99-31778. Privacy Act of 1974: Notice of Modifications to a System of Records and the Establishment of a New System of Records  

  • [Federal Register Volume 64, Number 236 (Thursday, December 9, 1999)]
    [Notices]
    [Pages 69051-69054]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 99-31778]
    
    
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    SECURITIES AND EXCHANGE COMMISSION
    
    [Release No. PA-28; File No. S7-27-99]
    
    
    Privacy Act of 1974: Notice of Modifications to a System of 
    Records and the Establishment of a New System of Records
    
    AGENCY: Securities and Exchange Commission.
    
    ACTION: Notice of intended modifications to an existing system of 
    records and the establishment of a new system of records.
    
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    SUMMARY: The Securities and Exchange Commission proposes to modify an 
    existing system of records by excluding records submitted by broker-
    dealers and to add a new system of records consisting of these broker-
    dealer records. This proposal reflects the assumption of certain 
    registration functions, including maintenance of broker-dealer 
    registration records in the new Internet-based Central Registration 
    Depository (CRD), by the National Association of Securities Dealers, 
    Inc. (NASD).
    
        Also, the Commission is proposing to make major changes in its 
    ``Pay and Leave System (SEC-15).'' The changes are designed to reflect 
    the transfer of some of its payroll functions to the National Business 
    Center of the U.S. Department of the Interior (DOI). As a result of the 
    transfer, certain SEC-15 records would become a part of DOI's 
    integrated, automated payroll system.
    
    DATES: Comments must be received by January 10, 2000. The proposed 
    changes and the new system of records will take effect January 18, 
    2000, unless the SEC receives comments that would require a different 
    determination.
    
    ADDRESSES: Please send three copies of your comments to Jonathan G. 
    Katz, Secretary, SEC, 450 Fifth Street, NW, Washington, DC 20549-0609. 
    You may also send your comments electronically to the following 
    electronic address: rule-comments@sec.gov. All comments should refer to 
    File No. S7-27-99 and, if sent electronically, should include this file 
    number on the subject line. Comment letters will be available for 
    public inspection and copying at our Public Reference Room, 450 Fifth 
    Street, NW, Washington, DC 20549. If sent electronically, comment 
    letters will also be available on our Web site (http://www.sec.gov).
    
    FOR FURTHER INFORMATION CONTACT: Betty A. Lopez, Privacy Act Officer, 
    (202) 942-4320, Office of Filings and Information Services, SEC, 
    Operations Center, 6432 General Green Way, Alexandria, VA 22312-2413.
    
    SUPPLEMENTARY INFORMATION: The Commission gives notice of major changes 
    to ``Applications for Registration/Exemption under the Securities 
    Exchange Act of 1934, the Investment Advisers Act of 1940, and the 
    Investment Company Act of 1940 (SEC-2),'' which results in the 
    establishment of a new system--``Broker-Dealer Records (SEC-49).'' It 
    also gives notice of major changes to ``Pay and Leave System (SEC-
    15).''
    
    SEC-2
    
        Currently, the Commission treats paper and microfiche copies of 
    applications for registration by broker-dealers (Form BD) and 
    investment advisers (Form ADV) and their related amendments, withdrawal 
    notices, and other forms as agency records subject to the Privacy Act. 
    Accordingly, the Commission has published and periodically updated a 
    system of records notice for these records, designated as SEC-2. These 
    records contain names of individuals and information about those 
    individuals, such as disciplinary information. However, the current 
    Privacy Act notice does not address the electronic filing of such forms 
    and new ways of maintaining and retrieving them through any SEC or non-
    SEC system. The Commission is therefore proposing to transfer broker-
    dealer records, whether in paper, microfiche, or electronic format, 
    from SEC-2 to the ``Broker-Dealer Records'' (SEC-49), a new Privacy Act 
    records system. In addition, the Commission is proposing to restate the 
    routine uses in plain English and to delete outdated or redundant 
    uses.\1\
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        \1\ See 5 U.S.C. 552a(b), Conditions of Disclosure.
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    SEC-15
    
        Moreover, the Commission gives notice of major changes to its ``Pay 
    and Leave System (SEC-15).'' On June 20, 1999, the Commission 
    transferred some of its payroll functions to DOI. This transfer 
    required the integration of its notices of personnel action and other 
    pay-related records with the DOI's automated payroll and personnel 
    system. The Commission, however, would continue to maintain its 
    electronic payroll files, official personnel files, time and attendance 
    reports, and service history files pertaining to SEC employees. To 
    reflect this development and restate the routine uses of SEC-15 records 
    in plain English, the Commission is proposing major changes to SEC-15.
    
