cfr_sections
Data license: Public Domain (U.S. Government data) · Data source: Federal Register API & Regulations.gov API
33 rows where part_number = 2003 sorted by section_id
This data as json, CSV (advanced)
Suggested facets: title_name, chapter, subchapter, part_name, subpart, subpart_name, amendment_citations, full_text
| section_id ▼ | title_number | title_name | chapter | subchapter | part_number | part_name | subpart | subpart_name | section_number | section_heading | agency | authority | source_citation | amendment_citations | full_text |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 15:15:4.2.1.9.4.0.43.1 | 15 | Commerce and Foreign Trade | XX | 2003 | PART 2003—REGULATIONS OF TRADE POLICY STAFF COMMITTEE | § 2003.0 Office, mailing address, telephone number, and hours. | NIST | (a) The office of the Committee is at room 729, 1800 G Street NW., Washington, DC 20506. (b) All communications to the Committee should be addressed to the “Secretary, Trade Policy Staff Committee, Office of the Special Representative for Trade Negotiations, room 729, 1800 G Street, NW., Washington, DC 20506.” (c) The telephone number of the office of the Committee is (202) 395-3395. (d) The regular hours of the office of the Committee are from 9 a.m. to 5:30 p.m. on each business day, Monday through Friday. | |||||||
| 15:15:4.2.1.9.4.0.43.2 | 15 | Commerce and Foreign Trade | XX | 2003 | PART 2003—REGULATIONS OF TRADE POLICY STAFF COMMITTEE | § 2003.1 Notice of public hearings. | NIST | [40 FR 18421, Apr. 28, 1975, as amended at 40 FR 39498, Aug. 28, 1975; 40 FR 60042, Dec. 31, 1975] | The Committee shall publish in the Federal Register a notice of a proposed public hearing, the subject matter of the proposed public hearing, the period during which written briefs may be submitted, the period during which requests may be submitted to present oral testimony, and the time and place of the proposed public hearing, in the following instances: (a) Upon publication of lists of articles by the President under section 131(a), or sections 503(a) and 131(a), of the Trade Act as a result of which public hearings are required to be held by section 133 of the Trade Act with respect to any matter relevant to a proposed trade agreement, or with respect to any matter relevant to the granting of generalized tariff preferences for the listed articles; (b) Whenever the Special Representative or the Deputy Special Representative determines that public hearings in connection with the review of a request submitted pursuant to Part 2007 of these regulations, pertaining to the duty-free treatment accorded to articles under the GSP, are in the public interest. (c) Upon instructions of the Special Representative. | ||||||
| 15:15:4.2.1.9.4.0.43.3 | 15 | Commerce and Foreign Trade | XX | 2003 | PART 2003—REGULATIONS OF TRADE POLICY STAFF COMMITTEE | § 2003.2 Testimony and submission of written briefs. | NIST | [40 FR 18421, Apr. 28, 1975, as amended at 40 FR 39498, Aug. 28, 1975] | (a) Participation by an interested party in a public hearing announced under § 2003.1 shall require the submission of a written brief before the close of the period announced, in the public notice for its submission. Such brief may be, but need not be, supplemented by the presentation of oral testimony in accordance with § 2003.4. (b) A written brief by an interested party concerning any aspect of the trade agreements program or any related matter not subject to paragraph (a) of this section, and submitted pursuant to a public notice shall be submitted before the close of the period announced in the public notice for its submission. (c) A written brief shall state clearly the position taken and shall describe with particularity the evidence supporting such position. It shall be submitted in not less than twenty (20) copies which shall be legibly typed, printed, or duplicated. (d) In order to assure each party an opportunity to contest the information provided by other interested parties, the Committee will entertain rebuttal briefs filed by any party within a time limit specified by the Committee. Rebuttal briefs shall conform, in form and number, to the provisions of paragraph (c) of this section. Rebuttal briefs should be strictly limited to demonstrating errors of fact or analysis not pointed out in the briefs or hearings and should be as concise as possible. (e) A written brief by an interested party concerning any aspect of the Trade Agreements Program or any related matter not subject to paragraph (a) or (b) of this section may be submitted at any time. (f) The requirements in paragraphs (a) through (d) of this section may be waived by the Special Representative, the Deputy Special Representative, or the Chairman of the Committee for reasons of equity and the public interest. | ||||||
