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29 July 2007


HR 1 RFS

110th CONGRESS

1st Session

H. R. 1

IN THE SENATE OF THE UNITED STATES

January 9, 2007

Received; read twice and referred to the Committee on Homeland Security and Governmental Affairs


AN ACT

To provide for the implementation of the recommendations of the National Commission on Terrorist Attacks Upon the United States.

SECTION 1. SHORT TITLE.

SEC. 2. TABLE OF CONTENTS.

TITLE I--RISK-BASED ALLOCATION OF HOMELAND SECURITY GRANTS

TITLE II--ENSURING COMMUNICATIONS INTEROPERABILITY FOR FIRST RESPONDERS

TITLE III--STRENGTHENING USE OF A UNIFIED INCIDENT COMMAND DURING EMERGENCIES

TITLE IV--STRENGTHENING AVIATION SECURITY

TITLE V--STRENGTHENING THE SECURITY OF CARGO CONTAINERS

TITLE VI--STRENGTHENING EFFORTS TO PREVENT TERRORIST TRAVEL

Subtitle A--Human Smuggling and Trafficking Center Improvements

Subtitle B--International Collaboration to Prevent Terrorist Travel

Subtitle C--Biometric Border Entry and Exit System

TITLE VII--IMPROVING INTELLIGENCE AND INFORMATION SHARING WITH LOCAL LAW ENFORCEMENT AND FIRST RESPONDERS

Subtitle A--Fusion and Law Enforcement Education and Teaming (FLEET) Grant Program

Subtitle B--Border Intelligence Fusion Center Program

Subtitle C--Homeland Security Information Sharing Enhancement

Subtitle D--Homeland Security Information Sharing Partnerships

Subtitle E--Homeland Security Intelligence Offices Reorganization

TITLE VIII--PROTECTING PRIVACY AND CIVIL LIBERTIES WHILE EFFECTIVELY FIGHTING TERRORISM

Subtitle A--Privacy and Civil Liberties Oversight Boards

Subtitle B--Enhancement of Privacy Officer Authorities

TITLE IX--IMPROVING CRITICAL INFRASTRUCTURE SECURITY

TITLE X--TRANSPORTATION SECURITY PLANNING AND INFORMATION SHARING

TITLE XI--PRIVATE SECTOR PREPAREDNESS

TITLE XII--PREVENTING WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM

Subtitle A--Repeal and Modification of Limitations on Assistance for Prevention of WMD Proliferation and Terrorism

Subtitle B--Proliferation Security Initiative

Subtitle C--Assistance to Accelerate Programs to Prevent Weapons of Mass Destruction Proliferation and Terrorism

Subtitle D--Office of the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism

Subtitle E--Commission on the Prevention of Weapons of Mass Destruction Proliferation and Terrorism

TITLE XIII--NUCLEAR BLACK MARKET COUNTER-TERRORISM ACT

Subtitle A--Sanctions for Transfers of Nuclear Enrichment, Reprocessing, and Weapons Technology, Equipment, and Materials Involving Foreign Persons and Terrorists

Subtitle B--Further Actions Against Corporations Associated With Sanctioned Foreign Persons

Subtitle C--Rollback of Nuclear Proliferation Networks

TITLE XIV--9/11 COMMISSION INTERNATIONAL IMPLEMENTATION

Subtitle A--Quality Educational Opportunities in Arab and Predominantly Muslim Countries.

Subtitle B--Democracy and Development in Arab and Predominantly Muslim Countries

Subtitle C--Restoring United States Moral Leadership

Subtitle D--Strategy for the United States Relationship With Afghanistan, Pakistan, and Saudi Arabia

TITLE I--RISK-BASED ALLOCATION OF HOMELAND SECURITY GRANTS

SEC. 101. FIRST RESPONDERS HOMELAND SECURITY FUNDING.

`TITLE XIX--DOMESTIC NUCLEAR DETECTION OFFICE

`TITLE XX--FUNDING FOR FIRST RESPONDERS

`TITLE XX--FUNDING FOR FIRST RESPONDERS

`SEC. 2001. DEFINITIONS.

`SEC. 2002. FASTER AND SMARTER FUNDING FOR FIRST RESPONDERS.

`SEC. 2003. COVERED GRANT ELIGIBILITY AND CRITERIA.

`SEC. 2004. RISK-BASED EVALUATION AND PRIORITIZATION.

`SEC. 2005. USE OF FUNDS AND ACCOUNTABILITY REQUIREMENTS.

TITLE II--ENSURING COMMUNICATIONS INTEROPERABILITY FOR FIRST RESPONDERS

SEC. 201. IMPROVE COMMUNICATIONS FOR EMERGENCY RESPONSE GRANT PROGRAM.

`SEC. 522. IMPROVE COMMUNICATIONS FOR EMERGENCY RESPONSE GRANT PROGRAM.

TITLE III--STRENGTHENING USE OF A UNIFIED INCIDENT COMMAND DURING EMERGENCIES

SEC. 301. NATIONAL EXERCISE PROGRAM DESIGN.

SEC. 302. NATIONAL EXERCISE PROGRAM MODEL EXERCISES.

SEC. 303. RESPONSIBILITIES OF REGIONAL ADMINISTRATORS OF THE FEDERAL EMERGENCY MANAGEMENT AGENCY.

TITLE IV--STRENGTHENING AVIATION SECURITY

SEC. 401. INSTALLATION OF IN-LINE BAGGAGE SCREENING EQUIPMENT.

SEC. 402. AVIATION SECURITY CAPITAL FUND.

SEC. 403. AIRPORT CHECKPOINT SCREENING EXPLOSIVE DETECTION.

SEC. 404. STRENGTHENING EXPLOSIVE DETECTION AT AIRPORT SCREENING CHECKPOINTS.

SEC. 405. EXTENSION OF AUTHORIZATION OF AVIATION SECURITY FUNDING.

SEC. 406. INSPECTION OF CARGO CARRIED ABOARD PASSENGER AIRCRAFT.

SEC. 407. APPEAL AND REDRESS PROCESS FOR PASSENGERS WRONGLY DELAYED OR PROHIBITED FROM BOARDING A FLIGHT.

`SEC. 432. APPEAL AND REDRESS PROCESS FOR PASSENGERS WRONGLY DELAYED OR PROHIBITED FROM BOARDING A FLIGHT.

SEC. 408. TRANSPORTATION SECURITY ADMINISTRATION PERSONNEL MANAGEMENT.

SEC. 409. STRATEGIC PLAN TO TEST AND IMPLEMENT ADVANCED PASSENGER PRESCREENING SYSTEM.

TITLE V--STRENGTHENING THE SECURITY OF CARGO CONTAINERS

SEC. 501. REQUIREMENTS RELATING TO ENTRY OF CONTAINERS INTO THE UNITED STATES.

TITLE VI--STRENGTHENING EFFORTS TO PREVENT TERRORIST TRAVEL

Subtitle A--Human Smuggling and Trafficking Center Improvements

SEC. 601. STRENGTHENING THE CAPABILITIES OF THE HUMAN SMUGGLING AND TRAFFICKING CENTER.

Subtitle B--International Collaboration to Prevent Terrorist Travel

SEC. 611. REPORT ON INTERNATIONAL COLLABORATION TO INCREASE BORDER SECURITY, ENHANCE GLOBAL DOCUMENT SECURITY, AND EXCHANGE TERRORIST INFORMATION.

Subtitle C--Biometric Border Entry and Exit System

SEC. 621. SUBMITTAL OF PLAN ON BIOMETRIC ENTRY AND EXIT VERIFICATION SYSTEM IMPLEMENTATION.

TITLE VII--IMPROVING INTELLIGENCE AND INFORMATION SHARING WITH LOCAL LAW ENFORCEMENT AND FIRST RESPONDERS

Subtitle A--Fusion and Law Enforcement Education and Teaming (FLEET) Grant Program

SEC. 701. FINDINGS.

SEC. 702. FLEET GRANT PROGRAM.

`SEC. 203. FLEET GRANT PROGRAM.

Subtitle B--Border Intelligence Fusion Center Program

SEC. 711. FINDINGS.

SEC. 712. ESTABLISHMENT OF BORDER INTELLIGENCE FUSION CENTER PROGRAM.

`SEC. 204. BORDER INTELLIGENCE FUSION CENTER PROGRAM.

Subtitle C--Homeland Security Information Sharing Enhancement

SEC. 721. SHORT TITLE.

SEC. 722. HOMELAND SECURITY ADVISORY SYSTEM.

`SEC. 205. HOMELAND SECURITY ADVISORY SYSTEM.

SEC. 723. HOMELAND SECURITY INFORMATION SHARING.

`SEC. 206. HOMELAND SECURITY INFORMATION SHARING.

`SEC. 207. COMPREHENSIVE INFORMATION TECHNOLOGY NETWORK ARCHITECTURE.

Subtitle D--Homeland Security Information Sharing Partnerships

SEC. 731. SHORT TITLE.

SEC. 732. STATE, LOCAL, AND REGIONAL INFORMATION FUSION CENTER INITIATIVE.

`SEC. 208. STATE, LOCAL, AND REGIONAL FUSION CENTER INITIATIVE.

SEC. 733. HOMELAND SECURITY INFORMATION SHARING FELLOWS PROGRAM.

`SEC. 209. HOMELAND SECURITY INFORMATION SHARING FELLOWS PROGRAM.

Subtitle E--Homeland Security Intelligence Offices Reorganization

SEC. 741. DEPARTMENTAL REORGANIZATION.

`SEC. 201. OFFICE OF INTELLIGENCE AND ANALYSIS.'.

SEC. 742. INTELLIGENCE COMPONENTS OF DEPARTMENT OF HOMELAND SECURITY.

`SEC. 210. INTELLIGENCE COMPONENTS.

SEC. 743. OFFICE OF INFRASTRUCTURE PROTECTION.

`SEC. 210A. OFFICE OF INFRASTRUCTURE PROTECTION.

TITLE VIII--PROTECTING PRIVACY AND CIVIL LIBERTIES WHILE EFFECTIVELY FIGHTING TERRORISM

Subtitle A--Privacy and Civil Liberties Oversight Boards

SEC. 801. SHORT TITLE.

SEC. 802. FINDINGS.

SEC. 803. MAKING THE PRIVACY AND CIVIL LIBERTIES OVERSIGHT BOARD INDEPENDENT.

SEC. 804. REQUIRING ALL MEMBERS OF THE PRIVACY AND CIVIL LIBERTIES OVERSIGHT BOARD BE CONFIRMED BY THE SENATE.

SEC. 805. SUBPOENA POWER FOR THE PRIVACY AND CIVIL LIBERTIES OVERSIGHT BOARD.

SEC. 806. REPORTING REQUIREMENTS.

`SEC. 1062. PRIVACY AND CIVIL LIBERTIES OFFICERS.

Subtitle B--Enhancement of Privacy Officer Authorities

SEC. 811. SHORT TITLE.

SEC. 812. AUTHORITIES OF THE PRIVACY OFFICER OF THE DEPARTMENT OF HOMELAND SECURITY.

TITLE IX--IMPROVING CRITICAL INFRASTRUCTURE SECURITY

SEC. 901. VULNERABILITY ASSESSMENT AND REPORT ON CRITICAL INFRASTRUCTURE INFORMATION.

`SEC. 216. ANNUAL CRITICAL INFRASTRUCTURE VULNERABILITY ASSESSMENT AND REPORT.

SEC. 902. NATIONAL ASSET DATABASE AND THE NATIONAL AT-RISK DATABASE.

`SEC. 210C. NATIONAL ASSET DATABASE AND NATIONAL AT-RISK DATABASE.

TITLE X--TRANSPORTATION SECURITY PLANNING AND INFORMATION SHARING

SEC. 1001. STRATEGIC TRANSPORTATION SECURITY INFORMATION SHARING.

SEC. 1002. TRANSPORTATION SECURITY STRATEGIC PLANNING.

TITLE XI--PRIVATE SECTOR PREPAREDNESS

SEC. 1101. PARTICIPATION OF PRIVATE SECTOR ORGANIZATIONS IN EMERGENCY PREPAREDNESS AND RESPONSE ACTIVITIES.

`SEC. 519. PARTICIPATION OF PRIVATE SECTOR ORGANIZATIONS IN EMERGENCY PREPAREDNESS AND RESPONSE ACTIVITIES.';

TITLE XII--PREVENTING WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM

SEC. 1201. FINDINGS.

SEC. 1202. DEFINITIONS.

Subtitle A--Repeal and Modification of Limitations on Assistance for Prevention of WMD Proliferation and Terrorism

SEC. 1211. REPEAL AND MODIFICATION OF LIMITATIONS ON ASSISTANCE FOR PREVENTION OF WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM.

Subtitle B--Proliferation Security Initiative

SEC. 1221. PROLIFERATION SECURITY INITIATIVE IMPROVEMENTS AND AUTHORITIES.

SEC. 1222. AUTHORITY TO PROVIDE ASSISTANCE TO COOPERATIVE COUNTRIES.

Subtitle C--Assistance to Accelerate Programs to Prevent Weapons of Mass Destruction Proliferation and Terrorism

SEC. 1231. FINDINGS; STATEMENT OF POLICY.

SEC. 1232. AUTHORIZATION OF APPROPRIATIONS FOR THE DEPARTMENT OF DEFENSE COOPERATIVE THREAT REDUCTION PROGRAM.

SEC. 1233. AUTHORIZATION OF APPROPRIATIONS FOR THE DEPARTMENT OF ENERGY PROGRAMS TO PREVENT WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM.

Subtitle D--Office of the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism

SEC. 1241. OFFICE OF THE UNITED STATES COORDINATOR FOR THE PREVENTION OF WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM.

SEC. 1242. REQUEST FOR CORRESPONDING RUSSIAN COORDINATOR.

Subtitle E--Commission on the Prevention of Weapons of Mass Destruction Proliferation and Terrorism

SEC. 1251. COMMISSION ON THE PREVENTION OF WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM.

SEC. 1252. PURPOSES.

SEC. 1253. COMPOSITION.

SEC. 1254. RESPONSIBILITIES.

SEC. 1255. POWERS.

SEC. 1256. NONAPPLICABILITY OF FEDERAL ADVISORY COMMITTEE ACT.

SEC. 1257. REPORT.

SEC. 1258. TERMINATION.

TITLE XIII--NUCLEAR BLACK MARKET COUNTER-TERRORISM ACT

SEC. 1301. SHORT TITLE.

SEC. 1302. DEFINITIONS.

Subtitle A--Sanctions for Transfers of Nuclear Enrichment, Reprocessing, and Weapons Technology, Equipment, and Materials Involving Foreign Persons and Terrorists

SEC. 1311. AUTHORITY TO IMPOSE SANCTIONS ON FOREIGN PERSONS.

SEC. 1312. PRESIDENTIAL NOTIFICATION ON ACTIVITIES OF FOREIGN PERSONS.

Subtitle B--Further Actions Against Corporations Associated With Sanctioned Foreign Persons

SEC. 1321. FINDINGS.

SEC. 1322. CAMPAIGN BY UNITED STATES GOVERNMENT OFFICIALS.

SEC. 1323. COORDINATION.

SEC. 1324. REPORT.

Subtitle C--Rollback of Nuclear Proliferation Networks

SEC. 1331. NONPROLIFERATION AS A CONDITION OF UNITED STATES ASSISTANCE.

SEC. 1332. REPORT ON IDENTIFICATION OF NUCLEAR PROLIFERATION NETWORK HOST COUNTRIES.

SEC. 1333. SUSPENSION OF ARMS SALES LICENSES AND DELIVERIES TO NUCLEAR PROLIFERATION HOST COUNTRIES.

TITLE XIV--9/11 COMMISSION INTERNATIONAL IMPLEMENTATION

SEC. 1401. SHORT TITLE; TABLE OF CONTENTS.

Subtitle A--Quality Educational Opportunities in Arab and Predominantly Muslim Countries.

SEC. 1411. FINDINGS; POLICY.

SEC. 1412. INTERNATIONAL ARAB AND MUSLIM YOUTH OPPORTUNITY FUND.

`SEC. 7114. INTERNATIONAL ARAB AND MUSLIM YOUTH OPPORTUNITY FUND.

SEC. 1413. ANNUAL REPORT TO CONGRESS.

SEC. 1414. EXTENSION OF PROGRAM TO PROVIDE GRANTS TO AMERICAN-SPONSORED SCHOOLS IN ARAB AND PREDOMINANTLY MUSLIM COUNTRIES TO PROVIDE SCHOLARSHIPS.

Subtitle B--Democracy and Development in Arab and Predominantly Muslim Countries

SEC. 1421. PROMOTING DEMOCRACY AND DEVELOPMENT IN THE MIDDLE EAST, CENTRAL ASIA, SOUTH ASIA, AND SOUTHEAST ASIA.

SEC. 1422. MIDDLE EAST FOUNDATION.

Subtitle C--Restoring United States Moral Leadership

SEC. 1431. ADVANCING UNITED STATES INTERESTS THROUGH PUBLIC DIPLOMACY.

`SEC. 316. SPECIAL AUTHORITY FOR SURGE CAPACITY.

SEC. 1432. EXPANSION OF UNITED STATES SCHOLARSHIP, EXCHANGE, AND LIBRARY PROGRAMS IN ARAB AND PREDOMINANTLY MUSLIM COUNTRIES.

SEC. 1433. UNITED STATES POLICY TOWARD DETAINEES.

Subtitle D--Strategy for the United States Relationship With Afghanistan, Pakistan, and Saudi Arabia

SEC. 1441. AFGHANISTAN.

SEC. 1442. PAKISTAN.

SEC. 1443. SAUDI ARABIA.

Passed the House of Representatives January 9, 2007.

Attest:

KAREN L. HAAS,

Clerk.

END


CONFERENCE REPORT ON H.R. 1, IMPLEMENTING RECOMMENDATIONS OF THE 9/11 COMMISSION ACT OF 2007 -- (House of Representatives - July 25, 2007)

[Page: H8496]
---

   Mr. THOMPSON of Mississippi submitted the following conference report and statement on the bill (H.R. 1) to provide for the implementation of the recommendations of the National Commission on Terrorist Attacks Upon the United States:

   Conference Report (H. Rept. 110-259)

   The committee of conference on the disagreeing votes of the two Houses on the amendment of the Senate to the bill (H.R. 1), to provide for the implementation of the recommendation of the National Commission on Terrorist Attacks Upon the United States, having met, after full and free conference, have agreed to recommend and do recommend to their respective Houses as follows:

   That the House recede from its disagreement to the amendment of the Senate and agree to the same with an amendment as follows:

   In lieu of the matter proposed to be inserted by the Senate amendment, insert the following:

   SECTION 1. SHORT TITLE; TABLE OF CONTENTS.

    (a) Short Title.--This Act may be cited as the ``Implementing Recommendations of the 9/11 Commission Act of 2007''.

    (b) Table of Contents.--The table of contents for this Act is as follows:

   Sec..1..Short title; table of contents.

[Page: H8497]

   TITLE I--HOMELAND SECURITY GRANTS

   Sec..101..Homeland Security Grant Program.

   Sec..102..Other amendments to the Homeland Security Act of 2002.

   Sec..103..Amendments to the Post-Katrina Emergency Management Reform Act of 2006.

   Sec..104..Technical and conforming amendments.

   TITLE II--EMERGENCY MANAGEMENT PERFORMANCE GRANTS

   Sec..201..Emergency management performance grant program.

   Sec..202..Grants for construction of emergency operations centers.

   TITLE III--ENSURING COMMUNICATIONS INTEROPERABILITY FOR FIRST RESPONDERS

   Sec..301..Interoperable emergency communications grant program.

   Sec..302..Border interoperability demonstration project.

   TITLE IV--STRENGTHENING USE OF THE INCIDENT COMMAND SYSTEM

   Sec..401..Definitions.

   Sec..402..National exercise program design.

   Sec..403..National exercise program model exercises.

   Sec..404..Preidentifying and evaluating multijurisdictional facilities to strengthen incident command; private sector preparedness.

   Sec..405..Federal response capability inventory.

   Sec..406..Reporting requirements.

   Sec..407..Federal preparedness.

   Sec..408..Credentialing and typing.

   Sec..409..Model standards and guidelines for critical infrastructure workers.

   Sec..410..Authorization of appropriations.

   TITLE V--IMPROVING INTELLIGENCE AND INFORMATION SHARING WITHIN THE FEDERAL GOVERNMENT AND WITH STATE, LOCAL, AND TRIBAL GOVERNMENTS

   Subtitle A--Homeland Security Information Sharing Enhancement

   Sec..501..Homeland Security Advisory System and information sharing.

   Sec..502..Intelligence Component Defined.

   Sec..503..Role of intelligence components, training, and information sharing.

   Sec..504..Information sharing.

   Subtitle B--Homeland Security Information Sharing Partnerships

   Sec..511..Department of Homeland Security State, Local, and Regional Fusion Center Initiative.

   Sec..512..Homeland Security Information Sharing Fellows Program.

   Sec..513..Rural Policing Institute.

   Subtitle C--Interagency Threat Assessment and Coordination Group

   Sec..521..Interagency Threat Assessment and Coordination Group.

   Subtitle D--Homeland Security Intelligence Offices Reorganization

   Sec..531..Office of Intelligence and Analysis and Office of Infrastructure Protection.

   Subtitle E--Authorization of Appropriations

   Sec..541..Authorization of appropriations.

   TITLE VI--CONGRESSIONAL OVERSIGHT OF INTELLIGENCE

   Sec..601..Availability to public of certain intelligence funding information.

   Sec..602..Public Interest Declassification Board.

   Sec..603..Sense of the Senate regarding a report on the 9/11 Commission recommendations with respect to intelligence reform and congressional intelligence oversight reform.

   Sec..604..Availability of funds for the Public Interest Declassification Board.

   Sec..605..Availability of the Executive Summary of the Report on Central Intelligence Agency Accountability Regarding the Terrorist Attacks of September 11, 2001.

   TITLE VII--STRENGTHENING EFFORTS TO PREVENT TERRORIST TRAVEL

   Subtitle A--Terrorist Travel

   Sec..701..Report on international collaboration to increase border security, enhance global document security, and exchange terrorist information.

   Subtitle B--Visa Waiver

   Sec..711..Modernization of the visa waiver program.

   Subtitle C--Strengthening Terrorism Prevention Programs

   Sec..721..Strengthening the capabilities of the Human Smuggling and Trafficking Center.

   Sec..722..Enhancements to the terrorist travel program.

   Sec..723..Enhanced driver's license.

   Sec..724..Western Hemisphere Travel Initiative.

   Sec..725..Model ports-of-entry.

   Subtitle D--Miscellaneous Provisions

   Sec..731..Report regarding border security.

   TITLE VIII--PRIVACY AND CIVIL LIBERTIES

   Sec..801..Modification of authorities relating to Privacy and Civil Liberties Oversight Board.

   Sec..802..Department Privacy Officer.

   Sec..803..Privacy and civil liberties officers.

   Sec..804..Federal Agency Data Mining Reporting Act of 2007.

   TITLE IX--PRIVATE SECTOR PREPAREDNESS

   Sec..901..Private sector preparedness.

   Sec..902..Responsibilities of the private sector Office of the Department.

   TITLE X--IMPROVING CRITICAL INFRASTRUCTURE SECURITY

   Sec..1001..National Asset Database.

   Sec..1002..Risk assessments and report.

   Sec..1003..Sense of Congress regarding the inclusion of levees in the National Infrastructure Protection Plan.

   TITLE XI--ENHANCED DEFENSES AGAINST WEAPONS OF MASS DESTRUCTION

   Sec..1101..National Biosurveillance Integration Center.

   Sec..1102..Biosurveillance efforts.

   Sec..1103..Interagency coordination to enhance defenses against nuclear and radiological weapons of mass destruction.

   Sec..1104..Integration of detection equipment and technologies.

   TITLE XII--TRANSPORTATION SECURITY PLANNING AND INFORMATION SHARING

   Sec..1201..Definitions.

   Sec..1202..Transportation security strategic planning.

   Sec..1203..Transportation security information sharing.

   Sec..1204..National domestic preparedness consortium.

   Sec..1205..National transportation security center of excellence.

   Sec..1206..Immunity for reports of suspected terrorist activity or suspicious behavior and response.

   TITLE XIII--TRANSPORTATION SECURITY ENHANCEMENTS

   Sec..1301..Definitions.

   Sec..1302..Enforcement authority.

   Sec..1303..Authorization of visible intermodal prevention and response teams.

   Sec..1304..Surface transportation security inspectors.

   Sec..1305..Surface transportation security technology information sharing.

   Sec..1306..TSA personnel limitations.

   Sec..1307..National explosives detection canine team training program.

   Sec..1308..Maritime and surface transportation security user fee study.

   Sec..1309..Prohibition of issuance of transportation security cards to convicted felons.

   Sec..1310..Roles of the Department of Homeland Security and the Department of Transportation.

   TITLE XIV--PUBLIC TRANSPORTATION SECURITY

   Sec..1401..Short title.

   Sec..1402..Definitions.

   Sec..1403..Findings.

   Sec..1404..National Strategy for Public Transportation Security.

   Sec..1405..Security assessments and plans.

   Sec..1406..Public transportation security assistance.

   Sec..1407..Security exercises.

   Sec..1408..Public transportation security training program.

   Sec..1409..Public transportation research and development.

   Sec..1410..Information sharing.

   Sec..1411..Threat assessments.

   Sec..1412..Reporting requirements.

   Sec..1413..Public transportation employee protections.

   Sec..1414..Security background checks of covered individuals for public transportation.

   Sec..1415..Limitation on fines and civil penalties.

   TITLE XV--SURFACE TRANSPORTATION SECURITY

   Subtitle A--General Provisions

   Sec..1501..Definitions.

   Sec..1502..Oversight and grant procedures.

   Sec..1503..Authorization of appropriations.

   Sec..1504..Public awareness.

   Subtitle B--Railroad Security

   Sec..1511..Railroad transportation security risk assessment and national strategy.

   Sec..1512..Railroad carrier assessments and plans.

   Sec..1513..Railroad security assistance.

   Sec..1514..Systemwide Amtrak security upgrades.

   Sec..1515..Fire and life safety improvements.

   Sec..1516..Railroad carrier exercises.

   Sec..1517..Railroad security training program.

   Sec..1518..Railroad security research and development.

   Sec..1519..Railroad tank car security testing.

   Sec..1520..Railroad threat assessments.

   Sec..1521..Railroad employee protections.

   Sec..1522..Security background checks of covered individuals.

   Sec..1523..Northern border railroad passenger report.

   Sec..1524..International Railroad Security Program.

   Sec..1525..Transmission line report.

   Sec..1526..Railroad security enhancements.

   Sec..1527..Applicability of District of Columbia law to certain Amtrak contracts.

   Sec..1528..Railroad preemption clarification.

   Subtitle C--Over-The-Road Bus and Trucking Security

   Sec..1531..Over-the-road bus security assessments and plans.

   Sec..1532..Over-the-road bus security assistance.

   Sec..1533..Over-the-road bus exercises.

   Sec..1534..Over-the-road bus security training program.

   Sec..1535..Over-the-road bus security research and development.

   Sec..1536..Motor carrier employee protections.

   Sec..1537..Unified carrier registration system agreement.

[Page: H8498]

   Sec..1538..School bus transportation security.

   Sec..1539..Technical amendment.

   Sec..1540..Truck security assessment.

   Sec..1541..Memorandum of understanding annex.

   Sec..1542..DHS Inspector General report on trucking security grant program.

   Subtitle D--Hazardous Material and Pipeline Security

   Sec..1551..Railroad routing of security-sensitive materials.

   Sec..1552..Railroad security-sensitive material tracking.

   Sec..1553..Hazardous materials highway routing.

   Sec..1554..Motor carrier security-sensitive material tracking.

   Sec..1555..Hazardous materials security inspections and study.

   Sec..1556..Technical corrections.

   Sec..1557..Pipeline security inspections and enforcement.

   Sec..1558..Pipeline security and incident recovery plan.

   TITLE XVI--AVIATION

   Sec..1601..Airport checkpoint screening fund.

   Sec..1602..Screening of cargo carried aboard passenger aircraft.

   Sec..1603..In-line baggage screening.

   Sec..1604..In-line baggage system deployment.

   Sec..1605..Strategic plan to test and implement advanced passenger prescreening system.

   Sec..1606..Appeal and redress process for passengers wrongly delayed or prohibited from boarding a flight.

   Sec..1607..Strengthening explosives detection at passenger screening checkpoints.

   Sec..1608..Research and development of aviation transportation security technology.

   Sec..1609..Blast-resistant cargo containers.

   Sec..1610..Protection of passenger planes from explosives.

   Sec..1611..Specialized training.

   Sec..1612..Certain TSA personnel limitations not to apply.

   Sec..1613..Pilot project to test different technologies at airport exit lanes.

   Sec..1614..Security credentials for airline crews.

   Sec..1615..Law enforcement officer biometric credential.

   Sec..1616..Repair station security.

   Sec..1617..General aviation security.

   Sec..1618..Extension of authorization of aviation security funding.

   TITLE XVII--MARITIME CARGO

   Sec..1701..Container scanning and seals.

   TITLE XVIII--PREVENTING WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM

   Sec..1801..Findings.

   Sec..1802..Definitions.

   Subtitle A--Repeal and Modification of Limitations on Assistance for Prevention of WMD Proliferation and Terrorism

   Sec..1811..Repeal and modification of limitations on assistance for prevention of weapons of mass destruction proliferation and terrorism.

   Subtitle B--Proliferation Security Initiative

   Sec..1821..Proliferation Security Initiative improvements and authorities.

   Sec..1822..Authority to provide assistance to cooperative countries.

   Subtitle C--Assistance to Accelerate Programs to Prevent Weapons of Mass Destruction Proliferation and Terrorism

   Sec..1831..Statement of policy.

   Sec..1832..Authorization of appropriations for the Department of Defense Cooperative Threat Reduction Program.

   Sec..1833..Authorization of appropriations for the Department of Energy programs to prevent weapons of mass destruction proliferation and terrorism.

   Subtitle D--Office of the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism

   Sec..1841..Office of the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism.

   Sec..1842..Sense of Congress on United States-Russia cooperation and coordination on the prevention of weapons of mass destruction proliferation and terrorism.

   Subtitle E--Commission on the Prevention of Weapons of Mass Destruction Proliferation and Terrorism

   Sec..1851..Establishment of Commission on the Prevention of Weapons of Mass Destruction Proliferation and Terrorism.

   Sec..1852..Purposes of Commission.

   Sec..1853..Composition of Commission.

   Sec..1854..Responsibilities of Commission.

   Sec..1855..Powers of Commission.

   Sec..1856..Nonapplicability of Federal Advisory Committee Act.

   Sec..1857..Report.

   Sec..1858..Termination.

   Sec..1859..Funding.

   TITLE XIX--INTERNATIONAL COOPERATION ON ANTITERRORISM TECHNOLOGIES

   Sec..1901..Promoting antiterrorism capabilities through international cooperation.

   Sec..1902..Transparency of funds.

   TITLE XX--9/11 COMMISSION INTERNATIONAL IMPLEMENTATION

   Sec..2001..Short title.

   Sec..2002..Definition.

   Subtitle A--Quality Educational Opportunities in Predominantly Muslim Countries.

   Sec..2011..Findings; Policy.

   Sec..2012..International Muslim Youth Opportunity Fund.

   Sec..2013..Annual report to Congress.

   Sec..2014..Extension of program to provide grants to American-sponsored schools in predominantly Muslim Countries to provide scholarships.

   Subtitle B--Democracy and Development in the Broader Middle East Region

   Sec..2021..Middle East Foundation.

   Subtitle C--Reaffirming United States Moral Leadership

   Sec..2031..Advancing United States interests through public diplomacy.

   Sec..2032..Oversight of international broadcasting.

   Sec..2033..Expansion of United States scholarship, exchange, and library programs in predominantly Muslim countries.

   Sec..2034..United States policy toward detainees.

   Subtitle D--Strategy for the United States Relationship With Afghanistan, Pakistan, and Saudi Arabia

   Sec..2041..Afghanistan.

   Sec..2042..Pakistan.

   Sec..2043..Saudi Arabia.

   TITLE XXI--ADVANCING DEMOCRATIC VALUES

   Sec..2101..Short title.

   Sec..2102..Findings.

   Sec..2103..Statement of policy.

   Sec..2104..Definitions.

   Subtitle A--Activities to Enhance the Promotion of Democracy

   Sec..2111..Democracy Promotion at the Department of State.

   Sec..2112..Democracy Fellowship Program.

   Sec..2113..Investigations of violations of international humanitarian law.

   Subtitle B--Strategies and Reports on Human Rights and the Promotion of Democracy

   Sec..2121..Strategies, priorities, and annual report.

   Sec..2122..Translation of human rights reports.

   Subtitle C--Advisory Committee on Democracy Promotion and the Internet Website of the Department of State

   Sec..2131..Advisory Committee on Democracy Promotion.

   Sec..2132..Sense of Congress regarding the Internet website of the Department of State.

   Subtitle D--Training in Democracy and Human Rights; Incentives

   Sec..2141..Training in democracy promotion and the protection of human rights.

   Sec..2142..Sense of Congress regarding ADVANCE Democracy Award.

   Sec..2143..Personnel policies at the Department of State.

   Subtitle E--Cooperation With Democratic Countries

   Sec..2151..Cooperation with democratic countries.

   Subtitle F--Funding for Promotion of Democracy

   Sec..2161..The United Nations Democracy Fund.

   Sec..2162..United States democracy assistance programs.

   TITLE XXII--INTEROPERABLE EMERGENCY COMMUNICATIONS

   Sec..2201..Interoperable emergency communications.

   Sec..2202..Clarification of congressional intent.

   Sec..2203..Cross border interoperability reports.

   Sec..2204..Extension of short quorum.

   Sec..2205..Requiring reports to be submitted to certain committees.

   TITLE XXIII--EMERGENCY COMMUNICATIONS MODERNIZATION

   Sec..2301..Short title.

   Sec..2302..Funding for program.

   Sec..2303..NTIA coordination of E-911 implementation.

   TITLE XXIV--MISCELLANEOUS PROVISIONS

   Sec..2401..Quadrennial homeland security review.

   Sec..2402..Sense of the Congress regarding the prevention of radicalization leading to ideologically-based violence.

   Sec..2403..Requiring reports to be submitted to certain committees.

   Sec..2404..Demonstration project.

   Sec..2405..Under Secretary for Management of Department of Homeland Security.

   

TITLE I--HOMELAND SECURITY GRANTS

   SEC. 101. HOMELAND SECURITY GRANT PROGRAM.

    The Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended by adding at the end the following:

   

``TITLE XX--HOMELAND SECURITY GRANTS

   ``SEC. 2001. DEFINITIONS.

    ``In this title, the following definitions shall apply:

    ``(1) ADMINISTRATOR.--The term `Administrator' means the Administrator of the Federal Emergency Management Agency.

    ``(2) APPROPRIATE COMMITTEES OF CONGRESS.--The term `appropriate committees of Congress' means--

    ``(A) the Committee on Homeland Security and Governmental Affairs of the Senate; and

    ``(B) those committees of the House of Representatives that the Speaker of the House of Representatives determines appropriate.

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    ``(3) CRITICAL INFRASTRUCTURE SECTORS.--The term `critical infrastructure sectors' means the following sectors, in both urban and rural areas:

    ``(A) Agriculture and food.

    ``(B) Banking and finance.

    ``(C) Chemical industries.

    ``(D) Commercial facilities.

    ``(E) Commercial nuclear reactors, materials, and waste.

    ``(F) Dams.

    ``(G) The defense industrial base.

    ``(H) Emergency services.

    ``(I) Energy.

    ``(J) Government facilities.

    ``(K) Information technology.

    ``(L) National monuments and icons.

    ``(M) Postal and shipping.

    ``(N) Public health and health care.

    ``(O) Telecommunications.

    ``(P) Transportation systems.

    ``(Q) Water.

    ``(4) DIRECTLY ELIGIBLE TRIBE.--The term `directly eligible tribe' means--

    ``(A) any Indian tribe--

    ``(i) that is located in the continental United States;

    ``(ii) that operates a law enforcement or emergency response agency with the capacity to respond to calls for law enforcement or emergency services;

    ``(iii)(I) that is located on or near an international border or a coastline bordering an ocean (including the Gulf of Mexico) or international waters;

    ``(II) that is located within 10 miles of a system or asset included on the prioritized critical infrastructure list established under section 210E(a)(2) or has such a system or asset within its territory;

    ``(III) that is located within or contiguous to 1 of the 50 most populous metropolitan statistical areas in the United States; or

    ``(IV) the jurisdiction of which includes not less than 1,000 square miles of Indian country, as that term is defined in section 1151 of title 18, United States Code; and

    ``(iv) that certifies to the Secretary that a State has not provided funds under section 2003 or 2004 to the Indian tribe or consortium of Indian tribes for the purpose for which direct funding is sought; and

    ``(B) a consortium of Indian tribes, if each tribe satisfies the requirements of subparagraph (A).

    ``(5) ELIGIBLE METROPOLITAN AREA.--The term `eligible metropolitan area' means any of the 100 most populous metropolitan statistical areas in the United States.

    ``(6) HIGH-RISK URBAN AREA.--The term `high-risk urban area' means a high-risk urban area designated under section 2003(b)(3)(A).

    ``(7) INDIAN TRIBE.--The term `Indian tribe' has the meaning given that term in section 4(e) of the Indian Self-Determination Act (25 U.S.C. 450b(e)).

    ``(8) METROPOLITAN STATISTICAL AREA.--The term `metropolitan statistical area' means a metropolitan statistical area, as defined by the Office of Management and Budget.

    ``(9) NATIONAL SPECIAL SECURITY EVENT.--The term `National Special Security Event' means a designated event that, by virtue of its political, economic, social, or religious significance, may be the target of terrorism or other criminal activity.

    ``(10) POPULATION.--The term `population' means population according to the most recent United States census population estimates available at the start of the relevant fiscal year.

    ``(11) POPULATION DENSITY.--The term `population density' means population divided by land area in square miles.

    ``(12) QUALIFIED INTELLIGENCE ANALYST.--The term `qualified intelligence analyst' means an intelligence analyst (as that term is defined in section 210A(j)), including law enforcement personnel--

    ``(A) who has successfully completed training to ensure baseline proficiency in intelligence analysis and production, as determined by the Secretary, which may include training using a curriculum developed under section 209; or

    ``(B) whose experience ensures baseline proficiency in intelligence analysis and production equivalent to the training required under subparagraph (A), as determined by the Secretary.

    ``(13) TARGET CAPABILITIES.--The term `target capabilities' means the target capabilities for Federal, State, local, and tribal government preparedness for which guidelines are required to be established under section 646(a) of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 746(a)).

    ``(14) TRIBAL GOVERNMENT.--The term `tribal government' means the government of an Indian tribe.

   

``Subtitle A--Grants to States and High-Risk Urban Areas

   ``SEC. 2002. HOMELAND SECURITY GRANT PROGRAMS.

    ``(a) Grants Authorized.--The Secretary, through the Administrator, may award grants under sections 2003 and 2004 to State, local, and tribal governments.

    ``(b) Programs Not Affected.--This subtitle shall not be construed to affect any of the following Federal programs:

    ``(1) Firefighter and other assistance programs authorized under the Federal Fire Prevention and Control Act of 1974 (15 U.S.C. 2201 et seq.).

