96-22784. Highly Erodible Land and Wetland Conservation  

  • [Federal Register Volume 61, Number 174 (Friday, September 6, 1996)]
    [Rules and Regulations]
    [Pages 47019-47038]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-22784]
    
    
    
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    Federal Register / Vol. 61, No. 174 / Friday, September 6, 1996 / 
    Rules and Regulations
    
    [[Page 47019]]
    
    
    
    DEPARTMENT OF AGRICULTURE
    
    Office of the Secretary
    
    7 CFR Part 12
    
    RIN 0578-AA17
    
    
    Highly Erodible Land and Wetland Conservation
    
    AGENCY: Office of the Secretary, USDA.
    
    ACTION: Interim final rule with request for comments.
    
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    SUMMARY: The United States Department of Agriculture (USDA) is issuing 
    an interim final rule for the Highly Erodible Land and Wetland 
    Conservation provisions of the Food Security Act of 1985, as amended. 
    This interim final rule incorporates specific changes required by the 
    Federal Agriculture Improvement and Reform Act of 1996 and makes other 
    changes to improve the administration of these provisions. USDA is 
    seeking comments from the public which will be considered prior to 
    issuing a final rule.
    
    DATES: Effective Dates: September 6, 1996.
        Comments must be received by November 5, 1996.
    
    ADDRESSES:  All comments concerning this interim final rule should be 
    addressed to Lloyd E. Wright, Director, Conservation Ecosystems 
    Assistance Division, Natural Resources Conservation service, P.O. Box 
    2890, Washington, D.C. 20013-2890. Attention: HELWC. Fax: 202-720-1838. 
    This rule may also be accessed, and comments submitted, via Internet. 
    Users can access the NRCS Federal Register homepage and submit comments 
    at http:/astro.itc.nrcs.usda.gov:6500.
    
    FOR FURTHER INFORMATION CONTACT:
     Sandra N. Penn, Conservation Ecosystems Assistance Division, Natural 
    Resources Conservation Service, 202-720-1845.
    
    SUPPLEMENTARY INFORMATION:
    
    Executive Order 12866
    
        This rule has been determined to be significant and was reviewed by 
    the Office of Management and Budget (OMB) under Executive Order 12866. 
    Pursuant to Sec. 6(a)(3) of Executive Order 12866, CCC and NRCS have 
    conducted an economic analysis of the potential impacts associated with 
    this interim final rule. The economic analysis concluded that the past 
    ten years of experience in implementing these provisions demonstrates 
    that the provisions are an effective incentive to implementing 
    conservation practices. Changes in the 1985 Act and the implementing 
    regulations will help to increase that incentive by making compliance 
    achievable by more producers, providing more liberal technical 
    assistance, and increasing flexibility in farm operations that deterred 
    some producers from participation in USDA programs in the past. A copy 
    of this cost-benefit analysis is available upon request from Sandra N. 
    Penn, Conservation Ecosystems Assistance Division, Natural Resources 
    Conservation Service, P.O. Box 1890, Washington, D.C. 20013-1890.
    
    Regulatory Flexibility Act
    
        The Regulatory Flexibility Act is not applicable to this rule 
    because USDA is not required by 5 U.S.C. 533 or any other provisions of 
    law to publish a notice of proposed rulemaking with respect to the 
    subject matter of this rule.
    
    Environmental Evaluation
    
        It has been determined through an environmental assessment that the 
    issuance of this interim final rule will not have a significant impact 
    upon the human environment. Copies of the environmental assessment may 
    be obtained from Sandra N. Penn, Conservation Ecosystems Assistance 
    Division, Natural Resources Conservation Service, P.O. Box 2890, 
    Washington, D.C. 20013-2890.
    
    Paperwork Reduction Act
    
        No substantive changes have been made in this interim final rule 
    that affect the recordkeeping requirements and estimated burdens 
    previously reviewed and approved under OMB control number 0560-0004.
    
    Executive Order 12788
    
        This interim final rule has been reviewed in accordance with 
    Executive Order 12778. The provisions of this interim final rule are 
    not retroactive except for Sec. 12.5(b)(4)-(8) in relation to certain 
    actions or determinations that occurred after December 23, 1985, 
    relative to the conversion of wetlands or the production of an 
    agricultural commodity upon a converted wetland. Furthermore, the 
    provisions of this final interim rule preempt State and local laws to 
    the extent such laws are inconsistent with this interim final rule. 
    Before an action may be brought in a Federal court of competent 
    jurisdiction, the administrative appeal rights afforded persons at CFR 
    parts 11,614,780 and 1900 Subpart B of this title, as appropriate, must 
    be exercised and exhausted.
    
    Unfunded Mandates Reform Act of 1995
    
        Pursuant to Title II of the unfunded Mandates Reform Act of 1995, 
    Pub. L. 104-4, the effects of this rulemaking action on State, local, 
    and tribal governments, and the public have been assessed. This action 
    does not compel the expenditure of $100 million or more by any State, 
    local, or tribal governments, or anyone in the private sector; 
    therefore a statement under Sec. 202 of the Unfunded Mandates Reform 
    Act of 1995 is not required.
    
    Discussion of Provisions
    
        Title XII of the Food Security Act of 1985, as amended (the 1985 
    Act), encourages participants in United States Department of 
    Agriculture (USDA) programs to adopt land management measures by 
    linking eligibility for USDA program benefits to farming practices on 
    highly erodible land and converted wetlands. In particular, the highly 
    erodible land provisions (HEL) of the 1985 Act provide that after 
    December 23, 1985, a program participant is ineligible for certain USDA 
    program benefits for the production of an agricultural commodity on a 
    field in which highly erodible land is predominant. Additionally, the 
    wetland conservation (WC) provisions of the 1985 Act provide that after 
    December 23, 1985, a program participant is ineligible for certain USDA 
    program benefits for the production of an agricultural commodity on a 
    converted
    
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    wetland, or after November 28, 1990, for the conversion of a wetland 
    that makes the production of an agriculture commodity possible. The 
    1985 Act, however, affords relief to program participants who meet 
    certain conditions identified under the 1985 Act by exempting such 
    actions from the ineligibility provisions.
        The USDA issued a final rule implementing the HEL and WC provisions 
    of the 1985 Act on September 17, 1987. These regulations, found at 7 
    CFR part 12, provided the terms of program ineligibility, described the 
    several exemptions from ineligibility, outlined the responsibilities of 
    the several USDA agencies involved in implementing the provisions, and 
    generally established the framework for administration of the 
    provisions.
        The Food, Agriculture, Conservation, and Trade Act of 1990 (the 
    1990 Act), amended the 1985 Act and made some significant modifications 
    to the HEL and WC conservation provisions. These statutory changes were 
    incorporated into part 12 through amendments issued April 23, 1991, and 
    May 23, 1991.
        The implementing regulations mirror the 1985 Act's structure by 
    listing the activities that will cause a person to lose program 
    benefits, the program benefits that are at risk, and the conditions 
    under which these activities can occur without losing program 
    eligibility. The current regulations are divided into three subparts. 
    Subpart A describes the terms of ineligibility, USDA programs 
    encompassed by its terms, the list of exemptions from ineligibility, 
    the agency responsibilities, and the appeal provisions for persons 
    adversely affected by an agency determination. Subpart B describes in 
    greater detail the technical aspects of the highly erodible land 
    provisions, including the criteria for identification of highly 
    erodible lands, criteria for highly erodible field determinations, and 
    requirements for the development of conservation plans and conservation 
    systems. Subpart C describes in greater detail the technical aspects of 
    the wetland conservation provisions, including the criteria for 
    determining a wetland, the criteria for determining a converted 
    wetland, and the uses of wetlands and converted wetlands that can be 
    made without losing program eligibility.
        Since December 23, 1985, program participants have farmed in a more 
    sustainable manner, resulting in more soil remaining on the field and 
    more wetlands remaining available to wildlife and migratory fowl. 
    Meeting the objectives of the HEL and WC provisions, however, has been 
    difficult for some producers. Wherever possible, USDA helps individual 
    program participants address their unique resources concerns in a 
    manner that meets the requirements of the HEL and WC provisions. The 
    Federal Agriculture Improvement and Reform Act (the 1996 Act), enacted 
    April 4, 1996, made several modifications to the HEL and WC provisions 
    which will increase USDA's ability to meet these individual situations 
    in a more flexible manner.
    
    The Federal Agriculture Improvement and Reform Act
    
        The 1996 Act amendments to the HEL and WC provisions became 
    effective 90 days after the date of enactment, i.e., July 3, 1996. 
    Accordingly, delaying implementation of this rule would be contrary to 
    the public interest and it has been determined that this rule should, 
    therefore, be effective when issued but subject to further review based 
    on comments submitted in response to this interim final rule.
        The 1996 Act made the following changes to the implementation of 
    the HEL and WC provisions:
         Adds new programs to the list of USDA program benefits 
    covered.
         Deletes some programs from the list of USDA program 
    benefits covered.
         Under certain conditions, allows a person who is 
    determined to be ineligible for USDA program benefits because of 
    failure to apply a conservation system up to 1 year to implement the 
    necessary practices without loss of benefits.
         Provides for expedited variances related to weather, pest, 
    and disease problems and establishes a time period to render a decision 
    on whether to grant those variances.
         Requires a measurement of soil erosion on a highly 
    erodible field prior to the implementation of a conservation system, 
    based on estimated average annual soil erosion rates.
         Provides for self-certification of compliance for HEL and 
    authorizes the Natural Resources Conservation Service (NRCS) to exclude 
    that person from status review on the basis of that certification of 
    compliance.
         Provides for revision or modification of a conservation 
    plan by a person if the same level of treatment is maintained.
         Permits a person to use, on a field-trial basis, 
    conservation practices other than those currently approved if NRCS 
    determines in advance that the practices have a reasonable likelihood 
    of success.
         Provides for a review, and relief to a person, by the 
    local county committee if applying a conservation system would cause 
    the person undue economic hardship.
         Requires that an employee of USDA who notices a 
    conservation compliance deficiency on a person's farm while providing 
    technical assistance on other land inform the person of the deficiency 
    and actions necessary to come into compliance, and allow up to 1 year 
    for the person to fully implement corrective action before reporting 
    the observation as a compliance violation.
         Requires that highly erodible land exiting the 
    Conservation Reserve Program not be held to a higher conservation 
    compliance standard than similar cropland in the same area.
         Permits a person to cease using farmed wetlands, or 
    farmed-wetland pastures, as identified by NRCS, for cropping or forage 
    production, and allows the lands to return to wetland conditions, and 
    subsequently bring these lands back into agricultural production after 
    any length of time without loss of eligibility for USDA program 
    benefits, given certain conditions.
         Allows flexibility in determining the programs for which a 
    person who violates wetland conservation provisions will become 
    ineligible.
         Ensures that persons the right to request and appeal a 
    certified wetland determination.
         Provides that a certified wetland delineation will remain 
    in effect until the person requests a new determination and 
    certification.
         Ensures that wetlands that were certified as prior-
    converted cropland will continue to be considered prior-converted 
    cropland even if wetland characteristics return as a result of lack of 
    maintenance of the land or other circumstances beyond the person's 
    control provided the prior-converted cropland continues to be used for 
    agricultural purposes.
         Requires USDA to identify on a regional basis which 
    categories of activities constitute a minimal effect on wetland 
    functions and values.
         Provides persons who convert a wetland greater flexibility 
    to mitigate the loss of wetland functions and values through 
    restoration, enhancement, or creation of wetlands.
         Allows the Farm Service Agency (FSA) to waive a person's 
    ineligibility for benefits if FSA believes the person acted in good 
    faith and without intent to violate the wetland provisions.
         Provides for a pilot program for wetland mitigation 
    banking.
         Repeals the requirements for consultation with the Fish 
    and Wildlife Service (FWS).
    
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         Provides that benefits of affiliates of a business 
    enterprise who violate HEL or WC provisions will be reduced in 
    proportion to the interest held by the affiliate in the business 
    enterprise.
         Defines ``agricultural lands'' for the purpose of 
    implementing the January 6, 1994, interagency memorandum of agreement 
    on Federal wetland delineations on agricultural lands.
    
    Public Listing Forums
    
        In April 1996, USDA held nine forums to provide opportunities for 
    public comment in advance of this rulemaking action. These forums were 
    held at Sacramento, California; Longmont, Colorado; Columbus, Georgia; 
    Springfield, Illinois; Wyomissing, Pennsylvania; Sioux Falls, South 
    Dakota; Abilene, Texas, Spokane, Washington; and, Washington, D.C. More 
    than 850 people, including 206 speakers, attended these forums. In 
    addition, USDA accepted written comments. The USDA considered the 
    public comments provided at these forums in the preparation of this 
    interim final rule. The documents relating to these forums are 
    available for public inspection at Room 6029 South Building, USDA, 14th 
    and Independence Ave. SW, Washington, D.C. The following discussion is 
    a brief 3summary of how USDA responded to the issues generated by the 
    comments:
        USDA received seven comments related to the granting of variance 
    for persons who fail to meet the highly erodible land conservation 
    requirements. Section 12.5(a)(6)(ii) addresses procedures for granting 
    variances for weather, pest, and disease problems, and the factors that 
    NRCS will consider in granting those variances.
        USDA received three comments related to procedures for determining 
    whether a conservation system results in a substantial reduction in 
    erosion. Section 12.23 addresses procedures for evaluating conservation 
    systems for land with and without cropping history.
        USDA received 25 comments related to policies regarding when a 
    violation is in good faith. Sections 12.5(a)(5) and (b)(5) address 
    procedures for determining when a violation is in good faith.
        USDA received 16 comments related to procedures for conducting 
    status reviews. Although procedures for conducting status reviews are 
    not addressed in the rule, the NRCS will consider these comments in 
    preparing its internal operating procedures.
        USDA received 46 comments related to procedures on wetland 
    mitigation; these included the suggestion that mitigation always be in 
    the same watershed; that mitigation should place priority on 
    restoration or enhancement rather than creation of wetlands; that 
    mitigation should be flexible; and, that mitigation should meet the 
    requirements of the WC provision. Section 12.5(b)(4) sets forth 
    procedures to be used for wetland mitigation, and adds that the State 
    Conservationist may determine that mitigation for certain types or 
    classes of wetlands will not be considered because it is not possible 
    to achieve equivalent replacement of wetland functions and values 
    within a reasonable time frame. USDA received another 28 comments 
    related to mitigation banking.
        USDA received 68 comments related to certification of wetland 
    determinations. Some commenters favored reviewing all wetland 
    determinations and correcting errors; other commenters favored not 
    reviewing existing wetland determinations. Some commenters suggested 
    that landowners should be formally notified of the certification of 
    wetland determinations. Some commenters suggested that NRCS should be 
    the lead agency for wetland determinations. Section 12.30(c) describes 
    the proposed approach to certification of wetland determinations. It 
    also specifies that a certified wetland determination will remain valid 
    and in effect until the person affected by the certification requests 
    review of the certification by NRCS.
        USDA received 17 comments related to the role of FWS in carrying 
    out the wetland conservation provisions. Of these, four commenters 
    expressed support for FWS involvement and eight commenters favored 
    decreasing the role of the FWS. Five commenters made no specific 
    recommendation. The 1996 Act removed the requirement for consultation 
    with FWS, and that requirement has been removed from the rule. In 
    addition, Sec. 12.30 defines the role of the FWS in carrying out the 
    wetland conservation provisions.
        USDA received 36 comments related to prior-converted cropland 
    issues and abandonment of wetlands. Of these, 19 commenters expressed 
    support for the ``once a PC, always a PC'' change made by the 1996 Act; 
    three commenters expressed concern over that change. Section 12.33 
    incorporates changes made by the 1996 Act amendments.
        USDA received four comments stating that NRCS should withdraw from 
    the Interagency Memorandum of Agreement on Wetlands (MOA) with FWS, 
    Environmental Protection Agency (EPA), and the U.S. Army Corps of 
    Engineers (Corps). This comment is outside the scope of this rule, but 
    as discussed in greater detail below, NRCS is dedicated to continued 
    coordination with the other Federal agencies with wetland 
    responsibilities. Currently, the MOA provides a useful and available 
    framework for this coordination.
    