| 15:15:4.2.1.9.4.0.43.4 | 15 | Commerce and Foreign Trade | XX | 2003 | PART 2003—REGULATIONS OF TRADE POLICY STAFF COMMITTEE | § 2003.3 [Reserved] | NIST | ||||||||
| 15:15:4.2.1.9.4.0.43.5 | 15 | Commerce and Foreign Trade | XX | 2003 | PART 2003—REGULATIONS OF TRADE POLICY STAFF COMMITTEE | § 2003.4 Presentation of oral testimony at public hearings. | NIST | [40 FR 18421, Apr. 28, 1975, as amended at 40 FR 39498, Aug. 28, 1975] | (a) A request by an interested party to present oral testimony at a public hearing shall be submitted in writing before the close of the period announced in the public notice for its submission, and shall state briefly the interest of the applicant and the position to be taken by the applicant. Such request will be granted only if a written brief has been prepared and submitted in accordance with § 2003.2. The requirements of this subpart may be waived by the Special Representative, the Deputy Special Representative or the Chairman of the Committee for reasons of equity and the public interest. (b) After receipt and consideration of a request to present oral testimony at a public hearing, the Secretary of the Committee shall notify the applicant whether the request conforms to the requirements of paragraph (a) of this section, and if so, the time and place for the hearing and for his appearance, and the amount of time allotted for his oral testimony, and if not, will give the reasons why the request does not conform to the requirements. (c) In presenting testimony, the interested party should supplement the information contained in the written brief, and should be prepared to answer questions relating to such information. (d) A stenographic record shall be made of every public hearing. | ||||||
| 15:15:4.2.1.9.4.0.43.6 | 15 | Commerce and Foreign Trade | XX | 2003 | PART 2003—REGULATIONS OF TRADE POLICY STAFF COMMITTEE | § 2003.5 Information open to public inspection. | NIST | (a) With the exception of information subject to § 2003.6, an interested party may, upon request, inspect at the office of the Committee: (1) Any written request, brief, or similar submission of information; (2) Any stenographic record of a public hearing; (3) Other public written information concerning the trade agreements program and related matters. (b) [Reserved] | |||||||
| 15:15:4.2.1.9.4.0.43.7 | 15 | Commerce and Foreign Trade | XX | 2003 | PART 2003—REGULATIONS OF TRADE POLICY STAFF COMMITTEE | § 2003.6 Information exempt from public inspection. | NIST | (a) The Committee shall exempt from public inspection business information submitted by an interested party if the Committee determines that such information concerns or relates to trade secrets and commercial and financial information the disclosure of which is not authorized by the interested party furnishing such information and is not required by law. (b) A party requesting that the Committee exempt from public inspection business information submitted in writing shall clearly mark each page “ Business Confidential ” at the top. (c) The Committee may deny a request that it exempt from public inspection any particular business information if it determines that such information is not entitled to exemption under paragraph (a) of this section. In the event of such denial, the party submitting the particular business information will be notified of the reasons for the denial and will be permitted to withdraw his submission. | |||||||
| 24:24:5.1.1.1.3.0.1.1 | 24 | Housing and Urban Development | XII | 2003 | PART 2003—IMPLEMENTATION OF THE PRIVACY ACT OF 1974 | § 2003.1 Scope of the part and applicability of other HUD regulations. | HUD | (a) General. This part contains the regulations of the Office of Inspector General (“OIG”) implementing the Privacy Act of 1974 (5 U.S.C. 552a). The regulations inform the public that the Inspector General has the responsibility for carrying out the requirements of the Privacy Act and for issuing internal OIG orders and directives in connection with the Privacy Act. These regulations apply to all records that are contained in systems of records maintained by the OIG and that are retrieved by an individual's name or personal identifier. (b) Applicability of part 16. In addition to these regulations, the provisions of 24 CFR part 16 apply to the OIG, except that appendix A to part 16 is not applicable. The provisions of this part shall govern in the event of any conflict with the provisions of part 16. | |||||||
| 24:24:5.1.1.1.3.0.1.2 | 24 | Housing and Urban Development | XII | 2003 | PART 2003—IMPLEMENTATION OF THE PRIVACY ACT OF 1974 | § 2003.2 Definitions. | HUD | [59 FR 14098, Mar. 25, 1994] | For purposes of this part: Department means the OIG, except that in the context of §§ 16.1(d); 16.11(b) (1), (3), and (4); and 16.12(e), when those sections are incorporated by reference, the term means the Department of Housing and Urban Development. Privacy Act Officer means an Assistant Inspector General. Privacy Appeals Officer means the Inspector General. | ||||||
