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Internal Revenue Service IRS

Details: Form 1024 - Application for Recognition of Exemption Under Section 501 (a) 1545-0056. Form 1023 - Application for Recognition of Exemption Under Section 501 (c) (3) of the Internal Revenue Code and Form 1023-EZ, Streamlined. 1545-0055. Ownership, Exemption, or … omb reports to congress

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Bureau of the Fiscal Service FISCAL

Details: 1530-0006. Direct Deposit Sign-Up Form and Go Direct Sign Up Form. 1530-0005. Financial Institution Agreement and Application Forms for Designation as a Treasury Tax and Loan Depositary and Resolution. 1530-0004. Claims Against the U.S. for Amounts Due in … white house omb

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Federal Reserve System FRS

Details: Bank Holding Company Applications and Notifications: 7100-0120: APPLICATION FOR APPROVAL OF THE ACQUISITION OF BANK SHARES BY A BANK HOLDING COMPANY: 7100-0119: Application for a Foreign Organization to Acquire a U.S. Bank or Bank Holding Company: 7100-0118: STATEMENT OF PURPOSE OF CREDIT EXTENDED TO BLOCK POSITIONER UNDER SECTION 221.3(Z) OF omb forms online

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FERC-567, Gas Pipeline Certificates: Annual Reports of …

Details: OMB 1902-0005. The Commission uses the information collected under the requirements of the FERC-567 to obtain accurate data on pipeline facilities. More specifically, the Commission utilizes the FERC-567 to validate the need for new facilities proposed by pipelines in certificate applications. By modeling a pipeline applicant's system omb control number search

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Pilot Records Improvement Act of 1996/ Pilot Record …

Details: OMB 2120-0607. OMB 2120-0607. With the exception of Form 8060-XX, an air carrier utilizes these forms to report a request for the applicable records of all applicants for the position of pilot with their company as needed. The information collected on these forms will be used only to facilitate search and retrieval of the requested records and omb approved forms

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Notice of Supplemental Distribution of a Registered …

Details: OMB 2070-0044. This information collection activity provides the EPA with notification of supplemental registration of distributors of pesticide products. EPA is responsible for the regulation of pesticides as mandated by the Federal Insecticide, Fungicide and Rodenticide Act (FIFRA), as amended. Section 3 (e) of FIFRA (see 7 U.S.C. 136a (e omb number search

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Economic Development Administration EDA

Details: study of business responsiveness to export trading company concept: 0610-0074: business location impact study: 0610-0072: multi-year tracking system: 0610-0069: preliminary plan for an assessment of eda/udag joint project participation: 0610-0065: preliminary plan for an evaluation of employee stock ownership (esop) firms assisted by eda: 0610-0062 opm forms pdf

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Request for Employment Information

Details: TTY users can call 1-877-486-2048. Form CMS L564/R297 (08/20) 1 fDEPARTMENT OF HEALTH AND HUMAN SERVICES CENTERS FOR MEDICARE & MEDICAID SERVICES Form Approved OMB No. 0938-0787 REQUEST FOR EMPLOYMENT INFORMATION SECTION A: To be completed by individual signing up for Medicare Part B (Medical Insurance) 1. Employer’s Name 2.

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Registration Statement of Open-End Management Investment …

Details: Abstract: Form N-1A is the registration statement form used by open-end management investment companies, except small business investment companies and insurance company separate accounts, to register under the Investment Company Act of 1940 and to register their securities under the Securities Act of 1933. The SEC uses the information filed in registration statements to verify compliance with

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Parent Company Definition for Toxics Release Inventory (TRI) …

Details: Parent Company Definition for Toxics Release Inventory (TRI) Reporting (Proposed Rule) OMB 2070-0216. OMB.report. EPA/OCSPP. OMB 2070-0216. OMB 2070-0216. Latest Forms, Documents, and Supporting Material. Document. Name. Form 9350-2 Parent Company Definition for TRI Reporting. Form. 2597ss01__2021-09-28.docx.

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Holding Company Report of Insured Depository Institutions' …

Details: The latest form for Holding Company Report of Insured Depository Institutions' Section 23A Transactions with Affiliates expires 2022-03-31 and can be found here. Latest Forms, Documents, and Supporting Material. Document. Name. Form FR Y-8 Reporting. Form. Form FR Y-8 Recordkeeping. Form. FRY8_20220326_omb.pdf. Supporting Statement A.