    Description of Amendments
    
        As the summary of the forum comments indicates, the statutory 
    changes affect provisions throughout 7 CFR part 12. Because of these 
    numerous changes, USDA will republish part 12 in its entirety to help 
    the public form opinions and offer comments. When USDA reviews the 
    comments received from the public, those comments concerning new 
    regulatory provisions will receive greater consideration.
        In addition to revisions necessary to accommodate changes in the 
    Act, USDA makes several changes to interpret, clarify, or specify 
    procedures followed in the implementation for the HEL and WC 
    provisions. USDA invites public comment on these changes.
    
    Amendments to the HEL Provisions
    
        USDA finds that the following regulatory changes will improve the 
    quality of implementation of the HEL provisions of the 1985 Act:
         Section 12.5(a)(6)(ii) is amended to list factors that 
    NRCS will consider when a landowner requests a variance related to 
    weather, pest, or disease problems.
         Section 12.22(c) is added to clarify that when fields are 
    combined, the part of the new field that was previously a highly 
    erodible field shall continue to be subject to the highly erodible land 
    requirements.
         Section 12.23(a) is amended to clarify that the adequacy 
    of a conservation system will be evaluated according to whether it 
    conforms to the NRCS field office technical guide in use at the time 
    that the plan or system is developed or revised.
         Section 12.23(b) is added to clarify procedures to be used 
    to evaluate the adequacy of conservation systems for achieving 
    substantial reduction in soil erosion on land with and without cropping 
    history.
         Section 12.23(c) is added to specify that conservation 
    field trials included in a person's conservation plan must have prior 
    approval by NRCS and must be documented in the person's conservation 
    plan specifying the limited time period during which the field trial is 
    in effect.
         Section 12.23(j) sets forth the factors to be considered 
    by the FSA State Committee in determining whether to grant a person's 
    request for relief based on undue economic
    
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    hardship in implementing a conservation system.
    
    Amendments to the WC Provisions
    
        USDA finds that the following changes will improve the 
    implementation of the WC provisions of the 1985 Act (WC provisions):
        Identification of wetland types: The WC provisions clearly limit 
    the conversion of wetlands and the planting of an agricultural 
    commodity on a converted wetland, yet the technical identification of 
    when these provisions are triggered can prove complex. Even though the 
    1985 Act implicitly identifies three distinct land types (wetlands, 
    converted wetlands, and non-wetlands), the inherent complexity of 
    natural systems and the diversity of land management methods available 
    to an agricultural producer require that greater sophistication be used 
    in application of broad national standards to local conditions. Some 
    areas of land have been planted to an agricultural commodity but still 
    exhibit the characteristic of a natural wetland if cropping ceases for 
    even a short period of time. Likewise, areas managed for hay or pasture 
    can exhibit the characteristics of a natural wetland if the management 
    of the area ceases. Some activities can permanently remove most of the 
    water from an area without making the production of an agricultural 
    commodity possible while natural events can make the production of an 
    agricultural commodity possible without permanently removing water from 
    an area.
        Since 1987, USDA has identified in policy the threshold 
    characteristics that define when: a wetland has been manipulated 
    sufficiently to make the production of an agricultural commodity 
    possible; a wetland is ``converted;'' conditions meet a particular 
    exemption identified under the 1985 Act; and a producer has expanded 
    the drainage system beyond what existed prior to December 23, 1985. The 
    USDA is adding definitions to Sec. 12.2 to state more precisely the 
    variety of wetland types found in the agricultural landscape. Section 
    12.5 and Secs. 12.30-12.33 are amended to describe how these wetland 
    types relate to particular exemptions from ineligibility. In this 
    manner, agricultural producers are provided the maximum flexibility to 
    manage their lands in a manner that will not trigger the ineligibility 
    provisions of the 1985 Act.
        Coordination with other Federal agencies: Consistent with the 
    intent expressed in the Manager's Report accompanying the 1996 Act 
    amendments, the changes made in this rule ``do not supersede the 
    wetland protection authorities and responsibilities of the 
    Environmental Protection Agency [EPA] or the Corps of Engineers [the 
    Corps] under Section 404 of the Clean Water Act.'' This rule is 
    promulgated under the authority of the 1985 Act, as amended, and 
    therefore does not affect the obligations of any person under other 
    Federal statutes, or the legal authorities of any other Federal agency 
    including, for example, EPA's authority to determine the geographic 
    scope of Clean Water Act jurisdiction. Nonetheless, NRCS, the Corps, 
    and EPA place a high priority on adopting procedures and policies that 
    minimize duplication and inconsistencies between the wetland 
    conservation provisions of the 1985 Act and the Clean Water Act section 
    404 programs. To help achieve these important policy objectives, on 
    January 6, 1994, four Federal agencies with wetland responsibilities 
    (USDA, EPA, the Department of the Interior, the Department of the Army) 
    entered into a Memorandum of Agreement (MOA), regarding the delineation 
    of wetlands for purposes of section 404 of the Clean Water Act and the 
    WC provisions. This MOA provides a framework for continuing 
    coordination between the Federal agencies regarding the administration 
    of Federal wetland laws. Consistent with the objectives of the MOA, the 
    NRCS will continue to coordinate with the other Federal agencies in the 
    development of its policies and procedures related to the 
    implementation of these regulations.
        More specifically, the agencies will coordinate to develop policies 
    and procedures for evaluating the accuracy of existing non-certified 
    wetland determinations made by NRCS. The necessary first step in these 
    procedures will be to make an assessment of the quality of previous 
    determinations. After completing the quality assessment, in order to 
    provide certainty for the agricultural community, the Federal agencies 
    will complete the process of validating prior determinations in an 
    expeditious manner.
        It is also the goal of the agencies to minimize duplication and 
    inconsistencies between the WC provisions and the Clean Water Act. The 
    agencies will coordinate to develop policies and procedures to minimize 
    duplication and inconsistencies between the WC provisions and the Clean 
    Water Act programs regarding other issues; in particular, conversion 
    for non-agricultural use, minimal effects determinations (including 
    categorical minimal effects exemptions), mitigation determination, or 
    other written agreements between persons and NRCS, the re-establishment 
    of agriculture use on abandoned farmed wetlands and farmed-wetland 
    pasture, conversions due to NRCS wetland determination errors, and 
    drainage maintenance. As part of this effort, the Corps intends to 
    develop a new Clean Water Act nationwide permit that addresses NRCS 
    minimal effects determinations, NRCS mitigation requirements, and 
    modify the existing nationwide permit that addresses voluntary wetland 
    restoration (See 61 FR part VII (June 17, 1996)).
        In the MOA, the agencies agreed to follow certain guidelines for 
    delineating wetlands. The MOA agencies currently use the 1987 Corps of 
    Engineers Wetland Delineation Manual (1987 Corps Manual) for 
    delineating wetlands on areas where the native vegetation is intact 
    (i.e., non-agricultural lands) and use the National Food Security Act 
    Manual, Third ed. (NFSAM), for delineating wetlands on areas where the 
    native vegetation has been removed due to ongoing agricultural 
    activities (i.e., agricultural lands).
        Copies of the NFSAM and the MOA are available from the NRCS, P.O. 
    Box 2890, Washington, D.C., 20013. Copies of the 1987 Corps Manual are 
    available from the National Technical Information Service (NTIS), 5285 
    Port Royal Road, Attn: Order Department, Springfield, Virginia, 22171. 
    Copies of the Supplemental guidance issued by the Corps concerning use 
    of the 1987 Manual (i.e., the October 7, 1991, Questions and Answers, 
    and the March 6, 1992, Clarification and Interpretation Memorandum) may 
    be obtained by contacting the Regulatory Branch of the local Corps 
    district, the EPA Wetlands Hotline at (800) 832-7828, or the Regulatory 
    Branch of Corps headquarters (Office of the Chief of Engineers) at 
    (202) 272-0199. NRCS will publish notice in the Federal Register 
    concerning a change in the Federal wetland delineation criteria that 
    may be used in implementation of the WC provisions.
        This interim final rule, however, only applies to administration of 
    Title XII of the 1985 Act. As discussed earlier, the four agencies have 
    identified a need to expand and revise the MOA to assure consistency 
    and fairness in the implementation of these acts. The current MOA will 
    remain in effect until it is amended or rescinded by the four agencies.
        A goal of the Administration's 1993 Wetlands Plan is to harmonize 
    the WC provisions and the Clean Water Act to the extent practicable. 
    These regulations are modified in several ways to further the 
    President's Wetlands Plan. In
    
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    particular, Sec. 12.5(b)(5) provides that when a person requests relief 
    on the basis that an action was conducted in good faith, USDA may 
    consider whether the person has a record of violating the wetland 
    provisions of these regulations or other Federal, State, or local 
    wetland provisions.
        Additionally, Sec. 12.6(e) is added to state that NRCS may accept 
    the assistance of other Federal agencies to carry out the wetland 
    responsibilities of these regulations. Sections 12.30(a) and (b) 
    provide that NRCS will consult with FWS at the State level to develop a 
    process for implementation of the WC provisions.
        Section 12.30(c) describes the procedure for certification of 
    wetland determinations and specifies that certified wetland 
    determinations will meet current Federal mapping conventions.
        A certified wetland determination will remain in effect unless the 
    person affected by the certification requests a review under certain 
    circumstances or the wetland characteristics are changed as a result of 
    human activities.
        Section 12.31(b)(3) is amended to provide that the determination of 
    prevalence of hydrophytic vegetation will be made in accordance with 
    the current Federal wetland delineation methodology in use at the time 
    of the determination. This change assures that the four agencies will 
    utilize consistent and up-to-date technical standards and criteria.
    
    Summary of Rule Modifications
    
        Based on the changes in the 1996 Act and the other considerations 
    set forth above, the changes to 7 CFR part 12 adopted in this notice 
    are as follows:
    
    Subpart A
    
        This interim final rule adds several new definitions to Sec. 12.2. 
    The Department of Agriculture Reorganization Act of 1994 abolished 
    several agencies and established new agencies to assume Department 
    responsibilities. Therefore, Sec. 12.2 is amended to reflect the new 
    agencies with responsibilities for implementation of these regulations.
        Section 12.2: This interim final rule adds new definitions for 
    ``conservation plan,'' ``conservation system,'' and ``field'' as stated 
    in the statute. It also adds several new definitions related to types 
    of wetlands and management actions related to wetlands that have 
    previously only been identified in policy. Definitions for ``prior-
    converted cropland,'' ``farmed wetland,'' ``farmed-wetland pasture,'' 
    and ``commenced-conversion wetland'' have been added. Other provisions 
    of the rule have been amended, including Sec. 12.5 and Secs. 12.31-.33, 
    to incorporate these new definitions where applicable.
        The 1996 Act amendments provide that a person who converts a 
    wetland may remain eligible for USDA program benefits if the loss of 
    wetland functions and values are mitigated through the restoration, 
    enhancement, or creation of a wetland. Therefore, definitions for 
    ``creation'', ``enhancement'', and ``restoration'', have been added to 
    clarify this new flexibility.
        Section 12.3: This interim final rule applies to all actions taken 
    after July 3, 1996, and to determinations made after, or pending on, 
    July 3, 1996, the date on which the HEL and WC statutory amendments 
    become effective. This section is amended to reflect the passage of the 
    1996 Act and the scope of these new provisions.
        Section 12.4: Section 12.4 describes the actions that will cause a 
    person to lose eligibility for USDA program benefits and the program 
    benefits that are subject to reduction or loss. The 1996 Act treats HEL 
    and WC differently regarding the programs encompassed by each provision 
    and the extent of the sanctions if the provisions are violated. Section 
    12.4 deletes applicability to some programs, such as crop insurance and 
    obsolete programs. A person who violates the WC provisions may lose all 
    or only a portion of certain USDA benefits, but a person who violates 
    HEL could lose all of of these same benefits and additional program 
    benefits. Sections 12.4(c) is amended to include an interpretation of 
    which crop year's benefits are affected by a violation decision, and 
    sets forth the factors that FSA will consider in determining the extent 
    of benefits to be lost based on the seriousness of the violation.
        Section 12.5: The 1996 Act amendments modify the provisions of 
    Sec. 12.5 regarding the exemptions from ineligibility for USDA program 
    benefits. Section 12.5(a) addresses the exemptions that apply to HEL 
    and Sec. 12.5(b) addresses the exemptions that apply to WC.
        Section 12.5(a)(5) specifies that HEL violations that are 
    determined to have been made in good-faith are eligible for graduated 
    sanctions if they were on land that was converted from native 
    vegetation, i.e., rangeland or woodland, to crop production after 
    December 23, 1985. For good faith violations on land that was converted 
    from native vegetation, i.e., rangeland or woodland, to crop production 
    before December 23, 1985, the person will be allowed up to one year to 
    correct the problem before being found ineligible. After one year, if 
    the problem is not corrected, the ineligibility provisions of Sec. 12.4 
    will apply. Section 12.5(a)(6) grants an automatic variance if within 
    30 days NRCS fails to respond to a persons request for a variance 
    because of weather, pest, or disease. It describes criteria that NRCS 
    will consider when determining whether to grant a variance for a 
    natural disaster such as weather, pest, or disease. NRCS is especially 
    soliciting comments on how these criteria may be specified to ensure 
    that variances are granted where appropriate.
        Under Sec. 12.5(b), the exemptions from ineligibility relative to 
    wetland conservation, there exists a new exemption for land that was 
    certified as having been converted prior to December 23, 1985, (prior-
    converted croplands), but had returned to wetland characteristics after 
    that date. This exemption provides that if certain requirements are 
    met, a prior-converted cropland will not be considered abandoned for 
    purposes of implementation of these regulations. Likewise, there exists 
    another new exemption for areas that NRCS determined were manipulated 
    but were not completely converted prior to December 23, 1985, (farmed 
    wetlands and farmed-wetland pastures), but may revert to wetland status 
    through a voluntary restoration, enhancement, or creation action. This 
    exemption provides that if certain requirements are met, the area will 
    not be considered abandoned for purposes of implementation of these 
    regulations.
        These exemptions do not address how the Corps may treat these 
    wetland types for purposes of section 404 of the Clean Water Act. The 
    Corps has a notice in 61 FR part VII (June 17, 1996) to issue, reissue, 
    and modify the nationwide permits for section 404 of the Clean Water 
    Act that addresses these issues.
        The 1996 Act provides that certain wetland conversion activities 
    that were conducted pursuant to a permit issued under section 404 of 
    the Clean Water Act may be exempt from ineligibility under the WC 
    provisions, if the conversion activity was adequately mitigated for 
    purposes of these provisions. This rule provides that a person who 
    received an individual permit under section 404 of the Clean Water Act 
    after December 23, 1985, and met certain sequencing requirements, is 
    exempt from the ineligibility provisions of these regulations.
        This rule, however, provides that a person whose conversion 
    activity is encompassed by a nationwide or regional general permit 
    issued pursuant to section 404 of the Clean Water Act
    