| 24:24:5.1.1.1.3.0.1.3 | 24 | Housing and Urban Development | XII | 2003 | PART 2003—IMPLEMENTATION OF THE PRIVACY ACT OF 1974 | § 2003.3 Requests for records. | HUD | (a) A request from an individual for an OIG record about that individual which is not contained in an OIG system of records will be considered to be a Freedom of Information Act (FOIA) request and will be processed under 24 CFR part 2002. (b) A request from an individual for an OIG record about that individual which is contained in an OIG system of records will be processed under both the Privacy Act and the FOIA in order to ensure maximum access under both statutes. This practice will be undertaken regardless of how an individual characterizes the request. (1) The procedures for inquiries and requirements for access to records under the Privacy Act are more specifically set forth in 24 CFR part 16, except that appendix A to part 16 does not apply to the OIG. (2) An individual will not be required to state a reason or otherwise justify his or her request for access to a record. | |||||||
| 24:24:5.1.1.1.3.0.1.4 | 24 | Housing and Urban Development | XII | 2003 | PART 2003—IMPLEMENTATION OF THE PRIVACY ACT OF 1974 | § 2003.4 Officials to receive requests and inquiries. | HUD | [57 FR 62142, Dec. 29, 1992, as amended at 59 FR 14098, Mar. 25, 1994] | Officials to receive requests and inquiries for access to, or correction of, records in OIG systems of records are the Privacy Act Officers described in § 2003.2 of this part. Written requests may be addressed to the appropriate Privacy Act Officer at: Office of Inspector General, Department of Housing and Urban Development, Washington, DC 20410. | ||||||
| 24:24:5.1.1.1.3.0.1.5 | 24 | Housing and Urban Development | XII | 2003 | PART 2003—IMPLEMENTATION OF THE PRIVACY ACT OF 1974 | § 2003.5 Initial denial of access to records. | HUD | (a) Access by an individual to a record about that individual which is contained in an OIG system of records will be denied only upon a determination by the Privacy Act Officer that: (1) The record was compiled in reasonable anticipation of a civil action or proceeding; or the record is subject to a Privacy Act exemption under § 2003.8 or § 2003.9 of this part; and (2) The record is also subject to a FOIA exemption under § 2002.21(b) of this chapter. (b) If a request is partially denied, any portions of the responsive record that can be reasonably segregated will be provided to the individual after deletion of those portions determined to be exempt. (c) The provisions of 24 CFR 16.6(b) and 16.7, concerning notification of an initial denial of access and administrative review of the initial denial, apply to the OIG, except that: (1) The final determination of the Inspector General, as Privacy Appeals Officer for the OIG, will be in writing and will constitute final action of the Department on a request for access to a record in an OIG system of records; and (2) If the denial of the request is in whole or in part upheld, the final determination of the Inspector General will include notice of the right to judicial review. | |||||||
| 24:24:5.1.1.1.3.0.1.6 | 24 | Housing and Urban Development | XII | 2003 | PART 2003—IMPLEMENTATION OF THE PRIVACY ACT OF 1974 | § 2003.6 Disclosure of a record to a person other than the individual to whom it pertains. | HUD | (a) The OIG may disclose an individual's record to a person other than the individual to whom the record pertains in the following instances: (1) Upon written request by the individual, including authorization under 24 CFR 16.5(e); (2) With the prior written consent of the individual; (3) To a parent or legal guardian of the individual under 5 U.S.C. 552a(h); or (4) When permitted by the provisions of 5 U.S.C. 552a(b) (1) through (12). (b) [Reserved] | |||||||
| 24:24:5.1.1.1.3.0.1.7 | 24 | Housing and Urban Development | XII | 2003 | PART 2003—IMPLEMENTATION OF THE PRIVACY ACT OF 1974 | § 2003.7 Authority to make law enforcement-related requests for records maintained by other agencies. | HUD | (a) The Inspector General is authorized by written delegation from the Secretary of HUD and under the Inspector General Act to make written requests under 5 U.S.C. 552a(b)(7) for transfer of records maintained by other agencies which are necessary to carry out an authorized law enforcement activity under the Inspector General Act. (b) The Inspector General delegates the authority under paragraph (a) of this section to the following OIG officials: (1) Deputy Inspector General; (2) Assistant Inspector General for Audit; (3) Assistant Inspector General for Investigation; and (4) Assistant Inspector General for Management and Policy. (c) The officials listed in paragraph (b) of this section may not redelegate the authority described in paragraph (a) of this section. | |||||||