    SEC-49
    
        On April 30, 1999, the Commission adopted amendments to Form BDW 
    and Rules 15b3-1, 15b6-1, 15Ba2-2, 15Bc3-1, 15Ca1-1, and 15Cc1-1 under 
    the Securities Exchange Act of 1934 (Exchange Act).\2\ On July 2, 1999, 
    the Commission adopted amendments to Form BD and Rules 15b3-1, 15Ba2-2, 
    and 15Ca2-1 under the Exchange Act.\3\ These amendments require broker-
    dealers to submit all Form BD amendments and Form BDW withrawal 
    requests electronically to Web CRD. As a result of these amendments, 
    the NASD, which is responsible for the operation and maintenance of Web 
    CRD, will be the custodian of broker-dealer registration records filed 
    on or after August 16, 1999. As custodian, the NASD must maintain the 
    records in accordance with federal record-keeping requirements.\4\ 
    Under 5 U.S.C. 552a(m), the NASD has entered into a Memorandum of 
    Understanding with
    
    [[Page 69052]]
    
    the Commission, under which the NASD also assumes, among other things, 
    all responsibilities for compliance with the Privacy Act with respect 
    to those records.
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        \2\ Securities Exchange Act Release No. 41356 (April 30, 1999), 
    64 FR 25143 (May 10, 1999).
        \3\ Securities Exchange Act Release No. 41394 (July 2, 1999), 64 
    FR 37586 (July 12, 1999).
        \4\ 36 CFR 1220, Federal Records--General, 36 CFR 1222, Creation 
    and Maintenance of Federal Records, and 36 CFR 1234, Electronic 
    Records Management.
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        All broker-dealer records on paper and microfiche, received by the 
    Commission before August 16, 1999, will remain in its custody and 
    control and their routine uses are unchanged by the development of the 
    Web CRD.
        As 5 U.S.C. 552a(r) requires, the Commission has submitted its 
    reports of the new and the altered systems of records to the Congress 
    and the Office of Management and Budget. This complies with Appendix I 
    to OMB Circular A-130, ``Federal Agency Responsibilities for 
    Maintaining Records About Individuals,'' as amended on February 20, 
    1996.\5\
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        \5\ 61 FR 6428, 6435-39.
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        Accordingly, the Commission proposes to amend SEC-2 and SEC-15 and 
    establish SEC-49, to read as follows:
    SEC-2
    
    SYSTEM NAME:
        Applications for Registration or Exemption under the Investment 
    Advisers Act of 1940 and the Investment Company Act of 1940.
    
    SYSTEM LOCATION:
        SEC, 450 Fifth Street, NW, Washington, DC 20549.
    
    CATEGORIES OF INDIVIDUALS COVERED BY THE SYSTEM:
        Officers, directors, and other individuals related to investment 
    advisers or investment companies.
    
    CATEGORIES OF RECORDS IN THE SYSTEM:
        Name, date of birth, address, telephone numbers, social security 
    number, education, past and present employment, disciplinary history, 
    business relationships, and similar information.
    
    AUTHORITY FOR MAINTENANCE OF THE SYSTEM:
        15 U.S.C. 77f, 77g, 77h, 77j, 78l, 78m, 78n, 78o(d), 78p, 79e, 80a-
    6, 80a-8, 80b-3, and 80b-6a.
    
    PURPOSES:
        To help the SEC staff process applications for registration or 
    exemption and related forms under the Investment Advisers Act of 1940 
    and the Investment Company Act of 1940 and implement the Federal 
    securities laws and rules.
    