    [[Page 47024]]
    
    may not be exempt under these regulations. USDA will evaluate whether 
    any mitigation was required, and whether the wetland functions and 
    values lost by the conversion activity were adequately replaced before 
    USDA decides whether the conversion activity is exempt from 
    ineligibility under these regulations.
        The regulations that existed prior to this interim final rule 
    described a detailed procedure by which a person could receive a 
    commenced conversion determination from FSA. Persons who believed that 
    they qualified for such a determination had to request one from FSA by 
    September 19, 1988. The purpose of the determination was to minimize 
    any unnecessary economic hardship to someone who had incurred 
    substantial financial obligations related to the conversion of a 
    wetland prior to December 23, 1985, but had not actually converted the 
    wetland by that date. Any person who received a commenced-conversion 
    wetland determination had to complete the conversion activity by 
    January 1, 1995, to retain the exemption status. Because the commenced 
    conversion determination had to be received by 1988 and the conversion 
    had to be completed by the end of 1994, the references in the rule 
    related to the process to obtain a determination have been removed. If 
    a person completed conversion activity by January 1, 1995, the land 
    will qualify for the same exemptions from ineligibility as prior-
    converted cropland. If, however, a person did not complete the 
    conversion activity by that date, the land will be subject to the same 
    requirements under this rule as farmed wetlands.
        The 1996 Act provides that a person may remain eligible for an 
    action resulting in the conversion of a wetland if the wetland 
    functions and values are adequately mitigated through the restoration 
    of a converted wetland, the enhancement of an existing wetland, or the 
    creation of a new wetland. Section 12.5(b)(4) provides that this 
    exemption applies if the mitigation is completed in accordance with 
    several requirements, including that the person implement a mitigation 
    plan approved by NRCS. The mitigation plan may be a single document or 
    it may be a component of a larger conservation plan created voluntarily 
    by the program participant. The requirements for this exemption are 
    similar to the requirements for restoration of a converted wetland 
    under the current regulations, such as the granting of an easement to 
    USDA, recording an easement on the public land records, and that such 
    mitigation not be at the expense of the Federal government.
        The 1996 Act provides that USDA may expend Federal funds for the 
    establishment of a pilot program for mitigation banking. USDA has not 
    yet decided whether it will establish such a pilot program or what the 
    particulars of such a program would be. During the public comment 
    period, USDA is especially soliciting comments from the public 
    regarding this subject.
        The 1996 Act removes the requirement for graduated sanctions if the 
    FSA determines that a wetland violation was committed in good faith. 
    Central to the determination about whether a person acted in good faith 
    is the knowledge available to the person concerning the existence of a 
    wetland on the subject land. This knowledge can either be direct, such 
    as information received from NRCS in the form of a wetland 
    determination, or can be inferred from a person's past experience with 
    violating wetland laws or regulations. This interim final rule provides 
    that if a person is considered to have acted in good faith and the 
    person agrees to implement a mitigation plan, then USDA may waive 
    applying the ineligibility provisions of Sec. 12.4.
        Section 12.6: Section 12.6 concerns the respective responsibilities 
    of USDA agencies; the new responsibilities created by the 1996 Act have 
    been added. Section 12.6(b) is amended to specify that FSA is 
    responsible for determining the extent of reduction in benefits for 
    wetland violations based on the seriousness of the violation, and for 
    determining whether a person should receive relief because application 
    of a conservation system would result in undue economic hardship. 
    Section 12.6(c) is amended to reflect that NRCS is responsible for 
    providing information to FSA relating to the seriousness of a 
    violation.
        In response to the need to coordinate with the MOA agencies 
    regarding wetland determinations, a new paragraph has been added to 
    Sec. 12.6 New paragraph (f) provides that NRCS may accept the 
    assistance of the MOA agencies in implementing these regulations. This 
    paragraph also confirms that NRCS will continue to seek the 
    coordination of the other agencies on wetland matters to increase the 
    public's understanding of the importance of wetland functions and 
    values and the objectives of the WC provisions and the Clean Water Act.
        Section 12.7: Section 12.7 addresses certification by a program 
    participant that such participant is in compliance with the HEL and WC 
    provisions. Section 12.7 is amended to allow a person to certify 
    application of practices in a plan or measurement of residue required 
    by a plan.
        Section 12.8: Section 12.8 is amended to revise the definition of 
    affiliated persons for the purpose of determining whose benefits may be 
    affected by a decision and to what extent. In particular, Sec. 12.8(b) 
    is amended to provide that spouses who provide sufficient evidence of 
    separate operations shall not be considered affiliates, and 
    partnerships, trusts, and joint ventures are not considered affiliates 
    if the interest is held indirectly through another business enterprise. 
    Section 12.8(d) limits the reduction in payments for partnerships, 
    joint ventures, trust, or other enterprises to the extent of interest 
    held by the person responsible for the violation. Section 12.8(e) 
    states that limitations on affiliations if action has been taken to 
    avoid payment reductions for partnerships, joint ventures, trusts, or 
    the application of the sanctions provided for in the regulations.
    
    Subpart B
    
        Section 12.21: Section 12.21 is amended to include a reference to 
    publication of soil loss equations at 7 CFR part 610.
        Section 12.22: Section 12.22 is amended to allow combining HEL and 
    non-HEL fields, but the requirements of these regulations continue to 
    apply to the previous HEL portion only.
        Section 12.23: Section 12.23 is amended to specify that: 
    conservation systems shall be technically and economically feasible 
    (based on local resource conditions and available technology), cost 
    effective, and shall not cause undue economic hardship; the standard 
    for determining whether a plan provides a substantial reduction in 
    erosion is the estimated annual level of erosion compared to the level 
    before the system is applied; for new land brought into production, in 
    no case will the required conservation system permit a substantial 
    increase in erosion; procedures for conducting field trials as on-farm 
    reseach; and procedures and criteria used by FSA when a person requests 
    relief based on undue economic hardship.
    
    Subpart C
    
        Subpart C addresses the technical responsibilities of NRCS and the 
    technical criteria used to make the necessary determinations for 
    wetland conservation under these regulations.
        Section 12.30: Section 12.30 is amended to reflect that NRCS will 
    continue to work with the Corps, EPA, and FWS to improve the quality of 
    wetland determinations and other
    
    [[Page 47025]]
    
    processes that affect the implementation of the WC provisions.
        The 1996 Act repealed the requirement for consultation with FWS, 
    thus allowing the Secretary to determine under what circumstances FWS 
    should be utilized in the implementation of the WC provisions. Section 
    12.30 is amended to reflect that NRCS will develop a process at the 
    State level, in coordination with FWS, for implementing the WC 
    provisions and review such implementation on an annual basis. The 
    technical expertise of FWS may be utilized whenever NRCS determines 
    that such expertise is needed to address adequately the requirements of 
    the WC provisions or to enhance the quality of implementation.
        Under the new mitigation flexibility provided by the 1996 Act, the 
    expertise of FWS will be valuable for conducting wetland functional 
    assessments associated with minimal effects determinations and 
    formulation of mitigation plans. The State-level process is intended, 
    in part, to identify any geographic or programmatic areas where NRCS 
    may need additional technical expertise to assess biological impacts of 
    proposed wetland conversions.
        Section 12.30 is also amended to address the process for 
    certification of wetland determinations for the implementation of the 
    WC provisions of the 1985 Act. If NRCS certified a wetland 
    determination prior to July 3, 1996, the certification will remain 
    valid. Upon request, a person may obtain certification of a wetland 
    determination. A certified wetland determination means that the 
    determination is of sufficient quality to make a determination of 
    ineligibility for program benefits under these regulations. As 
    indicated above, NRCS will continue to work with the other MOA agencies 
    to coordinate the identification and certification of wetlands for the 
    purposes of these regulations and for the Clean Water Act. The agencies 
    recognize the importance of providing certainty for the agricultural 
    community as to the status of their wetland determinations which have 
    not been certified. The Federal agencies are therefore considering 
    establishing a specific time frame for completing the evaluation of 
    existing wetland determinations. During this time frame, an evaluation 
    would be made as to the accuracy of wetland determinations within a 
    given geographic area or of a specific type of wetland. Based on the 
    evaluation, landowners would be notified whether their current wetland 
    determinations are acceptable for both the WC provisions and the Clean 
    Water Act. USDA is especially seeking comments regarding implementation 
    of this process.
        Section 12.31; Section 12.31 is amended to reflect that NRCS will 
    utilize the 1987 Corps Manual for determining the prevalence of 
    hydrophytic vegetation. Section 12.31 is also amended to add the 
    criteria for determining ``categorical minimal effect exemptions.'' If 
    NRCS identifies any categories of conversion activities and conditions 
    which would only have a minimal effect on wetland functions and values, 
    then such activities and conditions will be placed on a list of 
    ``categorical minimal effect exemptions'' and such conversion 
    activities and conditions will be considered exempt from the 
    ineligibility provisions of these regulations. NRCS will incorporate 
    such activities and conditions in the provisions of these regulations 
    USDA is especially seeking comments regarding implementation of this 
    new exemption. For purposes of the Clean Water Act, the Corps intends 
    to address this provision as part of its reissuance of the Clean Water 
    Act section 404 nationwide permits (See 61 FR part VII (June 17, 
    1996)).
        Sections 12.32 and 12.33: Sections 12.32 and 12.33 have been 
    amended to incorporate the definitions for farmed wetland, farmed-
    wetland pasture, commenced-conversion wetland, and prior-converted 
    cropland, where appropriate.
        Section 12.33: Section 12.33 has also been amended to modify the 
    conditions under which NRCS will consider a particular site to be 
    abandoned for purposes of these regulations. A person who wishes to 
    allow a particular site to revert to wetland conditions should contact 
    NRCS to ascertain what documentation is necessary to prevent such land 
    from being considered abandoned for purposes of the WC provisions of 
    these regulations. For purposes of the Clean Water Act, the Corps 
    intends to address this provision as part of its re-issuance of the 
    Clean Water Act section 404 nationwide permits (See 61 FR part VII 
    (June 17, 1996)).
        The amendments to part 12 do not affect the recordkeeping 
    requirements and estimated burdens previously reviewed and approved 
    under Office of Management and Budget control number 0560-0004.
    
    List of Subjects in 7 CFR Part 12
    
        Administrative practices and procedures, Soil Conservation, 
    Wetlands.
        Accordingly, Title 7 of the Code of Federal Regulations is amended 
    by revising Part 12 as follows:
    
    PART 12--HIGHLY ERODIBLE LAND AND WETLAND CONSERVATION
    
    Subpart A--General Provisions
    
    Sec.
    12.1  General.
    12.2  Definitions.
    12.3  Applicability.
    12.4  Determination of ineligibility.
    12.5  Exemptions.
    12.6  Administration.
    12.7  Certification of compliance.
    12.8  Affiliated persons.
    12.9  Landlords and tenants.
    12.10  Scheme or device.
    12.11  Action based upon advice or action of USDA.
    12.12  Appeals.
    
    Subpart B--Highly Erodible Land Conservation
    
    12.20  NRCS responsibilities regarding highly erodible land.
    12.21  Identification of highly erodible lands criteria.
    12.22  Highly erodible field determination criteria.
    12.23  Conservation plans and conservation systems.
    
    Subpart C--Wetland Conservation
    
    12.30  NRCS responsibilities regarding wetlands.
    12.31  Onn-site wetland identification criteria.
    12.32  Converted wetland identification criteria.
    12.33  Use of wetland and converted wetland.
    12.34  Paperwork Reduction Act assigned number.
    
        Authority: 16 U.S.C. 3801 et seq.
    
    Subpart A--General Provisions
    
    
    Sec. 12.1   General.
    
        (a) Scope. This part sets forth the terms and conditions under 
    which a person who produces an agricultural commodity on highly 
    erodible land or designates such land for conservation use, plants an 
    agricultural commodity on a converted wetland, or converts a wetland 
    shall be determined to be ineligible for certain benefits provided by 
    the United States Department of Agriculture (USDA) and agencies and 
    instrumentalities of USDA.
        (b) Purpose. The purpose of the provisions of this part are to 
    remove certain incentives for persons to produce agricultural 
    commodities on highly erodible land or converted wetland and to 
    thereby--
        (1) Reduce soil loss due to wind and water erosion;
        (2) Protect the Nation's long-term capability to produce food and 
    fiber;
        (3) Reduce sedimentation and improve water quality; and
        (4) Assist in preserving the functions and values of the Nation's 
    wetlands.
    
    [[Page 47026]]
    
    Sec. 12.2   Definitions.
    