| 24:24:5.1.1.1.3.0.1.8 | 24 | Housing and Urban Development | XII | 2003 | PART 2003—IMPLEMENTATION OF THE PRIVACY ACT OF 1974 | § 2003.8 General exemptions. | HUD | [57 FR 62142, Dec. 29, 1992, as amended at 65 FR 50904, Aug. 21, 2000] | (a) The systems of records entitled “Investigative Files of the Office of Inspector General,” “Hotline Complaint Files of the Office of Inspector General,” “Name Indices System of the Office of Inspector General,” and “AutoInvestigation of the Office of Inspector General” consist, in part, of information compiled by the OIG for the purpose of criminal law enforcement investigations. Therefore, to the extent that information in these systems falls within the scope of exemption (j)(2) of the Privacy Act, 5 U.S.C. 552a(j)(2), these systems of records are exempt from the requirements of the following subsections of the Privacy Act, for the reasons stated in paragraphs (a)(1) through (6) of this section. (1) From subsection (c)(3), because release of an accounting of disclosures to an individual who is the subject of an investigation could reveal the nature and scope of the investigation and could result in the altering or destruction of evidence, improper influencing of witnesses, and other evasive actions that could impede or compromise the investigation. (2) From subsection (d)(1), because release of investigative records to an individual who is the subject of an investigation could interfere with pending or prospective law enforcement proceedings, constitute an unwarranted invasion of the personal privacy of third parties, reveal the identity of confidential sources, or reveal sensitive investigative techniques and procedures. (3) From subsection (d)(2), because amendment or correction of investigative records could interfere with pending or prospective law enforcement proceedings, or could impose an impossible administrative and investigative burden by requiring the OIG to continuously retrograde its investigations attempting to resolve questions of accuracy, relevance, timeliness and completeness. (4) From subsection (e)(1), because it is often impossible to determine relevance or necessity of information in the early stages of an investigation. The value of such information is a question of judgment and tim… | ||||||
| 24:24:5.1.1.1.3.0.1.9 | 24 | Housing and Urban Development | XII | 2003 | PART 2003—IMPLEMENTATION OF THE PRIVACY ACT OF 1974 | § 2003.9 Specific exemptions. | HUD | [57 FR 62142, Dec. 29, 1992, as amended at 65 FR 50904, Aug. 21, 2000] | (a) The systems of records entitled “Investigative Files of the Office of Inspector General,” “Hotline Complaint Files of the Office of Inspector General,” “Name Indices System of the Office of Inspector General,” and “AutoInvestigation of the Office of Inspector General” consist, in part, of investigatory material compiled by the OIG for law enforcement purposes. Therefore, to the extent that information in these systems falls within the coverage of exemption (k)(2) of the Privacy Act, 5 U.S.C. 552a(k)(2), these systems of records are exempt from the requirements of the following subsections of the Privacy Act, for the reasons stated in paragraphs (a) (1) through (4) of this section. (1) From subsection (c)(3), because release of an accounting of disclosures to an individual who is the subject of an investigation could reveal the nature and scope of the investigation and could result in the altering or destruction of evidence, improper influencing of witnesses, and other evasive actions that could impede or compromise the investigation. (2) From subsection (d)(1), because release of investigative records to an individual who is the subject of an investigation could interfere with pending or prospective law enforcement proceedings, constitute an unwarranted invasion of the personal privacy of third parties, reveal the identity of confidential sources, or reveal sensitive investigative techniques and procedures. (3) From subsection (d)(2), because amendment or correction of investigative records could interfere with pending or prospective law enforcement proceedings, or could impose an impossible administrative and investigative burden by requiring the OIG to continuously retrograde its investigations attempting to resolve questions of accuracy, relevance, timeliness and completeness. (4) From subsection (e)(1), because it is often impossible to determine relevance or necessity of information in the early stages of an investigation. The value of such information is a question of judgment and timing; what appea… | ||||||