    ``(2) Grants authorized under the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5121 et seq.).

    ``(3) Emergency Management Performance Grants under the amendments made by title II of the Implementing Recommendations of the 9/11 Commission Act of 2007.

    ``(4) Grants to protect critical infrastructure, including port security grants authorized under section 70107 of title 46, United States Code, and the grants authorized under title XIV, XV, and XVI of the Implementing Recommendations of the 9/11 Commission Act of 2007 and the amendments made by such titles.

    ``(5) The Metropolitan Medical Response System authorized under section 635 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 723).

    ``(6) The Interoperable Emergency Communications Grant Program authorized under title XVIII.

    ``(7) Grant programs other than those administered by the Department.

    ``(c) Relationship to Other Laws.--

    ``(1) IN GENERAL.--The grant programs authorized under sections 2003 and 2004 shall supercede all grant programs authorized under section 1014 of the USA PATRIOT Act (42 U.S.C. 3714).

    ``(2) ALLOCATION.--The allocation of grants authorized under section 2003 or 2004 shall be governed by the terms of this subtitle and not by any other provision of law.

   ``SEC. 2003. URBAN AREA SECURITY INITIATIVE.

    ``(a) Establishment.--There is established an Urban Area Security Initiative to provide grants to assist high-risk urban areas in preventing, preparing for, protecting against, and responding to acts of terrorism.

    ``(b) Assessment and Designation of High-Risk Urban Areas.--

    ``(1) IN GENERAL.--The Administrator shall designate high-risk urban areas to receive grants under this section based on procedures under this subsection.

    ``(2) INITIAL ASSESSMENT.--

    ``(A) IN GENERAL.--For each fiscal year, the Administrator shall conduct an initial assessment of the relative threat, vulnerability, and consequences from acts of terrorism faced by each eligible metropolitan area, including consideration of--

    ``(i) the factors set forth in subparagraphs (A) through (H) and (K) of section 2007(a)(1); and

    ``(ii) information and materials submitted under subparagraph (B).

    ``(B) SUBMISSION OF INFORMATION BY ELIGIBLE METROPOLITAN AREAS.--Prior to conducting each initial assessment under subparagraph (A), the Administrator shall provide each eligible metropolitan area with, and shall notify each eligible metropolitan area of, the opportunity to--

    ``(i) submit information that the eligible metropolitan area believes to be relevant to the determination of the threat, vulnerability, and consequences it faces from acts of terrorism; and

    ``(ii) review the risk assessment conducted by the Department of that eligible metropolitan area, including the bases for the assessment by the Department of the threat, vulnerability, and consequences from acts of terrorism faced by that eligible metropolitan area, and remedy erroneous or incomplete information.

    ``(3) DESIGNATION OF HIGH-RISK URBAN AREAS.--

    ``(A) DESIGNATION.--

    ``(i) IN GENERAL.--For each fiscal year, after conducting the initial assessment under paragraph (2), and based on that assessment, the Administrator shall designate high-risk urban areas that may submit applications for grants under this section.

    ``(ii) ADDITIONAL AREAS.--Notwithstanding paragraph (2), the Administrator may--

    ``(I) in any case where an eligible metropolitan area consists of more than 1 metropolitan division (as that term is defined by the Office of Management and Budget) designate more than 1 high-risk urban area within a single eligible metropolitan area; and

    ``(II) designate an area that is not an eligible metropolitan area as a high-risk urban area based on the assessment by the Administrator of the relative threat, vulnerability, and consequences from acts of terrorism faced by the area.

    ``(iii) RULE OF CONSTRUCTION.--Nothing in this subsection may be construed to require the Administrator to--

    ``(I) designate all eligible metropolitan areas that submit information to the Administrator under paragraph (2)(B)(i) as high-risk urban areas; or

    ``(II) designate all areas within an eligible metropolitan area as part of the high-risk urban area.

    ``(B) JURISDICTIONS INCLUDED IN HIGH-RISK URBAN AREAS.--

    ``(i) IN GENERAL.--In designating high-risk urban areas under subparagraph (A), the Administrator shall determine which jurisdictions, at a minimum, shall be included in each high-risk urban area.

    ``(ii) ADDITIONAL JURISDICTIONS.--A high-risk urban area designated by the Administrator may, in consultation with the State or States in which such high-risk urban area is located, add additional jurisdictions to the high-risk urban area.

    ``(c) Application.--

    ``(1) IN GENERAL.--An area designated as a high-risk urban area under subsection (b) may apply for a grant under this section.

    ``(2) MINIMUM CONTENTS OF APPLICATION.--In an application for a grant under this section, a high-risk urban area shall submit--

    ``(A) a plan describing the proposed division of responsibilities and distribution of funding among the local and tribal governments in the high-risk urban area;

    ``(B) the name of an individual to serve as a high-risk urban area liaison with the Department and among the various jurisdictions in the high-risk urban area; and

    ``(C) such information in support of the application as the Administrator may reasonably require.

    ``(3) ANNUAL APPLICATIONS.--Applicants for grants under this section shall apply or reapply on an annual basis.

    ``(4) STATE REVIEW AND TRANSMISSION.--

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    ``(A) IN GENERAL.--To ensure consistency with State homeland security plans, a high-risk urban area applying for a grant under this section shall submit its application to each State within which any part of that high-risk urban area is located for review before submission of such application to the Department.

    ``(B) DEADLINE.--Not later than 30 days after receiving an application from a high-risk urban area under subparagraph (A), a State shall transmit the application to the Department.

    ``(C) OPPORTUNITY FOR STATE COMMENT.--If the Governor of a State determines that an application of a high-risk urban area is inconsistent with the State homeland security plan of that State, or otherwise does not support the application, the Governor shall--

    ``(i) notify the Administrator, in writing, of that fact; and

    ``(ii) provide an explanation of the reason for not supporting the application at the time of transmission of the application.

    ``(5) OPPORTUNITY TO AMEND.--In considering applications for grants under this section, the Administrator shall provide applicants with a reasonable opportunity to correct defects in the application, if any, before making final awards.

    ``(d) Distribution of Awards.--

    ``(1) IN GENERAL.--If the Administrator approves the application of a high-risk urban area for a grant under this section, the Administrator shall distribute the grant funds to the State or States in which that high-risk urban area is located.

    ``(2) STATE DISTRIBUTION OF FUNDS.--

    ``(A) IN GENERAL.--Not later than 45 days after the date that a State receives grant funds under paragraph (1), that State shall provide the high-risk urban area awarded that grant not less than 80 percent of the grant funds. Any funds retained by a State shall be expended on items, services, or activities that benefit the high-risk urban area.

    ``(B) FUNDS RETAINED.--A State shall provide each relevant high-risk urban area with an accounting of the items, services, or activities on which any funds retained by the State under subparagraph (A) were expended.

    ``(3) INTERSTATE URBAN AREAS.--If parts of a high-risk urban area awarded a grant under this section are located in 2 or more States, the Administrator shall distribute to each such State--

    ``(A) a portion of the grant funds in accordance with the proposed distribution set forth in the application; or

    ``(B) if no agreement on distribution has been reached, a portion of the grant funds determined by the Administrator to be appropriate.

    ``(4) CERTIFICATIONS REGARDING DISTRIBUTION OF GRANT FUNDS TO HIGH-RISK URBAN AREAS.--A State that receives grant funds under paragraph (1) shall certify to the Administrator that the State has made available to the applicable high-risk urban area the required funds under paragraph (2).

    ``(e) Authorization of Appropriations.--There are authorized to be appropriated for grants under this section--

    ``(1) $850,000,000 for fiscal year 2008;

    ``(2) $950,000,000 for fiscal year 2009;

    ``(3) $1,050,000,000 for fiscal year 2010;

    ``(4) $1,150,000,000 for fiscal year 2011;

    ``(5) $1,300,000,000 for fiscal year 2012; and

    ``(6) such sums as are necessary for fiscal year 2013, and each fiscal year thereafter.

   ``SEC. 2004. STATE HOMELAND SECURITY GRANT PROGRAM.

    ``(a) Establishment.--There is established a State Homeland Security Grant Program to assist State, local, and tribal governments in preventing, preparing for, protecting against, and responding to acts of terrorism.

    ``(b) Application.--

    ``(1) IN GENERAL.--Each State may apply for a grant under this section, and shall submit such information in support of the application as the Administrator may reasonably require.

    ``(2) MINIMUM CONTENTS OF APPLICATION.--The Administrator shall require that each State include in its application, at a minimum--

    ``(A) the purpose for which the State seeks grant funds and the reasons why the State needs the grant to meet the target capabilities of that State;

    ``(B) a description of how the State plans to allocate the grant funds to local governments and Indian tribes; and

    ``(C) a budget showing how the State intends to expend the grant funds.

    ``(3) ANNUAL APPLICATIONS.--Applicants for grants under this section shall apply or reapply on an annual basis.

    ``(c) Distribution to Local and Tribal Governments.--

    ``(1) IN GENERAL.--Not later than 45 days after receiving grant funds, any State receiving a grant under this section shall make available to local and tribal governments, consistent with the applicable State homeland security plan--

    ``(A) not less than 80 percent of the grant funds;

    ``(B) with the consent of local and tribal governments, items, services, or activities having a value of not less than 80 percent of the amount of the grant; or

    ``(C) with the consent of local and tribal governments, grant funds combined with other items, services, or activities having a total value of not less than 80 percent of the amount of the grant.

    ``(2) CERTIFICATIONS REGARDING DISTRIBUTION OF GRANT FUNDS TO LOCAL GOVERNMENTS.--A State shall certify to the Administrator that the State has made the distribution to local and tribal governments required under paragraph (1).

    ``(3) EXTENSION OF PERIOD.--The Governor of a State may request in writing that the Administrator extend the period under paragraph (1) for an additional period of time. The Administrator may approve such a request if the Administrator determines that the resulting delay in providing grant funding to the local and tribal governments is necessary to promote effective investments to prevent, prepare for, protect against, or respond to acts of terrorism.

    ``(4) EXCEPTION.--Paragraph (1) shall not apply to the District of Columbia, the Commonwealth of Puerto Rico, American Samoa, the Commonwealth of the Northern Mariana Islands, Guam, or the Virgin Islands.

    ``(5) DIRECT FUNDING.--If a State fails to make the distribution to local or tribal governments required under paragraph (1) in a timely fashion, a local or tribal government entitled to receive such distribution may petition the Administrator to request that grant funds be provided directly to the local or tribal government.

    ``(d) Multistate Applications.--

    ``(1) IN GENERAL.--Instead of, or in addition to, any application for a grant under subsection (b), 2 or more States may submit an application for a grant under this section in support of multistate efforts to prevent, prepare for, protect against, and respond to acts of terrorism.

    ``(2) ADMINISTRATION OF GRANT.--If a group of States applies for a grant under this section, such States shall submit to the Administrator at the time of application a plan describing--

    ``(A) the division of responsibilities for administering the grant; and

    ``(B) the distribution of funding among the States that are parties to the application.

    ``(e) Minimum Allocation.--

    ``(1) IN GENERAL.--In allocating funds under this section, the Administrator shall ensure that--

    ``(A) except as provided in subparagraph (B), each State receives, from the funds appropriated for the State Homeland Security Grant Program established under this section, not less than an amount equal to--

    ``(i) 0.375 percent of the total funds appropriated for grants under this section and section 2003 in fiscal year 2008;

    ``(ii) 0.365 percent of the total funds appropriated for grants under this section and section 2003 in fiscal year 2009;

    ``(iii) 0.36 percent of the total funds appropriated for grants under this section and section 2003 in fiscal year 2010;

    ``(iv) 0.355 percent of the total funds appropriated for grants under this section and section 2003 in fiscal year 2011; and

    ``(v) 0.35 percent of the total funds appropriated for grants under this section and section 2003 in fiscal year 2012 and in each fiscal year thereafter; and

    ``(B) for each fiscal year, American Samoa, the Commonwealth of the Northern Mariana Islands, Guam, and the Virgin Islands each receive, from the funds appropriated for the State Homeland Security Grant Program established under this section, not less than an amount equal to 0.08 percent of the total funds appropriated for grants under this section and section 2003.

    ``(2) EFFECT OF MULTISTATE AWARD ON STATE MINIMUM.--Any portion of a multistate award provided to a State under subsection (d) shall be considered in calculating the minimum State allocation under this subsection.

    ``(f) Authorization of Appropriations.--There are authorized to be appropriated for grants under this section--

    ``(1) $950,000,000 for each of fiscal years 2008 through 2012; and

    ``(2) such sums as are necessary for fiscal year 2013, and each fiscal year thereafter.

   ``SEC. 2005. GRANTS TO DIRECTLY ELIGIBLE TRIBES.

    ``(a) In General.--Notwithstanding section 2004(b), the Administrator may award grants to directly eligible tribes under section 2004.

    ``(b) Tribal Applications.--A directly eligible tribe may apply for a grant under section 2004 by submitting an application to the Administrator that includes, as appropriate, the information required for an application by a State under section 2004(b).

    ``(c) Consistency With State Plans.--

    ``(1) IN GENERAL.--To ensure consistency with any applicable State homeland security plan, a directly eligible tribe applying for a grant under section 2004 shall provide a copy of its application to each State within which any part of the tribe is located for review before the tribe submits such application to the Department.

    ``(2) OPPORTUNITY FOR COMMENT.--If the Governor of a State determines that the application of a directly eligible tribe is inconsistent with the State homeland security plan of that State, or otherwise does not support the application, not later than 30 days after the date of receipt of that application the Governor shall--

    ``(A) notify the Administrator, in writing, of that fact; and

    ``(B) provide an explanation of the reason for not supporting the application.

    ``(d) Final Authority.--The Administrator shall have final authority to approve any application of a directly eligible tribe. The Administrator shall notify each State within the boundaries of which any part of a directly eligible tribe is located of the approval of an application by the tribe.

    ``(e) Prioritization.--The Administrator shall allocate funds to directly eligible tribes in accordance with the factors applicable to allocating funds among States under section 2007.

    ``(f) Distribution of Awards to Directly Eligible Tribes.--If the Administrator awards funds to a directly eligible tribe under this section, the Administrator shall distribute the grant funds directly to the tribe and not through any State.

    ``(g) Minimum Allocation.--

    ``(1) IN GENERAL.--In allocating funds under this section, the Administrator shall ensure that, for each fiscal year, directly eligible tribes collectively receive, from the funds appropriated for the State Homeland Security Grant Program established under section 2004, not less than an

[Page: H8501]

amount equal to 0.1 percent of the total funds appropriated for grants under sections 2003 and 2004.

    ``(2) EXCEPTION.--This subsection shall not apply in any fiscal year in which the Administrator--

    ``(A) receives fewer than 5 applications under this section; or

    ``(B) does not approve at least 2 applications under this section.

    ``(h) Tribal Liaison.--A directly eligible tribe applying for a grant under section 2004 shall designate an individual to serve as a tribal liaison with the Department and other Federal, State, local, and regional government officials concerning preventing, preparing for, protecting against, and responding to acts of terrorism.

    ``(i) Eligibility for Other Funds.--A directly eligible tribe that receives a grant under section 2004 may receive funds for other purposes under a grant from the State or States within the boundaries of which any part of such tribe is located and from any high-risk urban area of which it is a part, consistent with the homeland security plan of the State or high-risk urban area.

    ``(j) State Obligations.--

    ``(1) IN GENERAL.--States shall be responsible for allocating grant funds received under section 2004 to tribal governments in order to help those tribal communities achieve target capabilities not achieved through grants to directly eligible tribes.

    ``(2) DISTRIBUTION OF GRANT FUNDS.--With respect to a grant to a State under section 2004, an Indian tribe shall be eligible for funding directly from that State, and shall not be required to seek funding from any local government.

    ``(3) IMPOSITION OF REQUIREMENTS.--A State may not impose unreasonable or unduly burdensome requirements on an Indian tribe as a condition of providing the Indian tribe with grant funds or resources under section 2004.

    ``(k) Rule of Construction.--Nothing in this section shall be construed to affect the authority of an Indian tribe that receives funds under this subtitle.

   ``SEC. 2006. TERRORISM PREVENTION.

    ``(a) Law Enforcement Terrorism Prevention Program.--

    ``(1) IN GENERAL.--The Administrator shall ensure that not less than 25 percent of the total combined funds appropriated for grants under sections 2003 and 2004 is used for law enforcement terrorism prevention activities.

    ``(2) LAW ENFORCEMENT TERRORISM PREVENTION ACTIVITIES.--Law enforcement terrorism prevention activities include--

    ``(A) information sharing and analysis;

    ``(B) target hardening;

    ``(C) threat recognition;

    ``(D) terrorist interdiction;

    ``(E) overtime expenses consistent with a State homeland security plan, including for the provision of enhanced law enforcement operations in support of Federal agencies, including for increased border security and border crossing enforcement;

    ``(F) establishing, enhancing, and staffing with appropriately qualified personnel State, local, and regional fusion centers that comply with the guidelines established under section 210A(i);

    ``(G) paying salaries and benefits for personnel, including individuals employed by the grant recipient on the date of the relevant grant application, to serve as qualified intelligence analysts;

    ``(H) any other activity permitted under the Fiscal Year 2007 Program Guidance of the Department for the Law Enforcement Terrorism Prevention Program; and

    ``(I) any other terrorism prevention activity authorized by the Administrator.

    ``(3) PARTICIPATION OF UNDERREPRESENTED COMMUNITIES IN FUSION CENTERS.--The Administrator shall ensure that grant funds described in paragraph (1) are used to support the participation, as appropriate, of law enforcement and other emergency response providers from rural and other underrepresented communities at risk from acts of terrorism in fusion centers.

    ``(b) Office for State and Local Law Enforcement.--

    ``(1) ESTABLISHMENT.--There is established in the Policy Directorate of the Department an Office for State and Local Law Enforcement, which shall be headed by an Assistant Secretary for State and Local Law Enforcement.

    ``(2) QUALIFICATIONS.--The Assistant Secretary for State and Local Law Enforcement shall have an appropriate background with experience in law enforcement, intelligence, and other counterterrorism functions.

    ``(3) ASSIGNMENT OF PERSONNEL.--The Secretary shall assign to the Office for State and Local Law Enforcement permanent staff and, as appropriate and consistent with sections 506(c)(2), 821, and 888(d), other appropriate personnel detailed from other components of the Department to carry out the responsibilities under this subsection.

    ``(4) RESPONSIBILITIES.--The Assistant Secretary for State and Local Law Enforcement shall--

    ``(A) lead the coordination of Department-wide policies relating to the role of State and local law enforcement in preventing, preparing for, protecting against, and responding to natural disasters, acts of terrorism, and other man-made disasters within the United States;

    ``(B) serve as a liaison between State, local, and tribal law enforcement agencies and the Department;

    ``(C) coordinate with the Office of Intelligence and Analysis to ensure the intelligence and information sharing requirements of State, local, and tribal law enforcement agencies are being addressed;

    ``(D) work with the Administrator to ensure that law enforcement and terrorism-focused grants to State, local, and tribal government agencies, including grants under sections 2003 and 2004, the Commercial Equipment Direct Assistance Program, and other grants administered by the Department to support fusion centers and law enforcement-oriented programs, are appropriately focused on terrorism prevention activities;

    ``(E) coordinate with the Science and Technology Directorate, the Federal Emergency Management Agency, the Department of Justice, the National Institute of Justice, law enforcement organizations, and other appropriate entities to support the development, promulgation, and updating, as necessary, of national voluntary consensus standards for training and personal protective equipment to be used in a tactical environment by law enforcement officers; and

    ``(F) conduct, jointly with the Administrator, a study to determine the efficacy and feasibility of establishing specialized law enforcement deployment teams to assist State, local, and tribal governments in responding to natural disasters, acts of terrorism, or other man-made disasters and report on the results of that study to the appropriate committees of Congress.

    ``(5) RULE OF CONSTRUCTION.--Nothing in this subsection shall be construed to diminish, supercede, or replace the responsibilities, authorities, or role of the Administrator.

   ``SEC. 2007. PRIORITIZATION.

    ``(a) In General.--In allocating funds among States and high-risk urban areas applying for grants under section 2003 or 2004, the Administrator shall consider, for each State or high-risk urban area--

    ``(1) its relative threat, vulnerability, and consequences from acts of terrorism, including consideration of--

    ``(A) its population, including appropriate consideration of military, tourist, and commuter populations;

    ``(B) its population density;

    ``(C) its history of threats, including whether it has been the target of a prior act of terrorism;

    ``(D) its degree of threat, vulnerability, and consequences related to critical infrastructure (for all critical infrastructure sectors) or key resources identified by the Administrator or the State homeland security plan, including threats, vulnerabilities, and consequences related to critical infrastructure or key resources in nearby jurisdictions;

    ``(E) the most current threat assessments available to the Department;

    ``(F) whether the State has, or the high-risk urban area is located at or near, an international border;

    ``(G) whether it has a coastline bordering an ocean (including the Gulf of Mexico) or international waters;

    ``(H) its likely need to respond to acts of terrorism occurring in nearby jurisdictions;

    ``(I) the extent to which it has unmet target capabilities;

    ``(J) in the case of a high-risk urban area, the extent to which that high-risk urban area includes--

    ``(i) those incorporated municipalities, counties, parishes, and Indian tribes within the relevant eligible metropolitan area, the inclusion of which will enhance regional efforts to prevent, prepare for, protect against, and respond to acts of terrorism; and

    ``(ii) other local and tribal governments in the surrounding area that are likely to be called upon to respond to acts of terrorism within the high-risk urban area; and

    ``(K) such other factors as are specified in writing by the Administrator; and

    ``(2) the anticipated effectiveness of the proposed use of the grant by the State or high-risk urban area in increasing the ability of that State or high-risk urban area to prevent, prepare for, protect against, and respond to acts of terrorism, to meet its target capabilities, and to otherwise reduce the overall risk to the high-risk urban area, the State, or the Nation.

    ``(b) Types of Threat.--In assessing threat under this section, the Administrator shall consider the following types of threat to critical infrastructure sectors and to populations in all areas of the United States, urban and rural:

    ``(1) Biological.

    ``(2) Chemical.

    ``(3) Cyber.

    ``(4) Explosives.

    ``(5) Incendiary.

    ``(6) Nuclear.

    ``(7) Radiological.

    ``(8) Suicide bombers.

    ``(9) Such other types of threat determined relevant by the Administrator.

   ``SEC. 2008. USE OF FUNDS.

    ``(a) Permitted Uses.--Grants awarded under section 2003 or 2004 may be used to achieve target capabilities related to preventing, preparing for, protecting against, and responding to acts of terrorism, consistent with a State homeland security plan and relevant local, tribal, and regional homeland security plans, through--

    ``(1) developing and enhancing homeland security, emergency management, or other relevant plans, assessments, or mutual aid agreements;

    ``(2) designing, conducting, and evaluating training and exercises, including training and exercises conducted under section 512 of this Act and section 648 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 748);

    ``(3) protecting a system or asset included on the prioritized critical infrastructure list established under section 210E(a)(2);

    ``(4) purchasing, upgrading, storing, or maintaining equipment, including computer hardware and software;

    ``(5) ensuring operability and achieving interoperability of emergency communications;

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    ``(6) responding to an increase in the threat level under the Homeland Security Advisory System, or to the needs resulting from a National Special Security Event;

    ``(7) establishing, enhancing, and staffing with appropriately qualified personnel State, local, and regional fusion centers that comply with the guidelines established under section 210A(i);

    ``(8) enhancing school preparedness;

    ``(9) supporting public safety answering points;

    ``(10) paying salaries and benefits for personnel, including individuals employed by the grant recipient on the date of the relevant grant application, to serve as qualified intelligence analysts;

    ``(11) paying expenses directly related to administration of the grant, except that such expenses may not exceed 3 percent of the amount of the grant;

    ``(12) any activity permitted under the Fiscal Year 2007 Program Guidance of the Department for the State Homeland Security Grant Program, the Urban Area Security Initiative (including activities permitted under the full-time counterterrorism staffing pilot), or the Law Enforcement Terrorism Prevention Program; and

    ``(13) any other appropriate activity, as determined by the Administrator.

    ``(b) Limitations on Use of Funds.--

    ``(1) IN GENERAL.--Funds provided under section 2003 or 2004 may not be used--

    ``(A) to supplant State or local funds, except that nothing in this paragraph shall prohibit the use of grant funds provided to a State or high-risk urban area for otherwise permissible uses under subsection (a) on the basis that a State or high-risk urban area has previously used State or local funds to support the same or similar uses; or

    ``(B) for any State or local government cost-sharing contribution.

    ``(2) PERSONNEL.--

    ``(A) IN GENERAL.--Not more than 50 percent of the amount awarded to a grant recipient under section 2003 or 2004 in any fiscal year may be used to pay for personnel, including overtime and backfill costs, in support of the permitted uses under subsection (a).

    ``(B) WAIVER.--At the request of the recipient of a grant under section 2003 or 2004, the Administrator may grant a waiver of the limitation under subparagraph (A).

    ``(3) CONSTRUCTION.--

    ``(A) IN GENERAL.--A grant awarded under section 2003 or 2004 may not be used to acquire land or to construct buildings or other physical facilities.

    ``(B) EXCEPTIONS.--

    ``(i) IN GENERAL.--Notwithstanding subparagraph (A), nothing in this paragraph shall prohibit the use of a grant awarded under section 2003 or 2004 to achieve target capabilities related to preventing, preparing for, protecting against, or responding to acts of terrorism, including through the alteration or remodeling of existing buildings for the purpose of making such buildings secure against acts of terrorism.

    ``(ii) REQUIREMENTS FOR EXCEPTION.--No grant awarded under section 2003 or 2004 may be used for a purpose described in clause (i) unless--

    ``(I) specifically approved by the Administrator;

    ``(II) any construction work occurs under terms and conditions consistent with the requirements under section 611(j)(9) of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5196(j)(9)); and

    ``(III) the amount allocated for purposes under clause (i) does not exceed the greater of $1,000,000 or 15 percent of the grant award.

    ``(4) RECREATION.--Grants awarded under this subtitle may not be used for recreational or social purposes.

    ``(c) Multiple-Purpose Funds.--Nothing in this subtitle shall be construed to prohibit State, local, or tribal governments from using grant funds under sections 2003 and 2004 in a manner that enhances preparedness for disasters unrelated to acts of terrorism, if such use assists such governments in achieving target capabilities related to preventing, preparing for, protecting against, or responding to acts of terrorism.

    ``(d) Reimbursement of Costs.--

    ``(1) PAID-ON-CALL OR VOLUNTEER REIMBURSEMENT.--In addition to the activities described in subsection (a), a grant under section 2003 or 2004 may be used to provide a reasonable stipend to paid-on-call or volunteer emergency response providers who are not otherwise compensated for travel to or participation in training or exercises related to the purposes of this subtitle. Any such reimbursement shall not be considered compensation for purposes of rendering an emergency response provider an employee under the Fair Labor Standards Act of 1938 (29 U.S.C. 201 et seq.).

    ``(2) PERFORMANCE OF FEDERAL DUTY.--An applicant for a grant under section 2003 or 2004 may petition the Administrator to use the funds from its grants under those sections for the reimbursement of the cost of any activity relating to preventing, preparing for, protecting against, or responding to acts of terrorism that is a Federal duty and usually performed by a Federal agency, and that is being performed by a State or local government under agreement with a Federal agency.

    ``(e) Flexibility in Unspent Homeland Security Grant Funds.--Upon request by the recipient of a grant under section 2003 or 2004, the Administrator may authorize the grant recipient to transfer all or part of the grant funds from uses specified in the grant agreement to other uses authorized under this section, if the Administrator determines that such transfer is in the interests of homeland security.

    ``(f) Equipment Standards.--If an applicant for a grant under section 2003 or 2004 proposes to upgrade or purchase, with assistance provided under that grant, new equipment or systems that do not meet or exceed any applicable national voluntary consensus standards developed under section 647 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 747), the applicant shall include in its application an explanation of why such equipment or systems will serve the needs of the applicant better than equipment or systems that meet or exceed such standards.

   

``Subtitle B--Grants Administration

   ``SEC. 2021. ADMINISTRATION AND COORDINATION.

    ``(a) Regional Coordination.--The Administrator shall ensure that--

    ``(1) all recipients of grants administered by the Department to prevent, prepare for, protect against, or respond to natural disasters, acts of terrorism, or other man-made disasters (excluding assistance provided under section 203, title IV, or title V of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5133, 5170 et seq., and 5191 et seq.)) coordinate, as appropriate, their prevention, preparedness, and protection efforts with neighboring State, local, and tribal governments; and

    ``(2) all high-risk urban areas and other recipients of grants administered by the Department to prevent, prepare for, protect against, or respond to natural disasters, acts of terrorism, or other man-made disasters (excluding assistance provided under section 203, title IV, or title V of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5133, 5170 et seq., and 5191 et seq.)) that include or substantially affect parts or all of more than 1 State coordinate, as appropriate, across State boundaries, including, where appropriate, through the use of regional working groups and requirements for regional plans.

    ``(b) Planning Committees.--

    ``(1) IN GENERAL.--Any State or high-risk urban area receiving a grant under section 2003 or 2004 shall establish a planning committee to assist in preparation and revision of the State, regional, or local homeland security plan and to assist in determining effective funding priorities for grants under sections 2003 and 2004.

    ``(2) COMPOSITION.--

    ``(A) IN GENERAL.--The planning committee shall include representatives of significant stakeholders, including--

    ``(i) local and tribal government officials; and

    ``(ii) emergency response providers, which shall include representatives of the fire service, law enforcement, emergency medical response, and emergency managers.

    ``(B) GEOGRAPHIC REPRESENTATION.--The members of the planning committee shall be a representative group of individuals from the counties, cities, towns, and Indian tribes within the State or high-risk urban area, including, as appropriate, representatives of rural, high-population, and high-threat jurisdictions.

    ``(3) EXISTING PLANNING COMMITTEES.--Nothing in this subsection may be construed to require that any State or high-risk urban area create a planning committee if that State or high-risk urban area has established and uses a multijurisdictional planning committee or commission that meets the requirements of this subsection.

    ``(c) Interagency Coordination.--

    ``(1) IN GENERAL.--Not later than 12 months after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the Secretary (acting through the Administrator), the Attorney General, the Secretary of Health and Human Services, and the heads of other agencies providing assistance to State, local, and tribal governments for preventing, preparing for, protecting against, and responding to natural disasters, acts of terrorism, and other man-made disasters, shall jointly--

    ``(A) compile a comprehensive list of Federal grant programs for State, local, and tribal governments for preventing, preparing for, protecting against, and responding to natural disasters, acts of terrorism, and other man-made disasters;

    ``(B) compile the planning, reporting, application, and other requirements and guidance for the grant programs described in subparagraph (A);

    ``(C) develop recommendations, as appropriate, to--

    ``(i) eliminate redundant and duplicative requirements for State, local, and tribal governments, including onerous application and ongoing reporting requirements;

    ``(ii) ensure accountability of the programs to the intended purposes of such programs;

    ``(iii) coordinate allocation of grant funds to avoid duplicative or inconsistent purchases by the recipients;

    ``(iv) make the programs more accessible and user friendly to applicants; and

    ``(v) ensure the programs are coordinated to enhance the overall preparedness of the Nation;

    ``(D) submit the information and recommendations under subparagraphs (A), (B), and (C) to the appropriate committees of Congress; and

    ``(E) provide the appropriate committees of Congress, the Comptroller General, and any officer or employee of the Government Accountability Office with full access to any information collected or reviewed in preparing the submission under subparagraph (D).

    ``(2) SCOPE OF TASK.--Nothing in this subsection shall authorize the elimination, or the alteration of the purposes, as delineated by statute, regulation, or guidance, of any grant program that exists on the date of the enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, nor authorize the review or preparation of proposals on the elimination, or the alteration of such purposes, of any such grant program.

    ``(d) Sense of Congress.--It is the sense of Congress that, in order to ensure that the Nation is most effectively able to prevent, prepare

[Page: H8503]

for, protect against, and respond to all hazards, including natural disasters, acts of terrorism, and other man-made disasters--

    ``(1) the Department should administer a coherent and coordinated system of both terrorism-focused and all-hazards grants;

    ``(2) there should be a continuing and appropriate balance between funding for terrorism-focused and all-hazards preparedness, as reflected in the authorizations of appropriations for grants under the amendments made by titles I and II, as applicable, of the Implementing Recommendations of the 9/11 Commission Act of 2007; and

    ``(3) with respect to terrorism-focused grants, it is necessary to ensure both that the target capabilities of the highest risk areas are achieved quickly and that basic levels of preparedness, as measured by the attainment of target capabilities, are achieved nationwide.

   ``SEC. 2022. ACCOUNTABILITY.

    ``(a) Audits of Grant Programs.--

    ``(1) COMPLIANCE REQUIREMENTS.--

    ``(A) AUDIT REQUIREMENT.--Each recipient of a grant administered by the Department that expends not less than $500,000 in Federal funds during its fiscal year shall submit to the Administrator a copy of the organization-wide financial and compliance audit report required under chapter 75 of title 31, United States Code.

    ``(B) ACCESS TO INFORMATION.--The Department and each recipient of a grant administered by the Department shall provide the Comptroller General and any officer or employee of the Government Accountability Office with full access to information regarding the activities carried out related to any grant administered by the Department.

    ``(C) IMPROPER PAYMENTS.--Consistent with the Improper Payments Information Act of 2002 (31 U.S.C. 3321 note), for each of the grant programs under sections 2003 and 2004 of this title and section 662 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 762), the Administrator shall specify policies and procedures for--

    ``(i) identifying activities funded under any such grant program that are susceptible to significant improper payments; and

    ``(ii) reporting any improper payments to the Department.

    ``(2) AGENCY PROGRAM REVIEW.--

    ``(A) IN GENERAL.--Not less than once every 2 years, the Administrator shall conduct, for each State and high-risk urban area receiving a grant administered by the Department, a programmatic and financial review of all grants awarded by the Department to prevent, prepare for, protect against, or respond to natural disasters, acts of terrorism, or other man-made disasters, excluding assistance provided under section 203, title IV, or title V of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5133, 5170 et seq., and 5191 et seq.).

    ``(B) CONTENTS.--Each review under subparagraph (A) shall, at a minimum, examine--

    ``(i) whether the funds awarded were used in accordance with the law, program guidance, and State homeland security plans or other applicable plans; and

    ``(ii) the extent to which funds awarded enhanced the ability of a grantee to prevent, prepare for, protect against, and respond to natural disasters, acts of terrorism, and other man-made disasters.

    ``(C) AUTHORIZATION OF APPROPRIATIONS.--In addition to any other amounts authorized to be appropriated to the Administrator, there are authorized to be appropriated to the Administrator for reviews under this paragraph--

    ``(i) $8,000,000 for each of fiscal years 2008, 2009, and 2010; and

    ``(ii) such sums as are necessary for fiscal year 2011, and each fiscal year thereafter.

    ``(3) OFFICE OF INSPECTOR GENERAL PERFORMANCE AUDITS.--

    ``(A) IN GENERAL.--In order to ensure the effective and appropriate use of grants administered by the Department, the Inspector General of the Department each year shall conduct audits of a sample of States and high-risk urban areas that receive grants administered by the Department to prevent, prepare for, protect against, or respond to natural disasters, acts of terrorism, or other man-made disasters, excluding assistance provided under section 203, title IV, or title V of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5133, 5170 et seq., and 5191 et seq.).

    ``(B) DETERMINING SAMPLES.--The sample selected for audits under subparagraph (A) shall be--

    ``(i) of an appropriate size to--

    ``(I) assess the overall integrity of the grant programs described in subparagraph (A); and

    ``(II) act as a deterrent to financial mismanagement; and

    ``(ii) selected based on--

    ``(I) the size of the grants awarded to the recipient;

    ``(II) the past grant management performance of the recipient;

    ``(III) concerns identified by the Administrator, including referrals from the Administrator; and

    ``(IV) such other factors as determined by the Inspector General of the Department.

    ``(C) COMPREHENSIVE AUDITING.--During the 7-year period beginning on the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the Inspector General of the Department shall conduct not fewer than 1 audit of each State that receives funds under a grant under section 2003 or 2004.

    ``(D) REPORT BY THE INSPECTOR GENERAL.--

    ``(i) IN GENERAL.--The Inspector General of the Department shall submit to the appropriate committees of Congress an annual consolidated report regarding the audits completed during the fiscal year before the date of that report.

    ``(ii) CONTENTS.--Each report submitted under clause (i) shall describe, for the fiscal year before the date of that report--

    ``(I) the audits conducted under subparagraph (A);

    ``(II) the findings of the Inspector General with respect to the audits conducted under subparagraph (A);

    ``(III) whether the funds awarded were used in accordance with the law, program guidance, and State homeland security plans and other applicable plans; and

    ``(IV) the extent to which funds awarded enhanced the ability of a grantee to prevent, prepare for, protect against, and respond to natural disasters, acts of terrorism and other man-made disasters.

    ``(iii) DEADLINE.--For each year, the report required under clause (i) shall be submitted not later than December 31.

    ``(E) PUBLIC AVAILABILITY ON WEBSITE.--The Inspector General of the Department shall make each audit conducted under subparagraph (A) available on the website of the Inspector General, subject to redaction as the Inspector General determines necessary to protect classified and other sensitive information.

    ``(F) PROVISION OF INFORMATION TO ADMINISTRATOR.--The Inspector General of the Department shall provide to the Administrator any findings and recommendations from audits conducted under subparagraph (A).

    ``(G) EVALUATION OF GRANTS MANAGEMENT AND OVERSIGHT.--Not later than 1 year after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the Inspector General of the Department shall review and evaluate the grants management and oversight practices of the Federal Emergency Management Agency, including assessment of and recommendations relating to--

    ``(i) the skills, resources, and capabilities of the workforce; and

    ``(ii) any additional resources and staff necessary to carry out such management and oversight.

    ``(H) AUTHORIZATION OF APPROPRIATIONS.--In addition to any other amounts authorized to be appropriated to the Inspector General of the Department, there are authorized to be appropriated to the Inspector General of the Department for audits under subparagraph (A)--

    ``(i) $8,500,000 for each of fiscal years 2008, 2009, and 2010; and

    ``(ii) such sums as are necessary for fiscal year 2011, and each fiscal year thereafter.

    ``(4) PERFORMANCE ASSESSMENT.--In order to ensure that States and high-risk urban areas are using grants administered by the Department appropriately to meet target capabilities and preparedness priorities, the Administrator shall--

    ``(A) ensure that any such State or high-risk urban area conducts or participates in exercises under section 648(b) of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 748(b));

    ``(B) use performance metrics in accordance with the comprehensive assessment system under section 649 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 749) and ensure that any such State or high-risk urban area regularly tests its progress against such metrics through the exercises required under subparagraph (A);

    ``(C) use the remedial action management program under section 650 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 750); and

    ``(D) ensure that each State receiving a grant administered by the Department submits a report to the Administrator on its level of preparedness, as required by section 652(c) of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 752(c)).

    ``(5) CONSIDERATION OF ASSESSMENTS.--In conducting program reviews and performance audits under paragraphs (2) and (3), the Administrator and the Inspector General of the Department shall take into account the performance assessment elements required under paragraph (4).

    ``(6) RECOVERY AUDITS.--The Administrator shall conduct a recovery audit (as that term is defined by the Director of the Office of Management and Budget under section 3561 of title 31, United States Code) for any grant administered by the Department with a total value of not less than $1,000,000, if the Administrator finds that--

    ``(A) a financial audit has identified improper payments that can be recouped; and

    ``(B) it is cost effective to conduct a recovery audit to recapture the targeted funds.