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Bureau of the Public Debt BPD

Details: 1535-0143. Generic Clearance for the Collection of Qualitative Feedback on Agency Service Delivery. 1535-0142. Conducting Focus Groups For Retail Securities Products. 1535-0141. Investigative Forms. 1535-0140. Electronic Savings Bonds Customer Awareness Survey.

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Notification of Performance of Bank Services

Details: OMB 3064-0029. Insured state nonmember banks and state savings associations are required to notify the FDIC, under section 7 of the Bank Service Company Act (12 U.S.C. 1867 (d)), of their relationship with a bank service company. Form 6120/06 (Notification of Performance of Bank Services) may be used by banks to satisfy the notification

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Registration Statement Form For Open-end Investment …

Details: OMB Control No: 3235-0307 ICR Reference No: 199411-3235-018 Status: Historical Active Previous ICR Reference No: 199408-3235-016 Agency/Subagency: SEC Agency Tracking No: Title: REGISTRATION STATEMENT FORM FOR OPEN-END INVESTMENT COMPANIES, FORM N-1A UNDER THE SECURITIES ACT OF 1933 AND THE INVESTMENT COMPANY ACT OF 1940 Type of Information …

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Registration Statement Of Open-end Management Investment …

Details: REGISTRATION STATEMENT OF OPEN-END MANAGEMENT INVESTMENT COMPANIES, FORM N-1A, INVESTMENT COMPANY ACT OF 1940 AND SECURITIES ACT OF 1933 ICR 199503-3235-002 OMB: 3235-0307 Federal Form Document. OMB.report. SEC. OMB 3235-0307. ICR 199503-3235-002 ( ) ⚠️ Notice: This information collection may be outdated. More recent filings for OMB 3235

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Form N-1A under the Securities Act of 1933 and under the …

Details: Abstract: Form N-1A is the form used by open-end management investment companies, except small business investment companies and insurance company separate accounts, to register under the Investment Company Act of 1940 and to register their securities under the Securities Act of 1933. The SEC uses the information filed in registration statements to verify compliance with the federal …

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Request for Employment Information (CMS-R-297/CMS-L564)

Details: OMB.report. HHS/CMS. OMB 0938-0787. OMB 0938-0787. This information is needed to determine whether an individual is eligible to enroll in Medicare Part B or Premium Part A under the provisions of section 1837 (i) of the Social Security Act (The Act) and/or qualify for a reduction in the premium amount under the provisions of section 1839 (b) of

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Federal Energy Regulatory Commission FERC

Details: 1902-0319. FERC-517, Safety of Water Power Projects and Project Works (Final Rule; RM20-9-000) 1902-0318. One-time Re-filing under Docket PL19-4 of Page 700 of Form 6 (Annual Report of Oil Pipeline Companies) 1902-0317. FERC-919A, (Order of 8/2021 in RM16-17-000) Refinements to Policies & Procedures for Market Based Rates for Wholesale Sales of

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Form N-1A under the Investment Company Act of 1940 and the …

Details: Abstract: Form N-1A is the registration statement form used by open-end management investment companies, except small business investment companies and insurance company separate accounts, to register under the Investment Company Act of 1940 and to register their securities under the Securities Act of 1933. The SEC uses the information filed in registration statements to verify compliance with

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SEC Form 4 Filing Instructions

Details: UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, DC 20549 FORM 3 INITIAL STATEMENT OF BENEFICIAL OWNERSHIP OF SECURITIES The Commission is authorized to solicit the information required by this Form pursuant to Sections 16(a) and 23(a) of the Securities Exchange Act of 1934, and Sections 30(h) and 38 of the Investment Company Act of 1940, and the …

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Consumer Response Intake Form

Details: CFPB. OMB 3170-0011. OMB 3170-0011. The Intake Form is designed to aid consumers in the submission of complaints, inquiries, and feedback and to help the Consumer Financial Protection Bureau (CFPB) fulfill its statutory requirements. Consumers (also referred to as “respondents”) will be able to complete and submit information through the

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Form N-1A under the Investment Company Act of 1940 and the …

Details: Abstract: Form N-1A is the registration statement used by open-end management investment companies, except small business investment companies and insurance company separate account, to register under the Investment Company Act of 1940 and to register their securities under the Securities Act of 1933. The SEC uses the information filed in registration statements to verify compliance with the