| 7:7:15.1.1.1.2.1.1.1 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | § 2003.1 Definitions. | RHS | [62 FR 67259, Dec. 24, 1997, as amended at 84 FR 59923, Nov. 7, 2019] | EEO —the Equal Employment Opportunity Act of 1972, 42 U.S.C. § 2000e et seq. O&M —Operations and Management. P&P —Policy and Planning. RBS —Rural Business-Cooperative Development Service, USDA, or any successor agency. RHS —Rural Housing Service, USDA, or any successor agency. Rural Development —Rural Development mission area of USDA. RUS —Rural Utilities Service, USDA, or any successor agency. Secretary —the Secretary of USDA. USDA —the United States Department of Agriculture. | |||
| 7:7:15.1.1.1.2.1.1.10 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | §§ 2003.15-2003.16 [Reserved] | RHS | |||||
| 7:7:15.1.1.1.2.1.1.11 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | § 2003.17 Availability of information. | RHS | Information concerning Rural Development programs and agencies may be obtained from the Office of Communications, Rural Development, U. S. Department of Agriculture, STOP 0705, 1400 Independence Avenue SW., Washington, DC 20250-0705. | ||||
| 7:7:15.1.1.1.2.1.1.12 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | § 2003.18 Functional organization of RHS. | RHS | [62 FR 67259, Dec. 24, 1997, as amended at 64 FR 32388, June 17, 1999] | (a) General. The Secretary established RHS pursuant to section 233 of the Department of Agriculture Reorganization Act of 1994 (7 U.S.C. 6943). (b) Office of the Administrator. According to 7 CFR 2.49, the Administrator has responsibility for implementing programs aimed at delivering loans and grant assistance to rural Americans and their communities in obtaining adequate and affordable housing and community facilities, in accordance with Title V of the Housing Act of 1949 (42 U.S.C. 1471 et seq. ) and the Consolidated Farm and Rural Development Act (7 U.S.C. 1921 et seq. ). (1) Legislative Affairs Staff. The duties and responsibilities of this staff have now been aligned under the Office of Communication, headed by a director who reports directly to the Under Secretary for O&M. The Office of Communication is responsible for providing and carrying out legislative, public communication, and information services for the Rural Development mission area. (2) Office of Program Support Staff. The Program Support Staff is headed by a staff director who is responsible to the Administrator for monitoring managerial and technical effectiveness of RHS programs. The staff coordinates review and analysis of legislation, Executive Orders, OMB circulars, and Department regulations for their impact on Agency programs. The staff develops, implements, and reports on architectural and environmental policies, in cooperation with the Department. Staff responsibilities also include managing RHS's Hazardous Waste Management Fund, coordinating the Debarment and Suspension process for RHS, tracking the use of Program Loan Cost Expense funds, and maintaining the RHS Internet “Home Page.” (3) Office of Deputy Administrator, Single Family Housing. Headed by the Deputy Administrator, Single Family Housing, this office is responsible to the Administrator for the development and implementation of RHS's Single Family Housing programs, which extend supervised housing credit to rural people of limited resources, for adequate, modes… | |||
| 7:7:15.1.1.1.2.1.1.13 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | §§ 2003.19-2003.21 [Reserved] | RHS | |||||
| 7:7:15.1.1.1.2.1.1.14 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | § 2003.22 Functional organization of RUS. | RHS | [62 FR 67259, Dec. 24, 1997, as amended at 84 FR 59923, Nov. 7, 2019] | (a) General. The Secretary established RUS pursuant to § 232 of the Department of Agriculture Reorganization Act of 1994 (7 U.S.C. 6942). (b) Office of the Administrator. According to 7 CFR 2.47, the Administrator has responsibility for managing and administering the programs and support functions of RUS to provide financial and technical support for rural infrastructure to include electrification, clean drinking water, telecommunications, and water disposal systems, pursuant to the Consolidated Farm and Rural Development Act, as amended (7 U.S.C. 1921 et. seq. ), and the Rural Electrification Act of 1936, as amended (7 U.S.C. 901 et. seq. ). The office develops and implements strategic plans concerning the Rural Electrification Act of 1936, as amended. (1) Borrower and Program Support Services. Borrower and Program Support Services consist of the three following staffs which are responsible to the Administrator for planning and carrying out a variety of program and administrative services in support of all RUS programs, and providing expert advice and