    ``(7) REMEDIES FOR NONCOMPLIANCE.--

    ``(A) IN GENERAL.--If, as a result of a review or audit under this subsection or otherwise, the Administrator finds that a recipient of a grant under this title has failed to substantially comply with any provision of law or with any regulations or guidelines of the Department regarding eligible expenditures, the Administrator shall--

    ``(i) reduce the amount of payment of grant funds to the recipient by an amount equal to the amount of grants funds that were not properly expended by the recipient;

    ``(ii) limit the use of grant funds to programs, projects, or activities not affected by the failure to comply;

    ``(iii) refer the matter to the Inspector General of the Department for further investigation;

    ``(iv) terminate any payment of grant funds to be made to the recipient; or

    ``(v) take such other action as the Administrator determines appropriate.

    ``(B) DURATION OF PENALTY.--The Administrator shall apply an appropriate penalty under subparagraph (A) until such time as the Administrator determines that the grant recipient is in full compliance with the law and with applicable guidelines or regulations of the Department.

    ``(b) Reports by Grant Recipients.--

    ``(1) QUARTERLY REPORTS ON HOMELAND SECURITY SPENDING.--

[Page: H8504]

    ``(A) IN GENERAL.--As a condition of receiving a grant under section 2003 or 2004, a State, high-risk urban area, or directly eligible tribe shall, not later than 30 days after the end of each Federal fiscal quarter, submit to the Administrator a report on activities performed using grant funds during that fiscal quarter.

    ``(B) CONTENTS.--Each report submitted under subparagraph (A) shall at a minimum include, for the applicable State, high-risk urban area, or directly eligible tribe, and each subgrantee thereof--

    ``(i) the amount obligated to that recipient under section 2003 or 2004 in that quarter;

    ``(ii) the amount of funds received and expended under section 2003 or 2004 by that recipient in that quarter; and

    ``(iii) a summary description of expenditures made by that recipient using such funds, and the purposes for which such expenditures were made.

    ``(C) END-OF-YEAR REPORT.--The report submitted under subparagraph (A) by a State, high-risk urban area, or directly eligible tribe relating to the last quarter of any fiscal year shall include--

    ``(i) the amount and date of receipt of all funds received under the grant during that fiscal year;

    ``(ii) the identity of, and amount provided to, any subgrantee for that grant during that fiscal year;

    ``(iii) the amount and the dates of disbursements of all such funds expended in compliance with section 2021(a)(1) or under mutual aid agreements or other sharing arrangements that apply within the State, high-risk urban area, or directly eligible tribe, as applicable, during that fiscal year; and

    ``(iv) how the funds were used by each recipient or subgrantee during that fiscal year.

    ``(2) ANNUAL REPORT.--Any State applying for a grant under section 2004 shall submit to the Administrator annually a State preparedness report, as required by section 652(c) of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 752(c)).

    ``(c) Reports by the Administrator.--

    ``(1) FEDERAL PREPAREDNESS REPORT.--The Administrator shall submit to the appropriate committees of Congress annually the Federal Preparedness Report required under section 652(a) of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 752(a)).

    ``(2) RISK ASSESSMENT.--

    ``(A) IN GENERAL.--For each fiscal year, the Administrator shall provide to the appropriate committees of Congress a detailed and comprehensive explanation of the methodologies used to calculate risk and compute the allocation of funds for grants administered by the Department, including--

    ``(i) all variables included in the risk assessment and the weights assigned to each such variable;

    ``(ii) an explanation of how each such variable, as weighted, correlates to risk, and the basis for concluding there is such a correlation; and

    ``(iii) any change in the methodologies from the previous fiscal year, including changes in variables considered, weighting of those variables, and computational methods.

    ``(B) CLASSIFIED ANNEX.--The information required under subparagraph (A) shall be provided in unclassified form to the greatest extent possible, and may include a classified annex if necessary.

    ``(C) DEADLINE.--For each fiscal year, the information required under subparagraph (A) shall be provided on the earlier of--

    ``(i) October 31; or

    ``(ii) 30 days before the issuance of any program guidance for grants administered by the Department.

    ``(3) TRIBAL FUNDING REPORT.--At the end of each fiscal year, the Administrator shall submit to the appropriate committees of Congress a report setting forth the amount of funding provided during that fiscal year to Indian tribes under any grant program administered by the Department, whether provided directly or through a subgrant from a State or high-risk urban area.''.

   SEC. 102. OTHER AMENDMENTS TO THE HOMELAND SECURITY ACT OF 2002.

    (a) National Advisory Council.--Section 508(b) of the Homeland Security Act of 2002 (6 U.S.C. 318(b)) is amended--

    (1) by striking ``The National Advisory'' the first place that term appears and inserting the following:

    ``(1) IN GENERAL.--The National Advisory''; and

    (2) by adding at the end the following:

    ``(2) CONSULTATION ON GRANTS.--To ensure input from and coordination with State, local, and tribal governments and emergency response providers, the Administrator shall regularly consult and work with the National Advisory Council on the administration and assessment of grant programs administered by the Department, including with respect to the development of program guidance and the development and evaluation of risk-assessment methodologies, as appropriate.''.

    (b) Evacuation Planning.--Section 512(b)(5)(A) of the Homeland Security Act of 2002 (6 U.S.C. 321a(b)(5)(A)) is amended by inserting ``, including the elderly'' after ``needs''.

   SEC. 103. AMENDMENTS TO THE POST-KATRINA EMERGENCY MANAGEMENT REFORM ACT OF 2006.

    (a) Funding Efficacy.--Section 652(a)(2) of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 752(a)(2)) is amended--

    (1) in subparagraph (C), by striking ``and'' at the end;

    (2) in subparagraph (D), by striking the period at the end and inserting ``; and''; and

    (3) by adding at the end the following:

    ``(E) an evaluation of the extent to which grants administered by the Department, including grants under title XX of the Homeland Security Act of 2002--

    ``(i) have contributed to the progress of State, local, and tribal governments in achieving target capabilities; and

    ``(ii) have led to the reduction of risk from natural disasters, acts of terrorism, or other man-made disasters nationally and in State, local, and tribal jurisdictions.''.

    (b) State Preparedness Report.--Section 652(c)(2)(D) of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 752(c)(2)(D)) is amended by striking ``an assessment of resource needs'' and inserting ``a discussion of the extent to which target capabilities identified in the applicable State homeland security plan and other applicable plans remain unmet and an assessment of resources needed''.

   SEC. 104. TECHNICAL AND CONFORMING AMENDMENTS.

    (a) In General.--The Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended--

    (1) by redesignating title XVIII, as added by the SAFE Port Act (Public Law 109-347; 120 Stat. 1884), as title XIX;

    (2) by redesignating sections 1801 through 1806, as added by the SAFE Port Act (Public Law 109-347; 120 Stat. 1884), as sections 1901 through 1906, respectively;

    (3) in section 1904(a), as so redesignated, by striking ``section 1802'' and inserting ``section 1902'';

    (4) in section 1906, as so redesignated, by striking ``section 1802(a)'' each place that term appears and inserting ``section 1902(a)''; and

    (5) in the table of contents in section 1(b), by striking the items relating to title XVIII and sections 1801 through 1806, as added by the SAFE Port Act (Public Law 109-347; 120 Stat. 1884), and inserting the following:

   ``TITLE XIX--DOMESTIC NUCLEAR DETECTION OFFICE

   ``Sec..1901..Domestic Nuclear Detection Office.

   ``Sec..1902..Mission of Office.

   ``Sec..1903..Hiring authority.

   ``Sec..1904..Testing authority.

   ``Sec..1905..Relationship to other Department entities and Federal agencies.

   ``Sec..1906..Contracting and grant making authorities.

   ``TITLE XX--HOMELAND SECURITY GRANTS

   ``Sec..2001..Definitions.

   ``Subtitle A--Grants to States and High-Risk Urban Areas

   ``Sec..2002..Homeland Security Grant Programs.

   ``Sec..2003..Urban Area Security Initiative.

   ``Sec..2004..State Homeland Security Grant Program.

   ``Sec..2005..Grants to directly eligible tribes.

   ``Sec..2006..Terrorism prevention.

   ``Sec..2007..Prioritization.

   ``Sec..2008..Use of funds.

   ``Subtitle B--Grants Administration

   ``Sec..2021..Administration and coordination.

   ``Sec..2022..Accountability.''.

   

TITLE II--EMERGENCY MANAGEMENT PERFORMANCE GRANTS

   SEC. 201. EMERGENCY MANAGEMENT PERFORMANCE GRANT PROGRAM.

    Section 662 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 762) is amended to read as follows:

   ``SEC. 662. EMERGENCY MANAGEMENT PERFORMANCE GRANTS PROGRAM.

    ``(a) Definitions.--In this section--

    ``(1) the term `program' means the emergency management performance grants program described in subsection (b); and

    ``(2) the term `State' has the meaning given that term in section 102 of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5122).

    ``(b) In General.--The Administrator of the Federal Emergency Management Agency shall continue implementation of an emergency management performance grants program, to make grants to States to assist State, local, and tribal governments in preparing for all hazards, as authorized by the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5121 et seq.).

    ``(c) Federal Share.--Except as otherwise specifically provided by title VI of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5121 et seq.), the Federal share of the cost of an activity carried out using funds made available under the program shall not exceed 50 percent.

    ``(d) Apportionment.--For fiscal year 2008, and each fiscal year thereafter, the Administrator shall apportion the amounts appropriated to carry out the program among the States as follows:

    ``(1) BASELINE AMOUNT.--The Administrator shall first apportion 0.25 percent of such amounts to each of American Samoa, the Commonwealth of the Northern Mariana Islands, Guam, and the Virgin Islands and 0.75 percent of such amounts to each of the remaining States.

    ``(2) REMAINDER.--The Administrator shall apportion the remainder of such amounts in the ratio that--

    ``(A) the population of each State; bears to

    ``(B) the population of all States.

    ``(e) Consistency in Allocation.--Notwithstanding subsection (d), in any fiscal year before fiscal year 2013 in which the appropriation for grants under this section is equal to or greater than the appropriation for emergency management performance grants in fiscal year 2007, no State shall receive an amount under this section for that fiscal year less than the amount that State received in fiscal year 2007.

    ``(f) Authorization of Appropriations.--There is authorized to be appropriated to carry out the program--

    ``(1) for fiscal year 2008, $400,000,000;

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    ``(2) for fiscal year 2009, $535,000,000;

    ``(3) for fiscal year 2010, $680,000,000;

    ``(4) for fiscal year 2011, $815,000,000; and

    ``(5) for fiscal year 2012, $950,000,000.''.

   SEC. 202. GRANTS FOR CONSTRUCTION OF EMERGENCY OPERATIONS CENTERS.

    Section 614 of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5196c) is amended to read as follows:

   ``SEC. 614. GRANTS FOR CONSTRUCTION OF EMERGENCY OPERATIONS CENTERS.

    ``(a) Grants.--The Administrator of the Federal Emergency Management Agency may make grants to States under this title for equipping, upgrading, and constructing State and local emergency operations centers.

    ``(b) Federal Share.--Notwithstanding any other provision of this title, the Federal share of the cost of an activity carried out using amounts from grants made under this section shall not exceed 75 percent.''.

   

TITLE III--ENSURING COMMUNICATIONS INTEROPERABILITY FOR FIRST RESPONDERS

   SEC. 301. INTEROPERABLE EMERGENCY COMMUNICATIONS GRANT PROGRAM.

    (a) Establishment.--Title XVIII of the Homeland Security Act of 2002 (6 U.S.C. 571 et seq.) is amended by adding at the end the following new section:

   ``SEC. 1809. INTEROPERABLE EMERGENCY COMMUNICATIONS GRANT PROGRAM.

    ``(a) Establishment.--The Secretary shall establish the Interoperable Emergency Communications Grant Program to make grants to States to carry out initiatives to improve local, tribal, statewide, regional, national and, where appropriate, international interoperable emergency communications, including communications in collective response to natural disasters, acts of terrorism, and other man-made disasters.

    ``(b) Policy.--The Director for Emergency Communications shall ensure that a grant awarded to a State under this section is consistent with the policies established pursuant to the responsibilities and authorities of the Office of Emergency Communications under this title, including ensuring that activities funded by the grant--

    ``(1) comply with the statewide plan for that State required by section 7303(f) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(f)); and

    ``(2) comply with the National Emergency Communications Plan under section 1802, when completed.

    ``(c) Administration.--

    ``(1) IN GENERAL.--The Administrator of the Federal Emergency Management Agency shall administer the Interoperable Emergency Communications Grant Program pursuant to the responsibilities and authorities of the Administrator under title V of the Act.

    ``(2) GUIDANCE.--In administering the grant program, the Administrator shall ensure that the use of grants is consistent with guidance established by the Director of Emergency Communications pursuant to section 7303(a)(1)(H) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(a)(1)(H)).

    ``(d) Use of Funds.--A State that receives a grant under this section shall use the grant to implement that State's Statewide Interoperability Plan required under section 7303(f) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(f)) and approved under subsection (e), and to assist with activities determined by the Secretary to be integral to interoperable emergency communications.

    ``(e) Approval of Plans.--

    ``(1) APPROVAL AS CONDITION OF GRANT.--Before a State may receive a grant under this section, the Director of Emergency Communications shall approve the State's Statewide Interoperable Communications Plan required under section 7303(f) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(f)).

    ``(2) PLAN REQUIREMENTS.--In approving a plan under this subsection, the Director of Emergency Communications shall ensure that the plan--

    ``(A) is designed to improve interoperability at the city, county, regional, State and interstate level;

    ``(B) considers any applicable local or regional plan; and

    ``(C) complies, to the maximum extent practicable, with the National Emergency Communications Plan under section 1802.

    ``(3) APPROVAL OF REVISIONS.--The Director of Emergency Communications may approve revisions to a State's plan if the Director determines that doing so is likely to further interoperability.

    ``(f) Limitations on Uses of Funds.--

    ``(1) IN GENERAL.--The recipient of a grant under this section may not use the grant--

    ``(A) to supplant State or local funds;

    ``(B) for any State or local government cost-sharing contribution; or

    ``(C) for recreational or social purposes.

    ``(2) PENALTIES.--In addition to other remedies currently available, the Secretary may take such actions as necessary to ensure that recipients of grant funds are using the funds for the purpose for which they were intended.

    ``(g) Limitations on Award of Grants.--

    ``(1) NATIONAL EMERGENCY COMMUNICATIONS PLAN REQUIRED.--The Secretary may not award a grant under this section before the date on which the Secretary completes and submits to Congress the National Emergency Communications Plan required under section 1802.

    ``(2) VOLUNTARY CONSENSUS STANDARDS.--The Secretary may not award a grant to a State under this section for the purchase of equipment that does not meet applicable voluntary consensus standards, unless the State demonstrates that there are compelling reasons for such purchase.

    ``(h) Award of Grants.--In approving applications and awarding grants under this section, the Secretary shall consider--

    ``(1) the risk posed to each State by natural disasters, acts of terrorism, or other manmade disasters, including--

    ``(A) the likely need of a jurisdiction within the State to respond to such risk in nearby jurisdictions;

    ``(B) the degree of threat, vulnerability, and consequences related to critical infrastructure (from all critical infrastructure sectors) or key resources identified by the Administrator or the State homeland security and emergency management plans, including threats to, vulnerabilities of, and consequences from damage to critical infrastructure and key resources in nearby jurisdictions;

    ``(C) the size of the population and density of the population of the State, including appropriate consideration of military, tourist, and commuter populations;

    ``(D) whether the State is on or near an international border;

    ``(E) whether the State encompasses an economically significant border crossing; and

    ``(F) whether the State has a coastline bordering an ocean, a major waterway used for interstate commerce, or international waters, and

    ``(2) the anticipated effectiveness of the State's proposed use of grant funds to improve interoperability.

    ``(i) Opportunity to Amend Applications.--In considering applications for grants under this section, the Administrator shall provide applicants with a reasonable opportunity to correct defects in the application, if any, before making final awards.

    ``(j) Minimum Grant Amounts.--

    ``(1) STATES.--In awarding grants under this section, the Secretary shall ensure that for each fiscal year, except as provided in paragraph (2), no State receives a grant in an amount that is less than the following percentage of the total amount appropriated for grants under this section for that fiscal year:

    ``(A) For fiscal year 2008, 0.50 percent.

    ``(B) For fiscal year 2009, 0.50 percent.

    ``(C) For fiscal year 2010, 0.45 percent.

    ``(D) For fiscal year 2011, 0.40 percent.

    ``(E) For fiscal year 2012 and each subsequent fiscal year, 0.35 percent.

    ``(2) TERRITORIES AND POSSESSIONS.--In awarding grants under this section, the Secretary shall ensure that for each fiscal year, American Samoa, the Commonwealth of the Northern Mariana Islands, Guam, and the Virgin Islands each receive grants in amounts that are not less than 0.08 percent of the total amount appropriated for grants under this section for that fiscal year.

    ``(k) Certification.--Each State that receives a grant under this section shall certify that the grant is used for the purpose for which the funds were intended and in compliance with the State's approved Statewide Interoperable Communications Plan.

    ``(l) State Responsibilities.--

    ``(1) AVAILABILITY OF FUNDS TO LOCAL AND TRIBAL GOVERNMENTS.--Not later than 45 days after receiving grant funds, any State that receives a grant under this section shall obligate or otherwise make available to local and tribal governments--

    ``(A) not less than 80 percent of the grant funds;

    ``(B) with the consent of local and tribal governments, eligible expenditures having a value of not less than 80 percent of the amount of the grant; or

    ``(C) grant funds combined with other eligible expenditures having a total value of not less than 80 percent of the amount of the grant.

    ``(2) ALLOCATION OF FUNDS.--A State that receives a grant under this section shall allocate grant funds to tribal governments in the State to assist tribal communities in improving interoperable communications, in a manner consistent with the Statewide Interoperable Communications Plan. A State may not impose unreasonable or unduly burdensome requirements on a tribal government as a condition of providing grant funds or resources to the tribal government.

    ``(3) PENALTIES.--If a State violates the requirements of this subsection, in addition to other remedies available to the Secretary, the Secretary may terminate or reduce the amount of the grant awarded to that State or transfer grant funds previously awarded to the State directly to the appropriate local or tribal government.

    ``(m) Reports.--

    ``(1) ANNUAL REPORTS BY STATE GRANT RECIPIENTS.--A State that receives a grant under this section shall annually submit to the Director of Emergency Communications a report on the progress of the State in implementing that State's Statewide Interoperable Communications Plans required under section 7303(f) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(f)) and achieving interoperability at the city, county, regional, State, and interstate levels. The Director shall make the reports publicly available, including by making them available on the Internet website of the Office of Emergency Communications, subject to any redactions that the Director determines are necessary to protect classified or other sensitive information.

    ``(2) ANNUAL REPORTS TO CONGRESS.--At least once each year, the Director of Emergency Communications shall submit to Congress a report on the use of grants awarded under this section and any progress in implementing Statewide Interoperable Communications Plans and improving interoperability at the city, county, regional, State, and interstate level, as a result of the award of such grants.

    ``(n) Rule of Construction.--Nothing in this section shall be construed or interpreted to preclude a State from using a grant awarded under

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this section for interim or long-term Internet Protocol-based interoperable solutions.

    ``(o) Authorization of Appropriations.--There are authorized to be appropriated for grants under this section--

    ``(1) for fiscal year 2008, such sums as may be necessary;

    ``(2) for each of fiscal years 2009 through 2012, $400,000,000; and

    ``(3) for each subsequent fiscal year, such sums as may be necessary.''.

    (b) Clerical Amendment.-- The table of contents in section l(b) of such Act is amended by inserting after the item relating to section 1808 the following:

   ``Sec..1809..Interoperable Emergency Communications Grant Program.''.

    (c) Interoperable Communications Plans.--Section 7303 of the Intelligence Reform and Terrorist Prevention Act of 2004 (6 U.S.C. 194) is amended--

    (1) in subsection (f)--

    (A) in paragraph (4), by striking ``and'' at the end;

    (B) in paragraph (5), by striking the period at the end and inserting a semicolon; and

    (C) by adding at the end the following:

    ``(6) include information on the governance structure used to develop the plan, including such information about all agencies and organizations that participated in developing the plan and the scope and timeframe of the plan; and

    ``(7) describe the method by which multi-jurisdictional, multidisciplinary input is provided from all regions of the jurisdiction, including any high-threat urban areas located in the jurisdiction, and the process for continuing to incorporate such input.'';

    (2) in subsection (g)(1), by striking ``or video'' and inserting ``and video''.

    (d) National Emergency Communications Plan.--Section 1802(c) of the Homeland Security Act of 2002 (6 U.S.C. 652(c)) is amended--

    (1) in paragraph (8), by striking ``and'' at the end;

    (2) in paragraph (9), by striking the period at the end and inserting ``; and''; and

    (3) by adding at the end the following:

    ``(10) set a date, including interim benchmarks, as appropriate, by which State, local, and tribal governments, Federal departments and agencies, and emergency response providers expect to achieve a baseline level of national interoperable communications, as that term is defined under section 7303(g)(1) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(g)(1)).''.

   SEC. 302. BORDER INTEROPERABILITY DEMONSTRATION PROJECT.

    (a) In General.--Title XVIII of the Homeland Security Act of 2002 (6 U.S.C. 571 et seq.) is amended by adding at the end the following new section:

   ``SEC. 1810. BORDER INTEROPERABILITY DEMONSTRATION PROJECT.

    ``(a) In General.--

    ``(1) ESTABLISHMENT.--The Secretary, acting through the Director of the Office of Emergency Communications (referred to in this section as the `Director'), and in coordination with the Federal Communications Commission and the Secretary of Commerce, shall establish an International Border Community Interoperable Communications Demonstration Project (referred to in this section as the `demonstration project').

    ``(2) MINIMUM NUMBER OF COMMUNITIES.--The Director shall select no fewer than 6 communities to participate in a demonstration project.

    ``(3) LOCATION OF COMMUNITIES.--No fewer than 3 of the communities selected under paragraph (2) shall be located on the northern border of the United States and no fewer than 3 of the communities selected under paragraph (2) shall be located on the southern border of the United States.

    ``(b) Conditions.--The Director, in coordination with the Federal Communications Commission and the Secretary of Commerce, shall ensure that the project is carried out as soon as adequate spectrum is available as a result of the 800 megahertz rebanding process in border areas, and shall ensure that the border projects do not impair or impede the rebanding process, but under no circumstances shall funds be distributed under this section unless the Federal Communications Commission and the Secretary of Commerce agree that these conditions have been met.

    ``(c) Program Requirements.--Consistent with the responsibilities of the Office of Emergency Communications under section 1801, the Director shall foster local, tribal, State, and Federal interoperable emergency communications, as well as interoperable emergency communications with appropriate Canadian and Mexican authorities in the communities selected for the demonstration project. The Director shall--

    ``(1) identify solutions to facilitate interoperable communications across national borders expeditiously;

    ``(2) help ensure that emergency response providers can communicate with each other in the event of natural disasters, acts of terrorism, and other man-made disasters;

    ``(3) provide technical assistance to enable emergency response providers to deal with threats and contingencies in a variety of environments;

    ``(4) identify appropriate joint-use equipment to ensure communications access;

    ``(5) identify solutions to facilitate communications between emergency response providers in communities of differing population densities; and

    ``(6) take other actions or provide equipment as the Director deems appropriate to foster interoperable emergency communications.

    ``(d) Distribution of Funds.--

    ``(1) IN GENERAL.--The Secretary shall distribute funds under this section to each community participating in the demonstration project through the State, or States, in which each community is located.

    ``(2) OTHER PARTICIPANTS.--A State shall make the funds available promptly to the local and tribal governments and emergency response providers selected by the Secretary to participate in the demonstration project.

    ``(3) REPORT.--Not later than 90 days after a State receives funds under this subsection the State shall report to the Director on the status of the distribution of such funds to local and tribal governments.

    ``(e) Maximum Period of Grants.--The Director may not fund any participant under the demonstration project for more than 3 years.

    ``(f) Transfer of Information and Knowledge.--The Director shall establish mechanisms to ensure that the information and knowledge gained by participants in the demonstration project are transferred among the participants and to other interested parties, including other communities that submitted applications to the participant in the project.

    ``(g) Authorization of Appropriations.--There is authorized to be appropriated for grants under this section such sums as may be necessary.''.

    (b) Clerical Amendment.--The table of contents in section 1(b) of that Act is amended by inserting after the item relating to section 1809 the following:

   ``Sec..1810..Border interoperability demonstration project.''.

   

TITLE IV--STRENGTHENING USE OF THE INCIDENT COMMAND SYSTEM

   SEC. 401. DEFINITIONS.

    (a) In General.--Section 501 of the Homeland Security Act of 2002 (6 U.S.C. 311) is amended--

    (1) by redesignating paragraphs (10) and (11) as paragraphs (12) and (13), respectively;

    (2) by redesignating paragraphs (4) through (9) as paragraphs (5) through (10), respectively;

    (3) by inserting after paragraph (3) the following:

    ``(4) the terms `credentialed' and `credentialing' mean having provided, or providing, respectively, documentation that identifies personnel and authenticates and verifies the qualifications of such personnel by ensuring that such personnel possess a minimum common level of training, experience, physical and medical fitness, and capability appropriate for a particular position in accordance with standards created under section 510;'';

    (4) by inserting after paragraph (10), as so redesignated, the following:

    ``(11) the term `resources' means personnel and major items of equipment, supplies, and facilities available or potentially available for responding to a natural disaster, act of terrorism, or other man-made disaster;'';

    (5) in paragraph (12), as so redesignated, by striking ``and'' at the end;

    (6) in paragraph (13), as so redesignated, by striking the period at the end and inserting ``; and''; and

    (7) by adding at the end the following:

    ``(14) the terms `typed' and `typing' mean having evaluated, or evaluating, respectively, a resource in accordance with standards created under section 510.''.

    (b) Technical and Conforming Amendments.--Section 641 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 741) is amended--

    (1) by redesignating paragraphs (2) through (10) as paragraphs (3) through (11), respectively;

    (2) by inserting after paragraph (1) the following:

    ``(2) CREDENTIALED; CREDENTIALING.--The terms `credentialed' and `credentialing' have the meanings given those terms in section 501 of the Homeland Security Act of 2002 (6 U.S.C. 311).''; and

    (3) by adding at the end the following:

    ``(12) RESOURCES.--The term `resources' has the meaning given that term in section 501 of the Homeland Security Act of 2002 (6 U.S.C. 311).

    ``(13) TYPE.--The term `type' means a classification of resources that refers to the capability of a resource.

    ``(14) TYPED; TYPING.--The terms `typed' and `typing' have the meanings given those terms in section 501 of the Homeland Security Act of 2002 (6 U.S.C. 311).''.

   SEC. 402. NATIONAL EXERCISE PROGRAM DESIGN.

    Section 648(b)(2)(A) of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 748(b)(2)(A)) is amended by striking clauses (iv) and (v) and inserting the following:

    ``(iv) designed to provide for the systematic evaluation of readiness and enhance operational understanding of the incident command system and relevant mutual aid agreements;

    ``(v) designed to address the unique requirements of populations with special needs, including the elderly; and

    ``(vi) designed to promptly develop after-action reports and plans for quickly incorporating lessons learned into future operations; and''.

   SEC. 403. NATIONAL EXERCISE PROGRAM MODEL EXERCISES.

    Section 648(b)(2)(B) of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 748(b)(2)(B)) is amended by striking ``shall provide'' and all that follows through ``of exercises'' and inserting the following: ``shall include a selection of model exercises that State, local, and tribal governments can readily adapt for use and provide assistance to State, local, and tribal governments with the design, implementation, and evaluation of exercises (whether a model exercise program or an exercise designed locally)''.

   SEC. 404. PREIDENTIFYING AND EVALUATING MULTIJURISDICTIONAL FACILITIES TO STRENGTHEN INCIDENT COMMAND; PRIVATE SECTOR PREPAREDNESS.

    Section 507(c)(2) of the Homeland Security Act of 2002 (6 U.S.C. 317(c)(2)) is amended--

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    (1) in subparagraph (H) by striking ``and'' at the end;

    (2) by redesignating subparagraph (I) as subparagraph (K); and

    (3) by inserting after subparagraph (H) the following:

    ``(I) coordinating with the private sector to help ensure private sector preparedness for natural disasters, acts of terrorism, and other man-made disasters;

    ``(J) assisting State, local, and tribal governments, where appropriate, to preidentify and evaluate suitable sites where a multijurisdictional incident command system may quickly be established and operated from, if the need for such a system arises; and''.

   SEC. 405. FEDERAL RESPONSE CAPABILITY INVENTORY.

    Section 651 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 751) is amended--

    (1) in subsection (b)--

    (A) in the matter preceding paragraph (1), by striking ``The inventory'' and inserting ``For each Federal agency with responsibilities under the National Response Plan, the inventory'';

    (B) in paragraph (1), by striking ``and'' at the end;

    (C) by redesignating paragraph (2) as paragraph (4); and

    (D) by inserting after paragraph (1) the following:

    ``(2) a list of personnel credentialed in accordance with section 510 of the Homeland Security Act of 2002 (6 U.S.C. 320);

    ``(3) a list of resources typed in accordance with section 510 of the Homeland Security Act of 2002 (6 U.S.C. 320); and''; and

    (2) in subsection (d)--

    (A) in paragraph (1), by striking ``capabilities, readiness'' and all that follows and inserting the following: ``--

    ``(A) capabilities;

    ``(B) readiness;

    ``(C) the compatibility of equipment;

    ``(D) credentialed personnel; and

    ``(E) typed resources;'';

    (B) in paragraph (2), by inserting ``of capabilities, credentialed personnel, and typed resources'' after ``rapid deployment''; and

    (C) in paragraph (3), by striking ``inventories'' and inserting ``the inventory described in subsection (a)''.

   SEC. 406. REPORTING REQUIREMENTS.

    Section 652(a)(2) of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 752(a)(2)), as amended by section 103, is further amended--

    (1) in subparagraph (C), by striking ``section 651(a);'' and inserting ``section 651, including the number and type of credentialed personnel in each category of personnel trained and ready to respond to a natural disaster, act of terrorism, or other man-made disaster;'';

    (2) in subparagraph (D), by striking ``and'' at the end;

    (3) in subparagraph (E), by striking the period at the end and inserting ``; and''; and

    (4) by adding at the end the following:

    ``(F) a discussion of whether the list of credentialed personnel of the Agency described in section 651(b)(2)--

    ``(i) complies with the strategic human capital plan developed under section 10102 of title 5, United States Code; and

    ``(ii) is sufficient to respond to a natural disaster, act of terrorism, or other man-made disaster, including a catastrophic incident.''.

   SEC. 407. FEDERAL PREPAREDNESS.

    Section 653 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 753) is amended--

    (1) in subsection (a)--

    (A) in the matter preceding paragraph (1), by striking ``coordinating, primary, or supporting'';

    (B) in paragraph (2), by inserting ``, including credentialing of personnel and typing of resources likely needed to respond to a natural disaster, act of terrorism, or other man-made disaster in accordance with section 510 of the Homeland Security Act of 2002 (6 U.S.C. 320)'' before the semicolon at the end;

    (C) in paragraph (3), by striking ``and'' at the end;

    (D) in paragraph (4), by striking the period at the end and inserting ``; and''; and

    (E) by adding at the end the following:

    ``(5) regularly updates, verifies the accuracy of, and provides to the Administrator the information in the inventory required under section 651.''; and

    (2) in subsection (d)--

    (A) by inserting ``to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security and the Committee on Transportation and Infrastructure of the House of Representatives'' after ``The President shall certify''; and

    (B) by striking ``coordinating, primary, or supporting''.

   SEC. 408. CREDENTIALING AND TYPING.

    Section 510 of the Homeland Security Act of 2002 (6 U.S.C. 320) is amended--

    (1) by striking ``The Administrator'' and inserting the following:

    ``(a) In General.--The Administrator'';

    (2) in subsection (a), as so designated, by striking ``credentialing of personnel and typing of'' and inserting ``for credentialing and typing of incident management personnel, emergency response providers, and other personnel (including temporary personnel) and''; and

    (3) by adding at the end the following:

    ``(b) Distribution.--

    ``(1) IN GENERAL.--Not later than 1 year after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the Administrator shall provide the standards developed under subsection (a), including detailed written guidance, to--

    ``(A) each Federal agency that has responsibilities under the National Response Plan to aid that agency with credentialing and typing incident management personnel, emergency response providers, and other personnel (including temporary personnel) and resources likely needed to respond to a natural disaster, act of terrorism, or other man-made disaster; and

    ``(B) State, local, and tribal governments, to aid such governments with credentialing and typing of State, local, and tribal incident management personnel, emergency response providers, and other personnel (including temporary personnel) and resources likely needed to respond to a natural disaster, act of terrorism, or other man-made disaster.

    ``(2) ASSISTANCE.--The Administrator shall provide expertise and technical assistance to aid Federal, State, local, and tribal government agencies with credentialing and typing incident management personnel, emergency response providers, and other personnel (including temporary personnel) and resources likely needed to respond to a natural disaster, act of terrorism, or other man-made disaster.

    ``(c) Credentialing and Typing of Personnel.--Not later than 6 months after receiving the standards provided under subsection (b), each Federal agency with responsibilities under the National Response Plan shall ensure that incident management personnel, emergency response providers, and other personnel (including temporary personnel) and resources likely needed to respond to a natural disaster, act of terrorism, or other manmade disaster are credentialed and typed in accordance with this section.

    ``(d) Consultation on Health Care Standards.--In developing standards for credentialing health care professionals under this section, the Administrator shall consult with the Secretary of Health and Human Services.''.

   SEC. 409. MODEL STANDARDS AND GUIDELINES FOR CRITICAL INFRASTRUCTURE WORKERS.

    (a) In General.--Title V of the Homeland Security Act of 2002 (6 U.S.C. 311 et seq.) is amended by adding at the end the following:

   ``SEC. 522. MODEL STANDARDS AND GUIDELINES FOR CRITICAL INFRASTRUCTURE WORKERS.

    ``(a) In General.--Not later than 12 months after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, and in coordination with appropriate national professional organizations, Federal, State, local, and tribal government agencies, and private-sector and nongovernmental entities, the Administrator shall establish model standards and guidelines for credentialing critical infrastructure workers that may be used by a State to credential critical infrastructure workers that may respond to a natural disaster, act of terrorism, or other man-made disaster.

    ``(b) Distribution and Assistance.--The Administrator shall provide the standards developed under subsection (a), including detailed written guidance, to State, local, and tribal governments, and provide expertise and technical assistance to aid such governments with credentialing critical infrastructure workers that may respond to a natural disaster, act of terrorism, or other manmade disaster.''.

    (b) Technical and Conforming Amendment.--The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101(b)) is amended by inserting after the item relating to section 521 the following:

   ``Sec..522..Model standards and guidelines for critical infrastructure workers.''.

   SEC. 410. AUTHORIZATION OF APPROPRIATIONS.

    There are authorized to be appropriated such sums as necessary to carry out this title and the amendments made by this title.

   

TITLE V--IMPROVING INTELLIGENCE AND INFORMATION SHARING WITHIN THE FEDERAL GOVERNMENT AND WITH STATE, LOCAL, AND TRIBAL GOVERNMENTS

   

Subtitle A--Homeland Security Information Sharing Enhancement

   SEC. 501. HOMELAND SECURITY ADVISORY SYSTEM AND INFORMATION SHARING.

    (a) Advisory System and Information Sharing.--

    (1) IN GENERAL.--Subtitle A of title II of the Homeland Security Act of 2002 (6 U.S.C. 121 et seq.) is amended by adding at the end the following:

   ``SEC. 203. HOMELAND SECURITY ADVISORY SYSTEM.

    ``(a) Requirement.--The Secretary shall administer the Homeland Security Advisory System in accordance with this section to provide advisories or warnings regarding the threat or risk that acts of terrorism will be committed on the homeland to Federal, State, local, and tribal government authorities and to the people of the United States, as appropriate. The Secretary shall exercise primary responsibility for providing such advisories or warnings.

    ``(b) Required Elements.--In administering the Homeland Security Advisory System, the Secretary shall--

    ``(1) establish criteria for the issuance and revocation of such advisories or warnings;

    ``(2) develop a methodology, relying on the criteria established under paragraph (1), for the issuance and revocation of such advisories or warnings;

    ``(3) provide, in each such advisory or warning, specific information and advice regarding appropriate protective measures and countermeasures that may be taken in response to the threat or risk, at the maximum level of detail practicable to enable individuals, government entities, emergency response providers, and the private sector to act appropriately;

[Page: H8508]

    ``(4) whenever possible, limit the scope of each such advisory or warning to a specific region, locality, or economic sector believed to be under threat or at risk; and

    ``(5) not, in issuing any advisory or warning, use color designations as the exclusive means of specifying homeland security threat conditions that are the subject of the advisory or warning.

   ``SEC. 204. HOMELAND SECURITY INFORMATION SHARING.

    ``(a) Information Sharing.--Consistent with section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485), the Secretary, acting through the Under Secretary for Intelligence and Analysis, shall integrate the information and standardize the format of the products of the intelligence components of the Department containing homeland security information, terrorism information, weapons of mass destruction information, or national intelligence (as defined in section 3(5) of the National Security Act of 1947 (50 U.S.C. 401a(5))) except for any internal security protocols or personnel information of such intelligence components, or other administrative processes that are administered by any chief security officer of the Department.

    ``(b) Information Sharing and Knowledge Management Officers.--For each intelligence component of the Department, the Secretary shall designate an information sharing and knowledge management officer who shall report to the Under Secretary for Intelligence and Analysis regarding coordinating the different systems used in the Department to gather and disseminate homeland security information or national intelligence (as defined in section 3(5) of the National Security Act of 1947 (50 U.S.C. 401a(5))).

    ``(c) State, Local, and Private-Sector Sources of Information.--

    ``(1) ESTABLISHMENT OF BUSINESS PROCESSES.--The Secretary, acting through the Under Secretary for Intelligence and Analysis or the Assistant Secretary for Infrastructure Protection, as appropriate, shall--

    ``(A) establish Department-wide procedures for the review and analysis of information provided by State, local, and tribal governments and the private sector;

    ``(B) as appropriate, integrate such information into the information gathered by the Department and other departments and agencies of the Federal Government; and

    ``(C) make available such information, as appropriate, within the Department and to other departments and agencies of the Federal Government.

    ``(2) FEEDBACK.--The Secretary shall develop mechanisms to provide feedback regarding the analysis and utility of information provided by any entity of State, local, or tribal government or the private sector that provides such information to the Department.

    ``(d) Training and Evaluation of Employees.--

    ``(1) TRAINING.--The Secretary, acting through the Under Secretary for Intelligence and Analysis or the Assistant Secretary for Infrastructure Protection, as appropriate, shall provide to employees of the Department opportunities for training and education to develop an understanding of--

    ``(A) the definitions of homeland security information and national intelligence (as defined in section 3(5) of the National Security Act of 1947 (50 U.S.C. 401a(5))); and

    ``(B) how information available to such employees as part of their duties--

    ``(i) might qualify as homeland security information or national intelligence; and

    ``(ii) might be relevant to the Office of Intelligence and Analysis and the intelligence components of the Department.