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Rule 34b-1 (17 CFR 270.34b-1) under the Investment Company Act …

Details: Rule 34b-1 deems to be materially misleading any investment company sales literature required to be filed with the Securities and Exchange Commission by Section 24(b) of the Investment Company Act that includes performance data, unless the sales literature also includes the appropriate uniformly computed data and the legend disclosure required in investment company advertisements by rule 482

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EPA’s Voluntary Methane Challenge and Natural Gas STAR …

Details: Transparency in comprehensively tracking company commitments through the non-confidential data reported by Methane Challenge partners is a key feature of the Program, and enables partners to highlight emissions reductions achieved through voluntary action taken. Implementation of the Methane Challenge Programs two commitment options, the Best

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NESHAP for Natural Gas Transmission and Storage (40 CFR part 63

Details: NESHAP for Natural Gas Transmission and Storage (40 CFR part 63, subpart HHH) (Renewal) OMB 2060-0418. OMB.report

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Compensation Agreement;

Details: OMB 3245-0201. OMB 3245-0201. Section 13 of the Small Business Act, 15 U.S.C. 642 as well as 13 CFR 103 .5, require loan applicants, agents or packagers to execute and provide to SBA's compensation agreement to disclose the name of the agent and the fees paid to such an agent for services rendered or to be rendered to the loan applicant, 7 (a

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Financial Statements of U.S. Nonbank Subsidiaries of U.S. Holding

Details: OMB.report. FRS. OMB 7100-0244. OMB 7100-0244. The FR Y-11 reporting forms collect financial information for individual non-functionally regulated U.S. nonbank subsidiaries of domestic holding companies (i.e., bank holding companies, savings and loan holding companies, securities holding companies, and intermediate holding companies).

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RegInfo.gov Technical Difficulties focusMethod = function …

Details: Form SEC2052 Form N-1A under the Securities Act of 1933 and under the Investment Company Act of 1940, registration statement of open- end management investment companies. Form and Instruction. Modified: Form N-1A Supporting Statement (FAST Act).pdf. Supporting Statement A. 2021-01-26: IC Document Collections. IC ID. Document.

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Semiannual Report of Derivatives Activity

Details: Semiannual Report of Derivatives Activity Semiannual Report of Derivatives Activity FR2436_20190731_i Semiannual Report of Derivatives Activity OMB: 7100-0286

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Federal Recreation Areas with Interagency Passes

Details: Federal Recreation Areas with Interagency Passes National Parks and Federal Recreational Land Pass Interagency Passes - America The Beautiful. OMB.report

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Rule 17a-6 exemption for transactions with portfolio affiliates

Details: Rule 17a-6 permits a registered investment company ("fund") and its portfolio affiliates to engage in principal transactions that would otherwise be prohibited. To rely on the exemptive relief, a fund's board of directors must determine whether certain parties to the transaction have material financial interests. The board's findings must be

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Rule 12d3-1 Exemption of acquisitions of securities issued by …

Details: Rule 12d3-1 permits a registered investment company ("fund") to invest up to five percent of its assets in securities of an issuer deriving more than fifteen percent of its gross revenues from securities-related businesses unless the securities are issued by the fund's investment adviser or …

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Form N-1A under the Securities Act of 1933 and under the …

Details: OMB Control No: 3235-0307 ICR Reference No: 200802-3235-014 Status: Historical Inactive Previous ICR Reference No: 200703-3235-005 Agency/Subagency: SEC Agency Tracking No: 270-21 Title: Form N-1A under the Securities Act of 1933 and under the Investment Company Act of 1940, registration statement of open- end management investment companies Type of Information Collection: Revision …

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Rule 18f-3 (17 CFR 270.18f-3) under the Investment Company Act …

Details: Rule 18f-3 permits a registered open-end management investment company to issue multiple classes of shares representing interests in the same portfolio of securities if the fund satisfies the conditions of the rule. Each class must differ in its arrangement for shareholder services or distribution or both. Among other requirements, the fund's

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Affidavit in Lieu of Lost Receipt of United States ICE for Collateral

Details: The data requested in this collection is used by ICE to ensure that the person or company posting the bond has the ability to complete an affidavit when the Receipt of Immigration Officer-United States Bonds, Notes, or Cash, accepted as security on an Immigration bond is lost or missing.

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