    ROUTINE USES OF RECORDS MAINTAINED IN THE SYSTEM, INCLUDING CATEGORIES 
    OF USERS AND THE PURPOSES OF SUCH USES:
        In addition to the conditions of disclosure under 5 U.S.C. 552a(b), 
    the SEC staff may provide these records to:
        (1) Any member of the general public upon request;
        (2) Any Federal, state, local, or foreign government authority or 
    securities self-regulatory organization that is investigating a 
    violation or potential violation of a statute, rule, regulation, or 
    order;
        (3) Any Federal, state, local, or foreign bar association or 
    similar licensing authority responsible for possible disciplinary 
    action;
        (4) Any Federal, state, or local government or governmental 
    authority that is deciding to hire or retain an individual, sign a 
    contract, or issue a license, grant, or benefit;
        (5) Any individual or entity appointed by a court of competent 
    jurisdiction or agreed upon by the parties to a pending court action or 
    administrative proceeding alleging a violation of the Federal 
    securities laws or rules; and
        (6) Any contractor that performs, on the SEC's behalf, services 
    requiring the use of these records.
    
    POLICIES AND PRACTICES FOR STORING, RETRIEVING, ACCESSING, RETAINING, 
    AND DISPOSING OF RECORDS IN THE SYSTEM:
    STORAGE:
        These records are maintained in paper, microfiche, or electronic 
    format.
    
    RETRIEVABILITY:
        These records are retrievable by the name of, or a file number 
    assigned to, the registrant. Individual name access to these records is 
    available through the SEC's Name-Relationship Search Index.
    
    SAFEGUARDS:
        Non-computer records are maintained in a central records facility 
    that only authorized individuals may access. The facility is locked, 
    with security cameras and 24-hour security guards. Computer records, 
    which are subject to data integrity controls, require passcodes for 
    database access.
    
    RETENTION AND DISPOSAL:
        These records are transferred to the Federal Records Center 
    periodically for storage. They are controlled by file number and 
    retained under 17 CFR 200.80f. Permanent files are sent to the National 
    Archives and Records Administration after a specified storage time at 
    the Federal Records Center.
    
    SYSTEM MANAGER(S) AND ADDRESS:
        Records Officer, SEC, Operations Center, 6432 General Green Way, 
    Alexandria, VA 22312-2413.
    
    NOTIFICATION PROCEDURE:
        Requests to determine whether this system of records contains a 
    record pertaining to the requesting individual should be sent to the 
    Privacy Act Officer, SEC Operations Center, 6432 General Green Way, 
    Alexandria, VA 22312-2413.
    
    RECORDS ACCESS PROCEDURES:
        Persons wishing to access or contest these records should write the 
    Privacy Act Officer, SEC Operations Center, 6432 General Green Way, 
    Alexandria, VA 22312-2413.
    
    CONTESTING RECORD PROCEDURES:
        See Records Access Procedures, above.
    
    RECORD SOURCE CATEGORIES:
        Applications for Registration or Exemption and related forms filed 
    with the SEC under the Investment Advisers Act of 1940 and the 
    Investment Company Act of 1940.
    
    EXEMPTIONS CLAIMED FOR THE SYSTEM:
        None.
    SEC-15
    
    SYSTEM NAME:
        Pay and Leave System.
    
    SYSTEM LOCATIONS:
        (1) Payroll files, official personnel files, time and attendance 
    reports, and service history files: SEC, Operations Center, 6432 
    General Green Way, Alexandria, VA 22312-2413;
        (2) Notices of personnel action and other pay-related records: 
    Department of the Interior, National Business Center, Payroll 
    Operations Division, Mail Stop D-260, 7301 West Mansfield Avenue, 
    Lakewood, CO 80235-2230; and
        (3) Retired personnel files: National Archives and Records 
    Administration, National Personnel Records Center (Civilian Personnel 
    Records Center), 111 Winnebago Street, St. Louis, MO 63118.
    
    CATEGORIES OF INDIVIDUALS COVERED BY THE SYSTEM:
        Past and present SEC employees.
    
    CATEGORIES OF RECORDS IN THE SYSTEM:
        Payroll files, time and attendance reports, official personnel 
    files, and service history files.
    
    AUTHORITY FOR MAINTENANCE OF THE SYSTEM:
        5 U.S.C. app. 21-89.
    
    PURPOSE(S):
        To locate SEC employees and determine such matters as their period 
    of service, type of leave, qualifications, benefits, and pay.
    
