96-26180. Rules of Practice for Federally-Assisted Airport Proceedings  

  • [Federal Register Volume 61, Number 201 (Wednesday, October 16, 1996)]
    [Rules and Regulations]
    [Pages 53998-54012]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-26180]
    
    
    
    [[Page 53997]]
    
    
    _______________________________________________________________________
    
    Part II
    
    
    
    
    
    Department of Transportation
    
    
    
    
    
    _______________________________________________________________________
    
    
    
    Federal Aviation Administration
    
    
    
    _______________________________________________________________________
    
    
    
    14 CFR Parts 13 and 16
    
    
    
    Rules of Practice for Federally-Assisted Airport Proceedings; Final 
    Rule
    
    Federal Register / Vol. 61, No. 201, Wednesday, October 16, 1996 / 
    Rules and Regulations
    
    [[Page 53998]]
    
    
    
    DEPARTMENT OF TRANSPORTATION
    
    Federal Aviation Administration
    
    14 CFR Parts 13 and 16
    
    [Docket No. 27783; Amendment No. 13-27, 16]
    RIN 2120-AF43
    
    
    Rules of Practice for Federally-Assisted Airport Proceedings
    
    AGENCY: Federal Aviation Administration (FAA), DOT.
    
    ACTION: Final rule.
    
    -----------------------------------------------------------------------
    
    SUMMARY: This rulemaking establishes rules of practice for filing 
    complaints and adjudicating compliance matters involving Federally-
    assisted airports. The rule addresses exclusively airport compliance 
    matters arising under the Airport and Airway Improvement Act (AAIA) of 
    1982, as amended; certain airport-related provisions of the Federal 
    Aviation Act of 1994, as amended; the Surplus Property Act, as amended; 
    predecessors to those acts; and regulations, grant agreements, and 
    documents of conveyance issued or made under those acts. The rule is 
    intended to expedite substantially the handling and disposition of 
    airport-related complaints.
    
    EFFECTIVE DATE: This rule is effective December 16, 1996.
    
    FOR FURTHER INFORMATION CONTACT: Barry Molar or Frank J. San Martin, 
    Airports Law Branch (AGC-610), Office of the Chief Counsel, (202) 267-
    3473, Federal Aviation Administration, (FAA), 800 Independence Avenue, 
    SW., Washington, DC 20591.
    
    SUPPLEMENTARY INFORMATION:
    
    Background
    
        A notice of proposed rulemaking (NPRM) for this rulemaking was 
    issued on June 9, 1994 (59 FR 29880). The NPRM proposed to amend the 
    FAA's existing complaint and adjudication procedures, 14 CFR Part 13, 
    ``Investigative and Enforcement Procedures,'' to remove from the 
    coverage of part 13 the airport-related matters that will be handled 
    under the new part 16. Certain disputes between U.S. and foreign air 
    carriers and airport proprietors concerning the reasonableness of fees 
    imposed by airport proprietors are not covered by the rule, but by 14 
    CFR part 302, subpart F, pursuant to section 113 of the Federal 
    Aviation Act of 1994 (FAAct), Public Law No. 103-305 (August 23, 1994), 
    49 United States Code (U.S.C.) 47129.
        On September 16, 1994, the FAA published a notice to withdraw 
    subpart J of the proposed rule, subpart J contained special procedures 
    for handling airport fee complaints by air carriers [59 FR 47568]. The 
    withdrawal became necessary with the passage of section 113 of the FAA 
    Act, which contained specific provisions for airport fee complaints by 
    air carriers that differed from, and were inconsistent with, subpart J. 
    The withdrawal notice also extended the comment period for the 
    remainder of the NPRM, subparts A through I, to December 1, 1994 [59 FR 
    47568]
    
    Discussion of Comments
    
        Sixteen commenters responded to the NPRM. Commenters included the 
    Air Freight Association; Air Line Pilots Association (ALPA); Air Ottawa 
    Flying Service, Inc.; Aircraft Owners and Pilots Association (AOPA); 
    Airports Council International-North America (ACI-NA); American Car 
    Rental Association (ACRA); Hawkins, Delafield & Wood; Hogan & Harston; 
    Maryland Aviation Administration; Melbourne Airport Authority; National 
    Association of State Aviation Officials (NASAO); National Business 
    Aircraft Association, Inc. (NBAA); National Air Transportation 
    Association (NATA); Newton & Associates, Inc. (NAI); Regional Airline 
    Association (RAA); and the United States Parachute Association (USPA).
        Seven commenters generally support the promulgation of the proposed 
    rule with some reservations. The remaining commenters address specific 
    sections of the proposed rule.
        A discussion of the issues most widely addressed in the comments 
    and an analysis of the final rule follows. All comments received were 
    considered by the agency. The summary of comments is intended to 
    represent the general divergence or correspondence in industry views on 
    various issues, and is not intended to be an exhaustive restatement of 
    the comments received. Comments pertaining to withdrawn subpart J will 
    not be addressed.
    
    Standing
    
        A number of commenters address issues concerning who should be able 
    to file a complaint under new part 16. ACI-NA strongly supports 
    limiting a complainant to a person ``directly and substantially 
    affected by any alleged non-compliance,'' under proposed Sec. 16.23. 
    Otherwise, ACI-NA argues, proceedings could be initiated by persons 
    making only minimal use of an airport, burdening both the respondent 
    and the FAA with the time and expense of administrative proceedings. 
    AOPA states it is concerned that, under proposed Sec. 16.23, an 
    association would not have standing to file a complaint on behalf of 
    its individual members. ACRA requests clarification that a 
    nonaeronautical user of an airport, such as a car rental company, could 
    file a complaint under part 16.
        The final rule adopts the ``directly and substantially affected'' 
    standard of the NPRM, with a special applicability provision for cases 
    where review diversion is alleged. Under Sec. 16.23(a) of the final 
    rule, a person directly and substantially affected by any alleged 
    noncompliance may file a complaint with the Administrator. Under 
    Sec. 16.3 of the final rule, a ``complaint'' is defined as ``a written 
    document * * * filed with the FAA by a person directly and 
    substantially affected by anything allegedly done or omitted to be done 
    * * * in contravention of any provision of any Act, as defined in this 
    section.'' Complaints by persons not ``directly and substantially 
    affected'' by respondent's alleged noncompliance will be subject to 
    dismissal with prejudice under part 16.
        Persons alleging revenue diversion by an airport, as defined in 49 
    U.S.C. 47107(b), that do business with, and pay fees or rents to, the 
    airport, are considered in the final rule to be directly and 
    substantially affected by the alleged revenue diversion for the sole 
    purpose of having and standing to file a revenue diversion complaint 
    under Part 16. This special applicability provision for complaints of 
    revenue diversion is necessary because revenue diversion principally 
    affects the United States as the grantor of the federal airport funds 
    allegedly diverted. However, entities that do business on the airport 
    and pay fees to the airport have some interest in alleging revenue 
    diversion because their payments constitute airport revenue.
        An association will have to meet the same ``directly and 
    substantially affected'' standing requirement individually, but will be 
    able to file a part 16 complaint as a representative of its members who 
    are ``directly and substantially affected'' by an act or omission of 
    respondent.
        The standing requirement is necessary to assure that scarce agency 
    resources are devoted to matters in which the complainant's interest is 
    sufficient to justify the burden of processing a complaint under part 
    16. Parties who meet part 16 standing requirements may be represented 
    by duly authorized representatives.
        Nonaeronautical users of airports are subject to the same 
    ``directly and substantially affected'' standard as aeronautical users, 
    and could forseeably have standing to file a complaint under
    
    [[Page 53999]]
    
    part 16. For example, an airport duty-free shop could have standing to 
    file a part 16 complaint alleging revenue diversion, and an airport 
    concession that is a disadvantaged business enterprise (DBE) could have 
    standing to file a part 16 complaint alleging non-compliance with the 
    applicable DBE regulation. However, most of an airport's obligations 
    are intended for the benefit of aeronautical users. A complaint 
    alleging that an airport operator's treatment of a nonaeronautical user 
    violates such obligation would be dismissed even though the 
    nonaeronautical user was directly and substantially affected by the 
    alleged practice. For example, the assurance against unjust 
    discrimination by an airport operator only applies to aeronautical 
    users, so a complaint by a nonaeronautical user alleging unjust 
    discrimination by an airport operator would be dismissed.
        Notwithstanding, the standing requirement, complaints that are 
    dismissed because complainant lacks standing under Part 16 may be 
    referred by the FAA to the appropriate FAA region for consideration 
    under Subpart D, Special Rules Applicable to Proceedings Initiated by 
    the FAA.
    
    Pre-complaint Resolution
    
        Most commenters approve of the proposed requirement in Sec. 16.21, 
    that a person engage in good faith efforts to informally resolve a 
    disputed matter, directly with the person or entity in alleged 
    noncompliance, before filing a complaint. ACI-NA supports the proposed 
    rule but is concerned that the mention of ``mediation, arbitration, or 
    use of a dispute resolution board'' in Sec. 16.21 will be interpreted 
    to mean that such alternative dispute resolution (ADR) methods are 
    mandatory. AOPA suggests that the requirement to undertake informal 
    resolution before filing a complaint would be inappropriate to 
    complaints filed by general aviation and add to the costs and time to 
    arrive at resolution. USPA states that part 16 would not permit contact 
    with the FAA at the local level for assistance.
        Under Sec. 16.21 as adopted, it will be necessary for a potential 
    complainant to certify that good faith efforts have been made to 
    achieve informal resolution. However, the final rule does not require 
    any particular informal resolution method, and mentions mediation, 
    arbitration, and dispute resolution board as examples only. The final 
    rule has been changed to add that the local FAA Airport District Office 
    (ADO), or FAA Regional Airports Division, may be asked by the parties 
    to assist them in resolving the dispute informally. That change is 
    intended to make the local airports office available to mediate a 
    dispute, and reflects the FAA's experience. In many cases, the 
    involvement of the FAA ADO or regional airports division can facilitate 
    informal resolution. Allegations of revenue diversion, however, may not 
    lend themselves to full resolution in the pre-complaint process unless 
    the proposed resolution addresses the total amounts allegedly diverted 
    by the airport. Nevertheless, a complainant must show that informal 
    resolution was attempted.
    
