§ 1300.52 - Sanctions - risk assessment and non-compliance.


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  • § 1300.52 Sanctions - risk assessment and non-compliance.

    (a) Risk assessment.

    (1) All States receiving funds under the grant programs authorized under 23 U.S.C. Chapter 4 and Section 1906 shall be subject to an assessment of risk by NHTSA. In evaluating risks of a State highway safety program, NHTSA may consider, but is not limited to considering, the following for each State:

    (i) Financial stability;

    (ii) Quality of management systems and ability to meet management standards prescribed in this part and in 2 CFR part 200;

    (iii) History of performance. The applicant's record in managing funds received for grant programs under this part, including findings from Management Reviews;

    (iv) Reports and findings from audits performed under 2 CFR part 200, subpart F, or from the reports and findings of any other available audits; and

    (v) The State's ability to effectively implement statutory, regulatory, and other requirements imposed on non-Federal entities.

    (2) If a State is determined to pose risk, NHTSA may increase monitoring activities and may impose any of the specific conditions of 2 CFR 200.207208, as appropriate.

    (b) Non-compliance. If at any time a State is found to be in non-compliance with the requirements of the grant programs under this part, the requirements of 2 CFR parts 200 and 1201, or with any other applicable law, the actions permitted under 2 CFR 200.207208 and 200.338339 may be applied as appropriate.