. Publication in FR and opening of dockets
¦ Step 14. Public comments received
For final rules, EPA adds three additional steps:
¦ Consideration of and response to public comments
¦ Repetition of appropriate rulemaking steps (Steps 4 through 14)
¦ Simultaneous with FR submission, EPA submits a copy of the rule to Congress and
GAO under the CRA.
104
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Flowchart of Rule Development
For the purpose of illustration, the next 2 pages include a flowchart demonstrating the
process for developing a rule. Please note that the ADP also applies to the development of
other significant non-regulatory actions.
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Tiers 1 & 2—Proposed Rules
1. Statute, Court Order,
Presidential Initiative, or
Administrator's priority as
cause for rulemaking.
2. Telring and Commencement: Lead
program gives teiring form with
recommended tier level to RMD
for distribution to the RSC for action
and the RPO for commencement
approval.
*
3. Workgroup prepares
Preliminary Analytic
Blueprint.
CL
Q
<
BO «
x ¦£
c
&
o
S
sl
< 2
$
o
*
7. Workgroup undertakes analyses and consultation required
by other statutes and EO's, (e.g. impacts on state, local,
and tribal govts; small businesses; children's health issues;etc.)
Workgroup develops regulatory options
*
8. Options
Selection*
Tier 1:» A/DA &AAs
Tier 2: Lead AA
& Workgroup
11. If rule is significant under
EO 12866, OP reviews and
submits to OMB
12.0MB Review:
OMB has 90-120 days
to review "significant"
rules.
13. Administrator |
or AA/RA signs.
Legend
= Critical Senior Management Input
* Cross-Agency Decision
** The Agency may request a one-time 30 day extension
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4. Early Guidance*
Tier 1 :* A/DA & AAs
Tier 2: Lead AA &
Participating AA's
*
5. Workgroup prepares
Detailed Analytic Blueprint (DABP)
It is a workgroup's plan for
developing analysis and outreach on
scientific, economic, and legal issues;
stakeholder involvement; and
implmentation, enforcement,
and compliance assusrance.
->
14. EPA submits rule to the Office of Federal Register
for publication (1 week to 3 months depending on
compexity and length). FDMS and Public
Docket opened
->
15. Public comment
period (typically 60
days); public hearing
as applicable.
. Developing the
—A final
' (see p
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Other websites of interest:
1. http ://www. epa.gov/publicinvolvement
2. http://www.archives.gov/federaLregister/document
3. http://www.epa.gov/indian/
4. http://intranet.epa.gov/fdmsinfo
5. http://www.regulations.gov/
6. http://www.epa.gov/sbrefa
7. http://www.epa.gov/quality/informationguidelines
8. http ://intranet. epa. gov/ohr/rmpolicy
9. http://www.epa.gov/osa/spc/2peerrev.htm
10. http ://intranet. epa.gov/icrintra
11. http://www.epa.gov/regulations/guidance/byoffice.html
12. http ://www.whitehouse.gov/omb/memoranda/fy2007/mO 7-13.pdf
13. http ://www. epa. gov/lawsregs/search/regagenda.html
14. http://intranet.epa.gov/adr/ (publically available site: http://www.epa.gov/adr/)
108
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