    Hearing
    
        Section 16.31(d) provides the respondent with the opportunity for a 
    hearing if the initial determination finds the respondent in 
    noncompliance and proposes the issuance of a compliance order and an 
    opportunity for a hearing required by statute. In all other cases no 
    opportunity for a hearing is provided, except at the discretion of the 
    agency.
        The law firm of Hogan & Hartson proposes a fact-finding hearing 
    before the initial determination is issued in order to develop the 
    factual record. This recommendation is not adopted in the final rule.
        Before issuing the initial determination, the FAA engages in the 
    process of investigating a complain. While complainants are entitled to 
    having their complaints investigated, they do not have a property 
    interest sufficient to require an oral evidentiary hearing as part of 
    that investigation, even when the investigation leads to a dismissal of 
    a complaint.
        A respondent may be entitled to a hearing in some cases before the 
    FAA takes adverse action. However, Sec. 16.31(d) provides an 
    opportunity for a hearing in those cases after the initial 
    determination is made and before any final agency action is taken. 
    There is no need to provide a respondent with an additional oral 
    evidentiary hearing during the investigatory stage. Furthermore, the 
    factual record will be developed by the supporting documents that are 
    required to be submitted with each pleading under Sec. 16.23, an by any 
    additional information submitted by the parties or developed through 
    informal investigation under Sec. 16.29.
        Several commenters argue that, contrary to Sec. 16.203(b)(1), which 
    provides in the NPRM that the respondent and the agency are the only 
    parties to the post-initial determination hearing, the complainant 
    should also be a party to the hearing. The NBAA argues that a 
    complainant should be a party to the hearing because the complainant's 
    participation will help develop the record of the case. NATA and Air 
    Ottawa Flying Service, Inc., argue that nonhearing party status for a 
    complainant deprives the complainant of due process of law because the 
    complainant may have property interests at stake.
        The final rule revised Sec. 16.203(b)(1) to allow complainant to be 
    a party to a hearing along with the respondent and the agency. Under 
    Sec. 16.31(d), a case proceeds to a hearing only after the FAA has 
    found against the respondent in an initial determination that proposes 
    the issuance of a compliance order. Thus, at the hearing the FAA has 
    the burden of proof to establish the validity of its initial 
    determination, including the proposed order of compliance under 
    Sec. 16.109. The respondent is a party to the hearing who seeks 
    reversal of the FAA's initial determination. Although, a complainant's 
    status as an airport user alone does not give rise to a sufficient 
    property interests to justify party status as a matter of right, party 
    status for the complainant will permit it to have an opportunity to 
    assist in the development of the factual record as pointed out by NBAA. 
    In addition, providing automatic party status will avoid burdening the 
    hearing officer and parties with routine requests for intervention by 
    complainant. The rule provides the hearing officer with ample powers to 
    control the conduct of the hearing and to assure that complainant's 
    participation does not unduly delay the proceedings.
        As noted in the NPRM, in the case in which an adjudicatory hearing 
    would be held (under Sec. 519 of the AAIA or Sec. 1002 of the FAA Act), 
    the hearing procedures are intended to permit the FAA to complete 
    compliance hearings within 180 days, while assuring that a respondent 
    receives a fair hearing and an opportunity to present evidence and 
    argument to support its position. Section 519 specifies that the FAA 
    may temporarily withhold new grants.
        Several commenters object to proposed Sec. 16.3 which provides that 
    the part 16 hearing officer is an attorney designated by the FAA. They 
    state that the proposed provision gives the appearance and possibility 
    of nonobjectivity. NBAA suggests that hearing officers be 
    administrative law judges.
        The commenters' concerns about the independence and objectivity of 
    an FAA designated hearing officer are misplaced. Under the terms of 
    Sec. 16.3, no FAA attorney in the region where the noncompliance 
    allegedly occurred, or in the Airports and Environmental Law
    
    [[Page 54000]]
    
    Division, may be a hearing officer. This excludes all FAA attorneys who 
    could have access to factual knowledge of a part 16 complaint obtained 
    by means other than the administrative record, insures that the hearing 
    officer is independent of the offices that conduct investigations and 
    prosecutions, and insures that the hearing officer is objective and 
    independent.
        Further, section 519 by its terms requires the FAA to provide 
    notice and ``an opportunity for hearing'' before imposing certain 
    sanctions. The simple requirement for a hearing, without more, has been 
    held not to constitute ``an adjudication required by statute to be 
    determined on the record after opportunity for an agency hearing,'' 
    within the meaning of section 554 of the Administrative Procedure Act 
    (APA). See, e.g., Friends of the Earth v. EPA, 966 F.2d 690, 693 (D.C. 
    Cir. 1992); St. Louis Fuel and Supply Co., Inc. v. FERC, 890 F.2d 446, 
    448 (D.C. Cir. 1989). Accordingly, part 16 is not required by the APA 
    to include all of the provisions of sections 554, 556 and 557 of the 
    APA. In particular, the requirement that administrative law judges 
    serve as hearing officers does not apply.
        In the interests of assuring a fair hearing, however, part 16 
    includes many of the elements required by sections 554, 556 and 557 of 
    the APA. For example, the hearing officer is required to issue an 
    initial decision; ex parte communications are prohibited; separation of 
    the prosecutorial and decision-making functions are required; and the 
    hearing officer has virtually all of the authority specified in section 
    556(c).
    
    Intervention
    
        AOPA and NBAA comment that the intervention provisions of 
    Sec. 16.207 are too restrictive and give the hearing officer too much 
    discretion in admitting a new party to a hearing. As explained earlier, 
    a part 16 hearing is to a large extent a proceeding in which the FAA 
    acts as a prosecutor seeking an order of compliance under Sec. 16.109 
    against respondent within the statutory time limits for issuing such 
    actions. Furthermore, complainant will under the final rule be a party 
    to the hearing. For these reasons, intervention in such a proceeding 
    should only be allowed if it will not unnecessarily broaden the issues, 
    or cause delay, and, if the person requesting intervention has 
    interests that need to be protected.
    
    Analysis of the Provisions of the Final Rule
    
        After careful review of the available data, including the comments 
    received, the FAA has determined to adopt this proposed rule with the 
    changes described previously.
    
    Subpart A--General Provisions
    
        Subpart A includes provisions of general applicability to 
    proceedings brought under part 16, definitions of terms used in the 
    regulation, and a provision on separation of functions.
        The final rule modifies proposed Sec. 16.1(a) to exclude from the 
    coverage of part 16 disputes between U.S. and foreign air carriers and 
    airport-proprietors concerning the reasonableness of airport fees now 
    covered by 14 CFR part 302, as mandated by Congress in the FAA Act, 
    Public Law No. 103-305 (August 23, 1994).
        Proposed Sec. 16.1(d) is modified to specify that part 16 applies 
    to investigations initiated by the FAA, as well as complaints filed 
    with the FAA on or after the effective date of the rule.
        The definitions in Sec. 16.3 are, for the most part, derived from 
    the definitions of like or similar terms in 14 CFR part 13. The term 
    ``agency employee'' defined as any employee of the Department of 
    Transportation, was added to indicate that other offices within the 
    Department of Transportation may assist the FAA in part 16 cases.
        The title of ``Assistant Administrator for Airports'' in the 
    definitions section and throughout the text of the rule has been 
    changed in the final rule to ``Associate Administrator for Airports'' 
    to reflect the correct title for this FAA official, as changed by a 
    recent agency reorganization.
        The term ``Director,'' defined as the Director of the Office of 
    Airport Safety and Standards, was added to the definitions section and 
    to the text of the rule. The ``Director'' replaces the ``Assistant 
    Administrator'' as the decisionmaker of the initial determination 
    without a hearing under Sec. 16.31, as discussed more fully herein.
        Although not technically incorrect, the term ``FAA decisionmaker'' 
    was deleted from the definitions section and text of the final rule 
    because the term is unnecessary. Deletion of the term should avoid 
    confusion surrounding the ultimate decisionmaker in appeals from 
    initial determinations of the Director without a hearing under 
    Sec. 16.31, and from the initial decisions of hearing officers after a 
    hearing under Sec. 16.241. In both cases, the appeal will be submitted 
    to the Associate Administrator, who will issue a final decision under 
    either Sec. 16.33 or Sec. 16.241.
        The substitution of Director and Associate Administrator as 
    decisionmakers instead of higher-level officials reflects the concerns 
    and experiences of agency personnel who reviewed the proposed rule. The 
    Director and Associate Administrator are experienced in airport matters 
    and may be more accessible within the short time periods in the final 
    rule for issuing decisions. The substitution also conforms more closely 
    to current practice in deciding complaints regarding airport 
    compliance.
        The term ``Presiding officer'' was deleted from the definitions 
    section because it was referred to only in subpart J, which was 
    withdrawn.
        The final rule contains no changes to the separation of function 
    section, Sec. 16.5, except that ``Associate Administrator'' replaces 
    ``Administrator'' in Sec. 16.5(b) and ``FAA decisionmaker'' in 
    Sec. 16.5(c).
        Separation of functions is not required by statute because hearings 
    under part 16 are not subject to APA hearing requirements; however, the 
    separation is provided to promote confidence in the impartiality and 
    integrity of decisions under the new procedures. Separation of 
    prosecutorial and adjudicatory functions will be provided from the time 
    the Director's determination is issued in all cases in which an 
    opportunity for hearing is provided, including cases in which the 
    respondent waives hearing and appeals the Director's determination in 
    writing to the Associate Administrator. When separation applies, the 
    Director will be considered as performing the investigatory and 
    prosecutorial function and will not participate in the decision of the 
    Associate Administrator or hearing officer.
    
    Subpart B--General Rules Applicable to Complaints, Proceedings, and 
    Appeals Initiated by the FAA
    
        This subpart applies to all phases of the investigations and 
    adjudications under this part.
        The provisions governing filing and service of documents, 
    computation of time, and motions (Secs. 16.13, 16.15, 16.17, and 
    16.19), are based on similar provisions in the Federal Rules of Civil 
    Procedure, the Department of Transportation's Rules of Practice in 
    Proceedings (14 CFR part 302), the FAA Rules of Practice in Civil 
    Penalty Actions (14 CFR part 13, subpart G), and the National 
    Transportation Safety Board's (NSTB) Rules of Practice in Air Safety 
    Proceedings (49 CFR part 821). The proposed rule was modified to change 
    the agency address in Sec. 16.13. To insure timely processing and to 
    reflect
    
    [[Page 54001]]
    
    changes in the organization of the Office of the Chief Counsel ``FAA 
    Part 16 Airport Proceedings Docket (AGC-600)'' replaces ``FAA 
    Enforcement Docket (AGC-10).'' The additional 5 days provided after 
    service on a party of a document by mail was changed to 3 days in 
    Sec. 16.17(c). This revision conforms to the ``mail rule'' used in 
    federal practice under the Federal Rules of Civil Procedure.
    
    Subpart C--Special Rules Applicable to Complaints
    
        The final rule requires, under Sec. 16.21, a potential complainant 
    to engage in good faith efforts to resolve the disputed matter 
    informally with potentially responsible respondents before filing a 
    complaint with the FAA under part 16. Informal resolution may include 
    mediation, arbitration, use of a dispute resolution board, or other 
    form of third-party assistance, including assistance from the 
    responsible FAA Airports District Office or FAA Regional Airports 
    Division.
        Under Sec. 16.21, it will be necessary for the potential 
    complainant or its representative to certify that good faith efforts 
    have been made to achieve informal resolution. To protect the parties 
    and for consistency with Rule 408 of the Federal Rules of Evidence, the 
    certification will not include information on monetary or other 
    settlement offers made but not agreed upon in writing. As explained 
    earlier, under Sec. 16.21(a), the FAA ADO or Regional Airports 
    Division, will be available upon request to assist the parties with 
    informal resolution.
        The final rule retains the requirement that a complainant be 
    ``directly and substantially affected by any alleged noncompliance'' in 
    order to have standing to file a complaint under Sec. 16.23. However, 
    as explained above complainants alleging revenue diversion by an 
    airport will be considered to be directly and substantially affected by 
    the alleged revenue diversion, if complainants do business with the 
    airport and pay fees or rentals to the airport.
        To provide a more efficient and expedited process the time periods 
    for filing a reply to the answer and a rebuttal to the reply in 
    Sec. 16.23 (e) and (f) were reduced from 15 to 10 days.
        At the suggestion of one commenter, the final rule adds ``lack of 
    standing'' as another possible ground for dismissal with prejudice 
    under Sec. 16.25. Besides dismissal of complaints that clearly do not 
    state a cause of action, or those that do not come within the 
    jurisdiction of the Administrator, a complaint may also be dismissed if 
    the complainant lacks standing to file the complaint under Secs. 16.3 
    and 16.23. As a final order of the agency, a dismissal with prejudice 
    would be appealable to a United States Court of Appeals.
        As explained above, the final rule substitutes the Director of the 
    Office of Airport Safety and Standards as the official who makes the 
    initial determination after investigation under Sec. 16.31. The 
    Director would issue an initial determination in every case in which 
    the FAA investigates a complaint. Under the final rule, the agency is 
    required to issue a Director's determination in 120 days from the due 
    date of the last pleading (i.e., reply or rebuttal). The provision in 
    the NPRM allowing the Director to extend the period for issuing an 
    initial determination by 60 days for good cause was deleted from the 
    final rule in order to further expedite this administrative complaint 
    procedure.
        The Director's determination is intended to provide a timely and 
    authoritative indication of the agency's position on a complaint. While 
    the Director's determination can be appealed to the Associate 
    Administrator under Sec. 16.33, the FAA expects that, in many 
    instances, the Director's determination will resolve the issues raised 
    in the complaint to the satisfaction of the parties. In such cases, the 
    parties may find it more beneficial to negotiate a solution based on 
    the FAA's initial position than to continue to litigate the matter.
        Under the final rule, the Associate Administrator will issue the 
    final decision on appeal from a Director's determination without a 
    hearing under Sec. 16.33. If the initial determination finds the 
    sponsor in compliance and dismisses the complaint, the complainant may 
    appeal the determination by a written appeal to the Associate 
    Administrator within 30 days. The Associate Administrator is required 
    to issue a final agency decision in an appeal by a complainant within 
    60, not 30 days of the due date for the reply brief, as proposed in the 
    NPRM. The additional time for issuing a final agency decision was added 
    to the final rule to assure the agency adequate time to review the 
    record, prepare, and issue a final decision.
        If the Director's determination contains a finding of noncompliance 
    and the respondent is entitled to a hearing, the determination will 
    provide the sponsor the opportunity to elect an oral evidentiary 
    hearing under subpart F. The procedure for electing or waiving a 
    hearing is set forth in subpart E. If the respondent waives a hearing 
    and instead elects to file a written appeal to the Associate 
    Administrator, a final decision will be issued by the Associate 
    Administrator under Sec. 16.33.
    