coordination for the Administrator: (i) Administrative Liaison Staff. Headed by a staff director, this staff advises the Administrator on management issues and policies relating to human resources, EEO, labor-management partnership, administrative services, travel management, automated information systems, and administrative budgeting and funds control. (ii) Program Accounting Services Division. Headed by a division director, this division develops and evaluates the accounting systems and procedures of Electric, Telecommunications, and Water and Wastewater borrowers; assures that accounting policies, systems, and procedures meet regulatory, Departmental, General Accounting Office, OMB, and Treasury Department requirements; examines borrowers' records and operations, and reviews expenditures of loans and other funds; develops audit requirements; and approves Certified Public Accountants to perform audits of borrowers. (iii) Program and Financial Se… | |||
| 7:7:15.1.1.1.2.1.1.15 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | §§ 2003.23-2003.25 [Reserved] | RHS | |||||
| 7:7:15.1.1.1.2.1.1.16 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | § 2003.26 Functional organization of RBS. | RHS | (a) General. The Secretary established RBS pursuant to section 234 of the Department of Agriculture Reorganization Act of 1994 (7 U.S.C. 6944). (b) Office of the Administrator. According to 7 CFR 2.48, the Administrator is responsible for managing and administering the programs and support functions of RBS to provide assistance to disadvantaged communities through grants and loans and technical assistance to businesses and communities for rural citizens and cooperatives, pursuant to the following authorities: the Rural Electrification Act of 1936, as amended (7 U.S.C. 940c and 950aa et seq. ), the Consolidated Farm and Rural Development Act (7 U.S.C. 1921 et seq. ), the Cooperative Marketing Act of 1926 (7 U.S.C. 451-457), the Agricultural Marketing Act of 1946 (7 U.S.C. 1621-1627), and the Food Security Act of 1985 (7 U.S.C. 1932). These grants, loans, and technical assistance improve community welfare by enhancing organizational and management skills, developing effective economic strategies, and expanding markets for a wide range of rural products and services. (1) Resources Coordination Staff. Headed by the staff director, this staff is responsible to the Administrator for preparing legislative initiatives and modifications for program enhancement. The staff monitors legislative and regulatory proposals that potentially impact RBS functions. The staff serves as liaison on budgetary and financial management matters between RBS staff and the Office of the Controller, and assists the Administrator in presenting and supporting RBS's budget and program plans. The staff also advises the Administrator and RBS officials on management issues and policies related to: human resources, labor relations, civil rights, EEO, space, equipment, travel, Senior Executive Service and Schedule C activities, contracting, automated information systems, and accounting. The staff provides analysis and recommendations on the effectiveness of administrative and management activities, and performs liaison functions between RBS … | ||||
| 7:7:15.1.1.1.2.1.1.17 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | §§ 2003.27-2003.50 [Reserved] | RHS | |||||
| 7:7:15.1.1.1.2.1.1.2 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | § 2003.2 General. | RHS | The Rural Development mission area of the Department of Agriculture was established as a result of the Department of Agriculture Reorganization Act of 1994, Title II of Pub.L. 103-354. Rural Development's basic organization consists of Headquarters in Washington, D.C. and 47 State Offices. Headquarters maintains overall planning, coordination, and control of Rural Development agency programs. Administrators head RHS, RBS, and RUS under the direction of the Under Secretary for Rural Development. State Directors head the State Offices and are directly responsible to the Under Secretary for the execution of all Rural Development agency programs within the boundaries of their states. | ||||
| 7:7:15.1.1.1.2.1.1.3 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | §§ 2003.3-2003.4 [Reserved] | RHS | |||||
| 7:7:15.1.1.1.2.1.1.4 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | § 2003.5 Headquarters organization. | RHS | (a) The Rural Development Headquarters is comprised of: (1) The Office of the Under Secretary; (2) Two Deputy Under Secretaries; and, (3) Three Administrators and their staffs. (b) The Rural Development Headquarters is located at 1400 Independence Avenue, SW., Washington, DC. 20250-0700 | ||||