    [[Page 69053]]
    
    ROUTINE USES OF RECORDS MAINTAINED IN THE SYSTEM, INCLUDING CATEGORIES 
    OF USERS AND THE PURPOSES OF SUCH USES:
        In addition to the conditions of disclosure under 5 U.S.C. 552a(b), 
    the SEC staff may provide these records to:
        (1) The National Business Center of the U.S. Department of the 
    Interior;
        (2) Any Federal, state, or local government compiling tax 
    withholding, retirement contributions, or allotments to charities, 
    labor unions, and other authorized recipients;
        (3) Any Federal governmental authority or its agents investigating 
    (a) a violation or potential violation of a statute, rule, regulation, 
    or order, or (b) an employee's grievance or complaint;
        (4) Any member of the public for employment verification at an 
    employee's written request;
        (5) Any judgment creditor for the purpose of garnishment;
        (6) Any arbitrator under a negotiated labor agreement;
        (7) The General Accounting Office, the Office of Management and 
    Budget, and other Federal agencies to support payments of salaries and 
    benefits to SEC employees; and
        (8) The Office of Child Support Enforcement, Administration for 
    Children and Families, Department of Health and Human Services, the 
    Federal Parent Locator System and the Federal Tax Offset System to (a) 
    locate individuals, (b) identify income sources, (c) establish 
    paternity, (d) verify social security numbers or employment, (e) issue, 
    modify, or enforce orders of support, or (f) administer the Federal 
    Earned Income Tax Credit Program.
    
    STORAGE:
        Payroll files, official personnel files, and time and attendance 
    reports are kept in paper or electronic format.
    
    RETRIEVABILITY:
        Official personnel files and payroll files are retrievable by an 
    employee's name or social security number.
    
    SAFEGUARDS:
        Only authorized employees of the SEC and other Federal government 
    agencies may access these records.
    
    RETENTION AND DISPOSAL:
        These records are maintained and disposed of under General Records 
    Schedule Nos. 2 and 20 of the General Services Administration.
    
    SYSTEM MANAGER(S) AND ADDRESS:
        Office of Administrative and Personnel Management, SEC, Operations 
    Center, 6432 General Green Way, Alexandria, VA 22312-2413.
    
    NOTIFICATION PROCEDURE:
        Requests to determine whether this system of records contains a 
    record pertaining to the requesting individual should be sent to the 
    Privacy Act Officer, SEC, Operations Center, 6432 General Green Way, 
    Alexandria, VA 22312-2413.
    
    RECORDS ACCESS PROCEDURES:
        Persons wishing to access or contest these records should write the 
    Privacy Act Officer, SEC, Operations Center, 6432 General Green Way, 
    Alexandria, VA 22312-2413.
    
    CONTESTING RECORD PROCEDURES:
        See Record Access Procedures, above.
    
    RECORD SOURCE CATEGORIES:
        Notices of personnel action, electronic time and attendance 
    records, withholding certificates, and other pay-related records 
    prepared by employees or the Office of Administrative and Personnel 
    Management.
    
    EXEMPTIONS CLAIMED FOR THE SYSTEM:
        None.
    SEC-49
    
    SYSTEM NAME:
        Broker-Dealer Records.
    
    SYSTEM LOCATION:
        Records filed before August 16, 1999: SEC, 450 Fifth Street, NW, 
    Washington, DC 20549; and
        Records filed on or after August 16, 1999: NASD, 1390 Piccard 
    Drive, Rockville, MD 20850.
    
    CATEGORIES OF INDIVIDUALS COVERED BY THE SYSTEM:
        Registrants and officers, directors, principal shareholders, or 
    other individuals related to them.
    
    CATEGORIES OF RECORDS IN THE SYSTEM:
        Name, address, telephone number, social security number, education, 
    past and present employment, disciplinary history, business 
    relationships, and similar information.
    
    AUTHORITY FOR MAINTENANCE OF THE SYSTEM:
        15 U.S.C. 78o.
    
    PURPOSE(S):
        To help the SEC staff process applications for registration or 
    exemption and related forms under the Securities Exchange Act of 1934 
    and implement the Federal securities laws and rules.
    