    Subpart D--Special Rules Applicable to Proceedings Initiated by the FAA
    
        Section 16.101 makes clear the FAA's continuing authority to 
    initiate its own investigation of any matter within the applicability 
    of this part without having received a complaint, as authorized by 
    Secs. 313 and 1002 of the FAA Act and Sec. 519 of the AAIA.
    
    Subpart E--Proposed Orders of Compliance
    
        Subpart E contains procedures that provide the respondent an 
    opportunity to file a request for hearing within 20 days after service 
    of the Director's determination if the determination proposes a 
    sanction against the sponsor subject to Sec. 519(b) of the AAIA or 
    Sec. 1002 of the FAA Act. The 20-day period to file a request for 
    hearing was reduced from 30 days in the NPRM in order to provide a more 
    efficient and expedited process. If the respondent elects a hearing, 
    the agency will issue a hearing order.
        Alternatively, if the respondent waives hearing and instead files a 
    written appeal (within 30 days), the Associate Administrator will issue 
    a final decision in accordance with the procedures set forth in 
    Sec. 16.33. If the respondent fails to respond to the Director's 
    determination, the initial determination becomes final.
        The final rule, based on comments received, includes a new ground 
    for the agency to provide the opportunity for a hearing under 
    Sec. 16.109(a): If the agency proposes to issue an order withholding 
    approval of any new application to impose a passenger facility charge 
    pursuant to Sec. 112 of the FAA Act, 49 U.S.C. 47111(e). That new 
    statutory section creates additional enforcement mechanisms against 
    illegal revenue diversion including the withholding of a new 
    application to impose a passenger facility charge. The statute requires 
    the FAA to provide an opportunity for hearing before imposing this 
    sanction.
        The opportunity for a hearing by the agency under part 16 is 
    limited to those cases where there is a statutory requirement to offer 
    the opportunity for a hearing before the FAA takes a particular action, 
    or specific cases in which the FAA elects to offer a hearing.
        Section 16.109(b)(3) allows respondent and complainant to file a 
    joint motion to withdraw the complaint and dismiss the proposed 
    compliance action. The FAA may, subject to its discretion, grant the 
    motion if it finds that a settlement by the parties fully
    
    [[Page 54002]]
    
    resolves the complaint violation and further compliance action is not 
    necessary.
    
    Subpart F--Hearings
    
        Subpart F contains the procedures for initiating and conducting 
    adjudicative hearings. The hearing order, issued by the Deputy Chief 
    Counsel under Sec. 16.201, will set the scope of the hearing by 
    identifying the issues to be resolved, as well as assigning the hearing 
    officer. If no material facts that require oral examination of 
    witnesses are in dispute, the hearing may be limited to submission of 
    briefs and oral argument.
        In the hearing, the agency attorney will represent the agency's 
    position before the hearing officer and will have the same status as 
    any other representatives of a party. The rule includes commonly used 
    adjudicatory procedures, such as representation of the parties by 
    attorneys, intervention, participation by non-parties, pretrial 
    procedures and discovery, the availability of compulsory process to 
    obtain evidence, and procedures for using at the hearing. These 
    provisions are intended to provide the parties with a reasonable 
    opportunity to prepare their cases, while allowing the process to be 
    completed expeditiously. To assure an expeditious hearing process, 
    paragraph (b) was added to Sec. 16.213, discovery, to emphasize the 
    hearing officer's authority and duty to limit discovery wherever 
    feasible.
        The final rule made the following clarifications and corrections to 
    the subpart based on comments received. The final rule added ``or 
    notice of investigation'' to Sec. 16.201(1) to clarify that the 
    provisions of subpart F may apply to proceedings initiated by the FAA 
    under subpart D. The final rule deleted an incorrect citation in 
    Sec. 16.203(a)(2) and replaced it with a citation to Sec. 16.13.
        In the NPRM, the last phrase in proposed Sec. 16.209(d) cited 
    section 519(b) of the AAIA. The citation to the AAIA was included 
    because the AAIA provision contains the 180-day time limitation for a 
    determination which could affect the length of extensions of time 
    granted under part 16. (Although, at this time, the FAA does not 
    foresee any circumstances where it would provide for a hearing and 
    section 519(b) of the AAIA would not be applicable, in a case not 
    covered by section 519(b), an extension of time by the hearing officer 
    for any reason could extend all of the due dates beyond the 180-day 
    time limitation.) This provision is being modified in the final rule to 
    clarify this point.
        The provisions of Sec. 16.233 on evidence, in part, are to permit 
    the hearing officer to exercise control over the hearing. Contrary to 
    the suggestion of one commenter, they are not intended to authorize the 
    hearing officer to preclude all cross-examination of a witness.
        In keeping with the time limitations imposed by section 519(b) of 
    the AAIA, Sec. 16.235(a) of the final rule retains the provision 
    permitting the hearing officer to allow written argument during the 
    hearing only if the hearing officer finds that such argument would not 
    delay the hearing. Parties may make their arguments in posthearing 
    briefs under Sec. 16.235(b).
    
    Subpart G--Initial Decisions, Orders and Appeals
    
        Subpart G provides procedures for issuance of initial decisions and 
    orders by hearing officers, appeals of the initial decision to the 
    Associate Administrator for Airports, and issuance of consent orders.
        Section 16.241 governs procedures and time frames for initial 
    decisions and administrative appeals based on 14 CFR 13.20(g)-(i). 
    However, shorter time periods are provided to accommodate the time 
    limits of Sec. 519 of the AAIA. In appeals from initial decisions of 
    hearing officers, under Sec. 16.241(c) and 16.241(f)(2), the Associate 
    Administrator must issue the final agency decision within 30 days of 
    the due date of the reply. This provision insures that the final agency 
    decision is issued within the 180-day time period of section 519.
        In addition, the rule includes a provision for sua sponte review of 
    an initial decision by the Associate Administrator, consistent with the 
    practice under 14 CFR 302.28(d).
        Section 16.243 governing disposal of cases by consent orders is 
    derived from 14 CFR 13.13.
        As explained above, the final rule replaced all references to the 
    ``FAA decisionmaker,'' though technically correct, with the ``Associate 
    Administrator,'' to avoid confusion and clarify. The ultimate 
    decisionmaker in part 16 proceedings, with or without hearings, is the 
    Associate Administrator for Airports for the reasons previously given.
    
    Subpart H--Judicial Review
    
        Subpart H contains rules applicable to judicial review of final 
    agency orders. Section 16.247(a) sets forth the basic authority to seek 
    judicial review. The provision is based on 14 CFR 13.235. Specific 
    reference to section 519(b)(4) of the AAIA has been added. Section 
    16.247(b) identifies FAA decisions and actions under part 16 that the 
    FAA does not consider to be judicially reviewable final agency orders.
    
    Subpart I--Ex Parte Communications
    
        The rule on ex parte communications is based on subpart J of the 
    Rules of Practice in Air Safety Proceedings of the NTSB, 49 CFR Part 
    821, subpart J, modified to reflect the fact that FAA employees 
    function as both parties and decisional employees in hearings conducted 
    under subpart F of part 16.
    
    Subpart J--Alternative Procedure for Certain Complaints Concerning 
    Airport Rates and Charges
    
        As explained above, subpart J of the proposed rule, containing 
    special procedures for the handling of airport fee complaints by U.S. 
    and foreign air carriers, was withdrawn on September 16, 1994 [59 FR 
    47568].
    
    Regulatory Evaluation Summary
    
    Introduction
    
        This regulatory evaluation examines the costs and benefits of the 
    final rule concerning Rules for Federally-Assisted Airport Proceedings. 
    The rule establishes rules of practice for filing complaints and 
    adjudicating compliance matters involving Federally-assisted airports. 
    The rule is intended to expedite substantially the handling and 
    disposition of airport-related complaints. Since the impacts of the 
    changes are relatively minor this economic summary constitutes the 
    analysis and no regulatory evaluation will be placed in the docket.
        Changes to Federal regulations must undergo several economic 
    analyses. First, Executive Order 12866 directs that each Federal agency 
    shall propose or adopt a regulation only upon a reasoned determination 
    that the benefits of the intended regulation justify its costs. Second, 
    the Regulatory Flexibility Act of 1980 requires agencies to analyze the 
    economic effect of regulatory changes on small entities. Third, the 
    Office of Management and Budget directs agencies to assess the effects 
    of regulatory changes on international trade. In conducting these 
    analyses, the FAA has determined that this rule is ``a significant 
    regulatory action'' as defined in the Executive Order and the 
    Department of Transportation Regulatory Policies and Procedures. This 
    rule would not have a significant impact on a substantial number of 
    small entities and would not constitute a barrier to international 
    trade.
    
    [[Page 54003]]
    
    Costs And Benefits
    
        This final rule adopts a new procedure for the filing, 
    investigation, and adjudication of complaints against airports for 
    violation of certain statutes administered by the FAA. The new 
    procedures will substitute for existing procedures under 14 CFR part 
    13. There are no intended safety benefits that result from this rule. 
    The intended advantages of the rule are in the form of increased cost 
    effectiveness and timeliness in resolving complaints. The rule will use 
    FAA resources better and result in modest cost savings.
        About 30 investigations are initiated per year due to complaints 
    filed with the FAA. Each investigation takes an average of 3 years 
    before a ruling is issued. The typical investigation requires a field 
    investigation, an initial review by the FAA's Office of Airports Safety 
    and Standards, and a legal review by an attorney in the Office of Chief 
    Counsel. A GS-12 (step 5) employee requires 30 hours to complete the 
    field investigation, a GS-13 (step 5) requires 30 hours to complete the 
    initial review, and a GS-14 (step 5) employee requires 20 hours to 
    complete the legal review. The average cost per investigation is 
    $3,100. (See Table 1.)
    
                               Table 1.--Cost of Investigations Current and Under New Rule                          
    ----------------------------------------------------------------------------------------------------------------
                                                                Average    Yearly     Hourly     Loaded             
                                                        Hours    grade     salary      rate       rate       Cost   
    ----------------------------------------------------------------------------------------------------------------
                    CURRENT SITUATION                                                                               
                                                                                                                    
    Field investigation..............................      35     GS-12    $50,388     $24.14     $31.39   $1,098.54
    Initial review at HQ.............................      30     GS-13     59,917      28.71      37.32    1,119.68
    Attorney review at HQ............................      20     GS-14     70,804      33.93      44.10      882.08
                                                      ==============================================================
    Average cost per investigation......................................................................     $3,100 
    Average annual number of investigations.............................................................          30
                                                      ---------                                                     
    Average annual cost of investigations...............................................................    $93,009 
                                                                                                                    
                      NEW SITUATION                                                                                 
                                                                                                                    
    Field............................................       4     GS-12    $50,388     $24.14     $31.39     $125.55
    Initial review at HQ.............................      40     GS-13     59,917      28.71      37.32    1,492.90
    Attorney review at HQ............................      20     GS-14     70,804      33.93      44.10      882.08
                                                      ==============================================================
    Average cost per investigation......................................................................     $2,501 
    Average annual number of investigations.............................................................          30
                                                      ---------                                                     
    Average annual cost of investigations...............................................................    $75,016 
    Savings.............................................................................................     $17,993
    ----------------------------------------------------------------------------------------------------------------
    
    This number assumes a 30-percent loaded hourly rate for fringe 
    benefits. The annual cost of investigations is estimated to be $93,000.
        Under the new rule, determinations will be made without the need 
    for a field investigation. The FAA will be able to decide the merits of 
    the case by looking at the record solely. The field investigation is 
    expected to require 4 hours of the GS-12 (step 5) employee time, mostly 
    to complete the proper forms; the initial review at headquarters is 
    expected to require 40 hours of the GS-13 (step 5) employee's time, and 
    the legal review is expected to remain at 20 hours of the GS-14 (step 
    5) employee's time. The average cost per investigation is estimated to 
    be $2,500 and the annual cost of investigations will be $75,000 (Table 
    1). The final rule will result in an average cost savings of $18,000 
    per year on investigations. Furthermore the FAA estimates that instead 
    of 3 years per investigation, each investigation will now take on 
    average 1 year.
    