        (a) General. The following definitions shall be applicable for the 
    purposes of this part:
        Agricultural commodity means any crop planted and produced by 
    annual tilling of the soil, including tilling by one-trip planters, or 
    sugarcane.
        CCC means the Commodity Credit Corporation, wholly-owned government 
    corporation within USDA organized under the provisions of 15 U.S.C. 714 
    et seq.
        Conservation District (CD) means a subdivision of a State or local 
    government organized pursuant to the applicable law to develop and 
    implement soil and water conservation activities or programs.
        Conservation plan means the document that--
        (1) Applies to highly erodible cropland;
        (2) Describes the conservation system applicable to the highly 
    erodible cropland and describes the decisions of the person with 
    respect to location, land use, tillage systems, and conservation 
    treatment measures and schedules; and
        (3) Is approved by the local soil conservation district in 
    consultation with the local committees established under section 
    8(b)(5) of the Soil Conservation and Domestic Allotment Act (16 U.S.C. 
    590h(b)(5)) and the Natural Resources Conservation Service (NRCS) for 
    purposes of compliance with this part.
        Conservation system means a combination of one or more conservation 
    measures or management practices that are--
        (1) Based on local resource conditions, available conservation 
    technology, and the standards and guidelines contained in the NRCS 
    field office technical guides (available from NRCS State offices); and
        (2) Designed for purposes of this part to achieve, in a cost-
    effective and technically practicable manner, a substantial reduction 
    in soil erosion or a substantial improvement in soil conditions on a 
    field or group of fields containing highly erodible cropland when 
    compared to the level of erosion or soil conditions that existed before 
    the application of the conservation measures and management practices.
        Conservation use or set aside means cropland that is designated as 
    conservation-use acreage, set aside, or other similar designation for 
    the purpose of fulfilling provisions under any acreage-limitation or 
    land-diversion program administered by the Secretary of Agriculture 
    requiring that the producer devote a specified acreage to conservation 
    or other non-crop production uses.
        Creation of a wetland means the development of the hydrologic, 
    geochemical, and biological components necessary to support and 
    maintain a wetland where a wetland did not previously exist. Any 
    wetland established on a non-hydric soil will be considered a created 
    wetland.
        CSREES means the Cooperative State Research, Education, and 
    Extension Service, an agency of USDA which is generally responsible for 
    coordinating the information and educational programs of USDA.
        Department means the United States Department of Agriculture 
    (USDA).
        Enhancement of a wetland means the alteration of an existing 
    wetland to increase its specific functions and values. Enhancement 
    actions include new capabilities, management options, structures, or 
    other actions to influence one or several functions and values.
        Erodibility index means a numerical value that expresses the 
    potential erodibility of a soil in relation to its soil loss tolerance 
    value without consideration of applied conservation practices or 
    management.
        FSA means the Farm Service Agency, an agency of USDA which is 
    generally responsible for administering commodity production adjustment 
    and certain conservation programs of USDA.
        Field means a part of a farm that is separated from the balance of 
    the farm by permanent boundaries such as fences, roads, permanent 
    waterways, or other similar features. At the option of the owner or 
    operator of the farm, croplines may also be used to delineate a field 
    if farming practices make it probable that the croplines are not 
    subject to change. Any highly erodible land on which an agricultural 
    commodity is produced after December 23, 1985, and is not exempt under 
    Sec. 12.5(a), shall be considered part of the field in which the land 
    was included on December 23, 1985, unless, to carry out this title, the 
    owner and FSA agree to modify the boundaries of the field.
        Highly erodible land means land that has an erodibility index of 8 
    or more.
        Hydric soils means soils that, in an undrained condition, are 
    saturated, flooded, or ponded long enough during a growing season to 
    develop an anaerobic condition that supports the growth and 
    regeneration of hydrophytic vegetation.
        Hydrophytic vegetation means plants growing in water or in a 
    substrate that is at least periodically deficient in oxygen during a 
    growing season as a result of excessive water content.
        Landlord means a person who rents or leases farmland to another 
    person.
        Local FSA office means the county office of the Farm Service Agency 
    serving the county or a combination of counties in the area in which a 
    person's land is located for administrative purposes.
        NRCS means the Natural Resources Conservation Service, an agency 
    within USDA which is generally responsible for providing technical 
    assistance in matters of natural resources conservation and for 
    administering certain conservation programs of USDA.
        Operator means the person who is in general control of the farming 
    operations on the farm during the crop year.
        Owner means a person who is determined to have legal ownership of 
    farmland and shall include a person who is purchasing farmland under 
    contract.
        Person means an individual, partnership, association, corporation, 
    cooperative, estate, trust, joint venture, joint operation, or other 
    business enterprise or other legal entity and, whenever applicable, a 
    State, a political subdivision of a State, or any agency thereof, and 
    such person's affiliates as provided in Sec. 12.8 of this part.
        Restoration of a wetland means the re-establishment of wetland 
    conditions, including hydrologic condition or native hydrophytic 
    vegetation, to an area where a wetland had previously existed.
        Secretary means the Secretary of USDA.
        Sharecropper means a person who performs work in connection with 
    the production of a crop under the supervision of the operator and who 
    receives a share of such crop for such labor.
        Soil map unit means an area of the landscape shown on a soil map 
    which consists of one or more soils.
        State means each of the 50 states, the District of Columbia, the 
    Commonwealth of Puerto Rico, Guam, the Virgin Islands of the United 
    States, American Samoa, the Commonwealth of the Northern Mariana 
    Islands, or the Trust Territory of the Pacific Islands.
        Tenant means a person usually called a ``cash tenant'', ``fixed-
    rent tenant'', or ``standing rent tenant'' who rents land from another 
    for a fixed amount of cash or a fixed amount of a commodity to be paid 
    as rent; or a person (other than a sharecropper) usually called a 
    ``share tenant'' who rents land from another person and pays as rent a 
    share of the crops or proceeds therefrom. A tenant shall not be 
    considered the farm operator unless the tenant is determined
    
    [[Page 47027]]
    
    to be the operator pursuant to this part and 7 CFR part 718.
        Wetland, except when such term is a part of the term ``converted 
    wetland'', means land that--
        (1) Has predominance of hydric soils;
        (2) Is inundated or saturated by surface or groundwater at a 
    frequency and duration sufficient to support a prevalence of 
    hydrophytic vegetation typically adapted for life in saturated soil 
    conditions; and
        (3) Under normal circumstances does not support a prevalence of 
    such vegetation, except that this term does not include lands in Alaska 
    identified as having a high potential for agricultural development and 
    a predominance of permafrost soils.
        Wetland determination means a decision regarding whether or not an 
    area is a wetland, including identification of wetland type and size. A 
    wetland determination may include identification of an area as one of 
    the following types of wetland--
        (1) Artificial wetland is an area that was formerly non-wetland, 
    but now meets wetland criteria due to human activities, such as:
        (i) An artificial lake or pond created by excavating or diking land 
    that is not a wetland to collect and retain water that is used 
    primarily for livestock, fish production, irrigation, wildlife, fire 
    control, flood control, cranberry growing, or rice production, or as a 
    settling pond; or
        (ii) A wetland that is temporarily or incidentally created as a 
    result of adjacent development activity;
        (2) Commenced-conversion wetland is a wetland, farmed wetland, 
    farmed-wetland pasture, or a converted wetland on which conversion 
    began, but was not completed, prior to December 23, 1985.
        (3) Converted wetland is a wetland that has been drained, dredged, 
    filled, leveled, or otherwise manipulated (including the removal of 
    woody vegetation or any activity that results in impairing or reducing 
    the flow and circulation of water) for the purpose of or to have the 
    effect of making possible the production of an agricultural commodity 
    without further application of the manipulations described herein if:
        (i) Such production would not have been possible but for such 
    action, and
        (ii) Before such action such land was wetland, farmed wetland, or 
    farmed-wetland pasture and was neither highly erodible land nor highly 
    erodible cropland;
        (4) Farmed wetland is a wetland that prior to December 23, 1985, 
    was manipulated and used to produce an agricultural commodity, and on 
    December 23, 1985, did not support woody vegetation and met the 
    following hydrologic criteria:
        (i) Is inundated for 15 consecutive days or more during the growing 
    season or 10 percent of the growing season, whichever is less, in most 
    years (50 percent chance or more), or
        (ii) If a pothole, playa, or pocosion, is ponded for 7 or more 
    consecutive days during the growing season in most years (50 percent 
    chance of more) or is saturated for 14 or more consecutive days during 
    the growing season in most years (50 percent chance or more);
        (5) Farmed-wetland pasture is wetland that was manipulated and 
    managed for pasture or hayland prior to December 23, 1985, and on 
    December 23, 1985, met the following hydrologic criteria:
        (i) Inundated or ponded for 7 or more consecutive days during the 
    growing season in most years (5) percent chance or more), or
        (ii) Saturated for 14 or more consecutive days during the growing 
    season in most years (50 percent chance or more);
        (6) Not-inventoried land, is an area for which no evaluation of 
    soils, vegetation, or hydrology has been conducted to determine if 
    wetland criteria are met;
        (7) Non-wetland is;
        (i) Land that under natural conditions does not meet wetland 
    criteria, or
        (ii) Is converted wetland the conversion of which occurred prior to 
    December 23, 1985, and on that date, the land did not meet wetland 
    criteria but and agricultural commodity was not produced and the area 
    was not managed for pasture or hay;
        (8) Prior-converted cropland is a converted wetland where the 
    conversion occurred prior to December 23, 1985, an agricultural 
    commodity had been produced at least once before December 23, 1985, and 
    as of December 23, 1985, the converted wetland did not support woody 
    vegetation and met the following hydrologic criteria:
        (i) Inundation was less than 15 consecutive days during the growing 
    season or 10 percent of the growing season, whichever is less, in most 
    years (50 percent chance or more); and
        (ii) If a pothole, playa or pocosin, ponding was less than 7 
    consecutive days during the growing season in most years (50 percent 
    chance or more) and saturation was less than 14 consecutive days during 
    the growing season most years (50 percent chance or more); or
        (9) Wetland, as defined above in this section.
        Wetland delineation means outlining the boundaries of a wetland 
    determination on aerial photography, digital imagery, other graphic 
    representation of the area, or on the land.
        (b) Terms for FSA operations. In the regulations in this part, and 
    in all instructions, forms, and documents in connection therewith, all 
    other words and phrases specifically relating to FSA operations shall, 
    unless required by the subject matter or the specific provisions of 
    this part, have the meanings assigned to them in the regulations at 
    part 718 of this title that govern reconstitutions of farms, 
    allotments, and bases and any subsequent amendment thereto.
    
    
    Sec. 12.3  Applicability.
    
        (a) Geographic scope. The provisions of this part shall apply to 
    all land, including Indian tribal land, in the fifty States, the 
    District of Columbia, the Commonwealth of Puerto Rico, Guam, the Virgin 
    Island of the United States, American Samoa, the Commonwealth of the 
    Northern Mariana Islands, and the Federated States of Micronesia, the 
    Republic of Palau, and the Republic of the Marshall Islands.
        (b) Effective date. The provisions of this part apply to all 
    actions taken after July 3, 1996, and to determinations made after or 
    pending on July 3, 1996, except to the extent that Sec. 12.5(a)(5) and 
    12.5 (b)(4) through (b)(8) specify retroactive application on December 
    23, 1985, and November 28, 1990, for certain actions and determinations 
    regarding wetlands and converted wetlands. Actions taken and 
    determinations made prior to July 3, 1996, are subject to regulations 
    set forth in this part as of July 2, 1996, except as otherwise provided 
    in this part. Further, to the extent that a person may be eligible for 
    an exemption for an action taken before July 3, 1996, the action is 
    subject to the provisions of this part.
    
    
    Sec. 12.4  Determination of ineligibility.
    
        (a) Actions. Except as provided in Sec. 12.5, a person shall be 
    ineligible for all or a portion of USDA program benefits listed in this 
    section if:
        (1) The person produces an agricultural commodity on a field in 
    which highly erodible land is predominant, or designates such a field 
    for conservation use;
        (2) The person produces an agricultural commodity on wetland that 
    was converted after December 23, 1995; or
        (3) After November 28, 1990, the person converts a wetland by 
    draining, dredging, filling, leveling, removing woody vegetation, or 
    other means for the purpose, or to have the effect, of making the 
    production of an agricultural commodity possible.
    
    [[Page 47028]]
    
        (b) Highly erodible land. A person determined to be ineligible 
    under paragraph (a)(1) of this section may be ineligible for all 
    program benefits listed in (d) and (e) of this section.
        (c) Wetland conservation. A person determined to be ineligible 
    under paragraph (a)(2) of this section shall be ineligible for all or a 
    portion of the USDA program benefits listed in paragraph (d) of this 
    section for which the person otherwise would have been eligible during 
    the crop year of the commodity that was planted on the converted 
    wetland. A person determined to be ineligible under paragraph (a)(3) of 
    this section for the conversion of a wetland shall be ineligible for 
    all or a portion of the USDA program benefits listed in paragraph (d) 
    of this section for which the person otherwise would have been eligible 
    during the crop year which is equal to the calendar year during which 
    the violation occurred and each subsequent crop year until the 
    converted wetland is restored or the loss of wetland functions and 
    values have been mitigated prior to the beginning of such calendar year 
    in accordance with Sec. 12.5(b)(4)(i) (A) and (C) through (F) of this 
    part. Ineligibility under paragraph (a)(2) or (a)(3) of this section 
    may be reduced, in lieu of the loss of all benefits specified under 
    paragraph (d) of this section for such crop year, based on the 
    seriousness of the violation, as determined by the FSA Deputy 
    Administrator for Farm Programs or designee upon recommendation by the 
    FSA County Committee. Factors such as the information that was 
    available to the affected person prior to the violation, previous land 
    use patterns, the existence of previous wetland violations under this 
    part or under other Federal, State, or local wetland provisions, the 
    wetland functions and values affected, the recovery time for full 
    mitigation of the wetland functions and values, and the impact that a 
    reduction in payments would have on the person's ability to repay a 
    USDA farm loan shall be considered to making this determination.
        (d) Programs subject to either highly erodible land or wetland 
    conservation. USDA program benefits covered by a determination of 
    ineligibility under this rule are:
        (1) Contract payments under a production flexibility contract, 
    marketing assistance loans, and any type of price support or payment 
    made available under the Agricultural Market Transition Act, the 
    Commodity Credit Corporation Charter Act (15 U.S.C. 714 et seq.), or 
    any other Act;
        (2) A farm credit program loan made or guaranteed under the 
    Consolidated Farm and Rural Development Act (7 U.S.C. 1921 et seq.) or 
    any other provision of law administered by FSA if the Secretary 
    determines that the proceeds of such loan will be used for a purpose 
    that contributes to the conversion of wetlands that would make 
    production of an agricultural commodity possible or for a purpose that 
    contributes to excessive erosion of highly erodible land (i.e., 
    production of an agricultural commodity or highly erodible land without 
    a conservation plan or conservation system as required by this part);
        (3) A payment made pursuant to a contract entered into under the 
    Environmental Quality Incentives Program under chapter 4 of subtitle D 
    of the Food Security Act of 1985, as amended; or a payment under any 
    other provision of Subtitle D of that Act;
        (4) A payment made under section 401 or 402 of the Agricultural 
    Credit Act of 1978 (16 U.S.C. 2201 or 2202);
        (5) A payment, loan, or other assistance under section 3 or 8 of 
    the Watershed Protection and Flood Prevention Act (16 U.S.C. 1003 or 
    1006a).
        (e) Programs subject to highly erodible land only. In addition to 
    programs listed in paragraph (d) of this section, a person determined 
    to be ineligible under paragraph (a)(1) of this section shall be 
    ineligible as determined by FSA for the following USDA program benefits 
    for which the person otherwise would have been eligible during the crop 
    year for which the determination applies:
        (1) A farm storage facility loan made under section 4(h) of the 
    Commodity Credit Corporation Charter Act (15 U.S.C. 714b(h));
        (2) A disaster payment made under the Federal Agricultural 
    Improvement and Reform Act, Pub. L. 104-127, or any other act; and
        (3) A payment made under section 4 or 5 of the Commodity Credit 
    Corporation Charter Act (15 U.S.C. 714b or 714c) for the storage of an 
    agricultural commodity acquired by the Commodity Credit Corporation.
        (f) Prior loans. The provisions of paragraphs (a), (b), and (c) of 
    this section do not apply to any loan described in paragraphs (d) or 
    (e) of this section that was made prior to December 23, 1985.
        (g) Determination of ineligibility. For the purpose of paragraph 
    (a) of this section, a person shall be determined to have produced an 
    agricultural commodity on a field in which highly erodible land is 
    predominant or to have designated such a field for conservation use, to 
    have produced an agricultural commodity on converted wetland, or to 
    have converted a wetland if:
        (1) NRCS has determined that--
        (i) Highly erodible land is predominant in such field, or
        (ii) All or a portion of the field is converted wetland; and
        (2) FSA has determined that the person is or was the owner or 
    operator of the land, or entitled to share in the crops available from 
    the land, or in the proceeds thereof; and
        (3) With regard to the provisions of paragraph (a)(1) and (a)(2) of 
    this section, FSA has determined that the land is or was planted to an 
    agricultural commodity or was designated as conversation use during the 
    year for which the person is requesting benefits.
        (h) Intent to participate in USDA programs. Persons who wish to 
    participate in any of the USDA programs described in paragraph (d) or 
    (e) of this section are responsible for contacting the appropriate 
    agency of USDA well in advance of the intended participated date so 
    that Form AD-1026 can be completed. This contact will help assure that 
    the appropriate determinations regarding highly erodible land or 
    wetland, and conversation plans or conversation systems are scheduled 
    in a timely manner. A late contact may not allow sufficient time for 
    USDA to service the request and could result in a substantial delay in 
    receiving a USDA determination of eligibility or ineligibility.
    