    ``(2) EVALUATIONS.--The Under Secretary for Intelligence and Analysis shall--

    ``(A) on an ongoing basis, evaluate how employees of the Office of Intelligence and Analysis and the intelligence components of the Department are utilizing homeland security information or national intelligence, sharing information within the Department, as described in this title, and participating in the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485); and

    ``(B) provide to the appropriate component heads regular reports regarding the evaluations under subparagraph (A).

   ``SEC. 205. COMPREHENSIVE INFORMATION TECHNOLOGY NETWORK ARCHITECTURE.

    ``(a) Establishment.--The Secretary, acting through the Under Secretary for Intelligence and Analysis, shall establish, consistent with the policies and procedures developed under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485), and consistent with the enterprise architecture of the Department, a comprehensive information technology network architecture for the Office of Intelligence and Analysis that connects the various databases and related information technology assets of the Office of Intelligence and Analysis and the intelligence components of the Department in order to promote internal information sharing among the intelligence and other personnel of the Department.

    ``(b) Comprehensive Information Technology Network Architecture Defined.--The term `comprehensive information technology network architecture' means an integrated framework for evolving or maintaining existing information technology and acquiring new information technology to achieve the strategic management and information resources management goals of the Office of Intelligence and Analysis.

   ``SEC. 206. COORDINATION WITH INFORMATION SHARING ENVIRONMENT.

    ``(a) Guidance.--All activities to comply with sections 203, 204, and 205 shall be--

    ``(1) consistent with any policies, guidelines, procedures, instructions, or standards established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485);

    ``(2) implemented in coordination with, as appropriate, the program manager for the information sharing environment established under that section;

    ``(3) consistent with any applicable guidance issued by the Director of National Intelligence; and

    ``(4) consistent with any applicable guidance issued by the Secretary relating to the protection of law enforcement information or proprietary information.

    ``(b) Consultation.--In carrying out the duties and responsibilities under this subtitle, the Under Secretary for Intelligence and Analysis shall take into account the views of the heads of the intelligence components of the Department.''.

    (2) TECHNICAL AND CONFORMING AMENDMENTS.--

    (A) IN GENERAL.--Section 201(d) of the Homeland Security Act of 2002 (6 U.S.C. 121(d)) is amended--

    (i) by striking paragraph (7); and

    (ii) by redesignating paragraphs (8) through (19) as paragraphs (7) through (18), respectively.

    (B) TABLE OF CONTENTS.--The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended by inserting after the item relating to section 202 the following:

   ``Sec..203..Homeland Security Advisory System.

   ``Sec..204..Homeland security information sharing.

   ``Sec..205..Comprehensive information technology network architecture.

   ``Sec..206..Coordination with information sharing environment.''.

    (b) Office of Intelligence and Analysis and Office of Infrastructure Protection.--Section 201(d) of the Homeland Security Act of 2002 (6 U.S.C. 121(d)) is amended--

    (1) in paragraph (1), by inserting ``, in support of the mission responsibilities of the Department and the functions of the National Counterterrorism Center established under section 119 of the National Security Act of 1947 (50 U.S.C. 404o),'' after ``and to integrate such information''; and

    (2) by striking paragraph (7), as redesignated by subsection (a)(2)(A)(ii) of this section, and inserting the following:

    ``(7) To review, analyze, and make recommendations for improvements to the policies and procedures governing the sharing of information within the scope of the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485), including homeland security information, terrorism information, and weapons of mass destruction information, and any policies, guidelines, procedures, instructions, or standards established under that section.''.

    (c) Report on Comprehensive Information Technology Network Architecture.--Not later than 120 days after the date of enactment of this Act, the Secretary of Homeland Security shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report on the progress of the Secretary in developing the comprehensive information technology network architecture required under section 205 of the Homeland Security Act of 2002, as added by subsection (a). The report shall include:

    (1) a description of the priorities for the development of the comprehensive information technology network architecture and a rationale for such priorities;

    (2) an explanation of how the various components of the comprehensive information technology network architecture will work together and interconnect;

    (3) a description of the technological challenges that the Secretary expects the Office of Intelligence and Analysis will face in implementing the comprehensive information technology network architecture;

    (4) a description of the technological options that are available or are in development that may be incorporated into the comprehensive information technology network architecture, the feasibility of incorporating such options, and the advantages and disadvantages of doing so;

    (5) an explanation of any security protections to be developed as part of the comprehensive information technology network architecture;

    (6) a description of safeguards for civil liberties and privacy to be built into the comprehensive information technology network architecture; and

    (7) an operational best practices plan.

   SEC. 502. INTELLIGENCE COMPONENT DEFINED.

    (a) In General.--Section 2 of the Homeland Security Act of 2002 (6 U.S.C. 101) is amended--

    (1) by redesignating paragraphs (9) through (16) as paragraphs (10) through (17), respectively; and

    (2) by inserting after paragraph (8) the following:

    ``(9) The term `intelligence component of the Department' means any element or entity of the Department that collects, gathers, processes, analyzes, produces, or disseminates intelligence information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, or national intelligence, as defined under section 3(5) of the National Security Act of 1947 (50 U.S.C. 401a(5)), except--

    ``(A) the United States Secret Service; and

    ``(B) the Coast Guard, when operating under the direct authority of the Secretary of Defense or Secretary of the Navy pursuant to section 3

[Page: H8509]

of title 14, United States Code, except that nothing in this paragraph shall affect or diminish the authority and responsibilities of the Commandant of the Coast Guard to command or control the Coast Guard as an armed force or the authority of the Director of National Intelligence with respect to the Coast Guard as an element of the intelligence community (as defined under section 3(4) of the National Security Act of 1947 (50 U.S.C. 401a(4)).''.

    (b) Receipt of Information From United States Secret Service.--

    (1) IN GENERAL.--The Under Secretary for Intelligence and Analysis shall receive from the United States Secret Service homeland security information, terrorism information, weapons of mass destruction information (as these terms are defined in Section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485)), or national intelligence, as defined in Section 3(5) of the National Security Act of 1947 (50 U.S.C. 401a(5)), as well as suspect information obtained in criminal investigations. The United States Secret Service shall cooperate with the Under Secretary for Intelligence and Analysis with respect to activities under sections 204 and 205 of the Homeland Security Act of 2002.

    (2) SAVINGS CLAUSE.--Nothing in this Act shall interfere with the operation of Section 3056(g) of Title 18, United States Code, or with the authority of the Secretary of Homeland Security or the Director of the United States Secret Service regarding the budget of the United States Secret Service.

    (c) Technical and Conforming Amendments.--

    (1) HOMELAND SECURITY ACT OF 2002.--Paragraph (13) of section 501 of the Homeland Security Act of 2002 (6 U.S.C. 311), as redesignated by section 401, is amended by striking ``section 2(10)(B)'' and inserting ``section 2(11)(B)''.

    (2) OTHER LAW.--Section 712(a) of title 14, United States Code, is amended by striking ``section 2(15) of the Homeland Security Act of 2002 (6 U.S.C. 101(15))'' and inserting ``section 2(16) of the Homeland Security Act of 2002 (6 U.S.C. 101(16))''.

   SEC. 503. ROLE OF INTELLIGENCE COMPONENTS, TRAINING, AND INFORMATION SHARING.

    (a) In General.--Subtitle A of title II of the Homeland Security Act of 2002 is further amended by adding at the end the following:

   ``SEC. 207. INTELLIGENCE COMPONENTS.

    ``Subject to the direction and control of the Secretary, and consistent with any applicable guidance issued by the Director of National Intelligence, the responsibilities of the head of each intelligence component of the Department are as follows:

    ``(1) To ensure that the collection, processing, analysis, and dissemination of information within the scope of the information sharing environment, including homeland security information, terrorism information, weapons of mass destruction information, and national intelligence (as defined in section 3(5) of the National Security Act of 1947 (50 U.S.C. 401a(5))), are carried out effectively and efficiently in support of the intelligence mission of the Department, as led by the Under Secretary for Intelligence and Analysis.

    ``(2) To otherwise support and implement the intelligence mission of the Department, as led by the Under Secretary for Intelligence and Analysis.

    ``(3) To incorporate the input of the Under Secretary for Intelligence and Analysis with respect to performance appraisals, bonus or award recommendations, pay adjustments, and other forms of commendation.

    ``(4) To coordinate with the Under Secretary for Intelligence and Analysis in developing policies and requirements for the recruitment and selection of intelligence officials of the intelligence component.

    ``(5) To advise and coordinate with the Under Secretary for Intelligence and Analysis on any plan to reorganize or restructure the intelligence component that would, if implemented, result in realignments of intelligence functions.

    ``(6) To ensure that employees of the intelligence component have knowledge of, and comply with, the programs and policies established by the Under Secretary for Intelligence and Analysis and other appropriate officials of the Department and that such employees comply with all applicable laws and regulations.

    ``(7) To perform such other activities relating to such responsibilities as the Secretary may provide.

   ``SEC. 208. TRAINING FOR EMPLOYEES OF INTELLIGENCE COMPONENTS.

    ``The Secretary shall provide training and guidance for employees, officials, and senior executives of the intelligence components of the Department to develop knowledge of laws, regulations, operations, policies, procedures, and programs that are related to the functions of the Department relating to the collection, processing, analysis, and dissemination of information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, or national intelligence (as defined in section 3(5) of the National Security Act of 1947 (50 U.S.C. 401a(5))).

   ``SEC. 209. INTELLIGENCE TRAINING DEVELOPMENT FOR STATE AND LOCAL GOVERNMENT OFFICIALS.

    ``(a) Curriculum.--The Secretary, acting through the Under Secretary for Intelligence and Analysis, shall--

    ``(1) develop a curriculum for training State, local, and tribal government officials, including law enforcement officers, intelligence analysts, and other emergency response providers, in the intelligence cycle and Federal laws, practices, and regulations regarding the development, handling, and review of intelligence and other information; and

    ``(2) ensure that the curriculum includes executive level training for senior level State, local, and tribal law enforcement officers, intelligence analysts, and other emergency response providers.

    ``(b) Training.--To the extent possible, the Federal Law Enforcement Training Center and other existing Federal entities with the capacity and expertise to train State, local, and tribal government officials based on the curriculum developed under subsection (a) shall be used to carry out the training programs created under this section. If such entities do not have the capacity, resources, or capabilities to conduct such training, the Secretary may approve another entity to conduct such training.

    ``(c) Consultation.--In carrying out the duties described in subsection (a), the Under Secretary for Intelligence and Analysis shall consult with the Director of the Federal Law Enforcement Training Center, the Attorney General, the Director of National Intelligence, the Administrator of the Federal Emergency Management Agency, and other appropriate parties, such as private industry, institutions of higher education, nonprofit institutions, and other intelligence agencies of the Federal Government.

   ``SEC. 210. INFORMATION SHARING INCENTIVES.

    ``(a) Awards.--In making cash awards under chapter 45 of title 5, United States Code, the President or the head of an agency, in consultation with the program manager designated under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485), may consider the success of an employee in appropriately sharing information within the scope of the information sharing environment established under that section, including homeland security information, terrorism information, and weapons of mass destruction information, or national intelligence (as defined in section 3(5) of the National Security Act of 1947 (50 U.S.C. 401a(5)), in a manner consistent with any policies, guidelines, procedures, instructions, or standards established by the President or, as appropriate, the program manager of that environment for the implementation and management of that environment.

    ``(b) Other Incentives.--The head of each department or agency described in section 1016(i) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485(i)), in consultation with the program manager designated under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485), shall adopt best practices regarding effective ways to educate and motivate officers and employees of the Federal Government to participate fully in the information sharing environment, including--

    ``(1) promotions and other nonmonetary awards; and

    ``(2) publicizing information sharing accomplishments by individual employees and, where appropriate, the tangible end benefits that resulted.''.

    (b) Clerical Amendment.--The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended further by inserting after the item relating to section 206 the following:

   ``Sec..207..Intelligence components.

   ``Sec..208..Training for employees of intelligence components.

   ``Sec..209..Intelligence training development for State and local government officials.

   ``Sec..210..Information sharing incentives.''.

   SEC. 504. INFORMATION SHARING.

    Section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485) is amended--

    (1) in subsection (a)--

    (A) by redesignating paragraphs (1) through (4) as paragraphs (2) through (5), respectively;

    (B) by inserting before paragraph (2), as so redesignated, the following:

    ``(1) HOMELAND SECURITY INFORMATION.--The term `homeland security information' has the meaning given that term in section 892(f) of the Homeland Security Act of 2002 (6 U.S.C. 482(f)).'';

    (C) by striking paragraph (3), as so redesignated, and inserting the following:

    ``(3) INFORMATION SHARING ENVIRONMENT.--The terms `information sharing environment' and `ISE' mean an approach that facilitates the sharing of terrorism and homeland security information, which may include any method determined necessary and appropriate for carrying out this section.''.

    (D) by striking paragraph (5), as so redesignated, and inserting the following:

    ``(5) TERRORISM INFORMATION.--The term `terrorism information'--

    ``(A) means all information, whether collected, produced, or distributed by intelligence, law enforcement, military, homeland security, or other activities relating to--

    ``(i) the existence, organization, capabilities, plans, intentions, vulnerabilities, means of finance or material support, or activities of foreign or international terrorist groups or individuals, or of domestic groups or individuals involved in transnational terrorism;

    ``(ii) threats posed by such groups or individuals to the United States, United States persons, or United States interests, or to those of other nations;

    ``(iii) communications of or by such groups or individuals; or

    ``(iv) groups or individuals reasonably believed to be assisting or associated with such groups or individuals; and

    ``(B) includes weapons of mass destruction information.''; and

    (E) by adding at the end the following:

    ``(6) WEAPONS OF MASS DESTRUCTION INFORMATION.--The term `weapons of mass destruction information' means information that could reasonably be expected to assist in the development,

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proliferation, or use of a weapon of mass destruction (including a chemical, biological, radiological, or nuclear weapon) that could be used by a terrorist or a terrorist organization against the United States, including information about the location of any stockpile of nuclear materials that could be exploited for use in such a weapon that could be used by a terrorist or a terrorist organization against the United States.'';

    (2) in subsection (b)(2)--

    (A) in subparagraph (H), by striking ``and'' at the end;

    (B) in subparagraph (I), by striking the period at the end and inserting a semicolon; and

    (C) by adding at the end the following:

    ``(J) integrates the information within the scope of the information sharing environment, including any such information in legacy technologies;

    ``(K) integrates technologies, including all legacy technologies, through Internet-based services, consistent with appropriate security protocols and safeguards, to enable connectivity among required users at the Federal, State, and local levels;

    ``(L) allows the full range of analytic and operational activities without the need to centralize information within the scope of the information sharing environment;

    ``(M) permits analysts to collaborate both independently and in a group (commonly known as `collective and noncollective collaboration'), and across multiple levels of national security information and controlled unclassified information;

    ``(N) provides a resolution process that enables changes by authorized officials regarding rules and policies for the access, use, and retention of information within the scope of the information sharing environment; and

    ``(O) incorporates continuous, real-time, and immutable audit capabilities, to the maximum extent practicable.'';

    (3) in subsection (f)--

    (A) in paragraph (1)--

    (i) by striking ``during the two-year period beginning on the date of designation under this paragraph unless sooner removed from service and replaced'' and inserting ``until removed from service or replaced''; and

    (ii) by striking ``The program manager shall have and exercise governmentwide authority.'' and inserting ``The program manager, in consultation with the head of any affected department or agency, shall have and exercise governmentwide authority over the sharing of information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, by all Federal departments, agencies, and components, irrespective of the Federal department, agency, or component in which the program manager may be administratively located, except as otherwise expressly provided by law.''; and

    (B) in paragraph (2)(A)--

    (i) by redesignating clause (iii) as clause (v); and

    (ii) by striking clause (ii) and inserting the following:

    ``(ii) assist in the development of policies, as appropriate, to foster the development and proper operation of the ISE;

    ``(iii) consistent with the direction and policies issued by the President, the Director of National Intelligence, and the Director of the Office of Management and Budget, issue governmentwide procedures, guidelines, instructions, and functional standards, as appropriate, for the management, development, and proper operation of the ISE;

    ``(iv) identify and resolve information sharing disputes between Federal departments, agencies, and components; and'';

    (4) in subsection (g)--

    (A) in paragraph (1), by striking ``during the two-year period beginning on the date of the initial designation of the program manager by the President under subsection (f)(1), unless sooner removed from service and replaced'' and inserting ``until removed from service or replaced'';

    (B) in paragraph (2)--

    (i) in subparagraph (F), by striking ``and'' at the end;

    (ii) by redesignating subparagraph (G) as subparagraph (I); and

    (iii) by inserting after subparagraph (F) the following:

    ``(G) assist the program manager in identifying and resolving information sharing disputes between Federal departments, agencies, and components;

    ``(H) identify appropriate personnel for assignment to the program manager to support staffing needs identified by the program manager; and'';

    (C) in paragraph (4), by inserting ``(including any subsidiary group of the Information Sharing Council)'' before ``shall not be subject''; and

    (D) by adding at the end the following:

    ``(5) DETAILEES.--Upon a request by the Director of National Intelligence, the departments and agencies represented on the Information Sharing Council shall detail to the program manager, on a reimbursable basis, appropriate personnel identified under paragraph (2)(H).'';

    (5) in subsection (h)(1), by striking ``and annually thereafter'' and inserting ``and not later than June 30 of each year thereafter''; and

    (6) by striking subsection (j) and inserting the following:

    ``(j) Report on the Information Sharing Environment.--

    ``(1) IN GENERAL.--Not later than 180 days after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the President shall report to the Committee on Homeland Security and Governmental Affairs of the Senate, the Select Committee on Intelligence of the Senate, the Committee on Homeland Security of the House of Representatives, and the Permanent Select Committee on Intelligence of the House of Representatives on the feasibility of--

    ``(A) eliminating the use of any marking or process (including `Originator Control') intended to, or having the effect of, restricting the sharing of information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, between and among participants in the information sharing environment, unless the President has--

    ``(i) specifically exempted categories of information from such elimination; and

    ``(ii) reported that exemption to the committees of Congress described in the matter preceding this subparagraph; and

    ``(B) continuing to use Federal agency standards in effect on such date of enactment for the collection, sharing, and access to information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, relating to citizens and lawful permanent residents;

    ``(C) replacing the standards described in subparagraph (B) with a standard that would allow mission-based or threat-based permission to access or share information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, for a particular purpose that the Federal Government, through an appropriate process established in consultation with the Privacy and Civil Liberties Oversight Board established under section 1061, has determined to be lawfully permissible for a particular agency, component, or employee (commonly known as an `authorized use' standard); and

    ``(D) the use of anonymized data by Federal departments, agencies, or components collecting, possessing, disseminating, or handling information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, in any cases in which--

    ``(i) the use of such information is reasonably expected to produce results materially equivalent to the use of information that is transferred or stored in a non-anonymized form; and

    ``(ii) such use is consistent with any mission of that department, agency, or component (including any mission under a Federal statute or directive of the President) that involves the storage, retention, sharing, or exchange of personally identifiable information.

    ``(2) DEFINITION.--In this subsection, the term `anonymized data' means data in which the individual to whom the data pertains is not identifiable with reasonable efforts, including information that has been encrypted or hidden through the use of other technology.

    ``(k) Additional Positions.--The program manager is authorized to hire not more than 40 full-time employees to assist the program manager in--

    ``(1) activities associated with the implementation of the information sharing environment, including--

    ``(A) implementing the requirements under subsection (b)(2); and

    ``(B) any additional implementation initiatives to enhance and expedite the creation of the information sharing environment; and

    ``(2) identifying and resolving information sharing disputes between Federal departments, agencies, and components under subsection (f)(2)(A)(iv).

    ``(l) Authorization of Appropriations.--There is authorized to be appropriated to carry out this section $30,000,000 for each of fiscal years 2008 and 2009.''.

   

Subtitle B--Homeland Security Information Sharing Partnerships

   SEC. 511. DEPARTMENT OF HOMELAND SECURITY STATE, LOCAL, AND REGIONAL FUSION CENTER INITIATIVE.

    (a) In General.--Subtitle A of title II of the Homeland Security Act of 2002 (6 U.S.C. 121 et seq.) is further amended by adding at the end the following:

   ``SEC. 210A. DEPARTMENT OF HOMELAND SECURITY STATE, LOCAL, AND REGIONAL FUSION CENTER INITIATIVE.

    ``(a) Establishment.--The Secretary, in consultation with the program manager of the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485), the Attorney General, the Privacy Officer of the Department, the Officer for Civil Rights and Civil Liberties of the Department, and the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorism Prevention Act of 2004 (5 U.S.C. 601 note), shall establish a Department of Homeland Security State, Local, and Regional Fusion Center Initiative to establish partnerships with State, local, and regional fusion centers.

    ``(b) Department Support and Coordination.--Through the Department of Homeland Security State, Local, and Regional Fusion Center Initiative, and in coordination with the principal officials of participating State, local, or regional fusion centers and the officers designated as the Homeland Security Advisors of the States, the Secretary shall--

    ``(1) provide operational and intelligence advice and assistance to State, local, and regional fusion centers;

    ``(2) support efforts to include State, local, and regional fusion centers into efforts to establish an information sharing environment;

    ``(3) conduct tabletop and live training exercises to regularly assess the capability of individual and regional networks of State, local,

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and regional fusion centers to integrate the efforts of such networks with the efforts of the Department;

    ``(4) coordinate with other relevant Federal entities engaged in homeland security-related activities;

    ``(5) provide analytic and reporting advice and assistance to State, local, and regional fusion centers;

    ``(6) review information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, that is gathered by State, local, and regional fusion centers, and to incorporate such information, as appropriate, into the Department's own such information;

    ``(7) provide management assistance to State, local, and regional fusion centers;

    ``(8) serve as a point of contact to ensure the dissemination of information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information;

    ``(9) facilitate close communication and coordination between State, local, and regional fusion centers and the Department;

    ``(10) provide State, local, and regional fusion centers with expertise on Department resources and operations;

    ``(11) provide training to State, local, and regional fusion centers and encourage such fusion centers to participate in terrorism threat-related exercises conducted by the Department; and

    ``(12) carry out such other duties as the Secretary determines are appropriate.

    ``(c) Personnel Assignment.--

    ``(1) IN GENERAL.--The Under Secretary for Intelligence and Analysis shall, to the maximum extent practicable, assign officers and intelligence analysts from components of the Department to participating State, local, and regional fusion centers.

    ``(2) PERSONNEL SOURCES.--Officers and intelligence analysts assigned to participating fusion centers under this subsection may be assigned from the following Department components, in coordination with the respective component head and in consultation with the principal officials of participating fusion centers:

    ``(A) Office of Intelligence and Analysis.

    ``(B) Office of Infrastructure Protection.

    ``(C) Transportation Security Administration.

    ``(D) United States Customs and Border Protection.

    ``(E) United States Immigration and Customs Enforcement.

    ``(F) United States Coast Guard.

    ``(G) Other components of the Department, as determined by the Secretary.

    ``(3) QUALIFYING CRITERIA.--

    ``(A) IN GENERAL.--The Secretary shall develop qualifying criteria for a fusion center to participate in the assigning of Department officers or intelligence analysts under this section.

    ``(B) CRITERIA.--Any criteria developed under subparagraph (A) may include--

    ``(i) whether the fusion center, through its mission and governance structure, focuses on a broad counterterrorism approach, and whether that broad approach is pervasive through all levels of the organization;

    ``(ii) whether the fusion center has sufficient numbers of adequately trained personnel to support a broad counterterrorism mission;

    ``(iii) whether the fusion center has--

    ``(I) access to relevant law enforcement, emergency response, private sector, open source, and national security data; and

    ``(II) the ability to share and analytically utilize that data for lawful purposes;

    ``(iv) whether the fusion center is adequately funded by the State, local, or regional government to support its counterterrorism mission; and

    ``(v) the relevancy of the mission of the fusion center to the particular source component of Department officers or intelligence analysts.

    ``(4) PREREQUISITE.--

    ``(A) INTELLIGENCE ANALYSIS, PRIVACY, AND CIVIL LIBERTIES TRAINING.--Before being assigned to a fusion center under this section, an officer or intelligence analyst shall undergo--

    ``(i) appropriate intelligence analysis or information sharing training using an intelligence-led policing curriculum that is consistent with--

    ``(I) standard training and education programs offered to Department law enforcement and intelligence personnel; and

    ``(II) the Criminal Intelligence Systems Operating Policies under part 23 of title 28, Code of Federal Regulations (or any corresponding similar rule or regulation);

    ``(ii) appropriate privacy and civil liberties training that is developed, supported, or sponsored by the Privacy Officer appointed under section 222 and the Officer for Civil Rights and Civil Liberties of the Department, in consultation with the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorism Prevention Act of 2004 (5 U.S.C. 601 note); and

    ``(iii) such other training prescribed by the Under Secretary for Intelligence and Analysis.

    ``(B) PRIOR WORK EXPERIENCE IN AREA.--In determining the eligibility of an officer or intelligence analyst to be assigned to a fusion center under this section, the Under Secretary for Intelligence and Analysis shall consider the familiarity of the officer or intelligence analyst with the State, locality, or region, as determined by such factors as whether the officer or intelligence analyst--

    ``(i) has been previously assigned in the geographic area; or

    ``(ii) has previously worked with intelligence officials or law enforcement or other emergency response providers from that State, locality, or region.

    ``(5) EXPEDITED SECURITY CLEARANCE PROCESSING.--The Under Secretary for Intelligence and Analysis--

    ``(A) shall ensure that each officer or intelligence analyst assigned to a fusion center under this section has the appropriate security clearance to contribute effectively to the mission of the fusion center; and

    ``(B) may request that security clearance processing be expedited for each such officer or intelligence analyst and may use available funds for such purpose.

    ``(6) FURTHER QUALIFICATIONS.--Each officer or intelligence analyst assigned to a fusion center under this section shall satisfy any other qualifications the Under Secretary for Intelligence and Analysis may prescribe.

    ``(d) Responsibilities.--An officer or intelligence analyst assigned to a fusion center under this section shall--

    ``(1) assist law enforcement agencies and other emergency response providers of State, local, and tribal governments and fusion center personnel in using information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, to develop a comprehensive and accurate threat picture;

    ``(2) review homeland security-relevant information from law enforcement agencies and other emergency response providers of State, local, and tribal government;

    ``(3) create intelligence and other information products derived from such information and other homeland security-relevant information provided by the Department; and

    ``(4) assist in the dissemination of such products, as coordinated by the Under Secretary for Intelligence and Analysis, to law enforcement agencies and other emergency response providers of State, local, and tribal government, other fusion centers, and appropriate Federal agencies.

    ``(e) Border Intelligence Priority.--

    ``(1) IN GENERAL.--The Secretary shall make it a priority to assign officers and intelligence analysts under this section from United States Customs and Border Protection, United States Immigration and Customs Enforcement, and the Coast Guard to participating State, local, and regional fusion centers located in jurisdictions along land or maritime borders of the United States in order to enhance the integrity of and security at such borders by helping Federal, State, local, and tribal law enforcement authorities to identify, investigate, and otherwise interdict persons, weapons, and related contraband that pose a threat to homeland security.

    ``(2) BORDER INTELLIGENCE PRODUCTS.--When performing the responsibilities described in subsection (d), officers and intelligence analysts assigned to participating State, local, and regional fusion centers under this section shall have, as a primary responsibility, the creation of border intelligence products that--

    ``(A) assist State, local, and tribal law enforcement agencies in deploying their resources most efficiently to help detect and interdict terrorists, weapons of mass destruction, and related contraband at land or maritime borders of the United States;

    ``(B) promote more consistent and timely sharing of border security-relevant information among jurisdictions along land or maritime borders of the United States; and

    ``(C) enhance the Department's situational awareness of the threat of acts of terrorism at or involving the land or maritime borders of the United States.

    ``(f) Database Access.--In order to fulfill the objectives described under subsection (d), each officer or intelligence analyst assigned to a fusion center under this section shall have appropriate access to all relevant Federal databases and information systems, consistent with any policies, guidelines, procedures, instructions, or standards established by the President or, as appropriate, the program manager of the information sharing environment for the implementation and management of that environment.

    ``(g) Consumer Feedback.--

    ``(1) IN GENERAL.--The Secretary shall create a voluntary mechanism for any State, local, or tribal law enforcement officer or other emergency response provider who is a consumer of the intelligence or other information products referred to in subsection (d) to provide feedback to the Department on the quality and utility of such intelligence products.

    ``(2) REPORT.--Not later than one year after the date of the enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, and annually thereafter, the Secretary shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report that includes a description of the consumer feedback obtained under paragraph (1) and, if applicable, how the Department has adjusted its production of intelligence products in response to that consumer feedback.

    ``(h) Rule of Construction.--

    ``(1) IN GENERAL.--The authorities granted under this section shall supplement the authorities granted under section 201(d) and nothing in this section shall be construed to abrogate the authorities granted under section 201(d).

    ``(2) PARTICIPATION.--Nothing in this section shall be construed to require a State, local, or regional government or entity to accept the assignment of officers or intelligence analysts of the Department into the fusion center of that State, locality, or region.

    ``(i) Guidelines.--The Secretary, in consultation with the Attorney General, shall establish guidelines for fusion centers created and operated by State and local governments, to include standards that any such fusion center shall--

    ``(1) collaboratively develop a mission statement, identify expectations and goals, measure performance, and determine effectiveness for that fusion center;

    ``(2) create a representative governance structure that includes law enforcement officers and

[Page: H8512]

other emergency response providers and, as appropriate, the private sector;

    ``(3) create a collaborative environment for the sharing of intelligence and information among Federal, State, local, and tribal government agencies (including law enforcement officers and other emergency response providers), the private sector, and the public, consistent with any policies, guidelines, procedures, instructions, or standards established by the President or, as appropriate, the program manager of the information sharing environment;

    ``(4) leverage the databases, systems, and networks available from public and private sector entities, in accordance with all applicable laws, to maximize information sharing;

    ``(5) develop, publish, and adhere to a privacy and civil liberties policy consistent with Federal, State, and local law;

    ``(6) provide, in coordination with the Privacy Officer of the Department and the Officer for Civil Rights and Civil Liberties of the Department, appropriate privacy and civil liberties training for all State, local, tribal, and private sector representatives at the fusion center;

    ``(7) ensure appropriate security measures are in place for the facility, data, and personnel;

    ``(8) select and train personnel based on the needs, mission, goals, and functions of that fusion center;

    ``(9) offer a variety of intelligence and information services and products to recipients of fusion center intelligence and information; and

    ``(10) incorporate law enforcement officers, other emergency response providers, and, as appropriate, the private sector, into all relevant phases of the intelligence and fusion process, consistent with the mission statement developed under paragraph (1), either through full time representatives or liaison relationships with the fusion center to enable the receipt and sharing of information and intelligence.

    ``(j) Definitions.--In this section--

    ``(1) the term `fusion center' means a collaborative effort of 2 or more Federal, State, local, or tribal government agencies that combines resources, expertise, or information with the goal of maximizing the ability of such agencies to detect, prevent, investigate, apprehend, and respond to criminal or terrorist activity;

    ``(2) the term `information sharing environment' means the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485);

    ``(3) the term `intelligence analyst' means an individual who regularly advises, administers, supervises, or performs work in the collection, gathering, analysis, evaluation, reporting, production, or dissemination of information on political, economic, social, cultural, physical, geographical, scientific, or military conditions, trends, or forces in foreign or domestic areas that directly or indirectly affect national security;

    ``(4) the term `intelligence-led policing' means the collection and analysis of information to produce an intelligence end product designed to inform law enforcement decision making at the tactical and strategic levels; and

    ``(5) the term `terrorism information' has the meaning given that term in section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485).

    ``(k) Authorization of Appropriations.--There is authorized to be appropriated $10,000,000 for each of fiscal years 2008 through 2012, to carry out this section, except for subsection (i), including for hiring officers and intelligence analysts to replace officers and intelligence analysts who are assigned to fusion centers under this section.''.

    (b) Training for Predeployed Officers and Analysts.--An officer or analyst assigned to a fusion center by the Secretary of Homeland Security before the date of the enactment of this Act shall undergo the training described in section 210A(c)(4)(A) of the Homeland Security Act of 2002, as added by subsection (a), by not later than six months after such date.

    (c) Technical and Conforming Amendment.--The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is further amended by inserting after the item relating to section 210 the following:

   ``Sec..210A.Department.of Homeland Security State, Local, and Regional Information Fusion Center Initiative.''.

    (d) Reports.--

    (1) CONCEPT OF OPERATIONS.--Not later than 90 days after the date of enactment of this Act and before the Department of Homeland Security State, Local, and Regional Fusion Center Initiative under section 210A of the Homeland Security Act of 2002, as added by subsection (a), (in this section referred to as the ``program'') has been implemented, the Secretary, in consultation with the Privacy Officer of the Department, the Officer for Civil Rights and Civil Liberties of the Department, and the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorism Prevention Act of 2004 (5 U.S.C. 601 note), shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report that contains a concept of operations for the program, which shall--

    (A) include a clear articulation of the purposes, goals, and specific objectives for which the program is being developed;

    (B) identify stakeholders in the program and provide an assessment of their needs;

    (C) contain a developed set of quantitative metrics to measure, to the extent possible, program output;

    (D) contain a developed set of qualitative instruments (including surveys and expert interviews) to assess the extent to which stakeholders believe their needs are being met; and

    (E) include a privacy and civil liberties impact assessment.

    (2) PRIVACY AND CIVIL LIBERTIES.--Not later than 1 year after the date of the enactment of this Act, the Privacy Officer of the Department of Homeland Security and the Officer for Civil Liberties and Civil Rights of the Department of Homeland Security, consistent with any policies of the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorism Prevention Act of 2004 (5 U.S.C. 601 note), shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives, the Secretary of Homeland Security, the Under Secretary of Homeland Security for Intelligence and Analysis, and the Privacy and Civil Liberties Oversight Board a report on the privacy and civil liberties impact of the program.

   SEC. 512. HOMELAND SECURITY INFORMATION SHARING FELLOWS PROGRAM.

    (a) Establishment of Program.--Subtitle A of title II of the Homeland Security Act of 2002 (6 U.S.C. 121 et seq.) is further amended by adding at the end the following:

   ``SEC. 210B. HOMELAND SECURITY INFORMATION SHARING FELLOWS PROGRAM.

    ``(a) Establishment.--

    ``(1) IN GENERAL.--The Secretary, acting through the Under Secretary for Intelligence and Analysis, and in consultation with the Chief Human Capital Officer, shall establish a fellowship program in accordance with this section for the purpose of--

    ``(A) detailing State, local, and tribal law enforcement officers and intelligence analysts to the Department in accordance with subchapter VI of chapter 33 of title 5, United States Code, to participate in the work of the Office of Intelligence and Analysis in order to become familiar with--

    ``(i) the relevant missions and capabilities of the Department and other Federal agencies; and

    ``(ii) the role, programs, products, and personnel of the Office of Intelligence and Analysis; and

    ``(B) promoting information sharing between the Department and State, local, and tribal law enforcement officers and intelligence analysts by assigning such officers and analysts to--

    ``(i) serve as a point of contact in the Department to assist in the representation of State, local, and tribal information requirements;

    ``(ii) identify information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, that is of interest to State, local, and tribal law enforcement officers, intelligence analysts, and other emergency response providers;

    ``(iii) assist Department analysts in preparing and disseminating products derived from information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, that are tailored to State, local, and tribal law enforcement officers and intelligence analysts and designed to prepare for and thwart acts of terrorism; and

    ``(iv) assist Department analysts in preparing products derived from information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, that are tailored to State, local, and tribal emergency response providers and assist in the dissemination of such products through appropriate Department channels.

    ``(2) PROGRAM NAME.--The program under this section shall be known as the `Homeland Security Information Sharing Fellows Program'.

    ``(b) Eligibility.--

    ``(1) IN GENERAL.--In order to be eligible for selection as an Information Sharing Fellow under the program under this section, an individual shall--

    ``(A) have homeland security-related responsibilities;

    ``(B) be eligible for an appropriate security clearance;

    ``(C) possess a valid need for access to classified information, as determined by the Under Secretary for Intelligence and Analysis;

    ``(D) be an employee of an eligible entity; and

    ``(E) have undergone appropriate privacy and civil liberties training that is developed, supported, or sponsored by the Privacy Officer and the Officer for Civil Rights and Civil Liberties, in consultation with the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorism Prevention Act of 2004 (5 U.S.C. 601 note).

    ``(2) ELIGIBLE ENTITIES.--In this subsection, the term `eligible entity' means--

    ``(A) a State, local, or regional fusion center;

    ``(B) a State or local law enforcement or other government entity that serves a major metropolitan area, suburban area, or rural area, as determined by the Secretary;

    ``(C) a State or local law enforcement or other government entity with port, border, or agricultural responsibilities, as determined by the Secretary;

    ``(D) a tribal law enforcement or other authority; or

    ``(E) such other entity as the Secretary determines is appropriate.

    ``(c) Optional Participation.--No State, local, or tribal law enforcement or other government entity shall be required to participate in the Homeland Security Information Sharing Fellows Program.

    ``(d) Procedures for Nomination and Selection.--

    ``(1) IN GENERAL.--The Under Secretary for Intelligence and Analysis shall establish procedures to provide for the nomination and selection of individuals to participate in the Homeland Security Information Sharing Fellows Program.

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    ``(2) LIMITATIONS.--The Under Secretary for Intelligence and Analysis shall--

    ``(A) select law enforcement officers and intelligence analysts representing a broad cross-section of State, local, and tribal agencies; and

    ``(B) ensure that the number of Information Sharing Fellows selected does not impede the activities of the Office of Intelligence and Analysis.''.

    (b) Technical and Conforming Amendment.--The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is further amended by inserting after the item relating to section 210A the following:

   ``Sec..210B..Homeland Security Information Sharing Fellows Program.''.

    (c) Reports.--

    (1) CONCEPT OF OPERATIONS.--Not later than 90 days after the date of enactment of this Act, and before the implementation of the Homeland Security Information Sharing Fellows Program under section 210B of the Homeland Security Act of 2002, as added by subsection (a), (in this section referred to as the ``Program'') the Secretary, in consultation with the Privacy Officer of the Department, the Officer for Civil Rights and Civil Liberties of the Department, and the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorism Prevention Act of 2004 (5 U.S.C. 601 note), shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report that contains a concept of operations for the Program, which shall include a privacy and civil liberties impact assessment.

    (2) REVIEW OF PRIVACY IMPACT.--Not later than 1 year after the date on which the program is implemented, the Privacy Officer of the Department and the Officer for Civil Rights and Civil Liberties of the Department, consistent with any policies of the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorism Prevention Act of 2004 (5 U.S.C. 601 note), shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives, the Secretary of Homeland Security, the Under Secretary of Homeland Security for Intelligence and Analysis, and the Privacy and Civil Liberties Oversight Board, a report on the privacy and civil liberties impact of the program.

   SEC. 513. RURAL POLICING INSTITUTE.

    (a) Establishment.--Subtitle A of title II of the Homeland Security Act of 2002 (6 U.S.C. 121 et seq.) is further amended by adding at the end the following:

   ``SEC. 210C. RURAL POLICING INSTITUTE.