    Conclusion
    
        The FAA has determined that the final rule would have only moderate 
    economic impacts on the industry, public, or government. The only 
    measurable economic impact the FAA estimates is a slight cost savings 
    to administer airport proceedings due to the utilization of government 
    resources in a more efficient manner. The FAA finds that the proposed 
    rule is cost-beneficial.
    
    International Trade Impact Assessment
    
        The Office of Management and Budget directs agencies to assess the 
    effects of regulatory changes on international trade. There should be 
    no effect on aircraft manufacturers or operators (U.S. or foreign). 
    Therefore, the FAA has determined that the proposed rule would neither 
    have an effect on the sale of foreign aviation products nor services in 
    the United States, nor would it have an effect on the sale of U.S. 
    products or services in foreign countries.
    
    Regulatory Flexibility Determination
    
        The Regulatory Flexibility Act (RFA) of 1980 was enacted by 
    Congress to ensure that small entities are not unnecessarily or 
    disproportionately burdened by Government regulations. The RFA requires 
    a Regulatory Flexibility Analysis if a rule would have a significant 
    economic impact, either detrimental or beneficial, on a substantial 
    number or small entities. Based on the potential relief that the rule 
    provides and the criteria contained in FAA Order 2100.14A, Regulatory 
    Flexibility Criteria and Guidance, the FAA has determined that the rule 
    will not have a significant economic impact on a substantial number of 
    small entities.
    
    Federalism Implications
    
        The regulations adopted herein will not have substantial direct 
    effects on the States, on the relationship between the national 
    government and the States, or on the distribution of power and 
    responsibilities among the various levels of government. Therefore, in 
    accordance with Executive Order 12612, it is determined that this final 
    rule does not have sufficient federalism implications to warrant the 
    preparation of a Federalism Assessment.
    
    Paperwork Reduction Act
    
        This final rule contains no information collection requirements 
    that require approval of the Office of Management and Budget pursuant 
    to the Paperwork Reduction Act of 1980 (44 U.S.C. 3507 et seq.)
    
    [[Page 54004]]
    
    Conclusion
    
        For the reasons discussed in the preamble, and based on the 
    findings in the Regulatory Flexibility Determination and the 
    International Trade Analysis, the FAA has determined that this final 
    rule is not economically significant under Executive Order 12866. This 
    final rule is considered significant under DOT Regulatory Policies and 
    Procedures (44 FR 111034, February 26, 1979) and Executive Order 12866. 
    The FAA certifies that this final rule will not have a significant 
    economic impact, positive or negative, on a substantial number of small 
    entities under the criteria of the Regulatory Flexibility Act.
    
    List of Subjects
    
    14 CFR Part 13
    
        Enforcement procedures, Investigations, Penalties.
    
    14 CFR Part 16
    
        Enforcement procedures, Investigations.
    
    The Amendments
    
        Accordingly, the Federal Aviation Administration amends chapter I 
    of title 14 of the Code of Federal Regulations as follows:
    
    PART 13--INVESTIGATIVE AND ENFORCEMENT PROCEDURES
    
        1. The authority citation for part 13 continues to read as follows:
        Authority: 18 U.S.C. 6002; 49 U.S.C. 106(g), 5121-5124, 40113-
    40114, 44103-44106, 44702-44703, 44709-44710, 44713, 46101-46110, 
    46301-46316, 46501-46502, 46504-46507, 47106, 47111, 47122, 47306, 
    47531-47532.
    
        2. Section 13.3 is amended by adding a new paragraph (d) to read as 
    follows:
    
    
    Sec. 13.3  Investigations (general).
    
    * * * * *
        (d) A complaint against the sponsor, proprietor, or operator of a 
    Federally-assisted airport involving violations of the legal 
    authorities listed in Sec. 16.1 of this chapter shall be filed in 
    accordance with the provisions of part 16 of this chapter, except in 
    the case of complaints, investigations, and proceedings initiated 
    before December 16, 1996, the effective date of part 16 of this 
    chapter.
        3. A new part 16 is added to subchapter B to read as follows:
    
    PART 16--RULES OF PRACTICE FOR FEDERALLY-ASSISTED AIRPORT 
    ENFORCEMENT PROCEEDINGS
    
    Subpart A--General Provisions
    
    Sec.
    16.1  Applicability and description of part.
    16.3  Definitions.
    16.5  Separation of functions.
    
    Subpart B--General Rules Applicable to Complaints, Proceedings 
    Initiated by the FAA, and Appeals
    
    16.11  Expedition and other modification of process.
    16.13  Filing of documents.
    16.15  Service of documents on the parties and the agency.
    16.17  Computation of time.
    16.19  Motions.
    
    Subpart C--Special Rules Applicable to Complaints
    
    16.21  Pre-complaint resolution.
    16.23  Complaints, answers, replies, rebuttals, and other documents.
    16.25  Dismissals.
    16.27  Incomplete complaints.
    16.29  Investigations.
    16.31  Director's determinations after investigations.
    16.33  Final decisions without hearing.
    
    Subpart D--Special Rules Applicable to Proceedings Initiated by the FAA
    
    16.101  Basis for the initiation of agency action.
    16.103  Notice of investigation.
    16.105  Failure to resolve informally.
    
    Subpart E--Proposed Orders of Compliance
    
    16.109  Orders terminating eligibility for grants, cease and desist 
    orders, and other compliance orders.
    
    Subpart F--Hearings
    
    16.201  Notice and order of hearing.
    16.202  Powers of a hearing officer.
    16.203  Appearances, parties, and rights of parties.
    16.207  Intervention and other participation.
    16.209  Extension of time.
    16.211  Prehearing conference.
    16.213  Discovery.
    16.215  Depositions.
    16.217  Witnesses.
    16.219  Subpoenas.
    16.221  Witness fees.
    16.223  Evidence.
    16.225  Public disclosure of evidence.
    16.227  Standard of proof.
    16.229  Burden of proof.
    16.231  Offer of proof.
    16.233  Record.
    16.235  Argument before the hearing officer.
    16.237  Waiver of procedures.
    
    Subpart G--Initial Decisions, Orders and Appeals
    
    16.241  Initial decisions, orders, and appeals.
    16.243  Consent orders.
    
    Subpart H--Judicial Review
    
    16.247  Judicial review of a final decision and order.
    
    Subpart I--Ex Parte Communications
    
    16.301  Definitions.
    16.303  Prohibited ex parte communications.
    16.305  Procedures for handling ex parte communications.
    16.307  Requirement to show cause and imposition of sanction.
    
        Authority: 49 U.S.C. 106(g), 322, 1110, 1111, 1115, 1116, 1718 
    (a) and (b), 1719, 1723, 1726, 1727, 40103(e), 40113, 40116, 
    44502(b), 46101, 46104, 46110, 47104, 47106(e), 47107, 47108, 
    47111(d), 47122, 47123-47125, 47151-47153, 48103.
    
    Subpart A--General Provisions
    
    
    Sec. 16.1  Applicability and description of part.
    
        (a) General. The provisions of this part govern all proceedings 
    involving Federally-assisted airports, except for disputes between U.S. 
    and foreign air carriers and airport proprietors concerning the 
    reasonableness of airport fees covered by 14 CFR part 302, whether the 
    proceedings are instituted by order of the FAA or by filing with the 
    FAA a complaint, under the following authorities:
        (1) 49 U.S.C. 40103(e), prohibiting the grant of exclusive rights 
    for the use of any landing area or air navigation facility on which 
    Federal funds have been expended (formerly section 308 of the Federal 
    Aviation Act of 1958, as amended).
        (2) Requirements of the Anti-Head Tax Act, 49 U.S.C. 40116.
        (3) The assurances contained in grant-in-aid agreements issued 
    under the Federal Airport Act of 1946, 49 U.S.C. 1101 et seq (repealed 
    1970).
        (4) The assurances contained in grant-in-aid agreements issued 
    under the Airport and Airway Development Act of 1970, as amended, 49 
    U.S.C. 1701 et seq.
        (5) The assurances contained in grant-in-aid agreements issued 
    under the Airport and Airway Improvement Act of 1982 (AAIA), as 
    amended, 49 U.S.C. 47101 et seq., specifically section 511(a), 49 
    U.S.C. 47107(a) and (b).
        (6) Section 505(d) of the Airport and Airway Improvement Act of 
    1982, as amended, 49 U.S.C. 47113.
        (7) Obligations contained in property deeds for property 
    transferred pursuant to section 16 of the Federal Airport Act (49 
    U.S.C. 1115), section 23 of the Airport and Airway Development Act (49 
    U.S.C. 1723), or section 516 of the Airport and Airway Improvement Act 
    (49 U.S.C. 47125).
        (8) Obligations contained in property deeds for property 
    transferred under the Surplus Property Act (49 U.S.C. 47151-47153).
        (b) Other agencies. Where a grant assurance concerns a statute, 
    executive
    
    [[Page 54005]]
    
    order, regulation, or other authority that provides an administrative 
    process for the investigation or adjudication of complaints by a 
    Federal agency other than the FAA, persons shall use the administrative 
    process established by those authorities. Where a grant assurance 
    concerns a statute, executive order, regulation, or other authority 
    that enables a Federal agency other than the FAA to investigate, 
    adjudicate, and enforce compliance under those authorities on its own 
    initiative, the FAA may defer to that Federal agency.
        (c) Other enforcement. If a complaint or action initiated by the 
    FAA involves a violation of the 49 U.S.C. subtitle VII or FAA 
    regulations, except as specified in paragraphs (a)(1) and (a)(2) of 
    this section, the FAA may take investigative and enforcement action 
    under 14 CFR part 13, ``Investigative and Enforcement Procedures.''
        (d) Effective date. This part applies to a complaint filed with the 
    FAA and to an investigation initiated by the FAA on or after December 
    16, 1996.
    
    
    Sec. 16.3  Definitions.
    