    
    Sec. 12.5  Exemption.
    
        (a) Exemptions regarding highly erodible land.
        (1) Highly erodible cropland in production or in USDA programs 
    during 1981 through 1985 crop years. During the period beginning on 
    December 23, 1985, and ending on the later of January 1, 1990, or the 
    date that is two years after the date the cropland on which an 
    agricultural commodity is produced was surveyed by NRCS to determine if 
    such land is highly erodible, no person shall be determined to be 
    ineligible for benefits as provided in Sec. 12.4 as the result of the 
    production of an agricultural commodity on any highly erodible land:
        (i) That was planted to an agricultural commodity in any year 1081 
    through 1985; or
        (ii) That was set aside, diverted, or otherwise not cultivated in 
    any such crop years under a program administered by the Secretary for 
    any such crops to reduce production of an agricultural commodity.
    
    [[Page 47029]]
    
        (2) Compliance with a conservation plan or conservation system. as 
    further specified in this part, no person shall be ineligible for the 
    program benefits described in Sec. 12.4 as the result of production of 
    an agricultural commodity on highly erodible land or the designation of 
    such land for conservation use if such production or designation is in 
    compliance with a conservation plan or conservation system approved 
    under paragraph (a)(2)(i) or (a)(2)(ii) of this section. A person shall 
    not be ineligible for program benefits under Sec. 12.4 as the result of 
    the production of an agricultural commodity on highly erodible land or 
    as the result of designation of such land as conservation use if the 
    production or designation is:
        (i) In an area within a CD, under a conservation system that has 
    been approved by the CD after the CD determines that the conservation 
    system is in conformity with technical standards set forth in the NRCS 
    field office technical guide for such district; or
        (ii) In an area not within a CD, under a conservation system that 
    has been approved by NRCS to be adequate for the production of such 
    agricultural commodity on highly erodible land or for the designation 
    of such land as conservation use.
        (3) Reliance upon NRCS determination for highly erodible land. A 
    person may be relieved from ineligibility for program benefits as the 
    result of the production of an agricultural commodity which was 
    produced on highly erodible land or for the designation of such land as 
    conservation use in reliance on a determination by NRCS that such land 
    was not highly erodible land, except that this paragraph shall not 
    apply to any agricultural commodity that was planted on highly erodible 
    land, or for the designation of highly erodible land as conservation 
    use after NRCS determines that such land is highly erodible land, and 
    the person is notified of such determinations.
        (4) Areas of 2 acres or less. No person shall be determined to be 
    ineligible under Sec. 12.4 for noncommercial production of agricultural 
    commodities on highly erodible land on an area of 2 acres or less if it 
    is determined by FSA that such production is not intended to circumvent 
    the conservation requirements otherwise applicable under this part.
        (5) Good faith.
        (i) No person shall become ineligible under Sec. 12.4 as a result 
    of the failure of such person to apply a conservation system on highly 
    erodible land that was converted from native vegetation, i.e. rangeland 
    or woodland, to crop production before December 23, 1985, if FSA 
    determines such person has acted in good faith and without the intent 
    to violate the provisions of this part and if NRCS determines that the 
    person complies with paragraph (a)(5)(ii) of this section.
        (ii) A person is who determined to meet the requirements of 
    paragraph (a)(5)(i) of this section shall be allowed a reasonable 
    period of time, as determined by NRCS, but not to exceed one year, 
    during which to implement the measures and practices necessary to be 
    considered applying the person's conservation plan. If a person does 
    not take the required corrective actions, the person may be determined 
    to be ineligible for the crop year during which such actions were to be 
    taken as well as any subsequent crop years. Notwithstanding the good-
    faith requirements of paragraph (a)(5)(i) of this section, if NRCS 
    observes a possible compliance deficiency while providing on-site 
    technical assistance, NRCS shall provide to the responsible person, not 
    later than 45 days after observing the possible violation, information 
    regarding actions needed to comply with the plan and this subtitle. 
    NRCS shall provide this information in lieu of reporting the 
    observation as a violation, if the responsible person attempts to 
    correct the deficiencies as soon as practicable, as determined by NRCS, 
    after receiving the information, and if the person takes corrective 
    action as directed by NRCS not later than one year after receiving the 
    information. If a person does not take the required corrective actions, 
    the person may be determined to be ineligible for the crop year during 
    which the compliance deficiencies occurred as well as any subsequent 
    crop years.
        (iii) No person shall become ineligible under Sec. 12.4 as a result 
    of failure to apply a conservation system with respect to highly 
    erodible cropland that was converted from native vegetation, i.e., 
    rangeland or woodland, to crop production after December 23, 1985, if 
    such person has acted in good faith and without an intent to violate 
    the provisions of this part. The person shall, in lieu of the loss of 
    all benefits specified under Sec. 12.4 (d) and (e) for such crop year, 
    be subject to a reduction in benefits of not less than $500 nor more 
    than $5,000 depending upon the seriousness of the violation, as 
    determined by FSA. The dollar amount of the reduction will be 
    determined by FSA and may be based on the number of acres and the 
    degree of erosion hazard for the area in violation, as determined by 
    NRCS, or upon such other factors as FSA deems appropriate.
        (iv) Any person whose benefits are reduced in a crop year under 
    paragraph (a)(5) of this section may be eligible for all of the 
    benefits specified under Sec. 12.4 (d) and (e) for any subsequent crop 
    year if NRCS determines that such person is applying a conservation 
    plan according to the schedule set forth in the plan on all highly 
    erodible land planted to an agricultural commodity or designated as 
    conservation use.
        (6) Allowable variances.
        (i) Notwithstanding any other provisions of this part, no person 
    shall be determined to be ineligible for benefits as a result of the 
    failure of such person to apply a conservation system if NRCS 
    determines that--
        (A) The failure is technical and minor in nature and that such 
    violation has little effect on the erosion control purposes of the 
    conservation plan applicable to the land on which the violation has 
    occurred; or
        (B) The failure is due to circumstances beyond the control of the 
    person; or
        (C) NRCS grants a temporary variance from the practices specified 
    in the plan for the purpose of handling a specific problem, including 
    weather, pest, and disease problems, which NRCS determines cannot 
    reasonably be addressed except through such variance.
        (ii) If the person's request for a temporary variance involves the 
    use of practices or measures to address weather, pest, or disease 
    problems, NRCS shall make a decision on whether to grant the variance 
    during the 30-day period beginning on the date of receipt of the 
    request. If NRCS fails to render a decision during the period, the 
    temporary variance shall be considered granted unless the person 
    seeking the variance had reason to know that the variance would not be 
    granted. In determining whether to grant a variance for natural 
    disasters such as weather, pest, or disease problems, NRCS will 
    consider such factors as:
        (A) The percent of a stand damaged or destroyed by the event;
        (B) The percent of expected crop production compared to normal 
    production for that crop;
        (C) The documented invasion of non-native insects, weeds, or 
    diseases for which no recognized treatment exists;
        (D) Whether an event is severe or unusual based on historical 
    weather records; and
        (E) Other specific circumstances caused by a natural event that 
    prevented the implementation of conservation practices or systems, 
    installation of structures, or planting of cover crops.
    
    [[Page 47030]]
    
        (b) Exemptions for wetlands and converted wetlands.
        (1) General exemptions. A person shall not be determined to be 
    ineligible for program benefits under Sec. 12.4 as the result of the 
    production of an agricultural commodity on converted wetland or the 
    conversion of wetland if:
        (i) The land is a prior-converted cropland and meets the definition 
    of a prior-converted cropland as of the date of a wetland determination 
    by NRCS;
        (ii) The land has been determined by NRCS to be a prior-converted 
    cropland and such determination has been certified, and NRCS determines 
    that the wetland characteristics returned after the date of the wetland 
    certification as a result of--
        (A) The lack of maintenance of drainage, dikes, levees, or similar 
    structures,
        (B) The lack of management of the lands containing the wetland, or
        (C) Circumstances beyond the control of the person;
        (iii) The land was determined by NRCS to be a farmed wetland or a 
    farmed-wetland pasture and--
        (A) Such land meets wetland criteria through a voluntary 
    restoration, enhancement, or creation action after that determination,
        (B) The technical determinations regarding the baseline site 
    conditions and the restoration, enhancement, or creation action have 
    been adequately documented by NRCS,
        (C) The proposed conversion action is documented by the NRCS prior 
    to implementation, and
        (D) The extent of the proposed conversion is limited so that the 
    conditions will be at least equivalent to the wetland functions and 
    values that existed at the time of implementation of the voluntary 
    wetland restoration, enhancement, or creation action;
        (iv) NRCS has determined that the conversion if for a purpose that 
    does not make the production of an agricultural commodity possible, 
    such as conversions for fish production, trees, vineyards, shrubs, 
    cranberries, agricultural waste management structures, livestock ponds, 
    fire control, or building and road construction and no agricultural 
    commodity is produced on such land;
        (v) NRCS has determined that the actions of the person with respect 
    to the conversion of the wetland or the combined effect of the 
    production of an agricultural commodity on a wetland converted by the 
    person or by someone else, individually and in connection with all 
    other similar actions authorized by NRCS in the area, would have only a 
    minimal effect on the wetland functions and values of wetlands in the 
    area;
        (vi) (A) After December 23, 1985, the Army Corps of Engineers 
    issued an individual permit pursuant to section 404 of the Clean Water 
    Act, 33 U.S.C. 1344, authorizing such action and the permit required 
    mitigation that adequately replaced the functions and values of the 
    wetlands converted, as determined by NRCS, or
        (B) After December 23, 1985, the action is encompassed under 
    section 404 of the Clean Water Act, 33 U.S.C. 1344, by an Army Corps of 
    Engineers nationwide or regional general permit and the wetland 
    functions and values were adequately mitigated, as determined by NRCS; 
    or
        (vii) The land is determined by NRCS to be--
        (A) An artificial wetland,
        (B) A wet area created by a water delivery system, irrigation, 
    irrigation system, or application of water for irrigation,
        (C) A nontidal drainage or irrigation ditch excavated in non-
    wetland, or
        (D) A wetland converted by actions of persons other than the person 
    applying for USDA program benefits or any of the person's predecessors 
    in interest after December 23, 1985, if such conversion was not the 
    result of a scheme or device to avoid compliance with this part. 
    Further drainage improvement on such land is not permitted without loss 
    of eligibility for USDA program benefits, unless NRCS determines under 
    paragraph (b)(1)(v) of this section that further drainage activities 
    applied to such land would have minimal effect on the wetland functions 
    and values in the area. In applying this paragraph, a converted wetland 
    shall be presumed to have been converted by the person applying for 
    USDA program benefits unless the person can show that the conversion 
    was caused by a third party with whom the person was not associated 
    through a scheme or device as described under Sec. 12.10 of this part. 
    In this regard, activities of a water resource district, drainage 
    district, or similar entity will be attributed to all persons within 
    the jurisdiction of the district or other entity who are assessed for 
    the activities of the district or entity. Accordingly, where a person's 
    wetland is converted due to the actions of the district or entity, the 
    person shall be considered to have caused or permitted the drainage. 
    Notwithstanding the provisions of the preceding sentences and as 
    determined by FSA to be consistent with the purposes of this part, the 
    activities of a drainage district or other similar entity will not be 
    attributed to a person to the extent that the activities of the 
    district or entity were beyond the control of the person and the 
    wetland converted is not used by the person for the production of an 
    agricultural commodity or a forage crop for harvest by mechanical means 
    or mitigation for the converted wetland occurs in accordance with this 
    part.
        (2) Commenced conversion wetlands.
        (i) The purpose of a determination of a commenced conversion made 
    under this paragraph is to implement the legislative intent that those 
    persons who had actually started conversion of a wetland or obligated 
    funds for conversion prior to December 23, 1985, would be allowed to 
    complete the conversion so as to avoid unnecessary economic hardship.
        (ii) All persons who believed they had a wetland or converted 
    wetland for which conversion began but was not completed prior to 
    December 23, 1985, must have requested by September 19, 1988, FSA to 
    make a determination of commencement in order to be considered exempt 
    under this section.
        (iii) Any conversion activity considered by FSA to be commenced 
    under this section lost its exempt status if such activity as not 
    completed on or before January 1, 1995. For purposes of this part, land 
    on which such conversion activities were completed by January 1, 1995, 
    shall be evaluated by the same standards and qualify for the same 
    exemptions as prior-converted croplands. For purposes of this part, 
    land on which such conversion activities were not completed by January 
    1, 1995, shall be evaluated by the same standards and qualify for the 
    same exemptions as wetlands or famed wetlands, as applicable.
        (iv) Only those wetlands for which the construction had begun, or 
    to which the contract or purchased supplies and materials related, 
    qualified for a determination of commencement. However, in those 
    circumstances where the conversion of wetland did not meet the specific 
    requirements of this paragraph, the person could have requested a 
    commencement of conversion determination from the FSA Deputy 
    Administrator for Farm Programs, upon a showing that undue economic 
    hardship would have resulted because of substantial financial 
    obligations incurred prior to December 23, 1985, for the primary and 
    direct purpose of converting the wetland.
        (3) Wetlands farmed under natural conditions. A person shall not be 
    determined to be ineligible for program benefits under Sec. 12.4 of 
    this part as a result of the production of an agricultural commodity on 
    a wetland on which the owner or operator of a farm
    