    ``(a) In General.--The Secretary shall establish a Rural Policing Institute, which shall be administered by the Federal Law Enforcement Training Center, to target training to law enforcement agencies and other emergency response providers located in rural areas. The Secretary, through the Rural Policing Institute, shall--

    ``(1) evaluate the needs of law enforcement agencies and other emergency response providers in rural areas;

    ``(2) develop expert training programs designed to address the needs of law enforcement agencies and other emergency response providers in rural areas as identified in the evaluation conducted under paragraph (1), including training programs about intelligence-led policing and protections for privacy, civil rights, and civil liberties;

    ``(3) provide the training programs developed under paragraph (2) to law enforcement agencies and other emergency response providers in rural areas; and

    ``(4) conduct outreach efforts to ensure that local and tribal governments in rural areas are aware of the training programs developed under paragraph (2) so they can avail themselves of such programs.

    ``(b) Curricula.--The training at the Rural Policing Institute established under subsection (a) shall--

    ``(1) be configured in a manner so as not to duplicate or displace any law enforcement or emergency response program of the Federal Law Enforcement Training Center or a local or tribal government entity in existence on the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007; and

    ``(2) to the maximum extent practicable, be delivered in a cost-effective manner at facilities of the Department, on closed military installations with adequate training facilities, or at facilities operated by the participants.

    ``(c) Definition.--In this section, the term `rural' means an area that is not located in a metropolitan statistical area, as defined by the Office of Management and Budget.

    ``(d) Authorization of Appropriations.--There are authorized to be appropriated to carry out this section (including for contracts, staff, and equipment)--

    ``(1) $10,000,000 for fiscal year 2008; and

    ``(2) $5,000,000 for each of fiscal years 2009 through 2013.''.

    (b) Clerical Amendment.--The table of contents in section 1(b) of such Act is further amended by inserting after the item relating to section 210B the following:

   ``Sec..210C..Rural Policing Institute.''.

   

Subtitle C--Interagency Threat Assessment and Coordination Group

   SEC. 521. INTERAGENCY THREAT ASSESSMENT AND COORDINATION GROUP.

    (a) Establishment.--Subtitle A of title II of the Homeland Security Act of 2002 (6 U.S.C. 121 et seq.) is further amended by adding at the end the following:

   ``SEC. 210D. INTERAGENCY THREAT ASSESSMENT AND COORDINATION GROUP.

    ``(a) In General.--To improve the sharing of information within the scope of the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485) with State, local, tribal, and private sector officials, the Director of National Intelligence, through the program manager for the information sharing environment, in coordination with the Secretary, shall coordinate and oversee the creation of an Interagency Threat Assessment and Coordination Group (referred to in this section as the `ITACG').

    ``(b) Composition of ITACG.--The ITACG shall consist of--

    ``(1) an ITACG Advisory Council to set policy and develop processes for the integration, analysis, and dissemination of federally-coordinated information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information; and

    ``(2) an ITACG Detail comprised of State, local, and tribal homeland security and law enforcement officers and intelligence analysts detailed to work in the National Counterterrorism Center with Federal intelligence analysts for the purpose of integrating, analyzing, and assisting in the dissemination of federally-coordinated information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, through appropriate channels identified by the ITACG Advisory Council.

    ``(c) Responsibilities of Program Manager.--The program manager, in consultation with the Information Sharing Council, shall--

    ``(1) monitor and assess the efficacy of the ITACG; and

    ``(2) not later than 180 days after the date of the enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, and at least annually thereafter, submit to the Secretary, the Attorney General, the Director of National Intelligence, the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report on the progress of the ITACG.

    ``(d) Responsibilities of Secretary.--The Secretary, or the Secretary's designee, in coordination with the Director of the National Counterterrorism Center and the ITACG Advisory Council, shall--

    ``(1) create policies and standards for the creation of information products derived from information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, that are suitable for dissemination to State, local, and tribal governments and the private sector;

    ``(2) evaluate and develop processes for the timely dissemination of federally-coordinated information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, to State, local, and tribal governments and the private sector;

    ``(3) establish criteria and a methodology for indicating to State, local, and tribal governments and the private sector the reliability of information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, disseminated to them;

    ``(4) educate the intelligence community about the requirements of the State, local, and tribal homeland security, law enforcement, and other emergency response providers regarding information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information;

    ``(5) establish and maintain the ITACG Detail, which shall assign an appropriate number of State, local, and tribal homeland security and law enforcement officers and intelligence analysts to work in the National Counterterrorism Center who shall--

    ``(A) educate and advise National Counterterrorism Center intelligence analysts about the requirements of the State, local, and tribal homeland security and law enforcement officers, and other emergency response providers regarding information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information;

    ``(B) assist National Counterterrorism Center intelligence analysts in integrating, analyzing, and otherwise preparing versions of products derived from information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information that are unclassified or classified at the lowest possible level and suitable for dissemination to State, local, and tribal homeland security and law enforcement agencies in order to help deter and prevent terrorist attacks;

    ``(C) implement, in coordination with National Counterterrorism Center intelligence analysts, the policies, processes, procedures, standards, and guidelines developed by the ITACG Advisory Council;

    ``(D) assist in the dissemination of products derived from information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, to State, local, and tribal jurisdictions only through appropriate channels identified by the ITACG Advisory Council; and

    ``(E) report directly to the senior intelligence official from the Department under paragraph (6);

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    ``(6) detail a senior intelligence official from the Department of Homeland Security to the National Counterterrorism Center, who shall--

    ``(A) manage the day-to-day operations of the ITACG Detail;

    ``(B) report directly to the Director of the National Counterterrorism Center or the Director's designee; and

    ``(C) in coordination with the Director of the Federal Bureau of Investigation, and subject to the approval of the Director of the National Counterterrorism Center, select a deputy from the pool of available detailees from the Federal Bureau of Investigation in the National Counterterrorism Center; and

    ``(7) establish, within the ITACG Advisory Council, a mechanism to select law enforcement officers and intelligence analysts for placement in the National Counterterrorism Center consistent with paragraph (5), using criteria developed by the ITACG Advisory Council that shall encourage participation from a broadly representative group of State, local, and tribal homeland security and law enforcement agencies.

    ``(e) Membership.--The Secretary, or the Secretary's designee, shall serve as the chair of the ITACG Advisory Council, which shall include--

    ``(1) representatives of--

    ``(A) the Department;

    ``(B) the Federal Bureau of Investigation;

    ``(C) the National Counterterrorism Center;

    ``(D) the Department of Defense;

    ``(E) the Department of Energy;

    ``(F) the Department of State; and

    ``(G) other Federal entities as appropriate;

    ``(2) the program manager of the information sharing environment, designated under section 1016(f) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485(f)), or the program manager's designee; and

    ``(3) executive level law enforcement and intelligence officials from State, local, and tribal governments.

    ``(f) Criteria.--The Secretary, in consultation with the Director of National Intelligence, the Attorney General, and the program manager of the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485), shall--

    ``(1) establish procedures for selecting members of the ITACG Advisory Council and for the proper handling and safeguarding of products derived from information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, by those members; and

    ``(2) ensure that at least 50 percent of the members of the ITACG Advisory Council are from State, local, and tribal governments.

    ``(g) Operations.--

    ``(1) IN GENERAL.--Beginning not later than 90 days after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the ITACG Advisory Council shall meet regularly, but not less than quarterly, at the facilities of the National Counterterrorism Center of the Office of the Director of National Intelligence.

    ``(2) MANAGEMENT.--Pursuant to section 119(f)(E) of the National Security Act of 1947 (50 U.S.C. 404o(f)(E)), the Director of the National Counterterrorism Center, acting through the senior intelligence official from the Department of Homeland Security detailed pursuant to subsection (d)(6), shall ensure that--

    ``(A) the products derived from information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, prepared by the National Counterterrorism Center and the ITACG Detail for distribution to State, local, and tribal homeland security and law enforcement agencies reflect the requirements of such agencies and are produced consistently with the policies, processes, procedures, standards, and guidelines established by the ITACG Advisory Council;

    ``(B) in consultation with the ITACG Advisory Council and consistent with sections 102A(f)(1)(B)(iii) and 119(f)(E) of the National Security Act of 1947 (50 U.S.C. 402 et seq.), all products described in subparagraph (A) are disseminated through existing channels of the Department and the Department of Justice and other appropriate channels to State, local, and tribal government officials and other entities;

    ``(C) all detailees under subsection (d)(5) have appropriate access to all relevant information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, available at the National Counterterrorism Center in order to accomplish the objectives under that paragraph;

    ``(D) all detailees under subsection (d)(5) have the appropriate security clearances and are trained in the procedures for handling, processing, storing, and disseminating classified products derived from information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information; and

    ``(E) all detailees under subsection (d)(5) complete appropriate privacy and civil liberties training.

    ``(h) Inapplicability of the Federal Advisory Committee Act.--The Federal Advisory Committee Act (5 U.S.C. App.) shall not apply to the ITACG or any subsidiary groups thereof.

    ``(i) Authorization of Appropriations.--There are authorized to be appropriated such sums as may be necessary for each of fiscal years 2008 through 2012 to carry out this section, including to obtain security clearances for the State, local, and tribal participants in the ITACG.''.

    (b) Clerical Amendment.--The table of contents in section 1(b) of such Act is amended by inserting after the item relating to section 210C the following:

   ``Sec..210D..Interagency Threat Assessment and Coordination Group.''.

    (c) Privacy and Civil Liberties Impact Assessment.--Not later than 90 days after the date of the enactment of this Act, the Privacy Officer and the Officer for Civil Rights and Civil Liberties of the Department of Homeland Security and the Chief Privacy and Civil Liberties Officer for the Department of Justice, in consultation with the Civil Liberties Protection Officer of the Office of the Director of National Intelligence, shall submit to the Secretary of Homeland Security, the Director of the Federal Bureau of Investigation, the Attorney General, the Director of the National Counterterrorism Center, the Director of National Intelligence, the Privacy and Civil Liberties Oversight Board, and the Committee on Homeland Security and Governmental Affairs of the Senate, the Committee on Homeland Security of the House of Representatives, the Select Committee on Intelligence of the Senate, and the Permanent Select Committee on Intelligence of the House of Representatives, a privacy and civil liberties impact assessment of the Interagency Threat Assessment and Coordination Group under section 210D of the Homeland Security Act of 2002, as added by subsection (a), including the use of State, local, and tribal detailees at the National Counterterrorism Center, as described in subsection (d)(5) of that section.

   

Subtitle D--Homeland Security Intelligence Offices Reorganization

   SEC. 531. OFFICE OF INTELLIGENCE AND ANALYSIS AND OFFICE OF INFRASTRUCTURE PROTECTION.

    (a) In General.--Section 201 of the Homeland Security Act of 2002 (6 U.S.C. 201) is amended--

    (1) in the section heading, by striking ``

   

directorate for information'' and inserting ``

   

information and'';

    (2) by striking subsections (a) through (c) and inserting the following:

    ``(a) Intelligence and Analysis and Infrastructure Protection.--There shall be in the Department an Office of Intelligence and Analysis and an Office of Infrastructure Protection.

    ``(b) Under Secretary for Intelligence and Analysis and Assistant Secretary for Infrastructure Protection.--

    ``(1) OFFICE OF INTELLIGENCE AND ANALYSIS.--The Office of Intelligence and Analysis shall be headed by an Under Secretary for Intelligence and Analysis, who shall be appointed by the President, by and with the advice and consent of the Senate.

    ``(2) CHIEF INTELLIGENCE OFFICER.--The Under Secretary for Intelligence and Analysis shall serve as the Chief Intelligence Officer of the Department.

    ``(3) OFFICE OF INFRASTRUCTURE PROTECTION.--The Office of Infrastructure Protection shall be headed by an Assistant Secretary for Infrastructure Protection, who shall be appointed by the President.

    ``(c) Discharge of Responsibilities.--The Secretary shall ensure that the responsibilities of the Department relating to information analysis and infrastructure protection, including those described in subsection (d), are carried out through the Under Secretary for Intelligence and Analysis or the Assistant Secretary for Infrastructure Protection, as appropriate.'';

    (3) in subsection (d)--

    (A) in the subsection heading, by striking ``Under Secretary'' and inserting ``Secretary Relating To Intelligence and Analysis and Infrastructure Protection'';

    (B) in the matter preceding paragraph (1), by striking ``Subject to the direction'' and all that follows through ``Infrastructure Protection'' and inserting the following: ``The responsibilities of the Secretary relating to intelligence and analysis and infrastructure protection'';

    (C) in paragraph (9), as redesignated under section 510(a)(2)(A)(ii), by striking ``Director of Central Intelligence'' and inserting ``Director of National Intelligence'';

    (D) in paragraph (11)(B), as so redesignated, by striking ``Director of Central Intelligence'' and inserting ``Director of National Intelligence'';

    (E) by redesignating paragraph (18), as so redesignated, as paragraph (24); and

    (F) by inserting after paragraph (17), as so redesignated, the following:

    ``(18) To coordinate and enhance integration among the intelligence components of the Department, including through strategic oversight of the intelligence activities of such components.

    ``(19) To establish the intelligence collection, processing, analysis, and dissemination priorities, policies, processes, standards, guidelines, and procedures for the intelligence components of the Department, consistent with any directions from the President and, as applicable, the Director of National Intelligence.

    ``(20) To establish a structure and process to support the missions and goals of the intelligence components of the Department.

    ``(21) To ensure that, whenever possible, the Department--

    ``(A) produces and disseminates unclassified reports and analytic products based on open-source information; and

    ``(B) produces and disseminates such reports and analytic products contemporaneously with reports or analytic products concerning the same or similar information that the Department produced and disseminated in a classified format.

    ``(22) To establish within the Office of Intelligence and Analysis an internal continuity of operations plan.

    ``(23) Based on intelligence priorities set by the President, and guidance from the Secretary and, as appropriate, the Director of National Intelligence--

    ``(A) to provide to the heads of each intelligence component of the Department guidance

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for developing the budget pertaining to the activities of such component; and

    ``(B) to present to the Secretary a recommendation for a consolidated budget for the intelligence components of the Department, together with any comments from the heads of such components.'';

    (4) in subsection (e)(1)--

    (A) by striking ``Directorate'' the first place that term appears and inserting ``Office of Intelligence and Analysis and the Office of Infrastructure Protection''; and

    (B) by striking ``the Directorate in discharging'' and inserting ``such offices in discharging'';

    (5) in subsection (f)(1), by striking ``Directorate'' and inserting ``Office of Intelligence and Analysis and the Office of Infrastructure Protection''; and

    (6) In subsection (g), in the matter preceding paragraph (1), by striking ``Under Secretary for Information Analysis and Infrastructure Protection'' and inserting ``Office of Intelligence and Analysis and the Office of Infrastructure Protection''.

    (b) Technical and Conforming Amendments.--

    (1) IN GENERAL.--Such Act is further amended--

    (A) in section 223, by striking ``Under Secretary for Information Analysis and Infrastructure Protection'' and inserting ``Under Secretary for Intelligence and Analysis, in cooperation with the Assistant Secretary for Infrastructure Protection'';

    (B) in section 224, by striking ``Under Secretary for Information Analysis and Infrastructure Protection'' and inserting ``Assistant Secretary for Infrastructure Protection'';

    (C) in section 302(3), by striking ``Under Secretary for Information Analysis and Infrastructure Protection'' and inserting ``Under Secretary for Intelligence and Analysis and the Assistant Secretary for Infrastructure Protection''; and

    (D) in section 521(d)--

    (i) in paragraph (1), by striking ``Directorate for Information Analysis and Infrastructure Protection'' and inserting ``Office of Intelligence and Analysis''; and

    (ii) in paragraph (2), by striking ``Under Secretary for Information Analysis and Infrastructure Protection'' and inserting ``Under Secretary for Intelligence and Analysis''.

    (2) ADDITIONAL UNDER SECRETARY.--Section 103(a) of the Homeland Security Act of 2002 (6 U.S.C. 113(a)) is amended--

    (A) by redesignating paragraphs (8) and (9) as paragraphs (9) and (10), respectively; and

    (B) by inserting after paragraph (7) the following:

    ``(8) An Under Secretary responsible for overseeing critical infrastructure protection, cybersecurity, and other related programs of the Department.''.

    (3) HEADING.--Subtitle A of title II of the Homeland Security Act of 2002 (6 U.S.C. 121 et seq.) is amended in the subtitle heading by striking ``Directorate for Information'' and inserting ``Information and''.

    (4) TABLE OF CONTENTS.--The Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended in the table of contents in section 1(b)--

    (A) by striking the items relating to subtitle A of title II and section 201 and inserting the following:

   ``Subtitle A--Information and Analysis and Infrastructure Protection; Access to Information

   ``Sec..201..Information and Analysis and Infrastructure Protection.''; and

    (5) NATIONAL SECURITY ACT OF 1947.--Section 106(b)(2)(I) of the National Security Act of 1947 (50 U.S.C. 403-6) is amended to read as follows:

    ``(I) The Under Secretary of Homeland Security for Intelligence and Analysis.''.

    (c) Treatment of Incumbent.--The individual administratively performing the duties of the Under Secretary for Intelligence and Analysis as of the date of the enactment of this Act may continue to perform such duties after the date on which the President nominates an individual to serve as the Under Secretary pursuant to section 201 of the Homeland Security Act of 2002, as amended by this section, and until the individual so appointed assumes the duties of the position

   

Subtitle E--Authorization of Appropriations

   SEC. 541. AUTHORIZATION OF APPROPRIATIONS.

    There is authorized to be appropriated for each of fiscal years 2008 through 2012 such sums as may be necessary to carry out this title and the amendments made by this title.

   

TITLE VI--CONGRESSIONAL OVERSIGHT OF INTELLIGENCE

   SEC. 601. AVAILABILITY TO PUBLIC OF CERTAIN INTELLIGENCE FUNDING INFORMATION.

    (a) Amounts Appropriated Each Fiscal Year.--Not later than 30 days after the end of each fiscal year beginning with fiscal year 2007, the Director of National Intelligence shall disclose to the public the aggregate amount of funds appropriated by Congress for the National Intelligence Program for such fiscal year.

    (b) Waiver.--Beginning with fiscal year 2009, the President may waive or postpone the disclosure required by subsection (a) for any fiscal year by, not later than 30 days after the end of such fiscal year, submitting to the Select Committee on Intelligence of the Senate and Permanent Select Committee on Intelligence of the House of Representatives--

    (1) a statement, in unclassified form, that the disclosure required in subsection (a) for that fiscal year would damage national security; and

    (2) a statement detailing the reasons for the waiver or postponement, which may be submitted in classified form.

    (c) Definition.--As used in this section, the term ``National Intelligence Program'' has the meaning given the term in section 3(6) of the National Security Act of 1947 (50 U.S.C. 401a(6)).

   SEC. 602. PUBLIC INTEREST DECLASSIFICATION BOARD.

    The Public Interest Declassification Act of 2000 (50 U.S.C. 435 note) is amended--

    (1) by striking ``Director of Central Intelligence'' each place that term appears and inserting ``Director of National Intelligence'';

    (2) in section 704(e)--

    (A) by striking ``If requested'' and inserting the following:

    ``(1) IN GENERAL.--If requested''; and

    (B) by adding at the end the following:

    ``(2) AUTHORITY OF BOARD.--Upon receiving a congressional request described in section 703(b)(5), the Board may conduct the review and make the recommendations described in that section, regardless of whether such a review is requested by the President.

    ``(3) REPORTING.--Any recommendations submitted to the President by the Board under section 703(b)(5), shall be submitted to the chairman and ranking minority member of the committee of Congress that made the request relating to such recommendations.'';

    (3) in section 705(c), in the subsection heading, by striking ``Director of Central Intelligence'' and inserting ``Director of National Intelligence''; and

    (4) in section 710(b), by striking ``8 years after the date'' and all that follows and inserting ``on December 31, 2012.''.

   SEC. 603. SENSE OF THE SENATE REGARDING A REPORT ON THE 9/11 COMMISSION RECOMMENDATIONS WITH RESPECT TO INTELLIGENCE REFORM AND CONGRESSIONAL INTELLIGENCE OVERSIGHT REFORM.

    (a) Findings.--Congress makes the following findings:

    (1) The National Commission on Terrorist Attacks Upon the United States (referred to in this section as the ``9/11 Commission'') conducted a lengthy review of the facts and circumstances relating to the terrorist attacks of September 11, 2001, including those relating to the intelligence community, law enforcement agencies, and the role of congressional oversight and resource allocation.

    (2) In its final report, the 9/11 Commission found that--

    (A) congressional oversight of the intelligence activities of the United States is dysfunctional;

    (B) under the rules of the Senate and the House of Representatives in effect at the time the report was completed, the committees of Congress charged with oversight of the intelligence activities lacked the power, influence, and sustained capability to meet the daunting challenges faced by the intelligence community of the United States;

    (C) as long as such oversight is governed by such rules of the Senate and the House of Representatives, the people of the United States will not get the security they want and need;

    (D) a strong, stable, and capable congressional committee structure is needed to give the intelligence community of the United States appropriate oversight, support, and leadership; and

    (E) the reforms recommended by the 9/11 Commission in its final report will not succeed if congressional oversight of the intelligence community in the United States is not changed.

    (3) The 9/11 Commission recommended structural changes to Congress to improve the oversight of intelligence activities.

    (4) Congress has enacted some of the recommendations made by the 9/11 Commission and is considering implementing additional recommendations of the 9/11 Commission.

    (5) The Senate adopted Senate Resolution 445 in the 108th Congress to address some of the intelligence oversight recommendations of the 9/11 Commission by abolishing term limits for the members of the Select Committee on Intelligence, clarifying jurisdiction for intelligence-related nominations, and streamlining procedures for the referral of intelligence-related legislation, but other aspects of the 9/11 Commission recommendations regarding intelligence oversight have not been implemented.

    (b) Sense of the Senate.--It is the sense of the Senate that the Committee on Homeland Security and Governmental Affairs and the Select Committee on Intelligence of the Senate each, or jointly, should--

    (1) undertake a review of the recommendations made in the final report of the 9/11 Commission with respect to intelligence reform and congressional intelligence oversight reform;

    (2) review and consider any other suggestions, options, or recommendations for improving intelligence oversight; and

    (3) not later than December 21, 2007, submit to the Senate a report that includes the recommendations of the committees, if any, for carrying out such reforms.

   SEC. 604. AVAILABILITY OF FUNDS FOR THE PUBLIC INTEREST DECLASSIFICATION BOARD.

    Section 21067 of the Continuing Appropriations Resolution, 2007 (division B of Public Law 109-289; 120 Stat. 1311), as amended by Public Law 109-369 (120 Stat. 2642), Public

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Law 109-383 (120 Stat. 2678), and Public Law 110-5, is amended by adding at the end the following new subsection:

    ``(c) From the amount provided by this section, the National Archives and Records Administration may obligate monies necessary to carry out the activities of the Public Interest Declassification Board.''.

   SEC. 605. AVAILABILITY OF THE EXECUTIVE SUMMARY OF THE REPORT ON CENTRAL INTELLIGENCE AGENCY ACCOUNTABILITY REGARDING THE TERRORIST ATTACKS OF SEPTEMBER 11, 2001.

    (a) Public Availability.--Not later than 30 days after the date of the enactment of this Act, the Director of the Central Intelligence Agency shall prepare and make available to the public a version of the Executive Summary of the report entitled the ``Office of Inspector General Report on Central Intelligence Agency Accountability Regarding Findings and Conclusions of the Joint Inquiry into Intelligence Community Activities Before and After the Terrorist Attacks of September 11, 2001'' issued in June 2005 that is declassified to the maximum extent possible, consistent with national security.

    (b) Report to Congress.--The Director of the Central Intelligence Agency shall submit to Congress a classified annex to the redacted Executive Summary made available under subsection (a) that explains the reason that any redacted material in the Executive Summary was withheld from the public.

   

TITLE VII--STRENGTHENING EFFORTS TO PREVENT TERRORIST TRAVEL

   

Subtitle A--Terrorist Travel

   SEC. 701. REPORT ON INTERNATIONAL COLLABORATION TO INCREASE BORDER SECURITY, ENHANCE GLOBAL DOCUMENT SECURITY, AND EXCHANGE TERRORIST INFORMATION.

    (a) Report Required.--Not later than 270 days after the date of the enactment of this Act, the Secretary of State and the Secretary of Homeland Security, in conjunction with the Director of National Intelligence and the heads of other appropriate Federal departments and agencies, shall submit to the appropriate congressional committees a report on efforts of the Government of the United States to collaborate with international partners and allies of the United States to increase border security, enhance global document security, and exchange terrorism information.

    (b) Contents.--The report required by subsection (a) shall outline--

    (1) all presidential directives, programs, and strategies for carrying out and increasing United States Government efforts described in subsection (a);

    (2) the goals and objectives of each of these efforts;

    (3) the progress made in each of these efforts; and

    (4) the projected timelines for each of these efforts to become fully functional and effective.

    (c) Definition.--In this section, the term ``appropriate congressional committees'' means--

    (1) the Committee on Foreign Affairs, the Committee on Homeland Security, the Committee on the Judiciary, and the Permanent Select Committee on Intelligence of the House of Representatives; and

    (2) the Committee on Foreign Relations, the Committee on Homeland Security and Governmental Affairs, the Committee on the Judiciary, and the Select Committee on Intelligence of the Senate.

   

Subtitle B--Visa Waiver

   SEC. 711. MODERNIZATION OF THE VISA WAIVER PROGRAM.

    (a) Short Title.--This section may be cited as the ``Secure Travel and Counterterrorism Partnership Act of 2007''.

    (b) Sense of Congress.--It is the sense of Congress that--

    (1) the United States should modernize and strengthen the security of the visa waiver program under section 217 of the Immigration and Nationality Act (8 U.S.C. 1187) by simultaneously--

    (A) enhancing program security requirements; and

    (B) extending visa-free travel privileges to nationals of foreign countries that are partners in the war on terrorism--

    (i) that are actively cooperating with the United States to prevent terrorist travel, including sharing counterterrorism and law enforcement information; and

    (ii) whose nationals have demonstrated their compliance with the provisions of the Immigration and Nationality Act regarding the purpose and duration of their admission to the United States; and

    (2) the modernization described in paragraph (1) will--

    (A) enhance bilateral cooperation on critical counterterrorism and information sharing initiatives;

    (B) support and expand tourism and business opportunities to enhance long-term economic competitiveness; and

    (C) strengthen bilateral relationships.

    (c) Discretionary Visa Waiver Program Expansion.--Section 217(c) of the Immigration and Nationality Act (8 U.S.C. 1187(c)) is amended by adding at the end the following new paragraphs:

    ``(8) NONIMMIGRANT VISA REFUSAL RATE FLEXIBILITY.--

    ``(A) CERTIFICATION.--

    ``(i) IN GENERAL.--On the date on which an air exit system is in place that can verify the departure of not less than 97 percent of foreign nationals who exit through airports of the United States and the electronic travel authorization system required under subsection (h)(3) is fully operational, the Secretary of Homeland Security shall certify to Congress that such air exit system and electronic travel authorization system are in place.

    ``(ii) NOTIFICATION TO CONGRESS.--The Secretary shall notify Congress in writing of the date on which the air exit system under clause (i) fully satisfies the biometric requirements specified in subsection (i).

    ``(iii) TEMPORARY SUSPENSION OF WAIVER AUTHORITY.--Notwithstanding any certification made under clause (i), if the Secretary has not notified Congress in accordance with clause (ii) by June 30, 2009, the Secretary's waiver authority under subparagraph (B) shall be suspended beginning on July 1, 2009, until such time as the Secretary makes such notification.

    ``(iv) RULE OF CONSTRUCTION.--Nothing in this paragraph shall be construed as in any way abrogating the reporting requirements under subsection (i)(3).

    ``(B) WAIVER.--After certification by the Secretary under subparagraph (A), the Secretary, in consultation with the Secretary of State, may waive the application of paragraph (2)(A) for a country if--

    ``(i) the country meets all security requirements of this section;

    ``(ii) the Secretary of Homeland Security determines that the totality of the country's security risk mitigation measures provide assurance that the country's participation in the program would not compromise the law enforcement, security interests, or enforcement of the immigration laws of the United States;

    ``(iii) there has been a sustained reduction in the rate of refusals for nonimmigrant visas for nationals of the country and conditions exist to continue such reduction;

    ``(iv) the country cooperated with the Government of the United States on counterterrorism initiatives, information sharing, and preventing terrorist travel before the date of its designation as a program country, and the Secretary of Homeland Security and the Secretary of State determine that such cooperation will continue; and

    ``(v)(I) the rate of refusals for nonimmigrant visitor visas for nationals of the country during the previous full fiscal year was not more than ten percent; or

    ``(II) the visa overstay rate for the country for the previous full fiscal year does not exceed the maximum visa overstay rate, once such rate is established under subparagraph (C).

    ``(C) MAXIMUM VISA OVERSTAY RATE.--

    ``(i) REQUIREMENT TO ESTABLISH.--After certification by the Secretary under subparagraph (A), the Secretary and the Secretary of State jointly shall use information from the air exit system referred to in such subparagraph to establish a maximum visa overstay rate for countries participating in the program pursuant to a waiver under subparagraph (B). The Secretary of Homeland Security shall certify to Congress that such rate would not compromise the law enforcement, security interests, or enforcement of the immigration laws of the United States.

    ``(ii) VISA OVERSTAY RATE DEFINED.--In this paragraph the term `visa overstay rate' means, with respect to a country, the ratio of--

    ``(I) the total number of nationals of that country who were admitted to the United States on the basis of a nonimmigrant visa whose periods of authorized stays ended during a fiscal year but who remained unlawfully in the United States beyond such periods; to

    ``(II) the total number of nationals of that country who were admitted to the United States on the basis of a nonimmigrant visa during that fiscal year.

    ``(iii) REPORT AND PUBLICATION.--The Secretary of Homeland Security shall on the same date submit to Congress and publish in the Federal Register information relating to the maximum visa overstay rate established under clause (i). Not later than 60 days after such date, the Secretary shall issue a final maximum visa overstay rate above which a country may not participate in the program.

    ``(9) DISCRETIONARY SECURITY-RELATED CONSIDERATIONS.--In determining whether to waive the application of paragraph (2)(A) for a country, pursuant to paragraph (8), the Secretary of Homeland Security, in consultation with the Secretary of State, shall take into consideration other factors affecting the security of the United States, including--

    ``(A) airport security standards in the country;

    ``(B) whether the country assists in the operation of an effective air marshal program;

    ``(C) the standards of passports and travel documents issued by the country; and

    ``(D) other security-related factors, including the country's cooperation with the United States' initiatives toward combating terrorism and the country's cooperation with the United States intelligence community in sharing information regarding terrorist threats.''.

    (d) Security Enhancements to the Visa Waiver Program.--

    (1) IN GENERAL.--Section 217 of the Immigration and Nationality Act (8 U.S.C. 1187) is amended--

    (A) in subsection (a), in the flush text following paragraph (9)--

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    (i) by striking ``Operators of aircraft'' and inserting the following:

    ``(10) ELECTRONIC TRANSMISSION OF IDENTIFICATION INFORMATION.--Operators of aircraft''; and

    (ii) by adding at the end the following new paragraph:

    ``(11) ELIGIBILITY DETERMINATION UNDER THE ELECTRONIC TRAVEL AUTHORIZATION SYSTEM.--Beginning on the date on which the electronic travel authorization system developed under subsection (h)(3) is fully operational, each alien traveling under the program shall, before applying for admission to the United States, electronically provide to the system biographical information and such other information as the Secretary of Homeland Security shall determine necessary to determine the eligibility of, and whether there exists a law enforcement or security risk in permitting, the alien to travel to the United States. Upon review of such biographical information, the Secretary of Homeland Security shall determine whether the alien is eligible to travel to the United States under the program.'';

    (B) in subsection (c)--

    (i) in paragraph (2)--

    (I) by amending subparagraph (D) to read as follows:

    ``(D) REPORTING LOST AND STOLEN PASSPORTS.--The government of the country enters into an agreement with the United States to report, or make available through Interpol or other means as designated by the Secretary of Homeland Security, to the United States Government information about the theft or loss of passports within a strict time limit and in a manner specified in the agreement.''; and

    (II) by adding at the end the following new subparagraphs:

    ``(E) REPATRIATION OF ALIENS.--The government of the country accepts for repatriation any citizen, former citizen, or national of the country against whom a final executable order of removal is issued not later than three weeks after the issuance of the final order of removal. Nothing in this subparagraph creates any duty for the United States or any right for any alien with respect to removal or release. Nothing in this subparagraph gives rise to any cause of action or claim under this paragraph or any other law against any official of the United States or of any State to compel the release, removal, or consideration for release or removal of any alien.

    ``(F) PASSENGER INFORMATION EXCHANGE.--The government of the country enters into an agreement with the United States to share information regarding whether citizens and nationals of that country traveling to the United States represent a threat to the security or welfare of the United States or its citizens.'';

    (ii) in paragraph (5)--

    (I) by striking ``Attorney General'' each place it appears and inserting ``Secretary of Homeland Security''; and

    (II) in subparagraph (A)(i)--

    (aa) in subclause (II), by striking ``and'' at the end;

    (bb) in subclause (III)--

    (AA) by striking ``and the Committee on International Relations'' and inserting ``, the Committee on Foreign Affairs, and the Committee on Homeland Security,'' and by striking ``and the Committee on Foreign Relations'' and inserting ``, the Committee on Foreign Relations, and the Committee on Homeland Security and Governmental Affairs''; and

    (BB) by striking the period at the end and inserting ``; and''; and

    (cc) by adding at the end the following new subclause:

    ``(IV) shall submit to Congress a report regarding the implementation of the electronic travel authorization system under subsection (h)(3) and the participation of new countries in the program through a waiver under paragraph (8).''; and

    (III) in subparagraph (B), by adding at the end the following new clause:

    ``(iv) PROGRAM SUSPENSION AUTHORITY.--The Director of National Intelligence shall immediately inform the Secretary of Homeland Security of any current and credible threat which poses an imminent danger to the United States or its citizens and originates from a country participating in the visa waiver program. Upon receiving such notification, the Secretary, in consultation with the Secretary of State--

    ``(I) may suspend a country from the visa waiver program without prior notice;

    ``(II) shall notify any country suspended under subclause (I) and, to the extent practicable without disclosing sensitive intelligence sources and methods, provide justification for the suspension; and

    ``(III) shall restore the suspended country's participation in the visa waiver program upon a determination that the threat no longer poses an imminent danger to the United States or its citizens.''; and

    (iii) by adding at the end the following new paragraphs:

    ``(10) TECHNICAL ASSISTANCE.--The Secretary of Homeland Security, in consultation with the Secretary of State, shall provide technical assistance to program countries to assist those countries in meeting the requirements under this section. The Secretary of Homeland Security shall ensure that the program office within the Department of Homeland Security is adequately staffed and has resources to be able to provide such technical assistance, in addition to its duties to effectively monitor compliance of the countries participating in the program with all the requirements of the program.

    ``(11) INDEPENDENT REVIEW.--

    ``(A) IN GENERAL.--Prior to the admission of a new country into the program under this section, and in conjunction with the periodic evaluations required under subsection (c)(5)(A), the Director of National Intelligence shall conduct an independent intelligence assessment of a nominated country and member of the program.

    ``(B) REPORTING REQUIREMENT.--The Director shall provide to the Secretary of Homeland Security, the Secretary of State, and the Attorney General the independent intelligence assessment required under subparagraph (A).

    ``(C) CONTENTS.--The independent intelligence assessment conducted by the Director shall include--

    ``(i) a review of all current, credible terrorist threats of the subject country;

    ``(ii) an evaluation of the subject country's counterterrorism efforts;

    ``(iii) an evaluation as to the extent of the country's sharing of information beneficial to suppressing terrorist movements, financing, or actions;

    ``(iv) an assessment of the risks associated with including the subject country in the program; and

    ``(v) recommendations to mitigate the risks identified in clause (iv).'';

    (C) in subsection (d)--

    (i) by striking ``Attorney General'' and inserting ``Secretary of Homeland Security''; and

    (ii) by adding at the end the following new sentence: ``The Secretary of Homeland Security may not waive any eligibility requirement under this section unless the Secretary notifies, with respect to the House of Representatives, the Committee on Homeland Security, the Committee on the Judiciary, the Committee on Foreign Affairs, and the Committee on Appropriations, and with respect to the Senate, the Committee on Homeland Security and Governmental Affairs, the Committee on the Judiciary, the Committee on Foreign Relations, and the Committee on Appropriations not later than 30 days before the effective date of such waiver.'';

    (D) in subsection (f)(5)--

    (i) by striking ``Attorney General'' each place it appears and inserting ``Secretary of Homeland Security''; and

    (ii) by striking ``of blank'' and inserting ``or loss of'';

    (E) in subsection (h), by adding at the end the following new paragraph:

    ``(3) ELECTRONIC TRAVEL AUTHORIZATION SYSTEM.--

    ``(A) SYSTEM.--The Secretary of Homeland Security, in consultation with the Secretary of State, shall develop and implement a fully automated electronic travel authorization system (referred to in this paragraph as the `System') to collect such biographical and other information as the Secretary of Homeland Security determines necessary to determine, in advance of travel, the eligibility of, and whether there exists a law enforcement or security risk in permitting, the alien to travel to the United States.

    ``(B) FEES.--The Secretary of Homeland Security may charge a fee for the use of the System, which shall be--

    ``(i) set at a level that will ensure recovery of the full costs of providing and administering the System; and

    ``(ii) available to pay the costs incurred to administer the System.

    ``(C) VALIDITY.--

    ``(i) PERIOD.--The Secretary of Homeland Security, in consultation with the Secretary of State, shall prescribe regulations that provide for a period, not to exceed three years, during which a determination of eligibility to travel under the program will be valid. Notwithstanding any other provision under this section, the Secretary of Homeland Security may revoke any such determination at any time and for any reason.

    ``(ii) LIMITATION.--A determination by the Secretary of Homeland Security that an alien is eligible to travel to the United States under the program is not a determination that the alien is admissible to the United States.

    ``(iii) NOT A DETERMINATION OF VISA ELIGIBILITY.--A determination by the Secretary of Homeland Security that an alien who applied for authorization to travel to the United States through the System is not eligible to travel under the program is not a determination of eligibility for a visa to travel to the United States and shall not preclude the alien from applying for a visa.

    ``(iv) JUDICIAL REVIEW.--Notwithstanding any other provision of law, no court shall have jurisdiction to review an eligibility determination under the System.

    ``(D) REPORT.--Not later than 60 days before publishing notice regarding the implementation of the System in the Federal Register, the Secretary of Homeland Security shall submit a report regarding the implementation of the system to--

    ``(i) the Committee on Homeland Security of the House of Representatives;

    ``(ii) the Committee on the Judiciary of the House of Representatives;

    ``(iii) the Committee on Foreign Affairs of the House of Representatives;

    ``(iv) the Permanent Select Committee on Intelligence of the House of Representatives;

    ``(v) the Committee on Appropriations of the House of Representatives;

    ``(vi) the Committee on Homeland Security and Governmental Affairs of the Senate;

    ``(vii) the Committee on the Judiciary of the Senate;

    ``(viii) the Committee on Foreign Relations of the Senate;

    ``(ix) the Select Committee on Intelligence of the Senate; and

    ``(x) the Committee on Appropriations of the Senate.''; and

    (F) by adding at the end the following new subsection:

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    ``(i) Exit System.--

    ``(1) IN GENERAL.--Not later than one year after the date of the enactment of this subsection, the Secretary of Homeland Security shall establish an exit system that records the departure on a flight leaving the United States of every alien participating in the visa waiver program established under this section.

