Notice 26 Mar 2025 compliance, pharmaceuticals, regulatory requirements, manufacturing, controlled substances, drug enforcement

💊Notice of Pharmaron's Application for Controlled Substances Manufacturing

Pharmaron Manufacturing Services (US), LLC has applied to be registered as a bulk manufacturer of basic class(es) of controlled substance(s). Refer to SUPPLEMENTARY INFORMATION listed below for further drug information.

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Proposed Rule 26 Mar 2025 compliance, faa, safety, aircraft, aviation safety, incorporation by reference, regulatory requirements, air transportation, airworthiness directives, embraer

✈️Proposed Airworthiness Directive for Embraer S.A. Airplanes by FAA

The FAA proposes to adopt a new airworthiness directive (AD) for all Embraer S.A. Model EMB-545 and EMB-550 airplanes. This proposed AD was prompted by a jamming failure of the main door lock sensor. This proposed AD would require repetitive main door sensor operational tests, repetitive lubrication of the main door sensor mechanism, and on-condition actions, as specified in an Ag[ecirc]ncia Nacional de Avia[ccedil][atilde]o Civil (ANAC) AD. The FAA is proposing this AD to address the unsafe condition on these products.

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Notice 24 Mar 2025 environmental compliance, construction, regulatory requirements, alaska, marine mammals, authorization

🐋Authorization for Marine Mammal Takes in Alaska Ferry Project

NMFS has received a request from the Alaska Department of Transportation and Public Facilities (ADOT&PF) for authorization to take marine mammals incidental to Angoon Ferry Terminal Modification Project in Angoon, Alaska. Pursuant to the Marine Mammal Protection Act (MMPA), NMFS is requesting comments on its proposal to issue an incidental harassment authorization (IHA) to incidentally take marine mammals during the specified activities. NMFS is also requesting comments on a possible one-time, 1-year renewal that could be issued under certain circumstances and if all requirements are met, as described in Request for Public Comments at the end of this notice. NMFS will consider public comments prior to making any final decision on the issuance of the requested MMPA authorization and agency responses will be summarized in the final notice of our decision.

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Notice 24 Mar 2025 compliance, regulatory requirements, insurance, department of labor, workers' compensation, longshore act

📄Proposed Extension of Information Collection for Carrier's Report

The Department of Labor, as part of its continuing effort to reduce paperwork and respondent burden, conducts a pre-clearance request for comment to provide the general public and Federal agencies with an opportunity to comment on proposed collections of information in accordance with the Paperwork Reduction Act of 1995. This request helps to ensure that: requested data can be provided in the desired format; reporting burden (time and financial resources) is minimized; collection instruments are clearly understood; and the impact of collection requirements on respondents can be properly assessed. Currently, the OWCP is soliciting comments on the information collection for the Carrier's Report of Issuance of Policy, LS-570.

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Rule 20 Mar 2025 sec, investment companies, asset management, regulatory requirements, compliance

📈SEC Extends Compliance Date for Investment Company Name Regulations

The Securities and Exchange Commission ("Commission") is extending the compliance dates for the amendments to the rule under the Investment Company Act of 1940 ("Investment Company Act") that addresses certain broad categories of investment company names that are likely to mislead investors about the investment company's investments and risks, as well as related enhanced prospectus disclosure requirements and Form N-PORT reporting requirements, that were adopted on September 20, 2023. The compliance date is extended from December 11, 2025 to June 11, 2026, for fund groups with net assets of $1 billion or more as of the end of their most recent fiscal year; and from June 11, 2026 to December 11, 2026, for fund groups with less than $1 billion in net assets as of the end of their most recent fiscal year. In addition, the Commission is modifying the operation of the compliance dates to allow for compliance based on the timing of certain annual disclosure and reporting obligations that are tied to the fund's fiscal year-end.

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Notice 17 Mar 2025 compliance, business operations, sunshine act, federal election commission, regulatory requirements, political contributions

🏛️Sunshine Act Meeting Notice from the Federal Election Commission

The Federal Election Commission (FEC) announces a closed meeting concerning compliance matters under U.S. election laws. The discussion includes legal participation in civil actions, emphasizing the importance of adherence to compliance standards in corporate political activities. A funding lapse may result in meeting cancellation. Contact details for further inquiries are provided.

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Notice 11 Mar 2025 sec, regulatory requirements, trust indenture act, corporate compliance, form t-1

📄SEC Notice on Form T-1 Collection and Compliance Requirements

The SEC is soliciting comments on the extension of Form T-1, which evaluates corporations' qualifications to act as trustees under the Trust Indenture Act of 1939. The notice outlines the information collection process and invites feedback on its necessity and burden. Stakeholders are encouraged to provide their input within the given timeframe.

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Notice 7 Mar 2025 information collection, business compliance, regulatory requirements, arbitration, federal mediation and conciliation service

⚖️FMCS Notice on Arbitrator's Report and Fee Statement Compliance

The Federal Mediation and Conciliation Service (FMCS), invites the public and other Federal Agencies to take this opportunity to comment on the following information collection request, Arbitrator's Report and Fee Statement, FMCS Form R-19. This information collection request will be submitted for approval to the Office of Management Budget (OMB) in compliance with the Paperwork Reduction Act (PRA). The Arbitrator's Report and Fee Statement, FMCS Form R-19, allows FMCS to comply with its statutory obligation to make governmental facilities available for voluntary arbitration. To carry out this policy, FMCS have issued regulations which provide for the operation and maintenance of a roster of professional arbitrators. The FMCS Form R-19, which arbitrators file with the Agency following each decision rendered, allows FMCS to monitor the work of the Arbitrator and to collect arbitration information, such as median arbitrator fees and days spent on each case, for the Agency's annual report.

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Proposed Rule 6 Mar 2025 compliance, business impact, regulatory requirements, nrc, radioactive materials

⚠️NRC Draft Summary on Radioactive Material Transport Compliance

Applicability of Requirements During the Movement of Radioactive Material Within a Temporary Jobsite

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Notice 28 Feb 2025 bank control act, financial services, federal reserve, regulatory requirements, acquisitions, compliance

🏦Change in Bank Control Notices by Federal Reserve

The Federal Reserve System issued a notice inviting applications for acquiring shares of banks or holding companies under the Change in Bank Control Act. It outlines the requirements for public comment on these applications and emphasizes the importance of compliance with the regulatory framework. Comments will be publicly disclosed, necessitating careful consideration from interested parties.

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