    [[Page 47031]]
    
    or ranch uses normal cropping or ranching practices to produce 
    agricultural commodities in a manner that is consistent for the area, 
    where such production is possible as a result of natural conditions, 
    such as drought, and is without action by the producer that alters the 
    hydrology or removes woody vegetation.
        (4) Mitigation.
        (i) No person shall be determined to be ineligible under Sec. 12.4 
    for any action associated with the conversion of a wetland if the 
    wetland functions and values are adequately mitigated, as determined by 
    NRCS, through the restoration of a converted wetland, the enhancement 
    of an existing wetland, or the creation of a new wetland, if the 
    mitigation--
        (A) Is in accordance with a mitigation plan approved by NRCS;
        (B) Is in advance of, or concurrent with, the wetland conversion or 
    the production of an agricultural commodity, as applicable;
        (C) Is not at the expense of the federal government in either 
    supporting the direct or indirect costs of the restoration activity or 
    costs associated with acquiring or securing mitigation sites, except if 
    conducted under a mitigation banking pilot program established by USDA;
        (D) Occurs on lands in the same general area of the local watershed 
    as the converted wetlands, provided that for purposes of this 
    paragraph, lands in the same general area of the local watershed may 
    include regional mitigation banks;
        (E) Is on lands for which the owner has granted an easement to 
    USDA, recorded the easement on public land records, and has agreed to 
    the maintenance of the restored, created, or enhanced wetland for as 
    long as the converted wetland for which the mitigation occurred remains 
    in agricultural use or is not returned to its original wetland 
    classification with equivalent functions and values; and
        (F) Provides the equivalent functions and values that will be lost 
    as a result of the wetland conversion.
        (ii) A mitigation plan is a record of decisions that document the 
    actions necessary to compensate for the loss of wetland functions and 
    values that result from converting a wetland. The mitigation plan may 
    be a component of a larger natural resources conservation plan.
        (iii) The State Conservationist, in consultation with the State 
    Technical Committee, may name certain types or classes of wetland not 
    eligible for exemption under paragraph (b)(4)(i) of this section where 
    the State Conservationist determines that mitigation will not achieve 
    equivalent replacement of wetland functions and values within a 
    reasonable time frame or for other reasons identified by the State 
    Conservationist. Any type or class of wetland that a State 
    Conservationist identifies as not eligible for exemption under 
    paragraph (b)(4)(i) of this section will be published in the Federal 
    Register for inclusion in this part.
        (5) Good Faith Violations.
        (i) A person who is determined under Sec. 12.4 to be ineligible for 
    benefits as the result of the production of an agricultural commodity 
    on a wetland converted after December 23, 1985, or as the result of the 
    conversion of a wetland after November 28, 1990, may regain eligibility 
    for benefits if--
        (A) FSA determines that such person acted in good faith and without 
    the intent to violate the wetland provisions of this part, and
        (B) NRCS determines that the person within an agreed to period, not 
    to exceed 1 year, is implementing all practices in a mitigation plan.
        (ii) In determining whether a person acted in good faith under 
    paragraph (b)(5)(i)(A) of this section, the FSA shall consider such 
    factors as whether--
        (A) The characteristics of the site were such that the person 
    should have been aware that a wetland existed on the subject land,
        (B) NRCS had informed the person about the existence of a wetland 
    on the subject land,
        (C) The person did not convert the wetland, but planted an 
    agricultural commodity on converted wetland when the person should have 
    known that a wetland previously existed on the subject land,
        (D) The person has a record of violating the wetland provisions of 
    this part or other Federal, State, or local wetland provisions, or
        (E) There exists other information that demonstrates that the 
    person acted with the intent to violate the wetland provisions of this 
    part.
        (iii) After the requirements of paragraph (b)(5)(i) of this section 
    are met, USDA may waive applying the ineligibility provisions of 
    Sec. 12.4.
        (6) Reliance upon NRCS wetland determination. (i) A person shall 
    not be ineligible for program benefits as a result of taking an action 
    in reliance on a previous certified wetland determination by NRCS.
        (ii) A person who may be ineligible for program benefits as the 
    result of the production of an agricultural commodity on converted 
    wetland or for the conversion of a wetland may seek relief under 
    Sec. 12.11 of this part if such action was taken in reliance on an 
    incorrect technical determination by NRCS as to the status of such 
    land. If the error caused the person to make a substantial financial 
    investment, as determined by the NRCS, for the conversion of a wetland, 
    the person may be relieved of ineligibility for actions related to that 
    portion of the converted wetland for which the substantial financial 
    investment was expended in conversion activities. The relief available 
    under this paragraph shall not apply to situations in which the person 
    knew or reasonably should have known that the determination was in 
    error because the characteristics of the site were such that the person 
    should have been aware that a wetland existed on the subject land, or 
    for other reasons.
        (7) Responsibliity to provide evidence. It is the responsibility of 
    the person seeking an exemption related to converted wetlands under 
    this section to provide evidence, such as receipts, crop-history data, 
    drawings, plans or similar information, for purposes of determining 
    whether the conversion or other action is exempt in accordance with 
    this section.
    
    
    Sec. 12.6   Administration.
    
        (a) General. A determination of ineligibility for benefits in 
    accordance with the provisions of this part shall be made by the agency 
    of USDA to which the person has applied for benefits. All 
    determinations required to be made under the provisions of this part 
    shall be made by the agency responsible for making such determinations, 
    as provided in this section.
        (b) Administration by FSA.
        (1) The provisions of this part which are applicable to FSA will be 
    administered under the general supervision of the Administrator, FSA, 
    and shall be carried out in the field in part by State FSA committees 
    and county FSA committees (COC).
        (2) The FSA Deputy Administrator for Farm Programs may determine 
    any question arising under the provisions of this part which are 
    applicable to FSA and may reverse or modify any determination of 
    eligibility with respect to programs administered by FSA made by a 
    State FSA committee or COC or any other FSA office or FSA official 
    (except the Administrator) in connection with the provisions of this 
    part.
        (3) FSA shall make the following determinations which are required 
    to be made in accordance with this part:
        (i) Whether a person produced an agricultural commodity on a 
    particular field as determined under Sec. 12.5(a)(1);
        (ii) The establishment of field boundaries;
    
    [[Page 47032]]
    
        (iii) Whether land was planted to an agricultural commodity in any 
    of the years, 1981 through 1985, for the purposes of Sec. 12.5(a)(1);
        (iv) Whether land was set aside, diverted, or otherwise not 
    cultivated under a program administered by the Secretary for any crop 
    to reduce production of an agricultural commodity under Sec. 12.4(g) 
    and Sec. 12.5(a)(1);
        (v) Whether for the purposes of Sec. 12.9, the production of an 
    agricultural commodity on highly erodible land or converted wetland by 
    a landlord's tenant or sharecropper is required under the terms and 
    conditions of the agreement between the landlord and such tenant or 
    sharecropper;
        (vi) Whether the conversion of a particular wetland was commenced 
    before December 23, 1985, for the purposes of Sec. 12.5(b)(3);
        (vii) Whether the conversion of a wetland was caused by a third 
    party under Sec. 12.5(b)(1)(vii)(D);
        (viii) Whether certain violations were made in good faith under 
    Secs. 12.5(a)(5) or 12.5(b)(5);
        (ix) The determination of the amount of reduction in benefits based 
    on the seriousness of the violation, based on technical information 
    provided by NRCS;
        (x) The determination of whether the application of the producer's 
    conservation system would impose an undue economic hardship on the 
    producer; and
        (xi) Whether the proceeds of a farm loan made, insured, or 
    guaranteed by FSA will be used for a purpose that will contribute to 
    excessive erosion of highly erodible land or to the conversion of 
    wetland.
        (4) A representative number of farms selected in accordance with 
    instructions issued by the Deputy Administrator shall be inspected by 
    an authorized representative of FSA to determine compliance with any 
    requirement specified in this part as a prerequisite for obtaining 
    program benefits.
        (5) FSA may consult with U.S. Fish and Wildlife Service on third-
    party determinations.
        (c) Administraiton by NRCS.
        (1) The provisions of this part that are applicable to NRCS shall 
    be administered under the general supervision of the Deputy Chief for 
    Natural Resources Conservation Programs, and shall be carried out in 
    the field by the regional conservationist, state conservationist, area 
    conservationist, and district conservationist or other NRCS 
    representative.
        (2) An NRCS representative shall make the following determinations 
    which are required to be made in accordance with this part:
        (i) Whether land is highly erodible or has a wetland type or a 
    converted wetland identified in accordance with the provisions of this 
    part;
        (ii) Whether highly erodible land is predominant on a particular 
    field under Sec. 12.22;
        (iii) Whether the conservation plan that a person is applying is 
    based on the local NRCS field office technical guide and is approved 
    by--
        (A) The CD and NRCS, or
        (B) By NRCS;
        (iv) Whether the conservation system that a person is using has 
    been approved by the CD under Sec. 12.5(a)(2) or, in an area not within 
    a CD, a conservation system approved by NRCS to be adequate for the 
    production of an agricultural commodity on highly erodible land;
        (v) Whether the actions of a person(s) with respect to the 
    conversion of a wetland or production of an agricultural commodity on 
    converted wetland would have only a minimal effect on the functions and 
    values of wetlands in the area;
        (vi) Whether an approved conservation plan is being applied on 
    highly erodible fields in accordance with the schedule specified 
    therein or whether a failure to apply the plan is technical and minor 
    in nature, due to circumstances beyond the control of the person, or 
    whether a temporary variance form the requirements of the plan should 
    be granted;
        (vii) Whether an approved conservation system is being used on a 
    highly erodible field;
        (viii) Whether the conversion of a wetland is for the purpose or 
    has the effect of making the production of an agricultural commodity 
    possible;
        (ix) Whether a farmed wetland or farmed-wetland pasture is 
    abandoned;
        (x) Whether the planting of an agricultural commodity on a wetland 
    is possible under natural conditions;
        (xi) Whether maintenance of existing drainage of a wetland 
    described in Sec. 12.33 exceeds the scope and effect of the original 
    drainage;
        (xii) Whether a plan for the mitigation of a converted wetland will 
    be approved and whether the mitigation of a converted wetland is 
    accomplished according to the approved mitigation plan;
        (xiii) Whether all technical information relating to the 
    determination of a violation and severity of a violation has been 
    provided to FSA for making payment-reduction determinations; and
        (xiv) Whether or not a commenced-conversion activity was completed 
    by January 1, 1995.
        (3) NRCS may provide such other technical assistance for 
    implementation of the provisions of this part as is determined to be 
    necessary.
        (4) A person may obtain a highly erodible land or a wetland scope-
    and-effect determination by making a written request on Form AD-1026. 
    The determination will be made in writing, and a copy will be provided 
    to the person.
        (5) A determination of whether or not an area meets the highly 
    erodible land criteria or whether wetland criteria, identified in 
    accordance with the current Federal wetland delineation methodology in 
    use at the time of the determination and that are consistent with 
    current mapping conventions, may be made by the NRCS representative 
    based upon existing records or other information and without the need 
    for an on-site determination. This determination will be made by the 
    NRCS representative as soon as possible following a request for such a 
    determination.
        (6) An on-site determination as to whether an area meets the 
    applicable criteria shall be made by an NRCS representative if the 
    person has disagreed with the determination made under paragraph (c)(5) 
    of this section, or if adequate information is not otherwise available 
    to an NRCS representative on which to make an off-site determination.
        (7) An on-site determination, where applicable, will be made by the 
    NRCS representative as soon as possible following a request for such a 
    determination, but only when site conditions are favorable for the 
    evaluation of soils, hydrology, or vegetation.
        (8) With regard to wetland determinations, if an area is 
    continuously inundated or saturated for long periods of time during the 
    growing season to such an extent that access by foot to make a 
    determination of predominance of hydric soils or prevalence of 
    hydrophytic vegetation is not feasible, the area will be determined to 
    be a wetland.
        (9) Persons who are adversely affected by a determination made 
    under this section and believe that the requirements of this part were 
    improperly applied may appeal, under Sec. 12.12 of this part, any 
    determination by NRCS.
        (d) Administration by CSREES. The CSREES shall coordinate the 
    related information and education program for
    
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    USDA concerning implementation of this rule.
        (e) Assistance of other Federal agencies. If NRCS determines, 
    through agreement or otherwise, that the purposes of this part would be 
    furthered by the assistance of other Federal agencies with wetland 
    responsibilities, NRCS may accept such assistance and adopt any or all 
    such actions by these agencies as an action by an NRCS representative 
    under this part.
    
    
    Sec. 12.7  Certification of compliance.
    
        (a) Self-certification. In order for a person to be determined to 
    be eligible for any of the benefits specified in Sec. 12.4:
        (1) It must be determined by USDA whether any field in which the 
    person applying for the benefits has an interest and intends to produce 
    an agricultural commodity contains highly erodible land;
        (2) The person applying for or receiving the benefits must certify 
    in writing on Form AD-1026 that such person will not produce an 
    agricultural commodity on highly erodible land, or designate such land 
    for conservation use; or plant an agricultural commodity on a converted 
    wetland; or convert a wetland to make possible the production of an 
    agricultural commodity during the crop year in which the person is 
    seeking such benefits, unless such actions are exempt, under Sec. 12.5, 
    from the provisions of Sec. 12.4 of this part;
        (3) A person may certify application of practices required by the 
    person's conservation plan. NRCS shall permit a person who makes such a 
    certification with respect to a conservation plan to revise the 
    conservation plan in any manner, if the same level of conservation 
    treatment provided for by the conservation system under the person's 
    conservation plan is maintained. NRCS may not revise the person's 
    conservation plan without the concurrence of the person;
        (4) The person applying for a FSA direct or guaranteed farm credit 
    program loan must certify that such person shall not use the proceeds 
    of the loan for a purpose that will contribute to excessive erosion on 
    highly erodible land or to conversion of wetlands for the purpose, or 
    to have the effect, of making the production of an agricultural 
    commodity possible; and
        (5) The person applying for the benefits must authorize and provide 
    representatives of USDA access to all land in which such person has an 
    interest for the purpose of verifying any such certification.
        (b) Availability to other agencies. Each agency of USDA shall make 
    all certifications of compliance received by such agency and the 
    results of investigations concerning such certifications of compliance 
    available to other agencies.
        (c) Compliance. A certification made in accordance with this 
    section does not relieve any person from compliance with provisions of 
    this part.
    
    
    Sec. 12.8  Affiliated persons.
    
        (a) Ineligibility of affiliated persons. Ineligibility of an 
    individual or entity under this part for benefits shall also be an 
    ineligibility for benefits for ``affiliated persons'' as defined in 
    this section.
        (b) Affiliated persons of an individual. If the person requesting 
    benefits is an individual, the affiliated persons are:
        (1) The spouse and minor child of such person or guardian of such 
    child; except that spouses who establish to the satisfaction of the COC 
    that operations of the husband and wife are maintained separately and 
    independently shall not be considered affiliates;
        (2) Any partnership, joint venture, or other enterprise in which 
    the person or any person listed in paragraphs (b)(1) has an ownership 
    interest or financial interest; unless such interest is held indirectly 
    through another business enterprise; or
        (3) Any trust in which the individual, business enterprise, or any 
    person listed in paragraph (b)(1) is a beneficiary or has a financial 
    interest, unless such interest is held indirectly through another 
    business enterprise.
        (c) Affiliated persons of an entity. If the person who has 
    requested benefits from USDA is a corporation, partnership, or other 
    joint venture, the affiliated persons are any participant or 
    stockholder therein of the corporation, partnership, or other joint 
    venture, except for persons who have an indirect interest through 
    another business enterprise in such corporation, partnership, or other 
    joint venture or persons with a 20 percent or less share in a 
    corporation.
        (d) Limitation. Any reduction in payments which results only from 
    the application of the affiliation provisions of this section to a 
    partnership, joint venture, trust, or other enterprise shall be limited 
    to the extent of interest held in such partnership, joint venture, 
    trust, or other enterprise by the person or business enterprise that 
    committed the violation. However, for violations for which the business 
    enterprise is considered directly responsible under the provisions of 
    this part, the business enterprise shall be subject to a full loss of 
    benefits, including those instances in which the business enterprise 
    has an interest in the land where the violation occurred or where the 
    business enterprise had an interest in the crops produced on the land.
        (e) Avoidance of this part. Limitations on affiliation shall not 
    apply as needed to correct for any action that would otherwise tend to 
    defeat the purposes of this part.
    
    
    Sec. 12.9  Landlords and tenants.
    