    ``(2) SYSTEM REQUIREMENTS.--The system established under paragraph (1) shall--

    ``(A) match biometric information of the alien against relevant watch lists and immigration information; and

    ``(B) compare such biometric information against manifest information collected by air carriers on passengers departing the United States to confirm such aliens have departed the United States.

    ``(3) REPORT.--Not later than 180 days after the date of the enactment of this subsection, the Secretary shall submit to Congress a report that describes--

    ``(A) the progress made in developing and deploying the exit system established under this subsection; and

    ``(B) the procedures by which the Secretary shall improve the method of calculating the rates of nonimmigrants who overstay their authorized period of stay in the United States.''.

    (2) EFFECTIVE DATE.--Section 217(a)(11) of the Immigration and Nationality Act, as added by paragraph (1)(A)(ii), shall take effect on the date that is 60 days after the date on which the Secretary of Homeland Security publishes notice in the Federal Register of the requirement under such paragraph.

    (e) Authorization of Appropriations.--There are authorized to be appropriated to the Secretary of Homeland Security such sums as may be necessary to carry out this section and the amendments made by this section.

   

Subtitle C--Strengthening Terrorism Prevention Programs

   SEC. 721. STRENGTHENING THE CAPABILITIES OF THE HUMAN SMUGGLING AND TRAFFICKING CENTER.

    (a) In General.--Section 7202 of the Intelligence Reform and Terrorism Prevention Act of 2004 (8 U.S.C. 1777) is amended--

    (1) in subsection (c)(1), by striking ``address'' and inserting ``integrate and disseminate intelligence and information related to'';

    (2) by redesignating subsections (d) and (e) as subsections (g) and (h), respectively; and

    (3) by inserting after subsection (c) the following new subsections:

    ``(d) Director.--The Secretary of Homeland Security shall nominate an official of the Government of the United States to serve as the Director of the Center, in accordance with the requirements of the memorandum of understanding entitled the `Human Smuggling and Trafficking Center (HSTC) Charter'.

    ``(e) Staffing of the Center.--

    ``(1) IN GENERAL.--The Secretary of Homeland Security, in cooperation with heads of other relevant agencies and departments, shall ensure that the Center is staffed with not fewer than 40 full-time equivalent positions, including, as appropriate, detailees from the following:

    ``(A) Agencies and offices within the Department of Homeland Security, including the following:

    ``(i) The Office of Intelligence and Analysis.

    ``(ii) The Transportation Security Administration.

    ``(iii) United States Citizenship and Immigration Services.

    ``(iv) United States Customs and Border Protection.

    ``(v) The United States Coast Guard.

    ``(vi) United States Immigration and Customs Enforcement.

    ``(B) Other departments, agencies, or entities, including the following:

    ``(i) The Central Intelligence Agency.

    ``(ii) The Department of Defense.

    ``(iii) The Department of the Treasury.

    ``(iv) The National Counterterrorism Center.

    ``(v) The National Security Agency.

    ``(vi) The Department of Justice.

    ``(vii) The Department of State.

    ``(viii) Any other relevant agency or department.

    ``(2) EXPERTISE OF DETAILEES.--The Secretary of Homeland Security, in cooperation with the head of each agency, department, or other entity referred to in paragraph (1), shall ensure that the detailees provided to the Center under such paragraph include an adequate number of personnel who are--

    ``(A) intelligence analysts or special agents with demonstrated experience related to human smuggling, trafficking in persons, or terrorist travel; and

    ``(B) personnel with experience in the areas of--

    ``(i) consular affairs;

    ``(ii) counterterrorism;

    ``(iii) criminal law enforcement;

    ``(iv) intelligence analysis;

    ``(v) prevention and detection of document fraud;

    ``(vi) border inspection;

    ``(vii) immigration enforcement; or

    ``(viii) human trafficking and combating severe forms of trafficking in persons.

    ``(3) ENHANCED PERSONNEL MANAGEMENT.--

    ``(A) INCENTIVES FOR SERVICE IN CERTAIN POSITIONS.--

    ``(i) IN GENERAL.--The Secretary of Homeland Security, and the heads of other relevant agencies, shall prescribe regulations or promulgate personnel policies to provide incentives for service on the staff of the Center, particularly for serving terms of at least two years duration.

    ``(ii) FORMS OF INCENTIVES.--Incentives under clause (i) may include financial incentives, bonuses, and such other awards and incentives as the Secretary and the heads of other relevant agencies, consider appropriate.

    ``(B) ENHANCED PROMOTION FOR SERVICE AT THE CENTER.--Notwithstanding any other provision of law, the Secretary of Homeland Security, and the heads of other relevant agencies, shall ensure that personnel who are assigned or detailed to service at the Center shall be considered for promotion at rates equivalent to or better than similarly situated personnel of such agencies who are not so assigned or detailed, except that this subparagraph shall not apply in the case of personnel who are subject to the provisions of the Foreign Service Act of 1980.

    ``(f) Administrative Support and Funding.--The Secretary of Homeland Security shall provide to the Center the administrative support and funding required for its maintenance, including funding for personnel, leasing of office space, supplies, equipment, technology, training, and travel expenses necessary for the Center to carry out its functions.''.

    (b) Report.--Subsection (g) of section 7202 of the Intelligence Reform and Terrorism Prevention Act of 2004, as redesignated by subsection (a)(2), is amended to read as follows:

    ``(g) Report.--

    ``(1) INITIAL REPORT.--Not later than 180 days after December 17, 2004, the President shall transmit to Congress a report regarding the implementation of this section, including a description of the staffing and resource needs of the Center.

    ``(2) FOLLOW-UP REPORT.--Not later than 180 days after the date of the enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the President shall transmit to Congress a report regarding the operation of the Center and the activities carried out by the Center, including a description of--

    ``(A) the roles and responsibilities of each agency or department that is participating in the Center;

    ``(B) the mechanisms used to share information among each such agency or department;

    ``(C) the personnel provided to the Center by each such agency or department;

    ``(D) the type of information and reports being disseminated by the Center;

    ``(E) any efforts by the Center to create a centralized Federal Government database to store information related to unlawful travel of foreign nationals, including a description of any such database and of the manner in which information utilized in such a database would be collected, stored, and shared;

    ``(F) how each agency and department shall utilize its resources to ensure that the Center uses intelligence to focus and drive its efforts;

    ``(G) efforts to consolidate networked systems for the Center;

    ``(H) the mechanisms for the sharing of homeland security information from the Center to the Office of Intelligence and Analysis, including how such sharing shall be consistent with section 1016(b);

    ``(I) the ability of participating personnel in the Center to freely access necessary databases and share information regarding issues related to human smuggling, trafficking in persons, and terrorist travel;

    ``(J) how the assignment of personnel to the Center is incorporated into the civil service career path of such personnel; and

    ``(K) cooperation and coordination efforts, including any memorandums of understanding, among participating agencies and departments regarding issues related to human smuggling, trafficking in persons, and terrorist travel.''.

    (c) Coordination With the Office of Intelligence and Analysis.--Section 7202 of the Intelligence Reform and Terrorism Prevention Act of 2004 is amended by adding after subsection (h), as redesignated by subsection (a)(2), the following new subsection:

    ``(i) Coordination With the Office of Intelligence and Analysis.--The Office of Intelligence and Analysis, in coordination with the Center, shall submit to relevant State, local, and tribal law enforcement agencies periodic reports regarding terrorist threats related to human smuggling, human trafficking, and terrorist travel.''.

    (d) Authorization of Appropriations.--There are authorized to be appropriated to the Secretary of Homeland Security $20,000,000 for fiscal year 2008 to carry out section 7202 of the Intelligence Reform and Terrorism Prevention Act of 2004, as amended by this section.

   SEC. 722. ENHANCEMENTS TO THE TERRORIST TRAVEL PROGRAM.

    Section 7215 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 123) is amended to read as follows:

   ``SEC. 7215. TERRORIST TRAVEL PROGRAM.

    ``(a) Requirement To Establish.--Not later than 90 days after the date of the enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the Secretary of Homeland Security, in consultation with the Director of the National Counterterrorism Center and consistent with the strategy developed under section 7201, shall establish a program to oversee the implementation of the Secretary's responsibilities with respect to terrorist travel.

    ``(b) Head of the Program.--The Secretary of Homeland Security shall designate an official of the Department of Homeland Security to be responsible for carrying out the program. Such official shall be--

    ``(1) the Assistant Secretary for Policy of the Department of Homeland Security; or

    ``(2) an official appointed by the Secretary who reports directly to the Secretary.

    ``(c) Duties.--The official designated under subsection (b) shall assist the Secretary of Homeland Security in improving the Department's ability to prevent terrorists from entering the United States or remaining in the United States undetected by--

    ``(1) developing relevant strategies and policies;

    ``(2) reviewing the effectiveness of existing programs and recommending improvements, if necessary;

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    ``(3) making recommendations on budget requests and on the allocation of funding and personnel;

    ``(4) ensuring effective coordination, with respect to policies, programs, planning, operations, and dissemination of intelligence and information related to terrorist travel--

    ``(A) among appropriate subdivisions of the Department of Homeland Security, as determined by the Secretary and including--

    ``(i) United States Customs and Border Protection;

    ``(ii) United States Immigration and Customs Enforcement;

    ``(iii) United States Citizenship and Immigration Services;

    ``(iv) the Transportation Security Administration; and

    ``(v) the United States Coast Guard; and

    ``(B) between the Department of Homeland Security and other appropriate Federal agencies; and

    ``(5) serving as the Secretary's primary point of contact with the National Counterterrorism Center for implementing initiatives related to terrorist travel and ensuring that the recommendations of the Center related to terrorist travel are carried out by the Department.

    ``(d) Report.--Not later than 180 days after the date of the enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the Secretary of Homeland Security shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report on the implementation of this section.''.

   SEC. 723. ENHANCED DRIVER'S LICENSE.

    Section 7209(b)(1) of the Intelligence Reform and Terrorism Prevention Act of 2004 (8 U.S.C. 1185 note) is amended--

    (1) in subparagraph (B)--

    (A) in clause (vi), by striking ``and'' at the end;

    (B) in clause (vii), by striking the period at the end and inserting ``; and''; and

    (C) by adding at the end the following new clause:

    ``(viii) the signing of a memorandum of agreement to initiate a pilot program with not less than one State to determine if an enhanced driver's license, which is machine-readable and tamper proof, not valid for certification of citizenship for any purpose other than admission into the United States from Canada or Mexico, and issued by such State to an individual, may permit the individual to use the driver's license to meet the documentation requirements under subparagraph (A) for entry into the United States from Canada or Mexico at land and sea ports of entry.''; and

    (2) by adding at the end the following new subparagraph:

    ``(C) REPORT.--Not later than 180 days after the initiation of the pilot program described in subparagraph (B)(viii), the Secretary of Homeland Security and the Secretary of State shall submit to the appropriate congressional committees a report which includes--

    ``(i) an analysis of the impact of the pilot program on national security;

    ``(ii) recommendations on how to expand the pilot program to other States;

    ``(iii) any appropriate statutory changes to facilitate the expansion of the pilot program to additional States and to citizens of Canada;

    ``(iv) a plan to screen individuals participating in the pilot program against United States terrorist watch lists; and

    ``(v) a recommendation for the type of machine-readable technology that should be used in enhanced driver's licenses, based on individual privacy considerations and the costs and feasibility of incorporating any new technology into existing driver's licenses.''.

   SEC. 724. WESTERN HEMISPHERE TRAVEL INITIATIVE.

    Before the Secretary of Homeland Security publishes a final rule in the Federal Register implementing section 7209 of the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458; 8 U.S.C. 1185 note)--

    (1) the Secretary of Homeland Security shall complete a cost-benefit analysis of the Western Hemisphere Travel Initiative, authorized under such section 7209; and

    (2) the Secretary of State shall develop proposals for reducing the execution fee charged for the passport card, proposed at 71 Fed. Reg. 60928-32 (October 17, 2006), including the use of mobile application teams, during implementation of the land and sea phase of the Western Hemisphere Travel Initiative, in order to encourage United States citizens to apply for the passport card.

   SEC. 725. MODEL PORTS-OF-ENTRY.

    (a) In General.--The Secretary of Homeland Security shall--

    (1) establish a model ports-of-entry program for the purpose of providing a more efficient and welcoming international arrival process in order to facilitate and promote business and tourist travel to the United States, while also improving security; and

    (2) implement the program initially at the 20 United States international airports that have the highest number of foreign visitors arriving annually as of the date of the enactment of this Act.

    (b) Program Elements.--The program shall include--

    (1) enhanced queue management in the Federal Inspection Services area leading up to primary inspection;

    (2) assistance for foreign travelers once they have been admitted to the United States, in consultation, as appropriate, with relevant governmental and nongovernmental entities; and

    (3) instructional videos, in English and such other languages as the Secretary determines appropriate, in the Federal Inspection Services area that explain the United States inspection process and feature national, regional, or local welcome videos.

    (c) Additional Customs and Border Protection Officers for High-Volume Ports.--Subject to the availability of appropriations, not later than the end of fiscal year 2008 the Secretary of Homeland Security shall employ not fewer than an additional 200 Customs and Border Protection officers over the number of such positions for which funds were appropriated for the proceeding fiscal year to address staff shortages at the 20 United States international airports that have the highest number of foreign visitors arriving annually as of the date of the enactment of this Act.

   

Subtitle D--Miscellaneous Provisions

   SEC. 731. REPORT REGARDING BORDER SECURITY.

    (a) In General.--Not later than 180 days after the date of the enactment of this Act, the Secretary of Homeland Security shall submit to Congress a report regarding ongoing initiatives of the Department of Homeland Security to improve security along the northern border of the United States.

    (b) Contents.--The report submitted under subsection (a) shall--

    (1) address the vulnerabilities along the northern border of the United States; and

    (2) provide recommendations to address such vulnerabilities, including required resources needed to protect the northern border of the United States.

    (c) Government Accountability Office.--Not later than 270 days after the date of the submission of the report under subsection (a), the Comptroller General of the United States shall submit to Congress a report that--

    (1) reviews and comments on the report under subsection (a); and

    (2) provides recommendations regarding any additional actions necessary to protect the northern border of the United States.

   

TITLE VIII--PRIVACY AND CIVIL LIBERTIES

   SEC. 801. MODIFICATION OF AUTHORITIES RELATING TO PRIVACY AND CIVIL LIBERTIES OVERSIGHT BOARD.

    (a) Modification of Authorities.--Section 1061 of the National Security Intelligence Reform Act of 2004 (5 U.S.C. 601 note) is amended to read as follows:

   ``SEC. 1061. PRIVACY AND CIVIL LIBERTIES OVERSIGHT BOARD.

    ``(a) In General.--There is established as an independent agency within the executive branch a Privacy and Civil Liberties Oversight Board (referred to in this section as the `Board').

    ``(b) Findings.--Consistent with the report of the National Commission on Terrorist Attacks Upon the United States, Congress makes the following findings:

    ``(1) In conducting the war on terrorism, the Government may need additional powers and may need to enhance the use of its existing powers.

    ``(2) This shift of power and authority to the Government calls for an enhanced system of checks and balances to protect the precious liberties that are vital to our way of life and to ensure that the Government uses its powers for the purposes for which the powers were given.

    ``(3) The National Commission on Terrorist Attacks Upon the United States correctly concluded that `The choice between security and liberty is a false choice, as nothing is more likely to endanger America's liberties than the success of a terrorist attack at home. Our history has shown us that insecurity threatens liberty. Yet, if our liberties are curtailed, we lose the values that we are struggling to defend.'.

    ``(c) Purpose.--The Board shall--

    ``(1) analyze and review actions the executive branch takes to protect the Nation from terrorism, ensuring that the need for such actions is balanced with the need to protect privacy and civil liberties; and

    ``(2) ensure that liberty concerns are appropriately considered in the development and implementation of laws, regulations, and policies related to efforts to protect the Nation against terrorism.

    ``(d) Functions.--

    ``(1) ADVICE AND COUNSEL ON POLICY DEVELOPMENT AND IMPLEMENTATION.--The Board shall--

    ``(A) review proposed legislation, regulations, and policies related to efforts to protect the Nation from terrorism, including the development and adoption of information sharing guidelines under subsections (d) and (f) of section 1016;

    ``(B) review the implementation of new and existing legislation, regulations, and policies related to efforts to protect the Nation from terrorism, including the implementation of information sharing guidelines under subsections (d) and (f) of section 1016;

    ``(C) advise the President and the departments, agencies, and elements of the executive branch to ensure that privacy and civil liberties are appropriately considered in the development and implementation of such legislation, regulations, policies, and guidelines; and

    ``(D) in providing advice on proposals to retain or enhance a particular governmental power, consider whether the department, agency, or element of the executive branch has established--

    ``(i) that the need for the power is balanced with the need to protect privacy and civil liberties;

    ``(ii) that there is adequate supervision of the use by the executive branch of the power to ensure protection of privacy and civil liberties; and

    ``(iii) that there are adequate guidelines and oversight to properly confine its use.

    ``(2) OVERSIGHT.--The Board shall continually review--

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    ``(A) the regulations, policies, and procedures, and the implementation of the regulations, policies, and procedures, of the departments, agencies, and elements of the executive branch relating to efforts to protect the Nation from terrorism to ensure that privacy and civil liberties are protected;

    ``(B) the information sharing practices of the departments, agencies, and elements of the executive branch relating to efforts to protect the Nation from terrorism to determine whether they appropriately protect privacy and civil liberties and adhere to the information sharing guidelines issued or developed under subsections (d) and (f) of section 1016 and to other governing laws, regulations, and policies regarding privacy and civil liberties; and

    ``(C) other actions by the executive branch relating to efforts to protect the Nation from terrorism to determine whether such actions--

    ``(i) appropriately protect privacy and civil liberties; and

    ``(ii) are consistent with governing laws, regulations, and policies regarding privacy and civil liberties.

    ``(3) RELATIONSHIP WITH PRIVACY AND CIVIL LIBERTIES OFFICERS.--The Board shall--

    ``(A) receive and review reports and other information from privacy officers and civil liberties officers under section 1062;

    ``(B) when appropriate, make recommendations to such privacy officers and civil liberties officers regarding their activities; and

    ``(C) when appropriate, coordinate the activities of such privacy officers and civil liberties officers on relevant interagency matters.

    ``(4) TESTIMONY.--The members of the Board shall appear and testify before Congress upon request.

    ``(e) Reports.--

    ``(1) IN GENERAL.--The Board shall--

    ``(A) receive and review reports from privacy officers and civil liberties officers under section 1062; and

    ``(B) periodically submit, not less than semiannually, reports--

    ``(i)(I) to the appropriate committees of Congress, including the Committee on the Judiciary of the Senate, the Committee on the Judiciary of the House of Representatives, the Committee on Homeland Security and Governmental Affairs of the Senate, the Committee on Homeland Security of the House of Representatives, the Committee on Oversight and Government Reform of the House of Representatives, the Select Committee on Intelligence of the Senate, and the Permanent Select Committee on Intelligence of the House of Representatives; and

    ``(II) to the President; and

    ``(ii) which shall be in unclassified form to the greatest extent possible, with a classified annex where necessary.

    ``(2) CONTENTS.--Not less than 2 reports submitted each year under paragraph (1)(B) shall include--

    ``(A) a description of the major activities of the Board during the preceding period;

    ``(B) information on the findings, conclusions, and recommendations of the Board resulting from its advice and oversight functions under subsection (d);

    ``(C) the minority views on any findings, conclusions, and recommendations of the Board resulting from its advice and oversight functions under subsection (d);

    ``(D) each proposal reviewed by the Board under subsection (d)(1) that--

    ``(i) the Board advised against implementation; and

    ``(ii) notwithstanding such advice, actions were taken to implement; and

    ``(E) for the preceding period, any requests submitted under subsection (g)(1)(D) for the issuance of subpoenas that were modified or denied by the Attorney General.

    ``(f) Informing the Public.--The Board shall--

    ``(1) make its reports, including its reports to Congress, available to the public to the greatest extent that is consistent with the protection of classified information and applicable law; and

    ``(2) hold public hearings and otherwise inform the public of its activities, as appropriate and in a manner consistent with the protection of classified information and applicable law.

    ``(g) Access to Information.--

    ``(1) AUTHORIZATION.--If determined by the Board to be necessary to carry out its responsibilities under this section, the Board is authorized to--

    ``(A) have access from any department, agency, or element of the executive branch, or any Federal officer or employee of any such department, agency, or element, to all relevant records, reports, audits, reviews, documents, papers, recommendations, or other relevant material, including classified information consistent with applicable law;

    ``(B) interview, take statements from, or take public testimony from personnel of any department, agency, or element of the executive branch, or any Federal officer or employee of any such department, agency, or element;

    ``(C) request information or assistance from any State, tribal, or local government; and

    ``(D) at the direction of a majority of the members of the Board, submit a written request to the Attorney General of the United States that the Attorney General require, by subpoena, persons (other than departments, agencies, and elements of the executive branch) to produce any relevant information, documents, reports, answers, records, accounts, papers, and other documentary or testimonial evidence.

    ``(2) REVIEW OF SUBPOENA REQUEST.--

    ``(A) IN GENERAL.--Not later than 30 days after the date of receipt of a request by the Board under paragraph (1)(D), the Attorney General shall--

    ``(i) issue the subpoena as requested; or

    ``(ii) provide the Board, in writing, with an explanation of the grounds on which the subpoena request has been modified or denied.

    ``(B) NOTIFICATION.--If a subpoena request is modified or denied under subparagraph (A)(ii), the Attorney General shall, not later than 30 days after the date of that modification or denial, notify the Committee on the Judiciary of the Senate and the Committee on the Judiciary of the House of Representatives.

    ``(3) ENFORCEMENT OF SUBPOENA.--In the case of contumacy or failure to obey a subpoena issued pursuant to paragraph (1)(D), the United States district court for the judicial district in which the subpoenaed person resides, is served, or may be found may issue an order requiring such person to produce the evidence required by such subpoena.

    ``(4) AGENCY COOPERATION.--Whenever information or assistance requested under subparagraph (A) or (B) of paragraph (1) is, in the judgment of the Board, unreasonably refused or not provided, the Board shall report the circumstances to the head of the department, agency, or element concerned without delay. The head of the department, agency, or element concerned shall ensure that the Board is given access to the information, assistance, material, or personnel the Board determines to be necessary to carry out its functions.

    ``(h) Membership.--

    ``(1) MEMBERS.--The Board shall be composed of a full-time chairman and 4 additional members, who shall be appointed by the President, by and with the advice and consent of the Senate.

    ``(2) QUALIFICATIONS.--Members of the Board shall be selected solely on the basis of their professional qualifications, achievements, public stature, expertise in civil liberties and privacy, and relevant experience, and without regard to political affiliation, but in no event shall more than 3 members of the Board be members of the same political party. The President shall, before appointing an individual who is not a member of the same political party as the President, consult with the leadership of that party, if any, in the Senate and House of Representatives.

    ``(3) INCOMPATIBLE OFFICE.--An individual appointed to the Board may not, while serving on the Board, be an elected official, officer, or employee of the Federal Government, other than in the capacity as a member of the Board.

    ``(4) TERM.--Each member of the Board shall serve a term of 6 years, except that--

    ``(A) a member appointed to a term of office after the commencement of such term may serve under such appointment only for the remainder of such term; and

    ``(B) upon the expiration of the term of office of a member, the member shall continue to serve until the member's successor has been appointed and qualified, except that no member may serve under this subparagraph--

    ``(i) for more than 60 days when Congress is in session unless a nomination to fill the vacancy shall have been submitted to the Senate; or

    ``(ii) after the adjournment sine die of the session of the Senate in which such nomination is submitted.

    ``(5) QUORUM AND MEETINGS.--The Board shall meet upon the call of the chairman or a majority of its members. Three members of the Board shall constitute a quorum.

    ``(i) Compensation and Travel Expenses.--

    ``(1) COMPENSATION.--

    ``(A) CHAIRMAN.--The chairman of the Board shall be compensated at the rate of pay payable for a position at level III of the Executive Schedule under section 5314 of title 5, United States Code.

    ``(B) MEMBERS.--Each member of the Board shall be compensated at a rate of pay payable for a position at level IV of the Executive Schedule under section 5315 of title 5, United States Code, for each day during which that member is engaged in the actual performance of the duties of the Board.

    ``(2) TRAVEL EXPENSES.--Members of the Board shall be allowed travel expenses, including per diem in lieu of subsistence, at rates authorized for persons employed intermittently by the Government under section 5703(b) of title 5, United States Code, while away from their homes or regular places of business in the performance of services for the Board.

    ``(j) Staff.--

    ``(1) APPOINTMENT AND COMPENSATION.--The chairman of the Board, in accordance with rules agreed upon by the Board, shall appoint and fix the compensation of a full-time executive director and such other personnel as may be necessary to enable the Board to carry out its functions, without regard to the provisions of title 5, United States Code, governing appointments in the competitive service, and without regard to the provisions of chapter 51 and subchapter III of chapter 53 of such title relating to classification and General Schedule pay rates, except that no rate of pay fixed under this subsection may exceed the equivalent of that payable for a position at level V of the Executive Schedule under section 5316 of title 5, United States Code.

    ``(2) DETAILEES.--Any Federal employee may be detailed to the Board without reimbursement from the Board, and such detailee shall retain the rights, status, and privileges of the detailee's regular employment without interruption.

    ``(3) CONSULTANT SERVICES.--The Board may procure the temporary or intermittent services of experts and consultants in accordance with section 3109 of title 5, United States Code, at rates that do not exceed the daily rate paid a person occupying a position at level IV of the Executive Schedule under section 5315 of such title.

    ``(k) Security Clearances.--

    ``(1) IN GENERAL.--The appropriate departments, agencies, and elements of the executive branch shall cooperate with the Board to expeditiously provide the Board members and staff with appropriate security clearances to the extent possible under existing procedures and requirements.

    ``(2) RULES AND PROCEDURES.--After consultation with the Secretary of Defense, the Attorney

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General, and the Director of National Intelligence, the Board shall adopt rules and procedures of the Board for physical, communications, computer, document, personnel, and other security relating to carrying out the functions of the Board.

    ``(l) Treatment as Agency, Not as Advisory Committee.--The Board--

    ``(1) is an agency (as defined in section 551(1) of title 5, United States Code); and

    ``(2) is not an advisory committee (as defined in section 3(2) of the Federal Advisory Committee Act (5 U.S.C. App.)).

    ``(m) Authorization of Appropriations.--There are authorized to be appropriated to carry out this section amounts as follows:

    ``(1) For fiscal year 2008, $5,000,000.

    ``(2) For fiscal year 2009, $6,650,000.

    ``(3) For fiscal year 2010, $8,300,000.

    ``(4) For fiscal year 2011, $10,000,000.

    ``(5) For fiscal year 2012 and each subsequent fiscal year, such sums as may be necessary.''.

    (b) Security Rules and Procedures.--The Privacy and Civil Liberties Oversight Board shall promptly adopt the security rules and procedures required under section 1061(k)(2) of the National Security Intelligence Reform Act of 2004 (as added by subsection (a) of this section).

    (c) Transition Provisions.--

    (1) TREATMENT OF INCUMBENT MEMBERS OF THE PRIVACY AND CIVIL LIBERTIES OVERSIGHT BOARD.--

    (A) CONTINUATION OF SERVICE.--Any individual who is a member of the Privacy and Civil Liberties Oversight Board on the date of enactment of this Act may continue to serve on the Board until 180 days after the date of enactment of this Act.

    (B) TERMINATION OF TERMS.--The term of any individual who is a member of the Privacy and Civil Liberties Oversight Board on the date of enactment of this Act shall terminate 180 days after the date of enactment of this Act.

    (2) APPOINTMENTS.--

    (A) IN GENERAL.--The President and the Senate shall take such actions as necessary for the President, by and with the advice and consent of the Senate, to appoint members to the Privacy and Civil Liberties Oversight Board as constituted under the amendments made by subsection (a) in a timely manner to provide for the continuing operation of the Board and orderly implementation of this section.

    (B) DESIGNATIONS.--In making the appointments described under subparagraph (A) of the first members of the Privacy and Civil Liberties Oversight Board as constituted under the amendments made by subsection (a), the President shall provide for the members to serve terms of 2, 3, 4, 5, and 6 years beginning on the effective date described under subsection (d)(1), with the term of each such member to be designated by the President.

    (d) Effective Date.--

    (1) IN GENERAL.--The amendments made by subsection (a) and subsection (b) shall take effect 180 days after the date of enactment of this Act.

    (2) TRANSITION PROVISIONS.--Subsection (c) shall take effect on the date of enactment of this Act.

   SEC. 802. DEPARTMENT PRIVACY OFFICER.

    Section 222 of the Homeland Security Act of 2002 (6 U.S.C. 142) is amended--

    (1) by inserting ``(a) Appointment and Responsibilities.--'' before ``The Secretary''; and

    (2) by adding at the end the following:

    ``(b) Authority To Investigate.--

    ``(1) IN GENERAL.--The senior official appointed under subsection (a) may--

    ``(A) have access to all records, reports, audits, reviews, documents, papers, recommendations, and other materials available to the Department that relate to programs and operations with respect to the responsibilities of the senior official under this section;

    ``(B) make such investigations and reports relating to the administration of the programs and operations of the Department as are, in the senior official's judgment, necessary or desirable;

    ``(C) subject to the approval of the Secretary, require by subpoena the production, by any person other than a Federal agency, of all information, documents, reports, answers, records, accounts, papers, and other data and documentary evidence necessary to performance of the responsibilities of the senior official under this section; and

    ``(D) administer to or take from any person an oath, affirmation, or affidavit, whenever necessary to performance of the responsibilities of the senior official under this section.

    ``(2) ENFORCEMENT OF SUBPOENAS.--Any subpoena issued under paragraph (1)(C) shall, in the case of contumacy or refusal to obey, be enforceable by order of any appropriate United States district court.

    ``(3) EFFECT OF OATHS.--Any oath, affirmation, or affidavit administered or taken under paragraph (1)(D) by or before an employee of the Privacy Office designated for that purpose by the senior official appointed under subsection (a) shall have the same force and effect as if administered or taken by or before an officer having a seal of office.

    ``(c) Supervision and Coordination.--

    ``(1) IN GENERAL.--The senior official appointed under subsection (a) shall--

    ``(A) report to, and be under the general supervision of, the Secretary; and

    ``(B) coordinate activities with the Inspector General of the Department in order to avoid duplication of effort.

    ``(2) COORDINATION WITH THE INSPECTOR GENERAL.--

    ``(A) IN GENERAL.--Except as provided in subparagraph (B), the senior official appointed under subsection (a) may investigate any matter relating to possible violations or abuse concerning the administration of any program or operation of the Department relevant to the purposes under this section.

    ``(B) COORDINATION.--

    ``(i) REFERRAL.--Before initiating any investigation described under subparagraph (A), the senior official shall refer the matter and all related complaints, allegations, and information to the Inspector General of the Department.

    ``(ii) DETERMINATIONS AND NOTIFICATIONS BY THE INSPECTOR GENERAL.--

    ``(I) IN GENERAL.--Not later than 30 days after the receipt of a matter referred under clause (i), the Inspector General shall--

    ``(aa) make a determination regarding whether the Inspector General intends to initiate an audit or investigation of the matter referred under clause (i); and

    ``(bb) notify the senior official of that determination.

    ``(II) INVESTIGATION NOT INITIATED.--If the Inspector General notifies the senior official under subclause (I)(bb) that the Inspector General intended to initiate an audit or investigation, but does not initiate that audit or investigation within 90 days after providing that notification, the Inspector General shall further notify the senior official that an audit or investigation was not initiated. The further notification under this subclause shall be made not later than 3 days after the end of that 90-day period.

    ``(iii) INVESTIGATION BY SENIOR OFFICIAL.--The senior official may investigate a matter referred under clause (i) if--

    ``(I) the Inspector General notifies the senior official under clause (ii)(I)(bb) that the Inspector General does not intend to initiate an audit or investigation relating to that matter; or

    ``(II) the Inspector General provides a further notification under clause (ii)(II) relating to that matter.

    ``(iv) PRIVACY TRAINING.--Any employee of the Office of Inspector General who audits or investigates any matter referred under clause (i) shall be required to receive adequate training on privacy laws, rules, and regulations, to be provided by an entity approved by the Inspector General in consultation with the senior official appointed under subsection (a).

    ``(d) Notification to Congress on Removal.--If the Secretary removes the senior official appointed under subsection (a) or transfers that senior official to another position or location within the Department, the Secretary shall--

    ``(1) promptly submit a written notification of the removal or transfer to Houses of Congress; and

    ``(2) include in any such notification the reasons for the removal or transfer.

    ``(e) Reports by Senior Official to Congress.--The senior official appointed under subsection (a) shall--

    ``(1) submit reports directly to the Congress regarding performance of the responsibilities of the senior official under this section, without any prior comment or amendment by the Secretary, Deputy Secretary, or any other officer or employee of the Department or the Office of Management and Budget; and

    ``(2) inform the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives not later than--

    ``(A) 30 days after the Secretary disapproves the senior official's request for a subpoena under subsection (b)(1)(C) or the Secretary substantively modifies the requested subpoena; or

    ``(B) 45 days after the senior official's request for a subpoena under subsection (b)(1)(C), if that subpoena has not either been approved or disapproved by the Secretary.''.

   SEC. 803. PRIVACY AND CIVIL LIBERTIES OFFICERS.

    (a) In General.--Section 1062 of the National Security Intelligence Reform Act of 2004 (title I of Public Law 108-458; 118 Stat. 3688) is amended to read as follows:

   ``SEC. 1062. PRIVACY AND CIVIL LIBERTIES OFFICERS.

    ``(a) Designation and Functions.--The Attorney General, the Secretary of Defense, the Secretary of State, the Secretary of the Treasury, the Secretary of Health and Human Services, the Secretary of Homeland Security, the Director of National Intelligence, the Director of the Central Intelligence Agency, and the head of any other department, agency, or element of the executive branch designated by the Privacy and Civil Liberties Oversight Board under section 1061 to be appropriate for coverage under this section shall designate not less than 1 senior officer to serve as the principal advisor to--

    ``(1) assist the head of such department, agency, or element and other officials of such department, agency, or element in appropriately considering privacy and civil liberties concerns when such officials are proposing, developing, or implementing laws, regulations, policies, procedures, or guidelines related to efforts to protect the Nation against terrorism;

    ``(2) periodically investigate and review department, agency, or element actions, policies, procedures, guidelines, and related laws and their implementation to ensure that such department, agency, or element is adequately considering privacy and civil liberties in its actions;

    ``(3) ensure that such department, agency, or element has adequate procedures to receive, investigate, respond to, and redress complaints from individuals who allege such department, agency, or element has violated their privacy or civil liberties; and

    ``(4) in providing advice on proposals to retain or enhance a particular governmental power the officer shall consider whether such department, agency, or element has established--

    ``(A) that the need for the power is balanced with the need to protect privacy and civil liberties;

    ``(B) that there is adequate supervision of the use by such department, agency, or element of the power to ensure protection of privacy and civil liberties; and

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    ``(C) that there are adequate guidelines and oversight to properly confine its use.

    ``(b) Exception to Designation Authority.--

    ``(1) PRIVACY OFFICERS.--In any department, agency, or element referred to in subsection (a) or designated by the Privacy and Civil Liberties Oversight Board, which has a statutorily created privacy officer, such officer shall perform the functions specified in subsection (a) with respect to privacy.

    ``(2) CIVIL LIBERTIES OFFICERS.--In any department, agency, or element referred to in subsection (a) or designated by the Board, which has a statutorily created civil liberties officer, such officer shall perform the functions specified in subsection (a) with respect to civil liberties.

    ``(c) Supervision and Coordination.--Each privacy officer or civil liberties officer described in subsection (a) or (b) shall--

    ``(1) report directly to the head of the department, agency, or element concerned; and

    ``(2) coordinate their activities with the Inspector General of such department, agency, or element to avoid duplication of effort.

    ``(d) Agency Cooperation.--The head of each department, agency, or element shall ensure that each privacy officer and civil liberties officer--

    ``(1) has the information, material, and resources necessary to fulfill the functions of such officer;

    ``(2) is advised of proposed policy changes;

    ``(3) is consulted by decision makers; and

    ``(4) is given access to material and personnel the officer determines to be necessary to carry out the functions of such officer.

    ``(e) Reprisal for Making Complaint.--No action constituting a reprisal, or threat of reprisal, for making a complaint or for disclosing information to a privacy officer or civil liberties officer described in subsection (a) or (b), or to the Privacy and Civil Liberties Oversight Board, that indicates a possible violation of privacy protections or civil liberties in the administration of the programs and operations of the Federal Government relating to efforts to protect the Nation from terrorism shall be taken by any Federal employee in a position to take such action, unless the complaint was made or the information was disclosed with the knowledge that it was false or with willful disregard for its truth or falsity.

    ``(f) Periodic Reports.--

    ``(1) IN GENERAL.--The privacy officers and civil liberties officers of each department, agency, or element referred to or described in subsection (a) or (b) shall periodically, but not less than quarterly, submit a report on the activities of such officers--

    ``(A)(i) to the appropriate committees of Congress, including the Committee on the Judiciary of the Senate, the Committee on the Judiciary of the House of Representatives, the Committee on Homeland Security and Governmental Affairs of the Senate, the Committee on Oversight and Government Reform of the House of Representatives, the Select Committee on Intelligence of the Senate, and the Permanent Select Committee on Intelligence of the House of Representatives;

    ``(ii) to the head of such department, agency, or element; and

    ``(iii) to the Privacy and Civil Liberties Oversight Board; and

    ``(B) which shall be in unclassified form to the greatest extent possible, with a classified annex where necessary.

    ``(2) CONTENTS.--Each report submitted under paragraph (1) shall include information on the discharge of each of the functions of the officer concerned, including--

    ``(A) information on the number and types of reviews undertaken;

    ``(B) the type of advice provided and the response given to such advice;

    ``(C) the number and nature of the complaints received by the department, agency, or element concerned for alleged violations; and

    ``(D) a summary of the disposition of such complaints, the reviews and inquiries conducted, and the impact of the activities of such officer.

    ``(g) Informing the Public.--Each privacy officer and civil liberties officer shall--

    ``(1) make the reports of such officer, including reports to Congress, available to the public to the greatest extent that is consistent with the protection of classified information and applicable law; and

    ``(2) otherwise inform the public of the activities of such officer, as appropriate and in a manner consistent with the protection of classified information and applicable law.

    ``(h) Savings Clause.--Nothing in this section shall be construed to limit or otherwise supplant any other authorities or responsibilities provided by law to privacy officers or civil liberties officers.''.

    (b) Clerical Amendment.--The table of contents for the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458) is amended by striking the item relating to section 1062 and inserting the following new item:

   ``Sec..1062..Privacy and civil liberties officers.''.

   SEC. 804. FEDERAL AGENCY DATA MINING REPORTING ACT OF 2007.

    (a) Short Title.--This section may be cited as the ``Federal Agency Data Mining Reporting Act of 2007''.

    (b) Definitions.--In this section:

    (1) DATA MINING.--The term ``data mining'' means a program involving pattern-based queries, searches, or other analyses of 1 or more electronic databases, where--

    (A) a department or agency of the Federal Government, or a non-Federal entity acting on behalf of the Federal Government, is conducting the queries, searches, or other analyses to discover or locate a predictive pattern or anomaly indicative of terrorist or criminal activity on the part of any individual or individuals;

    (B) the queries, searches, or other analyses are not subject-based and do not use personal identifiers of a specific individual, or inputs associated with a specific individual or group of individuals, to retrieve information from the database or databases; and

    (C) the purpose of the queries, searches, or other analyses is not solely--

    (i) the detection of fraud, waste, or abuse in a Government agency or program; or

    (ii) the security of a Government computer system.

