Notice 29 Sep 2025 financial reporting, regulatory compliance, energy, business operations, natural gas

🔌Combined Notice of Natural Gas Pipeline Rate Filings and Regulations

The Department of Energy released a notice detailing several natural gas pipeline rate filings by various companies, including Columbia Gas of Ohio and Tennessee Gas Pipeline. These filings involve rate changes and updates effective in 2025, inviting public comments and participation in the regulatory process. Key details include applicant information, filing dates, and how to access further details on the Commission’s proceedings.

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Notice 29 Sep 2025 banking, financial reporting, foreign banks, regulations, federal reserve, compliance

📊Federal Reserve's Notice on Annual Daylight Overdraft Report

The Board of Governors of the Federal Reserve System (Board) invites comment on a proposal to extend for three years, with revision, the Annual Daylight Overdraft Capital Report for U.S. Branches and Agencies of Foreign Banks (FR 2225; OMB No. 7100-0216).

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Notice 29 Sep 2025 financial reporting, sec, business costs, securities regulation, compliance

📈SEC Notice on Form S-3 Registration Statement Compliance

The SEC announces a proposed extension of information collection related to Form S-3, a registration statement for public securities offerings. The notice requests public comments and details on the estimated burden this form imposes on domestic issuers, highlighting the significance of regulatory compliance for stakeholders.

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Notice 29 Sep 2025 investment company act, information collection, financial reporting, securities exchange commission, compliance

📊SEC Seeks Comments on Rule 30e-3 for Investment Companies

The SEC announces a proposed collection of information under Rule 30e-3, which allows registered investment companies to provide shareholder reports on their websites. This notice invites comments on the rule's necessity, burden estimates, and ways to improve the collection process, aiming to streamline shareholder communication and compliance.

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Rule 24 Sep 2025 erisa, financial reporting, compliance, pbgc, benefits, pension, pension insurance, pensions, employee benefit plans, regulation

📊Key Updates on Pension Asset Allocation and Interest Assumptions

This final rule amends the Pension Benefit Guaranty Corporation's regulation on Allocation of Assets in Single-Employer Plans to prescribe the spreads component of the interest assumption under the asset allocation regulation for plans with valuation dates of October 31, 2025-January 30, 2026. These interest assumptions are used for valuing benefits under terminating single-employer plans and for other purposes.

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Notice 22 Sep 2025 refugee assistance, federal regulation, health services, compliance, financial reporting

💰Proposed Information Collection for ORR Cash and Medical Assistance Program

The Office of Refugee Resettlement (ORR) is requesting a 3- year extension of the ORR-2: Cash and Medical Assistance (CMA) Program Quarterly Report on Expenditures and Obligations (OMB #: 0970-0407, expiration February 28, 2026). Minor changes are proposed to the form and instructions.

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Notice 22 Sep 2025 securities, regulation, employee benefits, compliance, sec, financial reporting

📝SEC Announces Comment Request on Form S-8 Compliance Requirements

The SEC is soliciting comments on the proposed extension of Form S-8, which facilitates the registration of securities in connection with employee benefit plans. The notice highlights the agency's efforts to ensure adequate investor information and the associated information collection burden on businesses, including time and cost estimates for compliance activities.

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Notice 22 Sep 2025 real estate investment trusts, form s-11, compliance, sec, financial reporting

🏢SEC Proposes Extension for Form S-11 Registration Statement

The Securities and Exchange Commission is soliciting comments on the proposed extension of Form S-11, the registration statement for real estate investment trusts. This initiative follows the Paperwork Reduction Act and aims to ensure adequate information is available to investors regarding securities offerings. The estimated burden of compliance includes internal and external time commitments and associated costs for issuers, reflecting the importance of these processes in the financial market.

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Notice 19 Sep 2025 financial reporting, sec, investment, institutional investors, securities, regulation, compliance

📈Regulatory Impact of Form 13F on Institutional Investors

The SEC is seeking comments on the collection of information via Form 13F, which requires institutional investment managers with significant holdings to submit quarterly reports. Recent amendments include electronic submission and additional identifying information to modernize data reporting and ensure compliance with legal standards, emphasizing transparency in financial reporting.

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Notice 18 Sep 2025 information collection, compliance, cash management agreements, financial reporting, federal energy regulatory commission

📊FERC Notice on Cash Management Agreements - Compliance Requirements

In compliance with the requirements of the Paperwork Reduction Act of 1995, the Federal Energy Regulatory Commission (Commission or FERC) is soliciting public comment on the currently approved information collection, FERC-604 (Cash Management Agreements), which will be submitted to the Office of Management and Budget (OMB) for a review of the information collection requirements. There are no program changes.

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