        Terms defined in the Acts are used as so defined. As used in this 
    part:
        Act means a statute listed in Sec. 16.1 and any regulation, 
    agreement, or document of conveyance issued or made under that statute.
        Agency attorney means the Deputy Chief Counsel; the Assistant Chief 
    Counsel and attorneys in the Airports/Environmental Law Division of the 
    Office of the Chief Counsel; the Assistant Chief Counsel and attorneys 
    in an FAA region or center who represent the FAA during the 
    investigation of a complaint or at a hearing on a complaint, and who 
    prosecute on behalf of the FAA, as appropriate. An agency attorney 
    shall not include the Chief Counsel; the Assistant Chief Counsel for 
    Litigation, or any attorney on the staff of the Assistant Chief Counsel 
    for Litigation, who advises the Associate Administrator regarding an 
    initial decision of the hearing officer or any appeal to the Associate 
    Administrator or who is supervised in that action by a person who 
    provides such advice in an action covered by this part.
        Agency employee means any employee of the U.S. Department of 
    Transportation.
        Associate Administrator means the Associate Administrator for 
    Airports or a designee.
        Complainant means the person submitting a complaint.
        Complaint means a written document meeting the requirements of this 
    part filed with the FAA by a person directly and substantially affected 
    by anything allegedly done or omitted to be done by any person in 
    contravention of any provision of any Act, as defined in this section, 
    as to matters within the jurisdiction of the Administrator.
        Director means the Director of the Office of Airport Safety and 
    Standards.
        Director's determination means the initial determination made by 
    the Director following an investigation, which is a non-final agency 
    decision.
        File means to submit written documents to the FAA for inclusion in 
    the Part 16 Airport Proceedings Docket or to a hearing officer.
        Final decision and order means a final agency decision that 
    disposes of a complaint or determines a respondent's compliance with 
    any Act, as defined in this section, and directs appropriate action.
        Hearing officer means an attorney designated by the FAA in a 
    hearing order to serve as a hearing officer in a hearing under this 
    part. The following are not designated as hearing officers: the Chief 
    Counsel and Deputy Chief Counsel; the Assistant Chief Counsel and 
    attorneys in the FAA region or center in which the noncompliance has 
    allegedly occurred or is occurring; the Assistant Chief Counsel and 
    attorneys in the Airports and Environmental Law Division of the FAA 
    Office of the Chief Counsel; and the Assistant Chief Counsel and 
    attorneys in the Litigation Division of the FAA Office of Chief 
    Counsel.
        Initial decision means a decision made by the hearing officer in a 
    hearing under subpart F of this part.
        Mail means U.S. first class mail; U.S. certified mail; and U.S. 
    express mail.
        Noncompliance means anything done or omitted to be done by any 
    person in contravention of any provision of any Act, as defined in this 
    section, as to matters within the jurisdiction of the Administrator.
        Party means the complainant(s) and the respondent(s) named in the 
    complaint and, after an initial determination providing an opportunity 
    for hearing is issued under Sec. 16.31 and subpart E of this part, the 
    agency.
        Person in addition to its meaning under 49 U.S.C. 40102(a)(33), 
    includes a public agency as defined in 49 U.S.C. 47102(a)(15).
        Personal delivery means hand delivery or overnight express delivery 
    service.
        Respondent means any person named in a complaint as a person 
    responsible for noncompliance.
        Sponsor means:
        (1) Any public agency which, either individually or jointly with 
    one or more other public agencies, has received Federal financial 
    assistance for airport development or planning under the Federal 
    Airport Act, Airport and Airway Development Act or Airport and Airway 
    Improvement Act;
        (2) Any private owner of a public-use airport that has received 
    financial assistance from the FAA for such airport; and
        (3) Any person to whom the Federal Government has conveyed property 
    for airport purposes under section 13(g) of the Surplus Property Act of 
    1944, as amended.
    
    
    Sec. 16.5  Separation of functions.
    
        (a) Proceedings under this part, including hearings under subpart F 
    of this part, will be prosecuted by an agency attorney.
        (b) After issuance of an initial determination in which the FAA 
    provides the opportunity for a hearing, an agency employee engaged in 
    the performance of investigative or prosecutorial functions in a 
    proceeding under this part will not, in that case or a factually 
    related case, participate or give advice in an initial decision by the 
    hearing officer, or a final decision by the Associate Administrator or 
    designee on written appeal, and will not, except as counsel or as 
    witness in the public proceedings, engage in any substantive 
    communication regarding that case or a related case with the hearing 
    officer, the Associate Administrator on written appeal, or agency 
    employees advising those officials in that capacity.
        (c) The Chief Counsel, the Assistant Chief Counsel for Litigation, 
    or an attorney on the staff of the Assistant Chief Counsel for 
    Litigation advises the Associate Administrator regarding an initial 
    decision, an appeal, or a final decision regarding any case brought 
    under this part.
    
    Subpart B--General Rules Applicable to Complaints, Proceedings 
    Initiated by the FAA, and Appeals
    
    
    Sec. 16.11  Expedition and other modification of process.
    
        (a) Under the authority of 49 U.S.C. 40113 and 47121, the Director 
    may conduct investigations, issue orders, and take such other actions 
    as are necessary to fulfill the purposes of this part, including the 
    extension of any time period prescribed where necessary or appropriate 
    for a fair and complete hearing of matters before the agency.
        (b) Notwithstanding any other provision of this part, upon finding 
    that circumstances require expedited handling of a particular case or 
    controversy, the Director may issue an
    
    [[Page 54006]]
    
    order directing any of the following prior to the issuance of the 
    Director's determination:
        (1) Shortening the time period for any action under this part 
    consistent with due process;
        (2) If other adequate opportunity to respond to pleadings is 
    available, eliminating the reply, rebuttal, or other actions prescribed 
    by this part;
        (3) Designating alternative methods of service; or
        (4) Directing such other measures as may be required.
    
    
    Sec. 16.13  Filing of documents.
    
        Except as otherwise provided in this part, documents shall be filed 
    with the FAA during a proceeding under this part as follows:
        (a) Filing address. Documents to be filed with the FAA shall be 
    filed with the Office of the Chief Counsel, Attention: FAA Part 16 
    Airport Proceedings Docket, AGC-610, Federal Aviation Administration, 
    800 Independence Ave., SW., Washington, DC, 20591. Documents to be 
    filed with a hearing officer shall be filed at the address stated in 
    the hearing order.
        (b) Date and method of filing. Filing of any document shall be by 
    personal delivery or mail as defined in this part, or by facsimile 
    (when confirmed by filing on the same date by one of the foregoing 
    methods). Unless the date is shown to be inaccurate, documents to be 
    filed with the FAA shall be deemed to be filed on the date of personal 
    delivery, on the mailing date shown on the certificate of service, on 
    the date shown on the postmark if there is no certificate of service, 
    on the send date shown on the facsimile (provided filing has been 
    confirmed through one of the foregoing methods), or on the mailing date 
    shown by other evidence if there is no certificate of service and no 
    postmark.
        (c) Number of copies. Unless otherwise specified, an executed 
    original and three copies of each document shall be filed with the FAA 
    Part 16 Airport Proceedings Docket. Copies need not be signed, but the 
    name of the person signing the original shall be shown. If a hearing 
    order has been issued in the case, one of the three copies shall be 
    filed with the hearing officer. If filing by facsimile, the facsimile 
    copy does not constitute one of the copies required under this section.
        (d) Form. Documents filed with the FAA shall be typewritten or 
    legibly printed. In the case of docketed proceedings, the document 
    shall include the docket number of the proceeding on the front page.
        (e) Signing of documents and other papers. The original of every 
    document filed shall be signed by the person filing it or the person's 
    duly authorized representative. The signature shall serve as a 
    certification that the signer has read the document and, based on 
    reasonable inquiry and to the best of the signer's knowledge, 
    information, and belief, the document is--
        (1) Consistent with this part;
        (2) Warranted by existing law or that a good faith argument exists 
    for extension, modification, or reversal of existing law; and
        (3) Not interposed for any improper purpose, such as to harass or 
    to cause unnecessary delay or needless increase in the cost of the 
    administrative process.
        (f) Designation of person to receive service. The initial document 
    filed by any person shall state on the first page the name, post office 
    address, telephone number, and facsimile number, if any, of the 
    person(s) to be served with documents in the proceeding. If any of 
    these items change during the proceeding, the person shall promptly 
    file notice of the change with the FAA Part 16 Airport Proceedings 
    Docket and the hearing officer and shall serve the notice on all 
    parties.
        (g) Docket numbers. Each submission identified as a complaint under 
    this part by the submitting person will be assigned a docket number.
    
    
    Sec. 16.15  Service of documents on the parties and the agency.
    
        Except as otherwise provided in this part, documents shall be 
    served as follows:
        (a) Who must be served. Copies of all documents filed with the FAA 
    Part 16 Airport Proceedings Docket shall be served by the persons 
    filing them on all parties to the proceeding. A certificate of service 
    shall accompany all documents when they are tendered for filing and 
    shall certify concurrent service on the FAA and all parties. 
    Certificates of service shall be in substantially the following form:
    
        I hereby certify that I have this day served the foregoing [name 
    of document] on the following persons at the following addresses and 
    facsimile numbers (if also served by facsimile) by [specify method 
    of service]:
    
    [list persons, addresses, facsimile numbers]
    
        Dated this ______ day of ______, 19____.
    [signature], for [party]
    
        (b) Method of service. Except as otherwise agreed by the parties 
    and the hearing officer, the method of service is the same as set forth 
    in Sec. 16.13(b) for filing documents.
        (c) Where service shall be made. Service shall be made to the 
    persons identified in accordance with Sec. 16.13(f). If no such person 
    has been designated, service shall be made on the party.
        (d) Presumption of service. There shall be a presumption of lawful 
    service--
        (1) When acknowledgment of receipt is by a person who customarily 
    or in the ordinary course of business receives mail at the address of 
    the party or of the person designated under Sec. 16.13(f); or
        (2) When a properly addressed envelope, sent to the most current 
    address submitted under Sec. 16.13(f), has been returned as 
    undeliverable, unclaimed, or refused.
        (e) Date of service. The date of service shall be determined in the 
    same manner as the filing date under Sec. 16.13(b).
    
    
    Sec. 16.17  Computation of time.
    
        This section applies to any period of time prescribed or allowed by 
    this part, by notice or order of the hearing officer, or by an 
    applicable statute.
        (a) The date of an act, event, or default, after which a designated 
    time period begins to run, is not included in a computation of time 
    under this part.
        (b) The last day of a time period is included in a computation of 
    time unless it is a Saturday, Sunday, or legal holiday for the FAA, in 
    which case, the time period runs until the end of the next day that is 
    not a Saturday, Sunday, or legal holiday.
        (c) Whenever a party has the right or is required to do some act 
    within a prescribed period after service of a document upon the party, 
    and the document is served on the party by mail, 3 days shall be added 
    to the prescribed period.
    
    
    Sec. 16.19  Motions.
    
        (a) General. An application for an order or ruling not otherwise 
    specifically provided for in this part shall be by motion. Unless 
    otherwise ordered by the agency, the filing of a motion will not stay 
    the date that any action is permitted or required by this part.
        (b) Form and contents. Unless made during a hearing, motions shall 
    be made in writing, shall state with particularity the relief sought 
    and the grounds for the relief sought, and shall be accompanied by 
    affidavits or other evidence relied upon. Motions introduced during 
    hearings may be made orally on the record, unless the hearing officer 
    directs otherwise.
        (c) Answers to motions. Except as otherwise provided in this part, 
    or except when a motion is made during a hearing, any party may file an 
    answer in support of or in opposition to a motion, accompanied by 
    affidavits or other evidence relied upon, provided that the
    
    [[Page 54007]]
    
    answer to the motion is filed within 10 days after the motion has been 
    served upon the person answering, or any other period set by the 
    hearing officer. Where a motion is made during a hearing, the answer 
    and the ruling thereon may be made at the hearing, or orally or in 
    writing within the time set by the hearing officer.
    
    Subpart C--Special Rules Applicable to Complaints
    
    
    Sec. 16.21  Pre-complaint resolution.
    
        (a) Prior to filing a complaint under this part, a person directly 
    and substantially affected by the alleged noncompliance shall initiate 
    and engage in good faith efforts to resolve the disputed matter 
    informally with those individuals or entities believed responsible for 
    the noncompliance. These efforts at informal resolution may include, 
    without limitation, at the parties' expense, mediation, arbitration, or 
    the use of a dispute resolution board, or other form of third party 
    assistance. The FAA Airports District Office, FAA Airports Field 
    Office, or FAA Regional Airports Division responsible for 
    administrating financial assistance to the respondent airport 
    proprietor, will be available upon request to assist the parties with 
    informal resolution.
        (b) A complaint under this part will not be considered unless the 
    person or authorized representative filing the complaint certifies that 
    substantial and reasonable good faith efforts to resolve the disputed 
    matter informally prior to filing the complaint have been made and that 
    there appears no reasonable prospect for timely resolution of the 
    dispute. This certification shall include a brief description of the 
    party's efforts to obtain informal resolution but shall not include 
    information on monetary or other settlement offers made but not agreed 
    upon in writing by all parties.
    
    
    Sec. 16.23  Complaints, answers, replies, rebuttals, and other 
    documents.
    