    (2) DATABASE.--The term ``database'' does not include telephone directories, news reporting, information publicly available to any member of the public without payment of a fee, or databases of judicial and administrative opinions or other legal research sources.

    (c) Reports on Data Mining Activities by Federal Agencies.--

    (1) REQUIREMENT FOR REPORT.--The head of each department or agency of the Federal Government that is engaged in any activity to use or develop data mining shall submit a report to Congress on all such activities of the department or agency under the jurisdiction of that official. The report shall be produced in coordination with the privacy officer of that department or agency, if applicable, and shall be made available to the public, except for an annex described in subparagraph (C).

    (2) CONTENT OF REPORT.--Each report submitted under subparagraph (A) shall include, for each activity to use or develop data mining, the following information:

    (A) A thorough description of the data mining activity, its goals, and, where appropriate, the target dates for the deployment of the data mining activity.

    (B) A thorough description of the data mining technology that is being used or will be used, including the basis for determining whether a particular pattern or anomaly is indicative of terrorist or criminal activity.

    (C) A thorough description of the data sources that are being or will be used.

    (D) An assessment of the efficacy or likely efficacy of the data mining activity in providing accurate information consistent with and valuable to the stated goals and plans for the use or development of the data mining activity.

    (E) An assessment of the impact or likely impact of the implementation of the data mining activity on the privacy and civil liberties of individuals, including a thorough description of the actions that are being taken or will be taken with regard to the property, privacy, or other rights or privileges of any individual or individuals as a result of the implementation of the data mining activity.

    (F) A list and analysis of the laws and regulations that govern the information being or to be collected, reviewed, gathered, analyzed, or used in conjunction with the data mining activity, to the extent applicable in the context of the data mining activity.

    (G) A thorough discussion of the policies, procedures, and guidelines that are in place or that are to be developed and applied in the use of such data mining activity in order to--

    (i) protect the privacy and due process rights of individuals, such as redress procedures; and

    (ii) ensure that only accurate and complete information is collected, reviewed, gathered, analyzed, or used, and guard against any harmful consequences of potential inaccuracies.

    (3) ANNEX.--

    (A) IN GENERAL.--A report under subparagraph (A) shall include in an annex any necessary--

    (i) classified information;

    (ii) law enforcement sensitive information;

    (iii) proprietary business information; or

    (iv) trade secrets (as that term is defined in section 1839 of title 18, United States Code).

    (B) AVAILABILITY.--Any annex described in clause (i)--

    (i) shall be available, as appropriate, and consistent with the National Security Act of 1947 (50 U.S.C. 401 et seq.), to the Committee on Homeland Security and Governmental Affairs, the Committee on the Judiciary, the Select Committee on Intelligence, the Committee on Appropriations, and the Committee on Banking, Housing, and Urban Affairs of the Senate and the Committee on Homeland Security, the Committee on the Judiciary, the Permanent Select Committee on Intelligence, the Committee on Appropriations, and the Committee on Financial Services of the House of Representatives; and

    (ii) shall not be made available to the public.

    (4) TIME FOR REPORT.--Each report required under subparagraph (A) shall be--

    (A) submitted not later than 180 days after the date of enactment of this Act; and

    (B) updated not less frequently than annually thereafter, to include any activity to use or develop data mining engaged in after the date of the prior report submitted under subparagraph (A).

   

TITLE IX--PRIVATE SECTOR PREPAREDNESS

   SEC. 901. PRIVATE SECTOR PREPAREDNESS.

    (a) In General.--Title V of the Homeland Security Act of 2002 (6 U.S.C. 311 et seq.), as amended by section 409, is further amended by adding at the end the following:

   ``SEC. 523. GUIDANCE AND RECOMMENDATIONS.

    ``(a) In General.--Consistent with their responsibilities and authorities under law, as of the day before the date of the enactment of this section, the Administrator and the Assistant Secretary for Infrastructure Protection, in consultation with the private sector, may develop guidance or recommendations and identify best practices to assist or foster action by the private sector in--

    ``(1) identifying potential hazards and assessing risks and impacts;

    ``(2) mitigating the impact of a wide variety of hazards, including weapons of mass destruction;

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    ``(3) managing necessary emergency preparedness and response resources;

    ``(4) developing mutual aid agreements;

    ``(5) developing and maintaining emergency preparedness and response plans, and associated operational procedures;

    ``(6) developing and conducting training and exercises to support and evaluate emergency preparedness and response plans and operational procedures;

    ``(7) developing and conducting training programs for security guards to implement emergency preparedness and response plans and operations procedures; and

    ``(8) developing procedures to respond to requests for information from the media or the public.

    ``(b) Issuance and Promotion.--Any guidance or recommendations developed or best practices identified under subsection (a) shall be--

    ``(1) issued through the Administrator; and

    ``(2) promoted by the Secretary to the private sector.

    ``(c) Small Business Concerns.--In developing guidance or recommendations or identifying best practices under subsection (a), the Administrator and the Assistant Secretary for Infrastructure Protection shall take into consideration small business concerns (under the meaning given that term in section 3 of the Small Business Act (15 U.S.C. 632)), including any need for separate guidance or recommendations or best practices, as necessary and appropriate.

    ``(d) Rule of Construction.--Nothing in this section may be construed to supersede any requirement established under any other provision of law.

   ``SEC. 524. VOLUNTARY PRIVATE SECTOR PREPAREDNESS ACCREDITATION AND CERTIFICATION PROGRAM.

    ``(a) Establishment.--

    ``(1) IN GENERAL.--The Secretary, acting through the officer designated under paragraph (2), shall establish and implement the voluntary private sector preparedness accreditation and certification program in accordance with this section.

    ``(2) DESIGNATION OF OFFICER.--The Secretary shall designate an officer responsible for the accreditation and certification program under this section. Such officer (hereinafter referred to in this section as the `designated officer') shall be one of the following:

    ``(A) The Administrator, based on consideration of--

    ``(i) the expertise of the Administrator in emergency management and preparedness in the United States; and

    ``(ii) the responsibilities of the Administrator as the principal advisor to the President for all matters relating to emergency management in the United States.

    ``(B) The Assistant Secretary for Infrastructure Protection, based on consideration of the expertise of the Assistant Secretary in, and responsibilities for--

    ``(i) protection of critical infrastructure;

    ``(ii) risk assessment methodologies; and

    ``(iii) interacting with the private sector on the issues described in clauses (i) and (ii).

    ``(C) The Under Secretary for Science and Technology, based on consideration of the expertise of the Under Secretary in, and responsibilities associated with, standards.

    ``(3) COORDINATION.--In carrying out the accreditation and certification program under this section, the designated officer shall coordinate with--

    ``(A) the other officers of the Department referred to in paragraph (2), using the expertise and responsibilities of such officers; and

    ``(B) the Special Assistant to the Secretary for the Private Sector, based on consideration of the expertise of the Special Assistant in, and responsibilities for, interacting with the private sector.

    ``(b) Voluntary Private Sector Preparedness Standards; Voluntary Accreditation and Certification Program for the Private Sector.--

    ``(1) ACCREDITATION AND CERTIFICATION PROGRAM.--Not later than 210 days after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the designated officer shall--

    ``(A) begin supporting the development and updating, as necessary, of voluntary preparedness standards through appropriate organizations that coordinate or facilitate the development and use of voluntary consensus standards and voluntary consensus standards development organizations; and

    ``(B) in consultation with representatives of appropriate organizations that coordinate or facilitate the development and use of voluntary consensus standards, appropriate voluntary consensus standards development organizations, each private sector advisory council created under section 102(f)(4), appropriate representatives of State and local governments, including emergency management officials, and appropriate private sector advisory groups, such as sector coordinating councils and information sharing and analysis centers--

    ``(i) develop and promote a program to certify the preparedness of private sector entities that voluntarily choose to seek certification under the program; and

    ``(ii) implement the program under this subsection through any entity with which the designated officer enters into an agreement under paragraph (3)(A), which shall accredit third parties to carry out the certification process under this section.

    ``(2) PROGRAM ELEMENTS.--

    ``(A) IN GENERAL.--

    ``(i) PROGRAM.--The program developed and implemented under this subsection shall assess whether a private sector entity complies with voluntary preparedness standards.

    ``(ii) GUIDELINES.--In developing the program under this subsection, the designated officer shall develop guidelines for the accreditation and certification processes established under this subsection.

    ``(B) STANDARDS.--The designated officer, in consultation with representatives of appropriate organizations that coordinate or facilitate the development and use of voluntary consensus standards, representatives of appropriate voluntary consensus standards development organizations, each private sector advisory council created under section 102(f)(4), appropriate representatives of State and local governments, including emergency management officials, and appropriate private sector advisory groups such as sector coordinating councils and information sharing and analysis centers--

    ``(i) shall adopt one or more appropriate voluntary preparedness standards that promote preparedness, which may be tailored to address the unique nature of various sectors within the private sector, as necessary and appropriate, that shall be used in the accreditation and certification program under this subsection; and

    ``(ii) after the adoption of one or more standards under clause (i), may adopt additional voluntary preparedness standards or modify or discontinue the use of voluntary preparedness standards for the accreditation and certification program, as necessary and appropriate to promote preparedness.

    ``(C) SUBMISSION OF RECOMMENDATIONS.--In adopting one or more standards under subparagraph (B), the designated officer may receive recommendations from any entity described in that subparagraph relating to appropriate voluntary preparedness standards, including appropriate sector specific standards, for adoption in the program.

    ``(D) SMALL BUSINESS CONCERNS.--The designated officer and any entity with which the designated officer enters into an agreement under paragraph (3)(A) shall establish separate classifications and methods of certification for small business concerns (under the meaning given that term in section 3 of the Small Business Act (15 U.S.C. 632)) for the program under this subsection.

    ``(E) CONSIDERATIONS.--In developing and implementing the program under this subsection, the designated officer shall--

    ``(i) consider the unique nature of various sectors within the private sector, including preparedness standards, business continuity standards, or best practices, established--

    ``(I) under any other provision of Federal law; or

    ``(II) by any sector-specific agency, as defined under Homeland Security Presidential Directive-7; and

    ``(ii) coordinate the program, as appropriate, with--

    ``(I) other Department private sector related programs; and

    ``(II) preparedness and business continuity programs in other Federal agencies.

    ``(3) ACCREDITATION AND CERTIFICATION PROCESSES.--

    ``(A) AGREEMENT.--

    ``(i) IN GENERAL.--Not later than 210 days after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the designated officer shall enter into one or more agreements with a highly qualified nongovernmental entity with experience or expertise in coordinating and facilitating the development and use of voluntary consensus standards and in managing or implementing accreditation and certification programs for voluntary consensus standards, or a similarly qualified private sector entity, to carry out accreditations and oversee the certification process under this subsection. An entity entering into an agreement with the designated officer under this clause (hereinafter referred to in this section as a `selected entity') shall not perform certifications under this subsection.

    ``(ii) CONTENTS.--A selected entity shall manage the accreditation process and oversee the certification process in accordance with the program established under this subsection and accredit qualified third parties to carry out the certification program established under this subsection.

    ``(B) PROCEDURES AND REQUIREMENTS FOR ACCREDITATION AND CERTIFICATION.--

    ``(i) IN GENERAL.--Any selected entity shall collaborate to develop procedures and requirements for the accreditation and certification processes under this subsection, in accordance with the program established under this subsection and guidelines developed under paragraph (2)(A)(ii).

    ``(ii) CONTENTS AND USE.--The procedures and requirements developed under clause (i) shall--

    ``(I) ensure reasonable uniformity in any accreditation and certification processes if there is more than one selected entity; and

    ``(II) be used by any selected entity in conducting accreditations and overseeing the certification process under this subsection.

    ``(iii) DISAGREEMENT.--Any disagreement among selected entities in developing procedures under clause (i) shall be resolved by the designated officer.

    ``(C) DESIGNATION.--A selected entity may accredit any qualified third party to carry out the certification process under this subsection.

    ``(D) DISADVANTAGED BUSINESS INVOLVEMENT.--In accrediting qualified third parties to carry out the certification process under this subsection, a selected entity shall ensure, to the extent practicable, that the third parties include qualified small, minority, women-owned, or disadvantaged business concerns when appropriate. The term `disadvantaged business concern' means a small business that is owned and controlled by socially and economically disadvantaged individuals, as defined in section 124 of title 13, United States Code of Federal Regulations.

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    ``(E) TREATMENT OF OTHER CERTIFICATIONS.--At the request of any entity seeking certification, any selected entity may consider, as appropriate, other relevant certifications acquired by the entity seeking certification. If the selected entity determines that such other certifications are sufficient to meet the certification requirement or aspects of the certification requirement under this section, the selected entity may give credit to the entity seeking certification, as appropriate, to avoid unnecessarily duplicative certification requirements.

    ``(F) THIRD PARTIES.--To be accredited under subparagraph (C), a third party shall--

    ``(i) demonstrate that the third party has the ability to certify private sector entities in accordance with the procedures and requirements developed under subparagraph (B);

    ``(ii) agree to perform certifications in accordance with such procedures and requirements;

    ``(iii) agree not to have any beneficial interest in or any direct or indirect control over--

    ``(I) a private sector entity for which that third party conducts a certification under this subsection; or

    ``(II) any organization that provides preparedness consulting services to private sector entities;

    ``(iv) agree not to have any other conflict of interest with respect to any private sector entity for which that third party conducts a certification under this subsection;

    ``(v) maintain liability insurance coverage at policy limits in accordance with the requirements developed under subparagraph (B); and

    ``(vi) enter into an agreement with the selected entity accrediting that third party to protect any proprietary information of a private sector entity obtained under this subsection.

    ``(G) MONITORING.--

    ``(i) IN GENERAL.--The designated officer and any selected entity shall regularly monitor and inspect the operations of any third party conducting certifications under this subsection to ensure that the third party is complying with the procedures and requirements established under subparagraph (B) and all other applicable requirements.

    ``(ii) REVOCATION.--If the designated officer or any selected entity determines that a third party is not meeting the procedures or requirements established under subparagraph (B), the selected entity shall--

    ``(I) revoke the accreditation of that third party to conduct certifications under this subsection; and

    ``(II) review any certification conducted by that third party, as necessary and appropriate.

    ``(4) ANNUAL REVIEW.--

    ``(A) IN GENERAL.--The designated officer, in consultation with representatives of appropriate organizations that coordinate or facilitate the development and use of voluntary consensus standards, appropriate voluntary consensus standards development organizations, appropriate representatives of State and local governments, including emergency management officials, and each private sector advisory council created under section 102(f)(4), shall annually review the voluntary accreditation and certification program established under this subsection to ensure the effectiveness of such program (including the operations and management of such program by any selected entity and the selected entity's inclusion of qualified disadvantaged business concerns under paragraph (3)(D)) and make improvements and adjustments to the program as necessary and appropriate.

    ``(B) REVIEW OF STANDARDS.--Each review under subparagraph (A) shall include an assessment of the voluntary preparedness standard or standards used in the program under this subsection.

    ``(5) VOLUNTARY PARTICIPATION.--Certification under this subsection shall be voluntary for any private sector entity.

    ``(6) PUBLIC LISTING.--The designated officer shall maintain and make public a listing of any private sector entity certified as being in compliance with the program established under this subsection, if that private sector entity consents to such listing.

    ``(c) Rule of Construction.--Nothing in this section may be construed as--

    ``(1) a requirement to replace any preparedness, emergency response, or business continuity standards, requirements, or best practices established--

    ``(A) under any other provision of federal law; or

    ``(B) by any sector-specific agency, as those agencies are defined under Homeland Security Presidential Directive-7; or

    ``(2) exempting any private sector entity seeking certification or meeting certification requirements under subsection (b) from compliance with all applicable statutes, regulations, directives, policies, and industry codes of practice.''.

    (b) Report to Congress.--Not later than 210 days after the date of enactment of this Act, the Secretary shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security and the Committee on Transportation and Infrastructure of the House of Representatives a report detailing--

    (1) any action taken to implement section 524(b) of the Homeland Security Act of 2002, as added by subsection (a), including a discussion of--

    (A) the separate methods of classification and certification for small business concerns (under the meaning given that term in section 3 of the Small Business Act (15 U.S.C. 632)) as compared to other private sector entities; and

    (B) whether the separate classifications and methods of certification for small business concerns are likely to help to ensure that such measures are not overly burdensome and are adequate to meet the voluntary preparedness standard or standards adopted by the program under section 524(b) of the Homeland Security Act of 2002, as added by subsection (a); and

    (2) the status, as of the date of that report, of the implementation of that subsection.

    (c) Deadline for Designation of Officer.--The Secretary of Homeland Security shall designate the officer as described in section 524 of the Homeland Security Act of 2002, as added by subsection (a), by not later than 30 days after the date of the enactment of this Act.

    (d) Definition.--Section 2 of the Homeland Security Act of 2002 (6 U.S.C. 101) is amended by adding at the end the following:

    ``(18) The term `voluntary preparedness standards' means a common set of criteria for preparedness, disaster management, emergency management, and business continuity programs, such as the American National Standards Institute's National Fire Protection Association Standard on Disaster/Emergency Management and Business Continuity Programs (ANSI/NFPA 1600).''.

    (e) Clerical Amendments.--The table of contents in section 1(b) of such Act is further amended by adding at the end the following:

   ``Sec..523..Guidance and recommendations.

   ``Sec..524..Voluntary private sector preparedness accreditation and certification program.''.

    (f) Authorization of Appropriations.--There are authorized to be appropriated such sums as may be necessary to carry out this section and the amendments made by this section.

   SEC. 902. RESPONSIBILITIES OF THE PRIVATE SECTOR OFFICE OF THE DEPARTMENT.

    (a) In General.--Section 102(f) of the Homeland Security Act of 2002 (6 U.S.C. 112(f)) is amended--

    (1) by redesignating paragraphs (8) through (10) as paragraphs (9) through (11), respectively; and

    (2) by inserting after paragraph (7) the following:

    ``(8) providing information to the private sector regarding voluntary preparedness standards and the business justification for preparedness and promoting to the private sector the adoption of voluntary preparedness standards;''.

    (b) Private Sector Advisory Councils.--Section 102(f)(4) of the Homeland Security Act of 2002 (6 U.S.C. 112(f)(4)) is amended--

    (1) in subparagraph (A), by striking ``and'' at the end;

    (2) in subparagraph (B), by inserting ``and'' after the semicolon at the end; and

    (3) by adding at the end the following:

    ``(C) advise the Secretary on private sector preparedness issues, including effective methods for--

    ``(i) promoting voluntary preparedness standards to the private sector; and

    ``(ii) assisting the private sector in adopting voluntary preparedness standards;''.

   

TITLE X--IMPROVING CRITICAL INFRASTRUCTURE SECURITY

   SEC. 1001. NATIONAL ASSET DATABASE.

    (a) In General.--Subtitle A of title II of the Homeland Security Act of 2002, as amended by title V, is further amended by adding at the end the following new section:

   ``SEC. 210E. NATIONAL ASSET DATABASE.

    ``(a) Establishment.--

    ``(1) NATIONAL ASSET DATABASE.--The Secretary shall establish and maintain a national database of each system or asset that--

    ``(A) the Secretary, in consultation with appropriate homeland security officials of the States, determines to be vital and the loss, interruption, incapacity, or destruction of which would have a negative or debilitating effect on the economic security, public health, or safety of the United States, any State, or any local government; or

    ``(B) the Secretary determines is appropriate for inclusion in the database.

    ``(2) PRIORITIZED CRITICAL INFRASTRUCTURE LIST.--In accordance with Homeland Security Presidential Directive-7, as in effect on January 1, 2007, the Secretary shall establish and maintain a single classified prioritized list of systems and assets included in the database under paragraph (1) that the Secretary determines would, if destroyed or disrupted, cause national or regional catastrophic effects.

    ``(b) Use of Database.--The Secretary shall use the database established under subsection (a)(1) in the development and implementation of Department plans and programs as appropriate.

    ``(c) Maintenance of Database.--

    ``(1) IN GENERAL.--The Secretary shall maintain and annually update the database established under subsection (a)(1) and the list established under subsection (a)(2), including--

    ``(A) establishing data collection guidelines and providing such guidelines to the appropriate homeland security official of each State;

    ``(B) regularly reviewing the guidelines established under subparagraph (A), including by consulting with the appropriate homeland security officials of States, to solicit feedback about the guidelines, as appropriate;

    ``(C) after providing the homeland security official of a State with the guidelines under subparagraph (A), allowing the official a reasonable amount of time to submit to the Secretary any data submissions recommended by the official for inclusion in the database established under subsection (a)(1);

    ``(D) examining the contents and identifying any submissions made by such an official that are described incorrectly or that do not meet the guidelines established under subparagraph (A); and

    ``(E) providing to the appropriate homeland security official of each relevant State a list of submissions identified under subparagraph (D) for review and possible correction before the Secretary finalizes the decision of which submissions will be included in the database established under subsection (a)(1).

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    ``(2) ORGANIZATION OF INFORMATION IN DATABASE.--The Secretary shall organize the contents of the database established under subsection (a)(1) and the list established under subsection (a)(2) as the Secretary determines is appropriate. Any organizational structure of such contents shall include the categorization of the contents--

    ``(A) according to the sectors listed in National Infrastructure Protection Plan developed pursuant to Homeland Security Presidential Directive-7; and

    ``(B) by the State and county of their location.

    ``(3) PRIVATE SECTOR INTEGRATION.--The Secretary shall identify and evaluate methods, including the Department's Protected Critical Infrastructure Information Program, to acquire relevant private sector information for the purpose of using that information to generate any database or list, including the database established under subsection (a)(1) and the list established under subsection (a)(2).

    ``(4) RETENTION OF CLASSIFICATION.--The classification of information required to be provided to Congress, the Department, or any other department or agency under this section by a sector-specific agency, including the assignment of a level of classification of such information, shall be binding on Congress, the Department, and that other Federal agency.

    ``(d) Reports.--

    ``(1) REPORT REQUIRED.--Not later than 180 days after the date of the enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, and annually thereafter, the Secretary shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report on the database established under subsection (a)(1) and the list established under subsection (a)(2).

    ``(2) CONTENTS OF REPORT.--Each such report shall include the following:

    ``(A) The name, location, and sector classification of each of the systems and assets on the list established under subsection (a)(2).

    ``(B) The name, location, and sector classification of each of the systems and assets on such list that are determined by the Secretary to be most at risk to terrorism.

    ``(C) Any significant challenges in compiling the list of the systems and assets included on such list or in the database established under subsection (a)(1).

    ``(D) Any significant changes from the preceding report in the systems and assets included on such list or in such database.

    ``(E) If appropriate, the extent to which such database and such list have been used, individually or jointly, for allocating funds by the Federal Government to prevent, reduce, mitigate, or respond to acts of terrorism.

    ``(F) The amount of coordination between the Department and the private sector, through any entity of the Department that meets with representatives of private sector industries for purposes of such coordination, for the purpose of ensuring the accuracy of such database and such list.

    ``(G) Any other information the Secretary deems relevant.

    ``(3) CLASSIFIED INFORMATION.--The report shall be submitted in unclassified form but may contain a classified annex.

    ``(e) Inspector General Study.--By not later than two years after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the Inspector General of the Department shall conduct a study of the implementation of this section.

    ``(f) National Infrastructure Protection Consortium.--The Secretary may establish a consortium to be known as the `National Infrastructure Protection Consortium'. The Consortium may advise the Secretary on the best way to identify, generate, organize, and maintain any database or list of systems and assets established by the Secretary, including the database established under subsection (a)(1) and the list established under subsection (a)(2). If the Secretary establishes the National Infrastructure Protection Consortium, the Consortium may--

    ``(1) be composed of national laboratories, Federal agencies, State and local homeland security organizations, academic institutions, or national Centers of Excellence that have demonstrated experience working with and identifying critical infrastructure and key resources; and

    ``(2) provide input to the Secretary on any request pertaining to the contents of such database or such list.''.

    (b) Deadlines for Implementation and Notification of Congress.--Not later than 180 days after the date of the enactment of this Act, the Secretary of Homeland Security shall submit the first report required under section 210E(d) of the Homeland Security Act of 2002, as added by subsection (a).

    (c) Clerical Amendment.--The table of contents in section 1(b) of such Act is further amended by inserting after the item relating to section 210D the following:

   ``Sec..210E..National Asset Database.''.

   SEC. 1002. RISK ASSESSMENTS AND REPORT.

    (a) Risk Assessments.--Section 201(d) of the Homeland Security Act of 2002 (6 U.S.C. 121(d)) is further amended by adding at the end the following new paragraph:

    ``(25) To prepare and submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security in the House of Representatives, and to other appropriate congressional committees having jurisdiction over the critical infrastructure or key resources, for each sector identified in the National Infrastructure Protection Plan, a report on the comprehensive assessments carried out by the Secretary of the critical infrastructure and key resources of the United States, evaluating threat, vulnerability, and consequence, as required under this subsection. Each such report--

    ``(A) shall contain, if applicable, actions or countermeasures recommended or taken by the Secretary or the head of another Federal agency to address issues identified in the assessments;

    ``(B) shall be required for fiscal year 2007 and each subsequent fiscal year and shall be submitted not later than 35 days after the last day of the fiscal year covered by the report; and

    ``(C) may be classified.''.

    (b) Report on Industry Preparedness.--Not later than 6 months after the last day of fiscal year 2007 and each subsequent fiscal year, the Secretary of Homeland Security, in cooperation with the Secretary of Commerce, the Secretary of Transportation, the Secretary of Defense, and the Secretary of Energy, shall submit to the Committee on Banking, Housing, and Urban Affairs and the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Financial Services and the Committee on Homeland Security of the House of Representatives a report that details the actions taken by the Federal Government to ensure, in accordance with subsections (a) and (c) of section 101 of the Defense Production Act of 1950 (50 U.S.C. App. 2071), the preparedness of industry to reduce interruption of critical infrastructure and key resource operations during an act of terrorism, natural catastrophe, or other similar national emergency.

   SEC. 1003. SENSE OF CONGRESS REGARDING THE INCLUSION OF LEVEES IN THE NATIONAL INFRASTRUCTURE PROTECTION PLAN.

    It is the sense of Congress that the Secretary should ensure that levees are included in one of the critical infrastructure and key resources sectors identified in the National Infrastructure Protection Plan.

   

TITLE XI--ENHANCED DEFENSES AGAINST WEAPONS OF MASS DESTRUCTION

   SEC. 1101. NATIONAL BIOSURVEILLANCE INTEGRATION CENTER.

    (a) In General.--Title III of the Homeland Security Act of 2002 (6 U.S.C. et seq.) is amended by adding at the end the following:

   ``SEC. 316. NATIONAL BIOSURVEILLANCE INTEGRATION CENTER.

    ``(a) Establishment.--The Secretary shall establish, operate, and maintain a National Biosurveillance Integration Center (referred to in this section as the `NBIC'), which shall be headed by a Directing Officer, under an office or directorate of the Department that is in existence as of the date of the enactment of this section.

    ``(b) Primary Mission.--The primary mission of the NBIC is to--

    ``(1) enhance the capability of the Federal Government to--

    ``(A) rapidly identify, characterize, localize, and track a biological event of national concern by integrating and analyzing data relating to human health, animal, plant, food, and environmental monitoring systems (both national and international); and

    ``(B) disseminate alerts and other information to Member Agencies and, in coordination with (and where possible through) Member Agencies, to agencies of State, local, and tribal governments, as appropriate, to enhance the ability of such agencies to respond to a biological event of national concern; and

    ``(2) oversee development and operation of the National Biosurveillance Integration System.

    ``(c) Requirements.--The NBIC shall detect, as early as possible, a biological event of national concern that presents a risk to the United States or the infrastructure or key assets of the United States, including by--

    ``(1) consolidating data from all relevant surveillance systems maintained by Member Agencies to detect biological events of national concern across human, animal, and plant species;

    ``(2) seeking private sources of surveillance, both foreign and domestic, when such sources would enhance coverage of critical surveillance gaps;

    ``(3) using an information technology system that uses the best available statistical and other analytical tools to identify and characterize biological events of national concern in as close to real-time as is practicable;

    ``(4) providing the infrastructure for such integration, including information technology systems and space, and support for personnel from Member Agencies with sufficient expertise to enable analysis and interpretation of data;

    ``(5) working with Member Agencies to create information technology systems that use the minimum amount of patient data necessary and consider patient confidentiality and privacy issues at all stages of development and apprise the Privacy Officer of such efforts; and

    ``(6) alerting Member Agencies and, in coordination with (and where possible through) Member Agencies, public health agencies of State, local, and tribal governments regarding any incident that could develop into a biological event of national concern.

    ``(d) Responsibilities of the Directing Officer of the NBIC.--

    ``(1) IN GENERAL.--The Directing Officer of the NBIC shall--

    ``(A) on an ongoing basis, monitor the availability and appropriateness of surveillance systems used by the NBIC and those systems that could enhance biological situational awareness or the overall performance of the NBIC;

    ``(B) on an ongoing basis, review and seek to improve the statistical and other analytical methods used by the NBIC;

    ``(C) receive and consider other relevant homeland security information, as appropriate; and

    ``(D) provide technical assistance, as appropriate, to all Federal, regional, State, local, and

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tribal government entities and private sector entities that contribute data relevant to the operation of the NBIC.

    ``(2) ASSESSMENTS.--The Directing Officer of the NBIC shall--

    ``(A) on an ongoing basis, evaluate available data for evidence of a biological event of national concern; and

    ``(B) integrate homeland security information with NBIC data to provide overall situational awareness and determine whether a biological event of national concern has occurred.

    ``(3) INFORMATION SHARING.--

    ``(A) IN GENERAL.--The Directing Officer of the NBIC shall--

    ``(i) establish a method of real-time communication with the National Operations Center;

    ``(ii) in the event that a biological event of national concern is detected, notify the Secretary and disseminate results of NBIC assessments relating to that biological event of national concern to appropriate Federal response entities and, in coordination with relevant Member Agencies, regional, State, local, and tribal governmental response entities in a timely manner;

    ``(iii) provide any report on NBIC assessments to Member Agencies and, in coordination with relevant Member Agencies, any affected regional, State, local, or tribal government, and any private sector entity considered appropriate that may enhance the mission of such Member Agencies, governments, or entities or the ability of the Nation to respond to biological events of national concern; and

    ``(iv) share NBIC incident or situational awareness reports, and other relevant information, consistent with the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485) and any policies, guidelines, procedures, instructions, or standards established under that section.

    ``(B) CONSULTATION.--The Directing Officer of the NBIC shall implement the activities described in subparagraph (A) consistent with the policies, guidelines, procedures, instructions, or standards established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485) and in consultation with the Director of National Intelligence, the Under Secretary for Intelligence and Analysis, and other offices or agencies of the Federal Government, as appropriate.

    ``(e) Responsibilities of the NBIC Member Agencies.--

    ``(1) IN GENERAL.--Each Member Agency shall--

    ``(A) use its best efforts to integrate biosurveillance information into the NBIC, with the goal of promoting information sharing between Federal, State, local, and tribal governments to detect biological events of national concern;

    ``(B) provide timely information to assist the NBIC in maintaining biological situational awareness for accurate detection and response purposes;

    ``(C) enable the NBIC to receive and use biosurveillance information from member agencies to carry out its requirements under subsection (c);

    ``(D) connect the biosurveillance data systems of that Member Agency to the NBIC data system under mutually agreed protocols that are consistent with subsection (c)(5);

    ``(E) participate in the formation of strategy and policy for the operation of the NBIC and its information sharing;

    ``(F) provide personnel to the NBIC under an interagency personnel agreement and consider the qualifications of such personnel necessary to provide human, animal, and environmental data analysis and interpretation support to the NBIC; and

    ``(G) retain responsibility for the surveillance and intelligence systems of that department or agency, if applicable.

    ``(f) Administrative Authorities.--

    ``(1) HIRING OF EXPERTS.--The Directing Officer of the NBIC shall hire individuals with the necessary expertise to develop and operate the NBIC.

    ``(2) DETAIL OF PERSONNEL.--Upon the request of the Directing Officer of the NBIC, the head of any Federal department or agency may detail, on a reimbursable basis, any of the personnel of that department or agency to the Department to assist the NBIC in carrying out this section.

    ``(g) NBIC Interagency Working Group.--The Directing Officer of the NBIC shall--

    ``(1) establish an interagency working group to facilitate interagency cooperation and to advise the Directing Officer of the NBIC regarding recommendations to enhance the biosurveillance capabilities of the Department; and

    ``(2) invite Member Agencies to serve on that working group.

    ``(h) Relationship to Other Departments and Agencies.--The authority of the Directing Officer of the NBIC under this section shall not affect any authority or responsibility of any other department or agency of the Federal Government with respect to biosurveillance activities under any program administered by that department or agency.

    ``(i) Authorization of Appropriations.--There are authorized to be appropriated such sums as are necessary to carry out this section.

    ``(j) Definitions.--In this section:

    ``(1) The terms `biological agent' and `toxin' have the meanings given those terms in section 178 of title 18, United States Code.

    ``(2) The term `biological event of national concern' means--

    ``(A) an act of terrorism involving a biological agent or toxin; or

    ``(B) a naturally occurring outbreak of an infectious disease that may result in a national epidemic.

    ``(3) The term `homeland security information' has the meaning given that term in section 892.

    ``(4) The term `Member Agency' means any Federal department or agency that, at the discretion of the head of that department or agency, has entered a memorandum of understanding regarding participation in the NBIC.

    ``(5) The term `Privacy Officer' means the Privacy Officer appointed under section 222.''.

    (b) Clerical Amendment.--The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended by inserting after the item relating to section 315 the following:

   ``Sec..316..National Biosurveillance Integration Center.''.

    (c) Deadline for Implementation.--The National Biosurveillance Integration Center under section 316 of the Homeland Security Act, as added by subsection (a), shall be fully operational by not later than September 30, 2008;

    (d) Report.--Not later than 180 days after the date of enactment of this Act, the Secretary of Homeland Security shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives an interim report on the status of the operations at the National Biosurviellance Integration Center that addresses the efforts of the Center to integrate the surveillance efforts of Federal, State, local, and tribal governments. When the National Biosurveillance Integration Center is fully operational, the Secretary shall submit to such committees a final report on the status of such operations.

   SEC. 1102. BIOSURVEILLANCE EFFORTS.

    The Comptroller General of the United States shall submit to Congress a report --

    (1) describing the state of Federal, State, local, and tribal government biosurveillance efforts as of the date of such report;

    (2) describing any duplication of effort at the Federal, State, local, or tribal government level to create biosurveillance systems; and

    (3) providing the recommendations of the Comptroller General regarding--

    (A) the integration of biosurveillance systems;

    (B) the effective use of biosurveillance resources; and

    (C) the effective use of the expertise of Federal, State, local, and tribal governments.

   SEC. 1103. INTERAGENCY COORDINATION TO ENHANCE DEFENSES AGAINST NUCLEAR AND RADIOLOGICAL WEAPONS OF MASS DESTRUCTION.

    (a) In General.--The Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended by inserting after section 1906, as redesignated by section 104, the following:

   ``SEC. 1907. JOINT ANNUAL INTERAGENCY REVIEW OF GLOBAL NUCLEAR DETECTION ARCHITECTURE.

    ``(a) Annual Review.--

    ``(1) IN GENERAL.--The Secretary, the Attorney General, the Secretary of State, the Secretary of Defense, the Secretary of Energy, and the Director of National Intelligence shall jointly ensure interagency coordination on the development and implementation of the global nuclear detection architecture by ensuring that, not less frequently than once each year--

    ``(A) each relevant agency, office, or entity--

    ``(i) assesses its involvement, support, and participation in the development, revision, and implementation of the global nuclear detection architecture; and

    ``(ii) examines and evaluates components of the global nuclear detection architecture (including associated strategies and acquisition plans) relating to the operations of that agency, office, or entity, to determine whether such components incorporate and address current threat assessments, scenarios, or intelligence analyses developed by the Director of National Intelligence or other agencies regarding threats relating to nuclear or radiological weapons of mass destruction; and

    ``(B) each agency, office, or entity deploying or operating any nuclear or radiological detection technology under the global nuclear detection architecture--

    ``(i) evaluates the deployment and operation of nuclear or radiological detection technologies under the global nuclear detection architecture by that agency, office, or entity;

    ``(ii) identifies performance deficiencies and operational or technical deficiencies in nuclear or radiological detection technologies deployed under the global nuclear detection architecture; and

    ``(iii) assesses the capacity of that agency, office, or entity to implement the responsibilities of that agency, office, or entity under the global nuclear detection architecture.

    ``(2) TECHNOLOGY.--Not less frequently than once each year, the Secretary shall examine and evaluate the development, assessment, and acquisition of radiation detection technologies deployed or implemented in support of the domestic portion of the global nuclear detection architecture.

    ``(b) Annual Report on Joint Interagency Review.--

    ``(1) IN GENERAL.--Not later than March 31 of each year, the Secretary, the Attorney General, the Secretary of State, the Secretary of Defense, the Secretary of Energy, and the Director of National Intelligence, shall jointly submit a report regarding the implementation of this section and the results of the reviews required under subsection (a) to--

    ``(A) the President;

    ``(B) the Committee on Appropriations, the Committee on Armed Services, the Select Committee on Intelligence, and the Committee on Homeland Security and Governmental Affairs of the Senate; and

    ``(C) the Committee on Appropriations, the Committee on Armed Services, the Permanent Select Committee on Intelligence, the Committee on Homeland Security, and the Committee on Science and Technology of the House of Representatives.

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    ``(2) FORM.--The annual report submitted under paragraph (1) shall be submitted in unclassified form to the maximum extent practicable, but may include a classified annex.

    ``(c) Definition.--In this section, the term `global nuclear detection architecture' means the global nuclear detection architecture developed under section 1902.''.

    (b) Clerical Amendment.--The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 note) is amended by inserting after the item relating to section 1906, as added by section 104, the following:

   ``Sec..1907..Joint annual interagency review of global nuclear detection architecture.''.

   SEC. 1104. INTEGRATION OF DETECTION EQUIPMENT AND TECHNOLOGIES.

    (a) Responsibility of Secretary.--The Secretary of Homeland Security shall have responsibility for ensuring that domestic chemical, biological, radiological, and nuclear detection equipment and technologies are integrated, as appropriate, with other border security systems and detection technologies.

    (b) Report.--Not later than 6 months after the date of enactment of this Act, the Secretary shall submit a report to Congress that contains a plan to develop a departmental technology assessment process to determine and certify the technology readiness levels of chemical, biological, radiological, and nuclear detection technologies before the full deployment of such technologies within the United States.

   

TITLE XII--TRANSPORTATION SECURITY PLANNING AND INFORMATION SHARING

   SEC. 1201. DEFINITIONS.

    For purposes of this title, the following terms apply:

    (1) DEPARTMENT.--The term ``Department'' means the Department of Homeland Security.

    (2) SECRETARY.--The term ``Secretary'' means the Secretary of Homeland Security.

   SEC. 1202. TRANSPORTATION SECURITY STRATEGIC PLANNING.

    (a) In General.--Section 114(t)(1)(B) of title 49, United States Code, is amended to read as follows:

    ``(B) transportation modal security plans addressing security risks, including threats, vulnerabilities, and consequences, for aviation, railroad, ferry, highway, maritime, pipeline, public transportation, over-the-road bus, and other transportation infrastructure assets.''.