        (a) Landlord eligibility.
        (1) Except as provided in paragraph (a)(2) of this section, the 
    ineligibility of a tenant or sharecropper for benefits (as determined 
    under Sec. 12.4) shall not cause a landlord to be ineligible for USDA 
    program benefits accruing with respect to land other than those in 
    which the tenant or sharecropper has an interest.
        (2) The provisions of paragraph (a)(1) of this section shall not be 
    applicable to a landlord if the production of an agricultural commodity 
    on highly erodible land or converted wetland by the landlord's tenant 
    or sharecropper is required under the terms and conditions of the 
    agreement between the landlord and such tenant or sharecropper and such 
    agreement was entered into after December 23, 1985, or if the landlord 
    has acquiesced in such activities by the tenant or sharecropper.
        (b) Tenant or renter eligibility.
        (1) The ineligibility of a tenant or renter may be limited to the 
    program benefits listed in Sec. 12.4(c) accruing with respect to only 
    the farm on which the violation occurred if:
        (i) The tenant or renter shows that a good-faith effort was made to 
    comply by developing an approved conservation plan for the highly 
    erodible land in a timely manner and prior to any violation of the 
    provisions of this part; and
        (ii) The owner of such farm refuses to apply such a plan and 
    prevents the tenant or renter from implementing certain practices that 
    are a part of the approved conservation plan; and
        (iii) FSA determines that the lack of compliance is not a part of a 
    scheme or device as described in Sec. 12.10.
        (2) If relief is granted under paragraph (b)(1) of this section, 
    the tenant or renter must actively apply those conservation treatment 
    measures that are determined to be within the control of the tenant or 
    renter.
    
    
    Sec. 12.10  Scheme or device.
    
        All or any part of the benefits listed in Sec. 12.4 otherwise due a 
    person from USDA may be withheld or required to be refunded if the 
    person adopts or participates in adopting any scheme or
    
    [[Page 47034]]
    
    device designed to evade, or which has the effect of evading, the 
    provisions of this part. Such acts shall include, but are not limited 
    to, concealing from USDA any information having a bearing on the 
    application of the provisions of this part or submitting false 
    information to USDA or creating entities for the purpose of concealing 
    the interest of a person in a farming operation or to otherwise avoid 
    compliance with the provisions of this part. Such acts shall also 
    include acquiescence in, approval of, or assistance to acts which have 
    the effect of, or the purpose of, circumventing these regulations.
    
    
    Sec. 12.11  Action based upon advice or action of USDA.
    
        The provisions of part 718 of this Title, as amended, relating to 
    performance based upon the action or advice of a County Committee (COC) 
    or State FSA Committee shall be applicable to the provisions of this 
    part. In addition, if it is determined by the appropriate USDA agency 
    that the action of a person which would form the basis of any 
    ineligibility under this part was taken by such person in good-faith 
    reliance on erroneous advice, information, or action of any other 
    authorized representative of USDA, the appropriate agency may make such 
    benefits available to the extent that similar relief would be allowed 
    under 7 CFR part 718.
    
    
    Sec. 12.12  Appeals.
    
        Any person who has been or who would be denied program benefits in 
    accordance with Sec. 12.4 as the result of any determination made in 
    accordance with the provisions of this part may obtain a review of such 
    determination in accordance with the administrative appeals procedures 
    of the agency which rendered such determination. Agency appeal 
    procedures are contained in the Code of Federal Regulations as follows: 
    FSA, part 780 of this title; NRCS, part 614 of this title; Rural 
    Utilities Service, part 1900, subpart B of this title.
    
    Subpart B--Highly Erodible Land Conservation
    
    
    Sec. 12.20  NRCS responsibilities regarding highly erodible land.
    
        In implementing the provisions of this part, NRCS shall, to the 
    extent practicable:
        (a) Develop and maintain criteria for identifying highly erodible 
    lands;
        (b) Prepare and make available to the public lists of highly 
    erodible soil map units;
        (c) Make soil surveys for purposes of identifying highly erodible 
    land; and
        (d) Provide technical guidance to conservation districts which 
    approve conservation plans and systems, in consultation with local 
    county FSA committees, for the purposes of this part.
    
    
    Sec. 12.21  Identification of highly erodible lands criteria.
    
        (A) Basis for identification as highly erodible. Soil map units and 
    an erodibility index will be used as the basis for identifying highly 
    erodible land. The erodibility index for a soil is determined by 
    dividing the potential average annual rate of erosion for each soil by 
    its predetermined soil loss tolerance (T) value. The T value represents 
    the maximum annual rate of soil erosion that could occur without 
    causing a decline in long-term productivity. The equation for measuring 
    erosion is described below.
        (1) The potential average annual rate of sheet and rill erosion is 
    estimated by multiplying the following factors of the Universal Soil 
    Loss Equation (USLE):
        (i) Rainfall and runoff (R);
        (ii) The degree to which the soil resists water erosion (K); and
        (iii) The function (LS), which includes the effects of slope length 
    (L) and steepness (S).
        (2) The potential average annual rate of wind erosion is estimated 
    by multiplying the following factors of the Wind Erosion Equation 
    (WEQ): Climatic characterization of windspeed and surface soil moisture 
    (C) and the degree to which soil resists wind erosion (I).
        (3) The USLE is explained in the U.S. Department of Agriculture 
    Handbook 537, ``Predicting Rainfall Erosion Losses.'' The WEQ is 
    explained in the paper by Woodruff, N.P., and F. H. Siddaway, 1965, ``A 
    Wind Erosion Equation,'' Soil Science Society of America Proceedings, 
    Vol. 29. No. 5, pages 602-608. Values for all the factors used in these 
    equations are contained in the NRCS field office technical guide and 
    the references which are a part of the guide. The Universal Soil Loss 
    Equation, the Revised Universal Soil Loss Equation, and the Wind 
    Erosion Equation and the rules under which NRCS uses the equations are 
    published at Secs. 610.11 through 610.15 of this title.
        (b) Highly erodible. A soil map unit shall be determined to be 
    highly erodible if either the RKLS/T or the CI/T value for the map unit 
    equals or exceeds 8.
        (c) Potentially highly erodible. Whenever a soil map unit 
    description contains a range of a slope length and steepness 
    characteristics that produce a range of LS values which result in RKLS/
    T quotients both above and below 8, the soil map unit will be entered 
    on the list of highly erodible soil map units as ``potentially highly 
    erodible.'' The final determination of erodibility for an individual 
    field containing these soil map unit delineations will be made by an 
    on-site investigation.
    
    
    Sec. 12.22  Highly erodible field determination criteria.
    
        (a) Predominance. Highly erodible land shall be considered to be 
    predominant on a field if either:
        (1) 33.33 percent or more of the total field acreage is identified 
    as soil map units which are highly erodible; or
        (2) 50 or more acres in such field are identified as soil map units 
    which are highly erodible.
        (b) Modification of field boundaries. A person may request the 
    modification of field boundaries for the purpose of excluding highly 
    erodible land from a field. Such a request must be submitted to, and is 
    subject to the approval of, FSA. FSA shall use the technical 
    determination of NRCS in approving this request.
        (C) Impact of changing field boundaries. When field boundaries are 
    changed to include areas of land that were included in a field that was 
    previously determined to be predominately highly erodible according to 
    paragraph (a) of this section, such areas shall continue to be subject 
    to the requirements for predominately highly erodible fields, except as 
    provided in paragraph (b) of this section.
        (d) Small area of noncropland. Small areas of noncropland within or 
    adjacent to the boundaries of existing highly erodible crop fields such 
    as abandoned farmsteads, areas around filled or capped wells, rock 
    piles, trees, or brush which are converted to cropland are considered 
    to meet the requirement of Sec. 12.5(a)(2) if they are included in an 
    approved conservation plan for the entire highly erodible field.
    
    
    Sec. 12.23  Conservation plans and conservation systems.
    
        (a) Use of field office technical guide. A conservation plan or 
    conservation system developed for the purposes of Sec. 12.5(a) must be 
    based on, and to the extent practicable conform with, the NRCS field 
    office technical guide in use at the time the plan is developed or 
    revised. For highly erodible croplands which were used to produce 
    agricultural commodities prior to December 23, 1985, the applicable 
    conservation systems in the field office technical guide are designed 
    to achieve substantial reductions in soil erosion. Conservation systems 
    shall be
    
    [[Page 47035]]
    
    technically and economically feasible; based on local resource 
    conditions and available conservation technology; cost-effective; and 
    shall not cause undue economic hardship on the person applying the 
    conservation system. Any conservation plans or systems that were 
    approved prior to July 3, 1996, are deemed to be in compliance with 
    this paragraph.
        (b) Substantial reduction in soil erosion. For the purpose of 
    determining whether there is a substantial reduction in soil erosion on 
    a field containing highly erodible cropland which was used to produce 
    an agricultural commodity prior to December 23, 1985, the measurement 
    of erosion reduction achieved by applying a conservation plan or system 
    shall be based on a comparison of the estimated annual level of erosion 
    that is expected to occur on that portion of the field for which a 
    conservation plan or system was developed and is being applied, to the 
    estimated annual level of erosion that existed on that same portion of 
    the field before the application of a conservation plan or system. On a 
    field that is converted from native vegetation after July 3, 1996, and 
    where any crop production will result in increased erosion, in no case 
    will the required conservation plan or system permit a substantial 
    increase in erosion.
        (c) Field trials. NRCS may allow a person to include in the 
    person's conservation plan or a conservation system under the plan, on 
    a field-trial basis, practices that are not currently approved but that 
    NRCS considers have a reasonable likelihood of success. These trials 
    must have prior approval by NRCS, and must be documented in the 
    person's conservation plan specifying the limited time period during 
    which the field trial is in effect. If, at the end of the conservation 
    field trial period, NRCS finds that the practice does not meet 
    conservation compliance requirements, the person will not be ineligible 
    for USDA program benefits during the period of the field trial.
        (d) Highly erodible land previously under a Conservation Reserve 
    Program contract. Any person who owns or operates highly erodible land 
    that was under a Conservation Reserve Program contract as authorized by 
    section 1231 of the Food Security Act of 1985, as amended, shall have 2 
    years after the expiration of termination of the contract to fully 
    apply a conservation system if the conservation plan for such land 
    requires the installation of structural measures for the production of 
    an agricultural commodity. NRCS officials may extend this period one 
    additional year for circumstances beyond the control of the person. The 
    person shall not be required to meet a higher conservation standard 
    than the standard applied to other highly erodible cropland located 
    within the area served by the field office technical guide for the area 
    in which the field is located.
        (e) Information regarding conservation options. NRCS, in providing 
    assistance to a person for the preparation or revision of a 
    conservation plan under this part, will provide such person with 
    information concerning cost-effective and applicable erosion control 
    alternatives, crop flexibility, or other conservation assistance 
    options that may be available.
        (f) Timely request for assistance. Persons who require NRCS 
    assistance for the development of a conservation plan or the 
    installation of a conservation system are encouraged to request this 
    assistance well in advance of deadline dates for compliance; otherwise 
    the person may not be able to comply with these provisions and maintain 
    eligibility for USDA program benefits.
        (g) Action by conservation districts. Conservation districts 
    approve or disapprove conservation plans or conservation systems after 
    NRCS determines that the plans or systems conform to the NRCS field 
    office technical guide. If a conservation district fails, without due 
    cause, to act on a request for conservation plan or conservation system 
    approval within 45 days, or if no conservation district exists, NRCS 
    will approve or disapprove, as appropriate, the conservation plan or 
    system in question.
        (h) Application of a conservation plan or system. A person is 
    considered to be applying a conservation plan for purposes of 
    Sec. 12.5(a) if the conservation system or plan being applied achieves 
    or exceeds the substantial reduction in soil erosion as described in 
    paragraph (b) which the conservation system or plan was designed to 
    achieve. It is the responsibility of the person to:
        (1) Certify that the conservation plan or system is being applied; 
    and
        (2) Arrange for a revision of the conservation plan with NRCS, if 
    changes are made in land use, crop rotation or management, conservation 
    practices, or in the original schedule of practice installation that 
    would affect the achievement of substantial reduction in soil erosion 
    in a given crop year.
        (i) Appeal to FSA. Persons who are adversely affected by the 
    determinations made under this subpart and believe that the 
    requirements of this subpart were improperly applied may appeal the 
    decision to FSA under Sec. 12.12.
        (j) Undue economic hardship. After a technical determination has 
    been made, the FSA county committee shall, if a person asserts that the 
    application of the person's conservation system would impose an undue 
    economic hardship on the person, make a recommendation to the State FSA 
    Committee as to whether or not the application of the conservation 
    system would impose an undue economic hardship. The State FSA Committee 
    may provide the person with a variance on the basis of the hardship. 
    Under this variance, and any conditions that may be required in the 
    variance, the person will be considered to be in compliance with the 
    applicable provisions of this part. The State FSA Committee will 
    consider relevant factors, such as the cost of installation of required 
    conservation practices and benefits earned through programs subject to 
    compliance with this part, and the person's general economic situation.
    
    Subpart C--Wetland Conservation
    
    
    Sec. 12.30  NRCS responsibilities regarding wetlands.
    