        (a) A person directly and substantially affected by any alleged 
    noncompliance may file a complaint with the Administrator. A person 
    doing business with an airport and paying fees or rentals to the 
    airport shall be considered directly and substantially affected by 
    alleged revenue diversion as defined in 49 U.S.C. 47107(b).
        (b) Complaints filed under this part shall--
        (1) State the name and address of each person who is the subject of 
    the complaint and, with respect to each person, the specific provisions 
    of each Act that the complainant believes were violated;
        (2) Be served, in accordance with Sec. 16.15, along with all 
    documents then available in the exercise of reasonable diligence, 
    offered in support of the complaint, upon all persons named in the 
    complaint as persons responsible for the alleged action(s) or 
    omission(s) upon which the complaint is based;
        (3) Provide a concise but complete statement of the facts relied 
    upon to substantiate each allegation; and
        (4) Describe how the complainant was directly and substantially 
    affected by the things done or omitted to be done by the respondents.
        (c) Unless the complaint is dismissed pursuant to Sec. 16.25 or 
    Sec. 16.27, the FAA notifies the complainant and respondents in writing 
    within 20 days after the date the FAA receives the complaint that the 
    complaint has been docketed and that respondents are required to file 
    an answer within 20 days of the date of service of the notification.
        (d) The respondent shall file an answer within 20 days of the date 
    of service of the FAA notification.
        (e) The complainant may file a reply within 10 days of the date of 
    service of the answer.
        (f) The respondent may file a rebuttal within 10 days of the date 
    of service of the complainant's reply.
        (g) The answer, reply, and rebuttal shall, like the complaint, be 
    accompanied by supporting documentation upon which the parties rely.
        (h) The answer shall deny or admit the allegations made in the 
    complaint or state that the person filing the document is without 
    sufficient knowledge or information to admit or deny an allegation, and 
    shall assert any affirmative defense.
        (i) The answer, reply, and rebuttal shall each contain a concise 
    but complete statement of the facts relied upon to substantiate the 
    answers, admissions, denials, or averments made.
        (j) The respondent's answer may include a motion to dismiss the 
    complaint, or any portion thereof, with a supporting memorandum of 
    points and authorities. If a motion to dismiss is filed, the 
    complainant may respond as part of its reply notwithstanding the 10-day 
    time limit for answers to motions in Sec. 16.19(c).
    
    
    Sec. 16.25  Dismissals.
    
        Within 20 days after the receipt of the complaint, the Director 
    will dismiss a complaint, or any claim made in a complaint, with 
    prejudice if:
        (a) It appears on its face to be outside the jurisdiction of the 
    Administrator under the Acts listed in Sec. 16.1;
        (b) On its face it does not state a claim that warrants an 
    investigation or further action by the FAA; or
        (c) The complainant lacks standing to file a complaint under 
    Secs. 16.3 and 16.23. The Director's dismissal will include the reasons 
    for the dismissal.
    
    
    Sec. 16.27  Incomplete complaints.
    
        If a complaint is not dismissed pursuant to Sec. 16.25 of this 
    part, but is deficient as to one or more of the requirements set forth 
    in Sec. 16.21 or Sec. 16.23(b), the Director will dismiss the complaint 
    within 20 days after receiving it. Dismissal will be without prejudice 
    to the refiling of the complaint after amendment to correct the 
    deficiency. The Director's dismissal will include the reasons for the 
    dismissal.
    
    
    Sec. 16.29  Investigations.
    
        (a) If, based on the pleadings, there appears to be a reasonable 
    basis for further investigation, the FAA investigates the subject 
    matter of the complaint.
        (b) The investigation may include one or more of the following, at 
    the sole discretion of the FAA:
        (1) A review of the written submissions or pleadings of the 
    parties, as supplemented by any informal investigation the FAA 
    considers necessary and by additional information furnished by the 
    parties at FAA request. In rendering its initial determination, the FAA 
    may rely entirely on the complaint and the responsive pleadings 
    provided under this subpart. Each party shall file documents that it 
    considers sufficient to present all relevant facts and argument 
    necessary for the FAA to determine whether the sponsor is in 
    compliance.
        (2) Obtaining additional oral and documentary evidence by use of 
    the agency's authority to compel production of such evidence under 
    section 313 Aviation Act, 49 U.S.C. 40113 and 46104, and section 519 of 
    the Airport and Airway Improvement Act, 49 U.S.C. 47122. The 
    Administrator's statutory authority to issue compulsory process has 
    been delegated to the Chief Counsel, the Deputy Chief Counsel, the 
    Assistant Chief Counsel for Airports and Environmental Law, and each 
    Assistant Chief Counsel for a region or center.
        (3) Conducting or requiring that a sponsor conduct an audit of 
    airport financial records and transactions as provided in 49 U.S.C. 
    47107 and 47121.
    
    
    Sec. 16.31  Director's determinations after investigations.
    
        (a) After consideration of the pleadings and other information 
    obtained by the FAA after investigation,
    
    [[Page 54008]]
    
    the Director will render an initial determination and provide it to 
    each party by certified mail within 120 days of the date the last 
    pleading specified in Sec. 16.23 was due.
        (b) The Director's determination will set forth a concise 
    explanation of the factual and legal basis for the Director's 
    determination on each claim made by the complainant.
        (c) A party adversely affected by the Director's determination may 
    appeal the initial determination to the Associate Administrator as 
    provided in Sec. 16.33.
        (d) If the Director's determination finds the respondent in 
    noncompliance and proposes the issuance of a compliance order, the 
    initial determination will include notice of opportunity for a hearing 
    under subpart F of this part, if such an opportunity is provided by the 
    FAA. The respondent may elect or waive a hearing as provided in subpart 
    E of this part.
    
    
    Sec. 16.33  Final decisions without hearing.
    
        (a) The Associate Administrator will issue a final decision on 
    appeal from the Director's determination, without a hearing, where--
        (1) The complaint is dismissed after investigation;
        (2) A hearing is not required by statute and is not otherwise made 
    available by the FAA; or
        (3) The FAA provides opportunity for a hearing to the respondent 
    and the respondent waives the opportunity for a hearing as provided in 
    subpart E of this part.
        (b) In the cases described in paragraph (a) of this section, a 
    party adversely affected by the Director's determination may file an 
    appeal with the Associate Administrator within 30 days after the date 
    of service of the initial determination.
        (c) A reply to an appeal may be filed with the Associate 
    Administrator within 20 days after the date of service of the appeal.
        (d) The Associate Administrator will issue a final decision and 
    order within 60 days after the due date of the reply.
        (e) If no appeal is filed within the time period specified in 
    paragraph (b) of this section, the Director's determination becomes the 
    final decision and order of the FAA without further action. A 
    Director's determination that becomes final because there is no 
    administrative appeal is not judicially reviewable.
    
    Subpart D--Special Rules Applicable to Proceedings Initiated by the 
    FAA
    
    
    Sec. 16.101  Basis for the initiation of agency action.
    
        The FAA may initiate its own investigation of any matter within the 
    applicability of this part without having received a complaint. The 
    investigation may include, without limitation, any of the actions 
    described in Sec. 16.29(b).
    
    
    Sec. 16.103  Notice of investigation.
    
        Following the initiation of an investigation under Sec. 16.101, the 
    FAA sends a notice to the person(s) subject to investigation. The 
    notice will set forth the areas of the agency's concern and the reasons 
    therefor; request a response to the notice within 30 days of the date 
    of service; and inform the respondent that the FAA will, in its 
    discretion, invite good faith efforts to resolve the matter.
    
    
    Sec. 16.105  Failure to resolve informally.
    
        If the matters addressed in the FAA notices are not resolved 
    informally, the FAA may issue a Director's determination under 
    Sec. 16.31.
    
    Subpart E--Proposed Orders of Compliance
    
    
    Sec. 16.109  Orders terminating eligibility for grants, cease and 
    desist orders, and other compliance orders.
    
        This section applies to initial determinations issued under 
    Sec. 16.31 that provide the opportunity for a hearing.
        (a) The agency will provide the opportunity for a hearing if, in 
    the Director's determination, the agency proposes to issue an order 
    terminating eligibility for grants pursuant to 49 U.S.C. 47106(e) and 
    47111(d), an order suspending the payment of grant funds, an order 
    withholding approval of any new application to impose a passenger 
    facility charge pursuant to section 112 of the Federal Aviation 
    Administration Act of 1994, 49 U.S.C. 47111(e), a cease and desist 
    order, an order directing the refund of fees unlawfully collected, or 
    any other compliance order issued by the Administrator to carry out the 
    provisions of the Acts, and required to be issued after notice and 
    opportunity for a hearing. In cases in which a hearing is not required 
    by statute, the FAA may provide opportunity for a hearing at its 
    discretion.
        (b) In a case in which the agency provides the opportunity for a 
    hearing, the Director's determination issued under Sec. 16.31 will 
    include a statement of the availability of a hearing under subpart F of 
    this part.
        (c) Within 20 days after service of a Director's determination 
    under Sec. 16.31 and paragraph (b) of this section, a person subject to 
    the proposed compliance order may--
        (1) Request a hearing under subpart F of this part;
        (2) Waive hearing and appeal the Director's determination in 
    writing to the Associate Administrator, as provided in Sec. 16.33;
        (3) File, jointly with a complainant, a motion to withdraw the 
    complaint and to dismiss the proposed compliance action; or
        (4) Submit, jointly with the agency attorney, a proposed consent 
    order under Sec. 16.243(e).
        (d) If the respondent fails to request a hearing or to file an 
    appeal in writing within the time periods provided in paragraph (c) of 
    this section, the Director's determination becomes final.
    
    Subpart F--Hearings
    
    
    Sec. 16.201  Notice and order of hearing.
    
        (a) If a respondent is provided the opportunity for hearing in an 
    initial determination and does not waive hearing, the Deputy Chief 
    Counsel within 10 days after the respondent elects a hearing will issue 
    and serve on the respondent and complainant a hearing order. The 
    hearing order will set forth:
        (1) The allegations in the complaint, or notice of investigation, 
    and the chronology and results of the investigation preliminary to the 
    hearing;
        (2) The relevant statutory, judicial, regulatory, and other 
    authorities;
        (3) The issues to be decided;
        (4) Such rules of procedure as may be necessary to supplement the 
    provisions of this part;
        (5) The name and address of the person designated as hearing 
    officer, and the assignment of authority to the hearing officer to 
    conduct the hearing in accordance with the procedures set forth in this 
    part; and
        (6) The date by which the hearing officer is directed to issue an 
    initial decision.
        (b) Where there are no genuine issues of material fact requiring 
    oral examination of witnesses, the hearing order may contain a 
    direction to the hearing officer to conduct a hearing by submission of 
    briefs and oral argument without the presentation of testimony or other 
    evidence.
    
    
    Sec. 16.202  Powers of a hearing officer.
    
        In accordance with the rules of this subpart, a hearing officer 
    may:
        (a) Give notice of, and hold, prehearing conferences and hearings;
    
    [[Page 54009]]
    
        (b) Administer oaths and affirmations;
        (c) Issue subpoenas authorized by law and issue notices of 
    deposition requested by the parties;
        (d) Limit the frequency and extent of discovery;
        (e) Rule on offers of proof;
        (f) Receive relevant and material evidence;
        (g) Regulate the course of the hearing in accordance with the rules 
    of this part to avoid unnecessary and duplicative proceedings in the 
    interest of prompt and fair resolution of the matters at issue;
        (h) Hold conferences to settle or to simplify the issues by consent 
    of the parties;
        (i) Dispose of procedural motions and requests;
        (j) Examine witnesses; and
        (k) Make findings of fact and conclusions of law, and issue an 
    initial decision.
    
    
    Sec. 16.203  Appearances, parties, and rights of parties.
    