| 7:7:15.1.1.1.2.1.1.5 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | § 2003.6 Office of the Under Secretary. | RHS | In accordance with 7 CFR § 2.17 the Secretary has delegated to the Under Secretary, Rural Development, authority to manage and administer programs and support functions of the Rural Development mission area. (a) Office of the Deputy Under Secretary for P&P. This office is headed by the Deputy Under Secretary for P&P. The Under Secretary, Rural Development, has delegated to the Deputy Under Secretary for P&P, responsibility for formulation and development of short-and long-range rural development policies of the Department in accordance with 7 CFR § 2.45. The Deputy Under Secretary for P&P reports directly to the Under Secretary, Rural Development, and provides guidance and supervision for research, policy analysis and development, strategic planning, partnerships and special initiatives. For budget and accounting purposes, all of the staff offices under the Deputy Under Secretary for P&P are housed in RBS. (1) The Budget Analysis Division assesses potential impacts of alternative policies on the mission area's programs and operations and develops recommendations for change. The units are headed by the Chief Budget Officer, who individually serves as the top policy advisor to the Under Secretary and Deputy Under Secretary on all matters relating to mission area budget policy. (2) The Research, Analysis and Information Division analyzes information on rural conditions and the strategies and techniques for promoting rural development. The division performs, or arranges to have conducted, short-term and major research studies needed to formulate policy. (3) The Reinvention and Capacity Building Division coordinates the mission area's strategic planning initiatives, both at the National level and in the State Offices. The division assists the Rural Development agencies in their implementation of the Government Performance and Results Act (GPRA) and special initiatives of the Administration, USDA, and the Office of the Under Secretary. (4) The Rural Initiatives and Partnership Division manages the mission area's… | ||||
| 7:7:15.1.1.1.2.1.1.6 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | §§ 2003.7-2003.9 [Reserved] | RHS | |||||
| 7:7:15.1.1.1.2.1.1.7 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | § 2003.10 Rural Development State Offices. | RHS | [62 FR 67259, Dec. 24, 1997; 63 FR 3256, Jan. 22, 1998] | (a) Headed by State Directors, State Offices report directly to the Under Secretary, Rural Development, and are responsible to the three Rural Development agency Administrators for carrying out agency program operations at the State level, ensuring adherence to program plans approved for the State by the Under Secretary, and rendering staff advisory and manpower support to Area and Local offices. The Rural Development State Directors, for budget and accounting purposes, are housed in the RHS agency. (b) Program Directors within the State Office provide oversight and leadership on major program functions. Major program functions include: Single Family and Multi-Family Housing loans and grants, Community Facility, Water and Waste Disposal, Business and Cooperative, and the Empowerment Zones and Enterprise Communities (EZ/EC) programs. (c) The USDA Rural Development State Office locations are as follows: | |||
| 7:7:15.1.1.1.2.1.1.8 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | §§ 2003.11-2003.13 [Reserved] | RHS | |||||
| 7:7:15.1.1.1.2.1.1.9 | 7 | Agriculture | XVIII | I | 2003 | PART 2003—ORGANIZATION | A | Subpart A—Functional Organization of the Rural Development Mission Area | § 2003.14 Field Offices. | RHS | Rural Development field offices report to their respective State Director and State Office Program Directors. State Directors may organizationally structure their offices based on the program workloads within their respective State. Field offices generally are patterned in a three or two tier program delivery structure. In a three tier system, Local offices report to an Area office, that reports to the State Office. In a two tier system, a “Local” or “Area” office reports to the State Office. Locations and telephone numbers of Area and Local Offices may be obtained from the appropriate Rural Development State Office. |
Advanced export
JSON shape: default, array, newline-delimited, object
CREATE TABLE cfr_sections (
section_id TEXT PRIMARY KEY,
title_number INTEGER,
title_name TEXT,
chapter TEXT,
subchapter TEXT,
part_number TEXT,
part_name TEXT,
subpart TEXT,
subpart_name TEXT,
section_number TEXT,
section_heading TEXT,
agency TEXT,
authority TEXT,
source_citation TEXT,
amendment_citations TEXT,
full_text TEXT
);
CREATE INDEX idx_cfr_title ON cfr_sections(title_number);
CREATE INDEX idx_cfr_part ON cfr_sections(part_number);
CREATE INDEX idx_cfr_agency ON cfr_sections(agency);