        (a) Technical and coordination responsibilities. In carrying out 
    the provisions of this part, NRCS shall:
        (1) Oversee the development and application of criteria to identify 
    hydric soils in consultation with the National Technical Committee for 
    Hydric Soils and make available to the public an approved county list 
    of hydric soil map units, which is based upon the National List of 
    Hydric Soils;
        (2) Coordinate with the U.S. Fish and Wildlife Service and others 
    in updating the National List of Plant Species that Occur in Wetlands;
        (3) Make or approve wetland determinations, delineations and 
    certifications, functional assessments, mitigation plans, categorical 
    minimal effects, and other technical determinations relative to the 
    implementation of the wetland conservation provisions of this part;
        (4) Develop and utilize off-site and on-site wetland identification 
    procedures;
        (5) Assure quality of service and determinations through procedures 
    developed by NRCS in consultation with other Federal agencies that have 
    wetland responsibilities;
        (6) Investigate complaints and make technical determinations 
    regarding potential violations;
        (7) Develop a process at the state level, in coordination with the 
    U.S. Fish and Wildlife Service, to ensure that these provisions are 
    carried out in a technically defensible and timely
    
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    manner, seek assistance as appropriate, and annually review the 
    progress being made on implementation; and
        (8) Conduct reviews of implementation and provide the Army Corps of 
    Engineers, Environmental Protection Agency, and the U.S. Fish and 
    Wildlife Service an opportunity to participate in this review.
        (b) Technical assistance from others In carrying out the provisions 
    of this part, NRCS may request technical assistance from the U.S. Fish 
    and Wildlife Service, State or local agencies conservation districts, 
    or qualified private entities when NRCS determines that additional 
    staff resources or technical expertise are needed to address adequately 
    the requirements of this part or to enhance the quality of 
    implementation of this part.
        (c) Certification of wetland determinations and wetland 
    delineations.
        (1) Certification of a wetland determination means that the wetland 
    determination is of sufficient quality to make a determination of 
    ineligibility for program benefits under Sec. 12.4 of this part. 
    Certification of a wetland determination shall be completed according 
    to delineation procedures agreed to by the Army Corps of Engineers, the 
    Environmental Protection Agency, the U.S. Fish and Wildlife Service and 
    NRCS. NRCS may certify a wetland determination without making a field 
    investigation. NRCS will notify the person affected by the 
    certification and provide an opportunity to appeal the certification 
    prior to the certification becoming final. All wetland determinations 
    made after July 3, 1996, will be done on a tract basis and will be 
    considered certified wetland determinations. A not-inventoried 
    designation within a certified wetland is subject to change when the 
    soil, hydrology, and vegetation evaluation is completed and identified 
    as to type of wetland or as a non-wetland. This change from a not-
    inventoried designation to an approved wetland designation will be done 
    at the request of the landowner or during a formal investigation of a 
    potential violation.
        (2) The wetland determination and wetland delineation shall be 
    certified as final by the NRCS official 30 days after providing the 
    person notice of certification or, if an appeal is filed with USDA, 
    after the administrative appeal procedures are exhausted.
        (3) In the case of an appeal, NRCS will review and certify the 
    accuracy of the determination of all lands subject to the appeal to 
    ensure that the subject lands have been accurately delineated. Prior to 
    a decision being rendered on the appeal, NRCS will conduct an on-site 
    investigation of the subject land.
        (4) Before any benefits are withheld, an on-site investigation of a 
    potential wetland violation will be made by NRCS. The affected person 
    will be provided an opportunity to appeal the on-site determination to 
    USDA if the on-site determination differs from the original 
    determination. Such action by NRCS shall be considered a review of the 
    prior determination and certification of the delineation. If the prior 
    determination was a certified wetland determination, an appeal of the 
    NRCS on-site determination shall be limited to the determination that 
    the wetland was converted in violation of this part.
        (5) A copy of the information from the final certified wetland 
    determination and the wetland delineation shall be recorded on official 
    USDA aerial photography, digital imagery, or other graphic 
    representation of the area.
        (6) As long as the affected person is in compliance with the 
    wetland conservation provision of this part, and as long as the area is 
    devoted to the use and management of the land for production of food, 
    fiber, horticultural crops, a certification made under this section 
    will remain valid and in effect until such time as the person affected 
    by the certification requests review of the certification by NRCS. A 
    person may request review of a certification only if a natural event 
    alters the topography or hydrology of the subject land to the extent 
    that the final certification is no longer a reliable indication of site 
    conditions, or if NRCS concurs with an affected person that an error 
    exists in the current wetland determination
    
    
    Sec. 12.31  On-site wetland identification criteria.
    
        (a) Hydric soils.
        (1) NRCS shall identify hydric soils through the use of published 
    soil maps which reflect soil surveys completed by NRCS or through the 
    use of on-site reviews. If a published soil map is unavailable for a 
    given area, NRCS may use unpublished soil maps which were made 
    according to the specifications of the National Cooperative Soil Survey 
    or may conduct an on-site evaluation of the land.
        (2) NRCS shall determine whether an area of a field or other parcel 
    of land has a predominance of hydric soils that are inundated or 
    saturated as follows:
        (i) If a soil map unit has hydric soil as all or part of its name, 
    that soil map unit or portion of the map unit related to the hydric 
    soil shall be determined to have a predominance of hydric soils;
        (ii) If a soil map unit is named for a miscellaneous area that 
    meets the criteria for hydric soils (i.e., riverwash, playas, beaches, 
    or water) the soil map unit shall be determined to have a predominance 
    of hydric soils; or
        (iii) If a soil map unit contains inclusions of hydric soils, that 
    portion of the soil map unit identified as hydric soil shall be 
    determined to have a predominance of hydric soils.
        (3) List of hydric soils.
        (i) Hydric soils are those soils which meet criteria set forth in 
    the publication ``Hydric Soils of the United States 1985'' which was 
    developed by the National Technical Committee for Hydric Soils and 
    which is incorporated by reference. This publication may be obtained 
    upon request by writing NRCS at U.S. Department of Agriculture, P.O. 
    Box 2890, Washington, DC 20013, and is available for inspection at the 
    Office of the Federal Register Information Center, 800 North Capitol 
    Street NW., Suite 700, Washington, DC 20408. Incorporation of this 
    publication by reference was approved by the Director of the Federal 
    Register on June 24, 1986. The materials are incorporated as they exist 
    on the date of the approval and a notice of any change in these 
    materials will be published in the Federal Register.
        (ii) An official list of hydric soil map units shall be maintained 
    at the local NRCS office and shall include--
        (A) All soils from the National List of Hydric Soils that can be 
    found in that field office area, and
        (B) Any soil map units or areas which the state conservationist 
    determines to meet such hydric soil criteria.
        (iii) Any deletions of a hydric soil unit from the hydric soil map 
    unit list must be made according to the established procedure contained 
    in the publication ``Hydric Soils of the United States 1985'' for 
    adding or deleting soils from the National List of Hydric Soils.
        (b) Hydrophytic vegetation. Hydrophytic vegetation consists of 
    plants growing in water or in a substrate that is at least periodically 
    deficient in oxygen during a growing season as a result of excessive 
    water content.
        (1) A plant shall be considered to be a plant species that occurs 
    in wetland if such plant is listed in the National List of Plant 
    Species that Occur in Wetlands. The publication may be obtained upon 
    request from the U.S. Fish and Wildlife Service at National Wetland 
    Inventory, Monroe Bldg. Suite 101, 9720 Executive Center Drive, St. 
    Petersburg, Florida 33702.
        (2) For the purposes of the definition of ``wetland'' in Sec. 12.2 
    of this part, land shall be determined to have a prevalence of 
    hydrophytic vegetation if:
        (i) NRCS determines through the criteria specified in paragraph 
    (b)(3) of
    
    [[Page 47037]]
    
    this section that under normal circumstances such land supports a 
    prevalence of hydrophytic vegetation. The term ``normal circumstances'' 
    refers to the soil and hydrologic conditions that are normally present, 
    without regard to whether the vegetation has been removed; or
        (ii) In the event the vegetation on such land has been altered or 
    removed, NRCS will determine if a prevalence of hydrophytic vegetation 
    typically exists in the local area on the same hydric soil map unit 
    under non-altered hydrologic conditions.
        (3) The determination of prevalence of hydrophytic vegetation will 
    be made in accordance with the current Federal wetland delineation 
    methodology in use by NRCS at the time of the determination.
        (c) Mitigation wetlands. Notwithstanding the provisions of this 
    section, wetlands which are created in order to mitigate the loss of 
    other wetlands as a result of irrigation, recreation, municipal water, 
    flood control, or other similar projects shall not be considered to be 
    artificial wetland for the purposes of Sec. 12.5(b)(1)(vii)(A) of this 
    part.
        (d) Minimal effect determination. For the purposes of 
    Sec. 12.5(b)(1)(v) of this part, NRCS shall determine whether the 
    effect of any action of a person associated with the conversion of a 
    wetland, the conversion of wetland and the production of an 
    agricultural commodity on converted wetland, or the combined effect of 
    the production of an agricultural commodity on a wetland converted by 
    someone else has a minimal effect on the functions and values of 
    wetlands in the area. Such determination shall be based upon a 
    functional assessment of functions and values of the wetland under 
    consideration and other related wetlands in the area, and will be made 
    through an on-site evaluation. A request for such determination will be 
    made prior to the beginning of activities that would convert the 
    wetland. If a person has converted a wetland and then seeks a 
    determination that the effect of such conversion on wetland was 
    minimal, the burden will be upon the person to demonstrate to the 
    satisfaction of NRCS that the effect was minimal.
        The production of an agricultural commodity on any portion of a 
    converted wetland in conformance with a minimal-effect determination by 
    NRCS is exempt under Sec. 12.5(b)(1)(v) of this part. However, any 
    additional action of a person that will change the functions and values 
    of a wetland for which a minimal-effect determination has been made 
    shall be reported to NRCS for a determination of whether the effect 
    continues to be minimal. The loss of a minimal effect determination 
    will cause a person who produces an agricultural commodity on the 
    converted wetland after such change in status to be ineligible, under 
    Sec. 12.4, for certain program benefits. In situations where the 
    wetland functions and values are replaced by the restoration, 
    enhancement or creation of a wetland in accordance with a mitigation 
    plan approved by NRCS, the exemption provided by the determination will 
    be effective after NRCS determines that all practices in a mitigation 
    plan are being implemented.
        (e) Categorical Minimal Effect Exemptions.
        (1) The state conservationist, in consultation with the state 
    technical committee established under 16 U.S.C. 3861, shall identify 
    any categories of conversion activities and conditions which are 
    routinely determined by NRCS to have minimal effect on wetland 
    functions and values, as described in paragraph (d) of this section, 
    and recommend to the Chief, NRCS, or a designee, inclusion on a list of 
    categorical minimal effect exemptions.
        (2) The Chief, or designee, shall evaluate the conversion practices 
    recommended by the state conservationists in the region to ensure 
    consistency across State and regional lines, and to determine whether 
    any categories of conversion activities identified pursuant to 
    paragraph (e)(1) of this section, if such activities were exempt from 
    the ineligibility provisions of Sec. 12.4, would only have a minimal 
    effect on wetland functions and values in a wetland system within the 
    region.
        (3) Any categories of conversion activities which meet the criteria 
    of paragraph (e)(2) of this section will be published in the Federal 
    register for inclusion in this part and shall be exempt under 
    Sec. 12.5(b)(1)(v) of this part.
        (4) The NRCS local field office shall maintain a list of any 
    activities and conditions which are determined by the Chief, or 
    designee, exempt pursuant to this section and will provide the list to 
    a person upon request.
    
    
    Sec. 12.32  Converted wetland identification criteria.
    
        (a) Converted wetland shall be identified by determining whether 
    the wetland was altered so as to meet the definition of converted 
    wetland. In making this determination, the following factors are to be 
    considered:
        (1) Where hydric soils have been used for production of an 
    agricultural commodity and the effect of the drainage or other altering 
    activity is not clearly discernible, NRCS will compare the site with 
    other sites containing the same hydric soils in a natural condition to 
    determine if the hydric soils can or cannot be used to produce an 
    agricultural commodity under natural conditions. If the soil on the 
    comparison site could not produce an agricultural commodity under 
    natural conditions, the subject wetland will be considered to be 
    converted wetland.
        (2) Where woody hydrophytic vegetation has been removed from hydric 
    soils for the purpose of or permitting the production of an 
    agricultural commodity, the area will be considered to be converted 
    wetland.
        (b) A wetland shall not be considered to be converted if:
        (1) Production of an agricultural commodity on such land is 
    possible as a result of a natural condition, such as drought, and it is 
    determined that the actions of the person producing such agricultural 
    commodity does not permanently alter or destroy natural wetland 
    characteristics. Destruction of herbaceous hydrophytic vegetation 
    (i.e., plants other than woody shrubs or trees) as a result of the 
    production of an agricultural commodity shall not be considered as 
    altering or destroying natural wetland characteristic if such 
    vegetation could return following cessation of the natural condition 
    which made production of the agricultural commodity possible; or
        (2) Such land is correctly identified as farmed wetland or farmed-
    wetland pasture.
    
    
    Sec. 12.33  Use of wetland and converted wetland.
    
        (a) The provisions of Sec. 12.32(b)(2) are intended to protect 
    remaining functions and values of the wetlands described therein. 
    Persons may continue to farm such wetlands under natural conditions or 
    as they did prior to December 23, 1985. However, no action can be taken 
    to increase effects on the water regime beyond that which existed on 
    such lands on or before December 23, 1985, unless NRCS determines the 
    effect on losing remaining wetland values would be minimal under 
    Sec. 12.5(b)(1)(v). If, after December 23, 1985, changes due to human 
    activity occurred in the watershed and resulted in an increase in the 
    water regime on a person's land, the person may be allowed to adjust 
    the existing drainage system to accommodate the increased water regime 
    on the condition that the person affected by this additional water 
    provides NRCS with appropriate documentation of the increased water 
    regime, the causes thereof, and the
    
    [[Page 47038]]
    
    planned changes in the existing drainage system. In order to maintain 
    program eligibility, a person must provide sufficient documentation and 
    receive approval from NRCS prior to making any changes that will have 
    the effect of increasing the capacity of the existing drainage systems.
        (b) Unless otherwise provided in this part, the production of an 
    agricultural commodity on land determined by NRCS to be prior-converted 
    cropland is exempted by law from these regulations for the area which 
    was converted. Maintenance or improvement of drainage systems on prior-
    converted croplands are not subject to this rule so long as the prior-
    converted croplands are used for the production of food, forage, or 
    fiber and as long as such actions do not alter the hydrology of nearby 
    wetlands or do not make possible the production of an agricultural 
    commodity on these other wetlands. Other wetlands under this section 
    means any natural wetland, farmed wetland, farmed-wetland pasture, or 
    any converted wetland that is not exempt under Sec. 12.5 of this part.
        (c) Abandonment is the cessation for five consecutive years of 
    management or maintenance operations related to the use of a farmed 
    wetland or a farmed-wetland pasture. Unless the criteria for receiving 
    an exemption under Sec. 12.5(b)(1)(iii) are met, such land is 
    considered to be abandoned when the land meets the wetland criteria of 
    Sec. 12.31. In order for documentation of site conditions to be 
    considered adequate under Sec. 12.5(b)(1)(iii), the affected person 
    must provide to NRCS available information concerning the extent of 
    hydrological manipulation, the extent of woody vegetation, and the 
    history of use. In accordance with Sec. 12.5(b)(1)(iii), participation 
    in a USDA approved wetland restoration, set-aside, diverted acres, or 
    similar programs shall not be deemed to constitute abandonment.
        (d) The maintenance of the drainage capacity or any alteration or 
    manipulation, including the maintenance of a natural waterway operated 
    and maintained as a drainage outlet, that affects the circulation and 
    flow of water made to a farmed wetland or farmed-wetland pasture would 
    not cause a person to be determined to be ineligible under this part, 
    provided that the maintenance does not exceed the scope and effect of 
    the original alteration or manipulation, as determined by NRCS, and 
    provided that the area is not abandoned. Any resultant conversion of 
    wetlands is to be at the minimum extent practicable, as determined by 
    NRCS.
    
    
    Sec. 12.34  Paperwork Reduction Act assigned number.
    
        The information collection requirements contained in this 
    regulation (7 CFR part 12) have been approved by the Office of 
    Management and Budget under provisions of 44 U.S.C. chapter 35 and have 
    been assigned OMB Number 0560-0004.
    
        Signed at Washington, D.C. on August 23, 1996.
    Dan Glickman,
    Secretary.
    [FR Doc. 96-22784 Filed 9-5-96; 8:45 am]
    BILLING CODE 3410-01-M
    
    
    

Document Information

Published:
09/06/1996
Department:
Agriculture Department
Entry Type:
Rule
Action:
Interim final rule with request for comments.
Document Number:
96-22784
Pages:
47019-47038 (20 pages)
RINs:
0578-AA17: Highly Erodible Land and Wetland Conservation
RIN Links:
https://www.federalregister.gov/regulations/0578-AA17/highly-erodible-land-and-wetland-conservation
PDF File:
96-22784.pdf
CFR: (43)
7 CFR 12.5(a)
7 CFR 12.5(a)
7 CFR 12.5(b)(1)(v)
7 CFR 12.1
7 CFR 12.2
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