        (a) Appearances. Any party may appear and be heard in person.
        (1) Any party may be accompanied, represented, or advised by an 
    attorney licensed by a State, the District of Columbia, or a territory 
    of the United States to practice law or appear before the courts of 
    that State or territory, or by another duly authorized representative.
        (2) An attorney, or other duly authorized representative, who 
    represents a party shall file a notice of appearance in accordance with 
    Sec. 16.13.
        (b) Parties and agency participation.
        (1) The parties to the hearing are the respondent (s) named in the 
    hearing order, the complainant(s), and the agency.
        (2) Unless otherwise specified in the hearing order, the agency 
    attorney will serve as prosecutor for the agency from the date of 
    issuance of the Director's determination providing an opportunity for 
    hearing.
    
    
    Sec. 16.207  Intervention and other participation.
    
        (a) A person may submit a motion for leave to intervene as a party. 
    Except for good cause shown, a motion for leave to intervene shall be 
    submitted not later than 10 days after the notice of hearing and 
    hearing order.
        (b) If the hearing officer finds that intervention will not unduly 
    broaden the issues or delay the proceedings and, if the person has a 
    property or financial interest that may not be addressed adequately by 
    the parties, the hearing officer may grant a motion for leave to 
    intervene. The hearing officer may determine the extent to which an 
    intervenor may participate in the proceedings.
        (c) Other persons may petition the hearing officer for leave to 
    participate in the hearing. Participation is limited to the filing of 
    post-hearing briefs and reply to the hearing officer and the Associate 
    Administrator. Such briefs shall be filed and served on all parties in 
    the same manner as the parties' post hearing briefs are filed.
        (d) Participation under this section is at the discretion of the 
    FAA, and no decision permitting participation shall be deemed to 
    constitute an expression by the FAA that the participant has such a 
    substantial interest in the proceeding as would entitle it to judicial 
    review of such decision.
    
    
    Sec. 16.209  Extension of time.
    
        (a) Extension by oral agreement. The parties may agree to extend 
    for a reasonable period of time for filing a document under this part. 
    If the parties agree, the hearing officer shall grant one extension of 
    time to each party. The party seeking the extension of time shall 
    submit a draft order to the hearing officer to be signed by the hearing 
    officer and filed with the hearing docket. The hearing officer may 
    grant additional oral requests for an extension of time where the 
    parties agree to the extension.
        (b) Extension by motion. A party shall file a written motion for an 
    extension of time with the hearing officer not later than 7 days before 
    the document is due unless good cause for the late filing is shown. A 
    party filing a written motion for an extension of time shall serve a 
    copy of the motion on each party.
        (c) Failure to rule. If the hearing officer fails to rule on a 
    written motion for an extension of time by the date the document was 
    due, the motion for an extension of time is deemed denied.
        (d) Effect on time limits. In a hearing required by section 519(b) 
    of the Airport and Airways Improvement Act, as amended in 1987, 49 
    U.S.C. 47106(e) and 47111(d), the due date for the hearing officer's 
    initial decision and for the final agency decision are extended by the 
    length of the extension granted by the hearing officer only if the 
    hearing officer grants an extension of time as a result of an agreement 
    by the parties as specified in paragraph (a) of this section or, if the 
    hearing officer grants an extension of time as a result of the 
    sponsor's failure to adhere to the hearing schedule. In any other 
    hearing, an extension of time granted by the hearing officer for any 
    reason extends the due date for the hearing officer's initial decision 
    and for the final agency decision by the length of time of the hearing 
    officer's decision.
    
    
    16.211  Prehearing conference.
    
        (a) Prehearing conference notice. The hearing officer schedules a 
    prehearing conference and serves a prehearing conference notice on the 
    parties promptly after being designated as a hearing officer.
        (1) The prehearing conference notice specifies the date, time, 
    place, and manner (in person or by telephone) of the prehearing 
    conference.
        (2) The prehearing conference notice may direct the parties to 
    exchange proposed witness lists, requests for evidence and the 
    production of documents in the possession of another party, responses 
    to interrogatories, admissions, proposed procedural schedules, and 
    proposed stipulations before the date of the prehearing conference.
        (b) The prehearing conference. The prehearing conference is 
    conducted by telephone or in person, at the hearing officer's 
    discretion. The prehearing conference addresses matters raised in the 
    prehearing conference notice and such other matters as the hearing 
    officer determines will assist in a prompt, full and fair hearing of 
    the issues.
        (c) Prehearing conference report. At the close of the prehearing 
    conference, the hearing officer rules on any requests for evidence and 
    the production of documents in the possession of other parties, 
    responses to interrogatories, and admissions; on any requests for 
    depositions; on any proposed stipulations; and on any pending 
    applications for subpoenas as permitted by Sec. 16.219. In addition, 
    the hearing officer establishes the schedule, which shall provide for 
    the issuance of an initial decision not later than 110 days after 
    issuance of the Director's determination order unless otherwise 
    provided in the hearing order.
    
    
    Sec. 16.213  Discovery.
    
        (a) Discovery is limited to requests for admissions, requests for 
    production of documents, interrogatories, and depositions as authorized 
    by Sec. 16.215.
        (b) The hearing officer shall limit the frequency and extent of 
    discovery permitted by this section if a party shows that--
        (1) The information requested is cumulative or repetitious;
        (2) The information requested may be obtained from another less 
    burdensome and more convenient source;
        (3) The party requesting the information has had ample opportunity 
    to obtain the information through other
    
    [[Page 54010]]
    
    discovery methods permitted under this section; or
        (4) The method or scope of discovery requested by the party is 
    unduly burdensome or expensive.
    
    
    Sec. 16.215  Depositions.
    
        (a) General. For good cause shown, the hearing officer may order 
    that the testimony of a witness may be taken by deposition and that the 
    witness produce documentary evidence in connection with such testimony. 
    Generally, an order to take the deposition of a witness is entered only 
    if:
        (1) The person whose deposition is to be taken would be unavailable 
    at the hearing;
        (2) The deposition is deemed necessary to perpetuate the testimony 
    of the witness; or
        (3) The taking of the deposition is necessary to prevent undue and 
    excessive expense to a party and will not result in undue burden to 
    other parties or in undue delay.
        (b) Application for deposition. Any party desiring to take the 
    deposition of a witness shall make application therefor to the hearing 
    officer in writing, with a copy of the application served on each 
    party. The application shall include:
        (1) The name and residence of the witness;
        (2) The time and place for the taking of the proposed deposition;
        (3) The reasons why such deposition should be taken; and
        (4) A general description of the matters concerning which the 
    witness will be asked to testify.
        (c) Order authorizing deposition. If good cause is shown, the 
    hearing officer, in his or her discretion, issues an order authorizing 
    the deposition and specifying the name of the witness to be deposed, 
    the location and time of the deposition and the general scope and 
    subject matter of the testimony to be taken.
        (d) Procedures for deposition.
        (1) Witnesses whose testimony is taken by deposition shall be sworn 
    or shall affirm before any questions are put to them. Each question 
    propounded shall be recorded and the answers of the witness transcribed 
    verbatim.
        (2) Objections to questions or evidence shall be recorded in the 
    transcript of the deposition. The interposing of an objection shall not 
    relieve the witness of the obligation to answer questions, except where 
    the answer would violate a privilege.
        (3) The written transcript shall be subscribed by the witness, 
    unless the parties by stipulation waive the signing, or the witness is 
    ill, cannot be found, or refuses to sign. The reporter shall note the 
    reason for failure to sign.
    
    
    Sec. 16.217  Witnesses.
    
        (a) Each party may designate as a witness any person who is able 
    and willing to give testimony that is relevant and material to the 
    issues in the hearing case, subject to the limitation set forth in 
    paragraph (b) of this section.
        (b) The hearing officer may exclude testimony of witnesses that 
    would be irrelevant, immaterial, or unduly repetitious.
        (c) Any witness may be accompanied by counsel. Counsel representing 
    a nonparty witness has no right to examine the witness or otherwise 
    participate in the development of testimony.
    
    
    Sec. 16.219  Subpoenas.
    
        (a) Request for subpoena. A party may apply to the hearing officer, 
    within the time specified for such applications in the prehearing 
    conference report, for a subpoena to compel testimony at a hearing or 
    to require the production of documents only from the following persons:
        (1) Another party;
        (2) An officer, employee, or agent of another party;
        (3) Any other person named in the complaint as participating in or 
    benefiting from the actions of the respondent alleged to have violated 
    any Act;
        (4) An officer, employee, or agent of any other person named in the 
    complaint as participating in or benefiting from the actions of the 
    respondent alleged to have violated any Act.
        (b) Issuance and service of subpoena.
        (1) The hearing officer issues the subpoena if the hearing officer 
    determines that the evidence to be obtained by the subpoena is relevant 
    and material to the resolution of the issues in the case.
        (2) Subpoenas shall be served by personal service, or upon an agent 
    designated in writing for the purpose, or by certified mail, return 
    receipt addressed to such person or agent. Whenever service is made by 
    registered or certified mail, the date of mailing shall be considered 
    as the time when service is made.
        (3) A subpoena issued under this part is effective throughout the 
    United States or any territory or possession thereof.
        (c) Motions to quash or modify subpoena.
        (1) A party or any person upon whom a subpoena has been served may 
    file a motion to quash or modify the subpoena with the hearing officer 
    at or before the time specified in the subpoena for the filing of such 
    motions. The applicant shall describe in detail the basis for the 
    application to quash or modify the subpoena including, but not limited 
    to, a statement that the testimony, document, or tangible evidence is 
    not relevant to the proceeding, that the subpoena is not reasonably 
    tailored to the scope of the proceeding, or that the subpoena is 
    unreasonable and oppressive.
        (2) A motion to quash or modify the subpoena stays the effect of 
    the subpoena pending a decision by the hearing officer on the motion.
    
    
    Sec. 16.221  Witness fees.
    
        (a) The party on whose behalf a witness appears is responsible for 
    paying any witness fees and mileage expenses.
        (b) Except for employees of the United States summoned to testify 
    as to matters related to their public employment, witnesses summoned by 
    subpoena shall be paid the same fees and mileage expenses as are paid 
    to a witness in a court of the United States in comparable 
    circumstances.
    
    
    Sec. 16.223  Evidence.
    
        (a) General. A party may submit direct and rebuttal evidence in 
    accordance with this section.
        (b) Requirement for written testimony and evidence. Except in the 
    case of evidence obtained by subpoena, or in the case of a special 
    ruling by the hearing officer to admit oral testimony, a party's direct 
    and rebuttal evidence shall be submitted in written form in advance of 
    the oral hearing pursuant to the schedule established in the hearing 
    officer's prehearing conference report. Written direct and rebuttal 
    fact testimony shall be certified by the witness as true and correct. 
    Subject to the same exception (for evidence obtained by subpoena or 
    subject to a special ruling by the hearing officer), oral examination 
    of a party's own witness is limited to certification of the accuracy of 
    written evidence, including correction and updating, if necessary, and 
    reexamination following cross-examination by other parties.
        (c) Subpoenaed testimony. Testimony of witnesses appearing under 
    subpoena may be obtained orally.
        (d) Cross-examination. A party may conduct cross-examination that 
    may be required for disclosure of the facts, subject to control by the 
    hearing officer for fairness, expedition and exclusion of extraneous 
    matters.
        (e) Hearsay evidence. Hearsay evidence is admissible in proceedings 
    governed by this part. The fact that
    
    [[Page 54011]]
    
    evidence is hearsay goes to the weight of evidence and does not affect 
    its admissibility.
        (f) Admission of evidence. The hearing officer admits evidence 
    introduced by a party in support of its case in accordance with this 
    section, but may exclude irrelevant, immaterial, or unduly repetitious 
    evidence.
        (g) Expert or opinion witnesses. An employee of the FAA or DOT may 
    not be called as an expert or opinion witness for any party other than 
    the agency except as provided in Department of Transportation 
    regulations at 49 CFR part 9.
    
    
    Sec. 16.225  Public disclosure of evidence.
    
        (a) Except as provided in this section, the hearing shall be open 
    to the public.
        (b) The hearing officer may order that any information contained in 
    the record be withheld from public disclosure. Any person may object to 
    disclosure of information in the record by filing a written motion to 
    withhold specific information with the hearing officer. The person 
    shall state specific grounds for nondisclosure in the motion.
        (c) The hearing officer shall grant the motion to withhold 
    information from public disclosure if the hearing officer determines 
    that disclosure would be in violation of the Privacy Act, would reveal 
    trade secrets or privileged or confidential commercial or financial 
    information, or is otherwise prohibited by law.
    