    ROUTINE USES OF RECORDS MAINTAINED IN THE SYSTEM, INCLUDING CATEGORIES 
    OF USERS AND THE PURPOSES OF SUCH USES:
        In addition to the conditions of disclosure under 5 U.S.C. 552a(b), 
    the SEC staff may provide these records to:
        (1) Any member of the general public upon request;
        (2) Any Federal, state, local, or foreign government authority or 
    securities self-regulatory organization that is investigating a 
    violation or potential violation of a statute, rule, regulation, or 
    order;
        (3) Any Federal, state, local, or foreign bar association or 
    similar licensing authority responsible for possible disciplinary 
    action;
        (4) Any Federal, state, or local government or governmental 
    authority that is deciding to hire or retain an individual, sign a 
    contract, or issue a license, grant, or benefit;
        (5) Any individual or entity appointed by a court of competent 
    jurisdiction or agreed upon by the parties to a pending court action or 
    administrative proceeding alleging a violation of the Federal 
    securities laws or rules; and
        (6) Any contractor that performs, on the SEC's behalf, services 
    requiring the use of these records.
    
    POLICIES AND PRACTICES FOR STORING, RETRIEVING, ACCESSING, RETAINING, 
    AND DISPOSING OF RECORDS IN THE SYSTEM:
    STORAGE:
        Records filed before August 16, 1999 in the SEC's custody are 
    maintained in paper, microfiche, or electronic formats. Records filed 
    on or after August 16, 1999 in the NASD's custody are maintained in 
    paper or electronic format (Web CRD).
    
    RETRIEVABILITY:
        These records are retrievable by the name of, or a file number 
    assigned to, the registrant. Individual name access to these records is 
    available through the SEC's Name-Relationship Search Index.
    
    SAFEGUARDS:
        Non-computer records in the SEC's custody are maintained in a 
    central records facility that only authorized individuals may access. 
    The facility is locked, with security cameras and a 24-hour security 
    guard. Computer records, which are subject to data integrity controls, 
    require passcodes for database access.
    
    RETENTION AND DISPOSAL:
        The records in the SEC's custody are transferred to the Federal 
    Records Center periodically for storage. They are controlled by file 
    number and retained under 17 CFR 200.80f. Permanent files are sent to 
    the National Archives and Records Administration after a specified 
    storage time at the Federal Records Center. Nine years from their 
    receipt by the NASD, the records in the NASD's custody are transferred 
    to the SEC for proper disposition.
    
    [[Page 69054]]
    
    SYSTEM MANAGERS AND ADDRESSES:
        Records filed before August 16, 1999--Records Officer, SEC 
    Operations Center, 6432 General Green Way, Alexandria, VA 22312-2413.
        Records filed on or after August 16, 1999--NASD, 1390 Piccard 
    Drive, Rockville, MD 20850.
    
    NOTIFICATION PROCEDURE:
        Requests to determine whether this system of records contains a 
    record pertaining to the requesting individual should be sent to the 
    Privacy Act Officer, SEC Operations Center, 6432 General Green Way, 
    Alexandria, VA 22312-2413.
    
    RECORDS ACCESS PROCEDURES:
        Persons wishing to access or contest these records should write the 
    Privacy Act Officer, SEC Operations Center, 6432 General Green Way, 
    Alexandria, VA 22312-2413.
    
    CONTESTING RECORD PROCEDURES:
        See Records Access Procedures, above.
    
    RECORD SOURCE CATEGORIES:
        Applications for registration or exemption and related forms filed 
    with the SEC under the Securities Exchange Act of 1934.
    
    EXEMPTIONS CLAIMED FOR THE SYSTEM:
        None.
    
        Dated: December 2, 1999.
    
        By the Commission.
    Jonathan G. Katz,
    Secretary.
    
    [FR Doc. 99-31778 Filed 12-8-99; 8:45 am]
    BILLING CODE 8010-01-U
    
    
    

Document Information

Effective Date:
1/18/2000
Published:
12/09/1999
Department:
Securities and Exchange Commission
Entry Type:
Notice
Action:
Notice of intended modifications to an existing system of records and the establishment of a new system of records.
Document Number:
99-31778
Dates:
Comments must be received by January 10, 2000. The proposed changes and the new system of records will take effect January 18, 2000, unless the SEC receives comments that would require a different determination.
Pages:
69051-69054 (4 pages)
Docket Numbers:
Release No. PA-28, File No. S7-27-99
PDF File:
99-31778.pdf