    
    Sec. 16.227  Standard of proof.
    
        The hearing officer shall issue an initial decision or shall rule 
    in a party's favor only if the decision or ruling is supported by, and 
    in accordance with, reliable, probative, and substantial evidence 
    contained in the record and is in accordance with law.
    
    
    Sec. 16.229  Burden of proof.
    
        (a) The burden of proof of noncompliance with an Act or any 
    regulation, order, agreement or document of conveyance issued under the 
    authority of an Act is on the agency.
        (b) Except as otherwise provided by statute or rule, the proponent 
    of a motion, request, or order has the burden of proof.
        (c) A party who has asserted an affirmative defense has the burden 
    of proving the affirmative defense.
    
    
    Sec. 16.231  Offer of proof.
    
        A party whose evidence has been excluded by a ruling of the hearing 
    officer may offer the evidence on the record when filing an appeal.
    
    
    Sec. 16.233  Record.
    
        (a) Exclusive record. The transcript of all testimony in the 
    hearing, all exhibits received into evidence, all motions, applications 
    requests and rulings, and all documents included in the hearing record 
    shall constitute the exclusive record for decision in the proceedings 
    and the basis for the issuance of any orders.
        (b) Examination and copy of record. Any interested person may 
    examine the record at the Part 16 Airport Proceedings Docket, AGC-600, 
    Federal Aviation Administration, 800 Independence Avenue, SW., 
    Washington, DC 20591. Any person may have a copy of the record after 
    payment of reasonable costs for search and reproduction of the record.
    
    
    Sec. 16.235  Argument before the hearing officer.
    
        (a) Argument during the hearing. During the hearing, the hearing 
    officer shall give the parties reasonable opportunity to present oral 
    argument on the record supporting or opposing motions, objections, and 
    rulings if the parties request an opportunity for argument. The hearing 
    officer may direct written argument during the hearing if the hearing 
    officer finds that submission of written arguments would not delay the 
    hearing.
        (b) Posthearing briefs. The hearing officer may request or permit 
    the parties to submit posthearing briefs. The hearing officer may 
    provide for the filing of simultaneous reply briefs as well, if such 
    filing will not unduly delay the issuance of the hearing officer's 
    initial decision. Posthearing briefs shall include proposed findings of 
    fact and conclusions of law; exceptions to rulings of the hearing 
    officer; references to the record in support of the findings of fact; 
    and supporting arguments for the proposed findings, proposed 
    conclusions, and exceptions.
    
    
    Sec. 16.237  Waiver of procedures.
    
        (a) The hearing officer shall waive such procedural steps as all 
    parties to the hearing agree to waive before issuance of an initial 
    decision.
        (b) Consent to a waiver of any procedural step bars the raising of 
    this issue on appeal.
        (c) The parties may not by consent waive the obligation of the 
    hearing officer to enter an initial decision on the record.
    
    Subpart G--Initial Decisions, Orders and Appeals
    
    
    Sec. 16.241  Initial decisions, order, and appeals.
    
        (a) The hearing officer shall issue an initial decision based on 
    the record developed during the proceeding and shall send the initial 
    decision to the parties not later than 110 days after the Director's 
    determination unless otherwise provided in the hearing order.
        (b) Each party adversely affected by the hearing officer's initial 
    decision may file an appeal with the Associate Administrator within 15 
    days of the date the initial decision is issued. Each party may file a 
    reply to an appeal within 10 days after it is served on the party. 
    Filing and service of appeals and replies shall be by personal 
    delivery.
        (c) If an appeal is filed, the Associate Administrator reviews the 
    entire record and issues a final agency decision and order within 30 
    days of the due date of the reply. If no appeal is filed, the Associate 
    Administrator may take review of the case on his or her own motion. If 
    the Associate Administrator finds that the respondent is not in 
    compliance with any Act or any regulation, agreement, or document of 
    conveyance issued or made under such Act, the final agency order 
    includes a statement of corrective action, if appropriate, and 
    identifies sanctions for continued noncompliance.
        (d) If no appeal is filed, and the Associate Administrator does not 
    take review of the initial decision on the Associate Administrator's 
    own motion, the initial decision shall take effect as the final agency 
    decision and order on the sixteenth day after the actual date the 
    initial decision is issued.
        (e) The failure to file an appeal is deemed a waiver of any rights 
    to seek judicial review of an initial decision that becomes a final 
    agency decision by operation of paragraph (d) of this section.
        (f) If the Associate Administrator takes review on the Associate 
    Administrator's own motion, the Associate Administrator issues a notice 
    of review by the sixteenth day after the actual date the initial 
    decision is issued.
        (1) The notice sets forth the specific findings of fact and 
    conclusions of law in the initial decision that are subject to review 
    by the Associate Administrator.
        (2) Parties may file one brief on review to the Associate 
    Administrator or rely on their posthearing briefs to the hearing 
    officer. Briefs on review shall be filed not later than 10 days after 
    service of the notice of review. Filing and service of briefs on review 
    shall be by personal delivery.
    
    [[Page 54012]]
    
        (3) The Associate Administrator issues a final agency decision and 
    order within 30 days of the due date of the briefs on review. If the 
    Associate Administrator finds that the respondent is not in compliance 
    with any Act or any regulation, agreement or document of conveyance 
    issued under such Act, the final agency order includes a statement of 
    corrective action, if appropriate, and identifies sanctions for 
    continued noncompliance.
    
    
    Sec. 16.243  Consent orders.
    
        (a) The agency attorney and the respondents may agree at any time 
    before the issuance of a final decision and order to dispose of the 
    case by issuance of a consent order. Good faith efforts to resolve a 
    complaint through issuance of a consent order may continue throughout 
    the administrative process. Except as provided in Sec. 16.209, such 
    efforts may not serve as the basis for extensions of the times set 
    forth in this part.
        (b) A proposal for a consent order, specified in paragraph (a) of 
    this section, shall include:
        (1) A proposed consent order;
        (2) An admission of all jurisdictional facts;
        (3) An express waiver of the right to further procedural steps and 
    of all rights of judicial review; and
        (4) The hearing order, if issued, and an acknowledgment that the 
    hearing order may be used to construe the terms of the consent order.
        (c) If the issuance of a consent order has been agreed upon by all 
    parties to the hearing, the proposed consent order shall be filed with 
    the hearing officer, along with a draft order adopting the consent 
    decree and dismissing the case, for the hearing officer's adoption.
        (d) The deadline for the hearing officer's initial decision and the 
    final agency decision is extended by the amount of days elapsed between 
    the filing of the proposed consent order with the hearing officer and 
    the issuance of the hearing officer's order continuing the hearing.
        (e) If the agency attorney and sponsor agree to dispose of a case 
    by issuance of a consent order before the FAA issues a hearing order, 
    the proposal for a consent order is submitted jointly to the official 
    authorized to issue a hearing order, together with a request to adopt 
    the consent order and dismiss the case. The official authorized to 
    issue the hearing order issues the consent order as an order of the FAA 
    and terminates the proceeding.
    
    Subpart H--Judicial Review
    
    
    Sec. 16.247  Judicial review of a final decision and order.
    
        (a) A person may seek judicial review, in a United States Court of 
    Appeals, of a final decision and order of the Associate Administrator 
    as provided in 49 U.S.C. 46110 or section 519(b)(4) of the Airport and 
    Airway Improvement Act of 1982, as amended, (AAIA), 49 U.S.C. 47106(d) 
    and 47111(d). A party seeking judicial review of a final decision and 
    order shall file a petition for review with the Court not later than 60 
    days after a final decision and order under the AAIA has been served on 
    the party or within 60 days after the entry of an order under 49 U.S.C. 
    40101 et seq.
        (b) The following do not constitute final decisions and orders 
    subject to judicial review:
        (1) An FAA decision to dismiss a complaint without prejudice, as 
    set forth in Sec. 16.27;
        (2) A Director's determination;
        (3) An initial decision issued by a hearing officer at the 
    conclusion of a hearing;
        (4) A Director's determination or an initial decision of a hearing 
    officer that becomes the final decision of the Associate Administrator 
    because it was not appealed within the applicable time periods provided 
    under Secs. 16.33(b) and 16.241(b).
    
    Subpart I--Ex Parte Communications
    
    
    Sec. 16.301  Definitions.
    
        As used in this subpart:
        Decisional employee means the Administrator, Deputy Administrator, 
    Associate Administrator, Director, hearing officer, or other FAA 
    employee who is or who may reasonably be expected to be involved in the 
    decisional process of the proceeding.
        Ex parte communication means an oral or written communication not 
    on the public record with respect to which reasonable prior notice to 
    all parties is not given, but it shall not include requests for status 
    reports on any matter or proceeding covered by this part, or 
    communications between FAA employees who participate as parties to a 
    hearing pursuant to 16.203(b) of this part and other parties to a 
    hearing.
    
    
    Sec. 16.303  Prohibited ex parte communications.
    
        (a) The prohibitions of this section shall apply from the time a 
    proceeding is noticed for hearing unless the person responsible for the 
    communication has knowledge that it will be noticed, in which case the 
    prohibitions shall apply at the time of the acquisition of such 
    knowledge.
        (b) Except to the extent required for the disposition of ex parte 
    matters as authorized by law:
        (1) No interested person outside the FAA and no FAA employee 
    participating as a party shall make or knowingly cause to be made to 
    any decisional employee an ex parte communication relevant to the 
    merits of the proceeding;
        (2) No FAA employee shall make or knowingly cause to be made to any 
    interested person outside the FAA an ex parte communication relevant to 
    the merits of the proceeding; or
        (3) Ex parte communications regarding solely matters of agency 
    procedure or practice are not prohibited by this section.
    
    
    Sec. 16.305  Procedures for handling ex parte communications.
    
        A decisional employee who receives or who makes or knowingly causes 
    to be made a communication prohibited by Sec. 16.303 shall place in the 
    public record of the proceeding:
        (a) All such written communications;
        (b) Memoranda stating the substance of all such oral 
    communications; and
        (c) All written responses, and memoranda stating the substance of 
    all oral responses, to the materials described in paragraphs (a) and 
    (b) of this section.
    
    
    Sec. 16.307  Requirement to show cause and imposition of sanction.
    
        (a) Upon receipt of a communication knowingly made or knowingly 
    caused to be made by a party in violation of Sec. 16.303, the Associate 
    Administrator or his designee or the hearing officer may, to the extent 
    consistent with the interests of justice and the policy of the 
    underlying statutes, require the party to show cause why his or her 
    claim or interest in the proceeding should not be dismissed, denied, 
    disregarded, or otherwise adversely affected on account of such 
    violation.
        (b) The Associate Administrator may, to the extent consistent with 
    the interests of justice and the policy of the underlying statutes 
    administered by the FAA, consider a violation of this subpart 
    sufficient grounds for a decision adverse to a party who has knowingly 
    committed such violation or knowingly caused such violation to occur.
    
        Issued in Washington, DC, on October 8, 1996.
    David R. Hinson,
    Administrator.
    [FR Doc. 96-26180 Filed 10-10-96; 8:45 am]
    BILLING CODE 4910-13-M
    
    
    

Document Information

Effective Date:
12/16/1996
Published:
10/16/1996
Department:
Federal Aviation Administration
Entry Type:
Rule
Action:
Final rule.
Document Number:
96-26180
Dates:
This rule is effective December 16, 1996.
Pages:
53998-54012 (15 pages)
Docket Numbers:
Docket No. 27783, Amendment No. 13-27, 16
RINs:
2120-AF43: Procedures for Complaints Involving Federally Assisted Airports
RIN Links:
https://www.federalregister.gov/regulations/2120-AF43/procedures-for-complaints-involving-federally-assisted-airports
PDF File:
96-26180.pdf
CFR: (52)
14 CFR 16.109(a)
14 CFR 16.203(a)(2)
14 CFR 16.5(c)
14 CFR 16.17(c)
14 CFR 16.31(d)
More ...