    (b) Contents of the National Strategy for Transportation Security.--Section 114(t)(3) of such title is amended--

    (1) in subparagraph (B), by inserting ``, based on risk assessments conducted or received by the Secretary of Homeland Security (including assessments conducted under the Implementing Recommendations of the 9/11 Commission Act of 2007'' after ``risk based priorities'';

    (2) in subparagraph (D)--

    (A) by striking ``and local'' and inserting ``local, and tribal''; and

    (B) by striking ``private sector cooperation and participation'' and inserting ``cooperation and participation by private sector entities, including nonprofit employee labor organizations,'';

    (3) in subparagraph (E)--

    (A) by striking ``response'' and inserting ``prevention, response,''; and

    (B) by inserting ``and threatened and executed acts of terrorism outside the United States to the extent such acts affect United States transportation systems'' before the period at the end;

    (4) in subparagraph (F), by adding at the end the following: ``Transportation security research and development projects shall be based, to the extent practicable, on such prioritization. Nothing in the preceding sentence shall be construed to require the termination of any research or development project initiated by the Secretary of Homeland Security or the Secretary of Transportation before the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007.''; and

    (5) by adding at the end the following:

    ``(G) A 3- and 10-year budget for Federal transportation security programs that will achieve the priorities of the National Strategy for Transportation Security.

    ``(H) Methods for linking the individual transportation modal security plans and the programs contained therein, and a plan for addressing the security needs of intermodal transportation.

    ``(I) Transportation modal security plans described in paragraph (1)(B), including operational recovery plans to expedite, to the maximum extent practicable, the return to operation of an adversely affected transportation system following a major terrorist attack on that system or other incident. These plans shall be coordinated with the resumption of trade protocols required under section 202 of the SAFE Port Act (6 U.S.C. 942) and the National Maritime Transportation Security Plan required under section 70103(a) of title 46.''.

    (c) Periodic Progress Reports.--Section 114(t)(4) of such title is amended--

    (1) in subparagraph (C)--

    (A) in clause (i) by inserting ``, including the transportation modal security plans'' before the period at the end; and

    (B) by striking clause (ii) and inserting the following:

    ``(ii) CONTENT.--Each progress report submitted under this subparagraph shall include, at a minimum, the following:

    ``(I) Recommendations for improving and implementing the National Strategy for Transportation Security and the transportation modal and intermodal security plans that the Secretary of Homeland Security, in consultation with the Secretary of Transportation, considers appropriate.

    ``(II) An accounting of all grants for transportation security, including grants and contracts for research and development, awarded by the Secretary of Homeland Security in the most recent fiscal year and a description of how such grants accomplished the goals of the National Strategy for Transportation Security.

    ``(III) An accounting of all--

    ``(aa) funds requested in the President's budget submitted pursuant to section 1105 of title 31 for the most recent fiscal year for transportation security, by mode;

    ``(bb) personnel working on transportation security by mode, including the number of contractors; and

    ``(cc) information on the turnover in the previous year among senior staff of the Department of Homeland Security, including component agencies, working on transportation security issues. Such information shall include the number of employees who have permanently left the office, agency, or area in which they worked, and the amount of time that they worked for the Department.

    ``(iii) WRITTEN EXPLANATION OF TRANSPORTATION SECURITY ACTIVITIES NOT DELINEATED IN THE NATIONAL STRATEGY FOR TRANSPORTATION SECURITY.--At the end of each fiscal year, the Secretary of Homeland Security shall submit to the appropriate congressional committees a written explanation of any Federal transportation security activity that is inconsistent with the National Strategy for Transportation Security, including the amount of funds to be expended for the activity and the number of personnel involved.''; and

    (2) by striking subparagraph (E) and inserting the following:

    ``(E) APPROPRIATE CONGRESSIONAL COMMITTEES DEFINED.--In this subsection, the term `appropriate congressional committees' means the Committee on Transportation and Infrastructure and the Committee on Homeland Security of the House of Representatives and the Committee on Commerce, Science, and Transportation, the Committee on Homeland Security and Governmental Affairs, and the Committee on Banking, Housing, and Urban Affairs of the Senate.''.

    (d) Priority Status.--Section 114(t)(5)(B) of such title is amended--

    (1) in clause (iii), by striking ``and'' at the end;

    (2) by redesignating clause (iv) as clause (v); and

    (3) by inserting after clause (iii) the following:

    ``(iv) the transportation sector specific plan required under Homeland Security Presidential Directive 7; and''.

    (e) Coordination and Plan Distribution.--Section 114(t) of such title is amended by adding at the end the following:

    ``(6) COORDINATION.--In carrying out the responsibilities under this section, the Secretary of Homeland Security, in coordination with the Secretary of Transportation, shall consult, as appropriate, with Federal, State, and local agencies, tribal governments, private sector entities (including nonprofit employee labor organizations), institutions of higher learning, and other entities.

    ``(7) PLAN DISTRIBUTION.--The Secretary of Homeland Security shall make available and appropriately publicize an unclassified version of the National Strategy for Transportation Security, including its component transportation modal security plans, to Federal, State, regional, local and tribal authorities, transportation system owners or operators, private sector stakeholders, including nonprofit employee labor organizations representing transportation employees, institutions of higher learning, and other appropriate entities.''.

   SEC. 1203. TRANSPORTATION SECURITY INFORMATION SHARING.

    (a) In General.--Section 114 of title 49, United States Code, is amended by adding at the end the following:

    ``(u) Transportation Security Information Sharing Plan.--

    ``(1) DEFINITIONS.--In this subsection:

    ``(A) APPROPRIATE CONGRESSIONAL COMMITTEES.--The term `appropriate congressional committees' has the meaning given that term in subsection (t).

    ``(B) PLAN.--The term `Plan' means the Transportation Security Information Sharing Plan established under paragraph (2).

    ``(C) PUBLIC AND PRIVATE STAKEHOLDERS.--The term `public and private stakeholders' means Federal, State, and local agencies, tribal governments, and appropriate private entities, including nonprofit employee labor organizations representing transportation employees.

    ``(D) SECRETARY.--The term `Secretary' means the Secretary of Homeland Security.

    ``(E) TRANSPORTATION SECURITY INFORMATION.--The term `transportation security information' means information relating to the risks to transportation modes, including aviation, public transportation, railroad, ferry, highway, maritime, pipeline, and over-the-road bus transportation, and may include specific and general intelligence products, as appropriate.

    ``(2) ESTABLISHMENT OF PLAN.--The Secretary of Homeland Security, in consultation with the program manager of the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485), the Secretary of Transportation, and public and private stakeholders, shall establish a Transportation Security Information Sharing Plan. In establishing the Plan, the Secretary shall gather input on the development of the Plan from private and public stakeholders and the program manager of the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485).

    ``(3) PURPOSE OF PLAN.--The Plan shall promote sharing of transportation security information between the Department of Homeland Security and public and private stakeholders.

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    ``(4) CONTENT OF PLAN.--The Plan shall include--

    ``(A) a description of how intelligence analysts within the Department of Homeland Security will coordinate their activities within the Department and with other Federal, State, and local agencies, and tribal governments, including coordination with existing modal information sharing centers and the center described in section 1410 of the Implementing Recommendations of the 9/11 Commission Act of 2007;

    ``(B) the establishment of a point of contact, which may be a single point of contact within the Department of Homeland Security, for each mode of transportation for the sharing of transportation security information with public and private stakeholders, including an explanation and justification to the appropriate congressional committees if the point of contact established pursuant to this subparagraph differs from the agency within the Department that has the primary authority, or has been delegated such authority by the Secretary, to regulate the security of that transportation mode;

    ``(C) a reasonable deadline by which the Plan will be implemented; and

    ``(D) a description of resource needs for fulfilling the Plan.

    ``(5) COORDINATION WITH INFORMATION SHARING .--The Plan shall be--

    ``(A) implemented in coordination, as appropriate, with the program manager for the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485); and

    ``(B) consistent with the establishment of the information sharing environment and any policies, guidelines, procedures, instructions, or standards established by the President or the program manager for the implementation and management of the information sharing environment.

    ``(6) REPORTS TO CONGRESS.--

    ``(A) IN GENERAL.--Not later than 150 days after the date of enactment of this subsection, and annually thereafter, the Secretary shall submit to the appropriate congressional committees, a report containing the Plan.

    ``(B) ANNUAL REPORT.--Not later than 1 year after the date of enactment of this subsection, the Secretary shall submit to the appropriate congressional committees a report on updates to and the implementation of the Plan.

    ``(7) SURVEY AND REPORT.--

    ``(A) IN GENERAL.--The Comptroller General of the United States shall conduct a biennial survey of the satisfaction of recipients of transportation intelligence reports disseminated under the Plan.

    ``(B) INFORMATION SOUGHT.--The survey conducted under subparagraph (A) shall seek information about the quality, speed, regularity, and classification of the transportation security information products disseminated by the Department of Homeland Security to public and private stakeholders.

    ``(C) REPORT.--Not later than 1 year after the date of the enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, and every even numbered year thereafter, the Comptroller General shall submit to the appropriate congressional committees, a report on the results of the survey conducted under subparagraph (A). The Comptroller General shall also provide a copy of the report to the Secretary.

    ``(8) SECURITY CLEARANCES.--The Secretary shall, to the greatest extent practicable, take steps to expedite the security clearances needed for designated public and private stakeholders to receive and obtain access to classified information distributed under this section, as appropriate.

    ``(9) CLASSIFICATION OF MATERIAL.--The Secretary, to the greatest extent practicable, shall provide designated public and private stakeholders with transportation security information in an unclassified format.''.

    (b) Congressional Oversight of Security Assurance for Public and Private Stakeholders.--

    (1) IN GENERAL.--Except as provided in paragraph (2), the Secretary shall provide a semiannual report to the Committee on Homeland Security and Governmental Affairs, the Committee on Commerce, Science, and Transportation, and the Committee on Banking, Housing, and Urban Affairs of the Senate and the Committee on Homeland Security and the Committee on Transportation and Infrastructure of the House of Representatives that includes--

    (A) the number of public and private stakeholders who were provided with each report;

    (B) a description of the measures the Secretary has taken, under section 114(u)(7) of title 49, United States Code, as added by this section, or otherwise, to ensure proper treatment and security for any classified information to be shared with the public and private stakeholders under the Plan; and

    (C) an explanation of the reason for the denial of transportation security information to any stakeholder who had previously received such information.

    (2) NO REPORT REQUIRED IF NO CHANGES IN STAKEHOLDERS.--The Secretary is not required to provide a semiannual report under paragraph (1) if no stakeholders have been added to or removed from the group of persons with whom transportation security information is shared under the plan since the end of the period covered by the last preceding semiannual report.

   SEC. 1204. NATIONAL DOMESTIC PREPAREDNESS CONSORTIUM.

    (a) In General.--The Secretary is authorized to establish, operate, and maintain a National Domestic Preparedness Consortium within the Department.

    (b) Members.--Members of the National Domestic Preparedness Consortium shall consist of--

    (1) the Center for Domestic Preparedness;

    (2) the National Energetic Materials Research and Testing Center, New Mexico Institute of Mining and Technology;

    (3) the National Center for Biomedical Research and Training, Louisiana State University;

    (4) the National Emergency Response and Rescue Training Center, Texas A&M University;

    (5) the National Exercise, Test, and Training Center, Nevada Test Site;

    (6) the Transportation Technology Center, Incorporated, in Pueblo, Colorado; and

    (7) the National Disaster Preparedness Training Center, University of Hawaii.

    (c) Duties.--The National Domestic Preparedness Consortium shall identify, develop, test, and deliver training to State, local, and tribal emergency response providers, provide on-site and mobile training at the performance and management and planning levels, and facilitate the delivery of training by the training partners of the Department.

    (d) Authorization of Appropriations.--There are authorized to be appropriated to the Secretary--

    (1) for the Center for Domestic Preparedness--

    (A) $57,000,000 for fiscal year 2008;

    (B) $60,000,000 for fiscal year 2009;

    (C) $63,000,000 for fiscal year 2010; and

    (D) $66,000,000 for fiscal year 2011; and

    (2) for the National Energetic Materials Research and Testing Center, the National Center for Biomedical Research and Training, the National Emergency Response and Rescue Training Center, the National Exercise, Test, and Training Center, the Transportation Technology Center, Incorporated, and the National Disaster Preparedness Training Center each--

    (A) $22,000,000 for fiscal year 2008;

    (B) $23,000,000 for fiscal year 2009;

    (C) $24,000,000 for fiscal year 2010; and

    (D) $25,500,000 for fiscal year 2011.

    (e) Savings Provision.--From the amounts appropriated pursuant to this section, the Secretary shall ensure that future amounts provided to each of the following entities are not less than the amounts provided to each such entity for participation in the Consortium in fiscal year 2007:

    (1) the Center for Domestic Preparedness;

    (2) the National Energetic Materials Research and Testing Center, New Mexico Institute of Mining and Technology;

    (3) the National Center for Biomedical Research and Training, Louisiana State University;

    (4) the National Emergency Response and Rescue Training Center, Texas A&M University; and

    (5) the National Exercise, Test, and Training Center, Nevada Test Site.

   SEC. 1205. NATIONAL TRANSPORTATION SECURITY CENTER OF EXCELLENCE.

    (a) Establishment.--The Secretary shall establish a National Transportation Security Center of Excellence to conduct research and education activities, and to develop or provide professional security training, including the training of transportation employees and transportation professionals.

    (b) Designation.--The Secretary shall select one of the institutions identified in subsection (c) as the lead institution responsible for coordinating the National Transportation Security Center of Excellence.

    (c) Member Institutions.--

    (1) CONSORTIUM.--The institution of higher education selected under subsection (b) shall execute agreements with the other institutions of higher education identified in this subsection and other institutions designated by the Secretary to develop a consortium to assist in accomplishing the goals of the Center.

    (2) MEMBERS.--The National Transportation Security Center of Excellence shall consist of--

    (A) Texas Southern University in Houston, Texas;

    (B) the National Transit Institute at Rutgers, The State University of New Jersey;

    (C) Tougaloo College;

    (D) the Connecticut Transportation Institute at the University of Connecticut;

    (E) the Homeland Security Management Institute, Long Island University;

    (F) the Mack-Blackwell National Rural Transportation Study Center at the University of Arkansas; and

    (G) any additional institutions or facilities designated by the Secretary.

    (3) CERTAIN INCLUSIONS.--To the extent practicable, the Secretary shall ensure that an appropriate number of any additional consortium colleges or universities designated by the Secretary under this subsection are Historically Black Colleges and Universities, Hispanic Serving Institutions, and Indian Tribally Controlled Colleges and Universities.

    (d) Authorization of Appropriations.--There are authorized to be appropriated to carry out this section--

    (1) $18,000,000 for fiscal year 2008;

    (2) $18,000,000 for fiscal year 2009;

    (3) $18,000,000 for fiscal year 2010; and

    (4) $18,000,000 for fiscal year 2011.

   SEC. 1206. IMMUNITY FOR REPORTS OF SUSPECTED TERRORIST ACTIVITY OR SUSPICIOUS BEHAVIOR AND RESPONSE.

    (a) Immunity for Reports of Suspected Terrorist Activity or Suspicious Behavior.--

    (1) IN GENERAL.--Any person who, in good faith and based on objectively reasonable suspicion, makes, or causes to be made, a voluntary report of covered activity to an authorized official shall be immune from civil liability under Federal, State, and local law for such report.

    (2) FALSE REPORTS.--Paragraph (1) shall not apply to any report that the person knew to be false or was made with reckless disregard for the truth at the time that person made that report.

    (b) Immunity for Response.--

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    (1) IN GENERAL.--Any authorized official who observes, or receives a report of, covered activity and takes reasonable action in good faith to respond to such activity shall have qualified immunity from civil liability for such action, consistent with applicable law in the relevant jurisdiction. An authorized official as defined by subsection (d)(1)(A) not entitled to assert the defense of qualified immunity shall nevertheless be immune from civil liability under Federal, State, and local law if such authorized official takes reasonable action, in good faith, to respond to the reported activity.

    (2) SAVINGS CLAUSE.--Nothing in this subsection shall affect the ability of any authorized official to assert any defense, privilege, or immunity that would otherwise be available, and this subsection shall not be construed as affecting any such defense, privilege, or immunity.

    (c) Attorney Fees and Costs.--Any person or authorized official found to be immune from civil liability under this section shall be entitled to recover from the plaintiff all reasonable costs and attorney fees.

    (d) Definitions.--In this section:

    (1) AUTHORIZED OFFICIAL.--The term ``authorized official'' means--

    (A) any employee or agent of a passenger transportation system or other person with responsibilities relating to the security of such systems;

    (B) any officer, employee, or agent of the Department of Homeland Security, the Department of Transportation, or the Department of Justice with responsibilities relating to the security of passenger transportation systems; or

    (C) any Federal, State, or local law enforcement officer.

    (2) COVERED ACTIVITY.--The term ``covered activity'' means any suspicious transaction, activity, or occurrence that involves, or is directed against, a passenger transportation system or vehicle or its passengers indicating that an individual may be engaging, or preparing to engage, in a violation of law relating to--

    (A) a threat to a passenger transportation system or passenger safety or security; or

    (B) an act of terrorism (as that term is defined in section 3077 of title 18, United States Code).

    (3) PASSENGER TRANSPORTATION.--The term ``passenger transportation'' means--

    (A) public transportation, as defined in section 5302 of title 49, United States Code;

    (B) over-the-road bus transportation, as defined in title XV of this Act, and school bus transportation;

    (C) intercity passenger rail transportation as defined in section 24102 of title 49, United States Code;

    (D) the transportation of passengers onboard a passenger vessel as defined in section 2101 of title 46, United States Code;

    (E) other regularly scheduled waterborne transportation service of passengers by vessel of at least 20 gross tons; and

    (F) air transportation, as defined in section 40102 of title 49, United States Code, of passengers.

    (4) PASSENGER TRANSPORTATION SYSTEM.--The term ``passenger transportation system'' means an entity or entities organized to provide passenger transportation using vehicles, including the infrastructure used to provide such transportation.

    (5) VEHICLE.--The term ``vehicle'' has the meaning given to that term in section 1992(16) of title 18, United States Code.

    (e) Effective Date.--This section shall take effect on October 1, 2006, and shall apply to all activities and claims occurring on or after such date.

   

TITLE XIII--TRANSPORTATION SECURITY ENHANCEMENTS

   SEC. 1301. DEFINITIONS.

    For purposes of this title, the following terms apply:

    (1) APPROPRIATE CONGRESSIONAL COMMITTEES.--The term ``appropriate congressional committees'' means the Committee on Commerce, Science, and Transportation, the Committee on Banking, Housing, and Urban Affairs, and the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security and the Committee on Transportation and Infrastructure of the House of Representatives.

    (2) DEPARTMENT.--The term ``Department'' means the Department of Homeland Security.

    (3) SECRETARY.--The term ``Secretary'' means the Secretary of Homeland Security.

    (4) STATE.--The term ``State'' means any one of the 50 States, the District of Columbia, Puerto Rico, the Northern Mariana Islands, the Virgin Islands, Guam, American Samoa, and any other territory or possession of the United States.

    (5) TERRORISM.--The term ``terrorism'' has the meaning that term has in section 2 of the Homeland Security Act of 2002 (6 U.S.C. 101).

    (6) UNITED STATES.--The term ``United States'' means the 50 States, the District of Columbia, Puerto Rico, the Northern Mariana Islands, the Virgin Islands, Guam, American Samoa, and any other territory or possession of the United States.

   SEC. 1302. ENFORCEMENT AUTHORITY.

    (a) In General.--Section 114 of title 49, United States Code, as amended by section 1203 of this Act, is further amended by adding at the end the following:

    ``(v) Enforcement of Regulations and Orders of the Secretary of Homeland Security.--

    ``(1) APPLICATION OF SUBSECTION.--

    ``(A) IN GENERAL.--This subsection applies to the enforcement of regulations prescribed, and orders issued, by the Secretary of Homeland Security under a provision of chapter 701 of title 46 and under a provision of this title other than a provision of chapter 449 (in this subsection referred to as an `applicable provision of this title').

    ``(B) VIOLATIONS OF CHAPTER 449.--The penalties for violations of regulations prescribed and orders issued by the Secretary of Homeland Security under chapter 449 of this title are provided under chapter 463 of this title.

    ``(C) NONAPPLICATION TO CERTAIN VIOLATIONS.--

    ``(i) Paragraphs (2) through (5) do not apply to violations of regulations prescribed, and orders issued, by the Secretary of Homeland Security under a provision of this title--

    ``(I) involving the transportation of personnel or shipments of materials by contractors where the Department of Defense has assumed control and responsibility;

    ``(II) by a member of the armed forces of the United States when performing official duties; or

    ``(III) by a civilian employee of the Department of Defense when performing official duties.

    ``(ii) Violations described in subclause (I), (II), or (III) of clause (i) shall be subject to penalties as determined by the Secretary of Defense or the Secretary's designee.

    ``(2) CIVIL PENALTY.--

    ``(A) IN GENERAL.--A person is liable to the United States Government for a civil penalty of not more than $10,000 for a violation of a regulation prescribed, or order issued, by the Secretary of Homeland Security under an applicable provision of this title.

    ``(B) REPEAT VIOLATIONS.--A separate violation occurs under this paragraph for each day the violation continues.

    ``(3) ADMINISTRATIVE IMPOSITION OF CIVIL PENALTIES.--

    ``(A) IN GENERAL.--The Secretary of Homeland Security may impose a civil penalty for a violation of a regulation prescribed, or order issued, under an applicable provision of this title. The Secretary shall give written notice of the finding of a violation and the penalty.

    ``(B) SCOPE OF CIVIL ACTION.--In a civil action to collect a civil penalty imposed by the Secretary under this subsection, a court may not re-examine issues of liability or the amount of the penalty.

    ``(C) JURISDICTION.--The district courts of the United States shall have exclusive jurisdiction of civil actions to collect a civil penalty imposed by the Secretary under this subsection if--

    ``(i) the amount in controversy is more than--

    ``(I) $400,000, if the violation was committed by a person other than an individual or small business concern; or

    ``(II) $50,000 if the violation was committed by an individual or small business concern;

    ``(ii) the action is in rem or another action in rem based on the same violation has been brought; or

    ``(iii) another action has been brought for an injunction based on the same violation.

    ``(D) MAXIMUM PENALTY.--The maximum civil penalty the Secretary administratively may impose under this paragraph is--

    ``(i) $400,000, if the violation was committed by a person other than an individual or small business concern; or

    ``(ii) $50,000, if the violation was committed by an individual or small business concern.

    ``(E) NOTICE AND OPPORTUNITY TO REQUEST HEARING.--Before imposing a penalty under this section the Secretary shall provide to the person against whom the penalty is to be imposed--

    ``(i) written notice of the proposed penalty; and

    ``(ii) the opportunity to request a hearing on the proposed penalty, if the Secretary receives the request not later than 30 days after the date on which the person receives notice.

    ``(4) COMPROMISE AND SETOFF.--

    ``(A) The Secretary may compromise the amount of a civil penalty imposed under this subsection.

    ``(B) The Government may deduct the amount of a civil penalty imposed or compromised under this subsection from amounts it owes the person liable for the penalty.

    ``(5) INVESTIGATIONS AND PROCEEDINGS.--Chapter 461 shall apply to investigations and proceedings brought under this subsection to the same extent that it applies to investigations and proceedings brought with respect to aviation security duties designated to be carried out by the Secretary.

    ``(6) DEFINITIONS.--In this subsection:

    ``(A) PERSON.--The term `person' does not include--

    ``(i) the United States Postal Service; or

    ``(ii) the Department of Defense.

    ``(B) SMALL BUSINESS CONCERN.--The term `small business concern' has the meaning given that term in section 3 of the Small Business Act (15 U.S.C. 632).

    ``(7) ENFORCEMENT TRANSPARENCY.--

    ``(A) IN GENERAL.--Not later than December 31, 2008, and annually thereafter, the Secretary shall--

    ``(i) provide an annual summary to the public of all enforcement actions taken by the Secretary under this subsection; and

    ``(ii) include in each such summary the docket number of each enforcement action, the type of alleged violation, the penalty or penalties proposed, and the final assessment amount of each penalty.

    ``(B) ELECTRONIC AVAILABILITY.--Each summary under this paragraph shall be made available to the public by electronic means.

    ``(C) RELATIONSHIP TO THE FREEDOM OF INFORMATION ACT AND THE PRIVACY ACT.--Nothing in this subsection shall be construed to require disclosure of information or records that are exempt from disclosure under sections 552 or 552a of title 5.

    ``(D) ENFORCEMENT GUIDANCE.--Not later than 180 days after the enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the Secretary shall provide a report to the public describing the enforcement process established under this subsection.''.

    (b) Conforming Amendment.--Section 46301(a)(4) of title 49, United States Code, is

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amended by striking ``or another requirement under this title administered by the Under Secretary of Transportation for Security''.

   SEC. 1303. AUTHORIZATION OF VISIBLE INTERMODAL PREVENTION AND RESPONSE TEAMS.

    (a) In General.--The Secretary, acting through the Administrator of the Transportation Security Administration, may develop Visible Intermodal Prevention and Response (referred to in this section as ``VIPR'') teams to augment the security of any mode of transportation at any location within the United States. In forming a VIPR team, the Secretary--

    (1) may use any asset of the Department, including Federal air marshals, surface transportation security inspectors, canine detection teams, and advanced screening technology;

    (2) may determine when a VIPR team shall be deployed, as well as the duration of the deployment;

    (3) shall, prior to and during the deployment, consult with local security and law enforcement officials in the jurisdiction where the VIPR team is or will be deployed, to develop and agree upon the appropriate operational protocols and provide relevant information about the mission of the VIPR team, as appropriate; and

    (4) shall, prior to and during the deployment, consult with all transportation entities directly affected by the deployment of a VIPR team, as appropriate, including railroad carriers, air carriers, airport owners, over-the-road bus operators and terminal owners and operators, motor carriers, public transportation agencies, owners or operators of highways, port operators and facility owners, vessel owners and operators and pipeline operators.

    (b) Authorization of Appropriations.--There are authorized to be appropriated to the Secretary to carry out this section such sums as necessary for fiscal years 2007 through 2011.

   SEC. 1304. SURFACE TRANSPORTATION SECURITY INSPECTORS.

    (a) In General.--The Secretary, acting through the Administrator of the Transportation Security Administration, is authorized to train, employ, and utilize surface transportation security inspectors.

    (b) Mission.--The Secretary shall use surface transportation security inspectors to assist surface transportation carriers, operators, owners, entities, and facilities to enhance their security against terrorist attack and other security threats and to assist the Secretary in enforcing applicable surface transportation security regulations and directives.

    (c) Authorities.--Surface transportation security inspectors employed pursuant to this section shall be authorized such powers and delegated such responsibilities as the Secretary determines appropriate, subject to subsection (e).

    (d) Requirements.--The Secretary shall require that surface transportation security inspectors have relevant transportation experience and other security and inspection qualifications, as determined appropriate.

    (e) Limitations.--

    (1) INSPECTORS.--Surface transportation inspectors shall be prohibited from issuing fines to public transportation agencies, as defined in title XIV, for violations of the Department's regulations or orders except through the process described in paragraph (2).

    (2) CIVIL PENALTIES.--The Secretary shall be prohibited from assessing civil penalties against public transportation agencies, as defined in title XIV, for violations of the Department's regulations or orders, except in accordance with the following:

    (A) In the case of a public transportation agency that is found to be in violation of a regulation or order issued by the Secretary, the Secretary shall seek correction of the violation through a written notice to the public transportation agency and shall give the public transportation agency reasonable opportunity to correct the violation or propose an alternative means of compliance acceptable to the Secretary.

    (B) If the public transportation agency does not correct the violation or propose an alternative means of compliance acceptable to the Secretary within a reasonable time period that is specified in the written notice, the Secretary may take any action authorized in section 114 of title 49, United States Code, as amended by this Act.

    (3) LIMITATION ON SECRETARY.--The Secretary shall not initiate civil enforcement actions for violations of administrative and procedural requirements pertaining to the application for, and expenditure of, funds awarded under transportation security grant programs under this Act.

    (f) Number of Inspectors.--The Secretary shall employ up to a total of--

    (1) 100 surface transportation security inspectors in fiscal year 2007;

    (2) 150 surface transportation security inspectors in fiscal year 2008;

    (3) 175 surface transportation security inspectors in fiscal year 2009; and

    (4) 200 surface transportation security inspectors in fiscal years 2010 and 2011.

    (g) Coordination.--The Secretary shall ensure that the mission of the surface transportation security inspectors is consistent with any relevant risk assessments required by this Act or completed by the Department, the modal plans required under section 114(t) of title 49, United States Code, the Memorandum of Understanding between the Department and the Department of Transportation on Roles and Responsibilities, dated September 28, 2004, and any and all subsequent annexes to this Memorandum of Understanding, and other relevant documents setting forth the Department's transportation security strategy, as appropriate.

    (h) Consultation.--The Secretary shall periodically consult with the surface transportation entities which are or may be inspected by the surface transportation security inspectors, including, as appropriate, railroad carriers, over-the-road bus operators and terminal owners and operators, motor carriers, public transportation agencies, owners or operators of highways, and pipeline operators on--

    (1) the inspectors' duties, responsibilities, authorities, and mission; and

    (2) strategies to improve transportation security and to ensure compliance with transportation security requirements.

    (i) Report.--Not later than September 30, 2008, the Department of Homeland Security Inspector General shall transmit a report to the appropriate congressional committees on the performance and effectiveness of surface transportation security inspectors, whether there is a need for additional inspectors, and other recommendations.

    (j) Authorization of Appropriations.--There are authorized to be appropriated to the Secretary to carry out this section--

    (1) $11,400,000 for fiscal year 2007;

    (2) $17,100,000 for fiscal year 2008;

    (3) $19,950,000 for fiscal year 2009;

    (4) $22,800,000 for fiscal year 2010; and

    (5) $22,800,000 for fiscal year 2011.

   SEC. 1305. SURFACE TRANSPORTATION SECURITY TECHNOLOGY INFORMATION SHARING.

    (a) In General.--

    (1) INFORMATION SHARING.--The Secretary, in consultation with the Secretary of Transportation, shall establish a program to provide appropriate information that the Department has gathered or developed on the performance, use, and testing of technologies that may be used to enhance railroad, public transportation, and surface transportation security to surface transportation entities, including railroad carriers, over-the-road bus operators and terminal owners and operators, motor carriers, public transportation agencies, owners or operators of highways, pipeline operators, and State, local, and tribal governments that provide security assistance to such entities.

    (2) DESIGNATION OF QUALIFIED ANTITERRORISM TECHNOLOGIES.--The Secretary shall include in such information provided in paragraph (1) whether the technology is designated as a qualified antiterrorism technology under the Support Anti-terrorism by Fostering Effective Technologies Act of 2002 (Public Law 107-296), as appropriate.

    (b) Purpose.--The purpose of the program is to assist eligible grant recipients under this Act and others, as appropriate, to purchase and use the best technology and equipment available to meet the security needs of the Nation's surface transportation system.

    (c) Coordination.--The Secretary shall ensure that the program established under this section makes use of and is consistent with other Department technology testing, information sharing, evaluation, and standards-setting programs, as appropriate.

   SEC. 1306. TSA PERSONNEL LIMITATIONS.

    Any statutory limitation on the number of employees in the Transportation Security Administration does not apply to employees carrying out this title and titles XII, XIV, and XV.

   SEC. 1307. NATIONAL EXPLOSIVES DETECTION CANINE TEAM TRAINING PROGRAM.

    (a) Definitions.--For purposes of this section, the term ``explosives detection canine team'' means a canine and a canine handler that are trained to detect explosives, radiological materials, chemical, nuclear or biological weapons, or other threats as defined by the Secretary.

    (b) In General.--

    (1) INCREASED CAPACITY.--Not later than 180 days after the date of enactment of this Act, the Secretary of Homeland Security shall--

    (A) begin to increase the number of explosives detection canine teams certified by the Transportation Security Administration for the purposes of transportation-related security by up to 200 canine teams annually by the end of 2010; and

    (B) encourage State, local, and tribal governments and private owners of high-risk transportation facilities to strengthen security through the use of highly trained explosives detection canine teams.

    (2) EXPLOSIVES DETECTION CANINE TEAMS.--The Secretary of Homeland Security shall increase the number of explosives detection canine teams by--

    (A) using the Transportation Security Administration's National Explosives Detection Canine Team Training Center, including expanding and upgrading existing facilities, procuring and breeding additional canines, and increasing staffing and oversight commensurate with the increased training and deployment capabilities;

    (B) partnering with other Federal, State, or local agencies, nonprofit organizations, universities, or the private sector to increase the training capacity for canine detection teams;

    (C) procuring explosives detection canines trained by nonprofit organizations, universities, or the private sector provided they are trained in a manner consistent with the standards and requirements developed pursuant to subsection (c) or other criteria developed by the Secretary; or

    (D) a combination of subparagraphs (A), (B), and (C), as appropriate.

    (c) Standards for Explosives Detection Canine Teams.--

    (1) IN GENERAL.--Based on the feasibility in meeting the ongoing demand for quality explosives detection canine teams, the Secretary shall establish criteria, including canine training curricula, performance standards, and other requirements approved by the Transportation Security Administration necessary to ensure that explosives detection canine teams trained by nonprofit organizations, universities, and private sector entities are adequately trained and maintained.

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    (2) EXPANSION.--In developing and implementing such curriculum, performance standards, and other requirements, the Secretary shall--

    (A) coordinate with key stakeholders, including international, Federal, State, and local officials, and private sector and academic entities to develop best practice guidelines for such a standardized program, as appropriate;

    (B) require that explosives detection canine teams trained by nonprofit organizations, universities, or private sector entities that are used or made available by the Secretary be trained consistent with specific training criteria developed by the Secretary; and

    (C) review the status of the private sector programs on at least an annual basis to ensure compliance with training curricula, performance standards, and other requirements.

    (d) Deployment.--The Secretary shall--

    (1) use the additional explosives detection canine teams as part of the Department's efforts to strengthen security across the Nation's transportation network, and may use the canine teams on a more limited basis to support other homeland security missions, as determined appropriate by the Secretary;

    (2) make available explosives detection canine teams to all modes of transportation, for high-risk areas or to address specific threats, on an as-needed basis and as otherwise determined appropriate by the Secretary;

    (3) encourage, but not require, any transportation facility or system to deploy TSA-certified explosives detection canine teams developed under this section; and

    (4) consider specific needs and training requirements for explosives detection canine teams to be deployed across the Nation's transportation network, including in venues of multiple modes of transportation, as appropriate.

    (e) Canine Procurement.--The Secretary, acting through the Administrator of the Transportation Security Administration, shall work to ensure that explosives detection canine teams are procured as efficiently as possible and at the best price, while maintaining the needed level of quality, including, if appropriate, through increased domestic breeding.

    (f) Study.--Not later than 1 year after the date of enactment of this Act, the Comptroller General shall report to the appropriate congressional committees on the utilization of explosives detection canine teams to strengthen security and the capacity of the national explosive detection canine team program.

    (g) Authorization.--There are authorized to be appropriated to the Secretary such sums as may be necessary to carry out this section for fiscal years 2007 through 2011.

   SEC. 1308. MARITIME AND SURFACE TRANSPORTATION SECURITY USER FEE STUDY.

    (a) In General.--The Secretary of Homeland Security shall conduct a study of the need for, and feasibility of, establishing a system of maritime and surface transportation-related user fees that may be imposed and collected as a dedicated revenue source, on a temporary or continuing basis, to provide necessary funding for legitimate improvements to, and maintenance of, maritime and surface transportation security, including vessel and facility plans required under section 70103(c) of title 46, United States Code. In developing the study, the Secretary shall consult with maritime and surface transportation carriers, shippers, passengers, facility owners and operators, and other persons as determined by the Secretary. Not later than 1 year after the date of the enactment of this Act, the Secretary shall submit a report to the appropriate congressional committees that contains--

    (1) the results of the study;

    (2) an assessment of the annual sources of funding collected through maritime and surface transportation at ports of entry and a detailed description of the distribution and use of such funds, including the amount and percentage of such sources that are dedicated to improve and maintain security;

    (3) an assessment of--

    (A) the fees, charges, and standards imposed on United States ports, port terminal operators, shippers, carriers, and other persons who use United States ports of entry compared with the fees and charges imposed on Canadian and Mexican ports, Canadian and Mexican port terminal operators, shippers, carriers, and other persons who use Canadian or Mexican ports of entry; and

    (B) the impact of such fees, charges, and standards on the competitiveness of United States ports, port terminal operators, railroad carriers, motor carriers, pipelines, other transportation modes, and shippers;

    (4) the private efforts and investments to secure maritime and surface transportation modes, including those that are operational and those that are planned; and

    (5) the Secretary's recommendations based upon the study, and an assessment of the consistency of such recommendations with the international obligations and commitments of the United States.

    (b) Definitions.--In this section:

    (1) PORT OF ENTRY.--The term ``port of entry'' means any port or other facility through which foreign goods are permitted to enter the customs territory of a country under official supervision.

    (2) MARITIME AND SURFACE TRANSPORTATION.--The term ``maritime and surface transportation'' includes ocean borne and vehicular transportation.

   SEC. 1309. PROHIBITION OF ISSUANCE OF TRANSPORTATION SECURITY CARDS TO CONVICTED FELONS.

    (a) In General.--Section 70105 of title 46, United States Code, is amended--

    (1) in subsection (b)(1), by striking ``decides that the individual poses a security risk under subsection (c)'' and inserting ``determines under subsection (c) that the individual poses a security risk''; and

    (2) in subsection (c), by amending paragraph (1) to read as follows:

    ``(1) DISQUALIFICATIONS.--

    ``(A) PERMANENT DISQUALIFYING CRIMINAL OFFENSES.--Except as provided under paragraph (2), an individual is permanently disqualified from being issued a biometric transportation security card under subsection (b) if the individual has been convicted, or found not guilty by reason of insanity, in a civilian or military jurisdiction of any of the following felonies:

    ``(i) Espionage or conspiracy to commit espionage.

    ``(ii) Sedition or conspiracy to commit sedition.

    ``(iii) Treason or conspiracy to commit treason.

    ``(iv) A Federal crime of terrorism (as defined in section 2332b(g) of title 18), a crime under a comparable State law, or conspiracy to commit such crime.

    ``(v) A crime involving a transportation security incident.

    ``(vi) Improper transportation of a hazardous material in violation of section 5104(b) of title 49, or a comparable State law.

    ``(vii) Unlawful possession, use, sale, distribution, manufacture, purchase, receipt, transfer, shipment, transportation, delivery, import, export, or storage of, or dealing in, an explosive or explosive device. In this clause, an explosive or explosive device includes--

    ``(I) an explosive (as defined in sections 232(5) and 844(j) of title 18);

    ``(II) explosive materials (as defined in subsections (c) through (f) of section 841 of title 18); and

    ``(III) a destructive device (as defined in 921(a)(4) of title 18 or section 5845(f) of the Internal Revenue Code of 1986).

    ``(viii) Murder.

    ``(ix) Making any threat, or maliciously conveying false information knowing the same to be false, concerning the deliverance, placement, or detonation of an explosive or other lethal device in or against a place of public use, a State or other government facility, a public transportation system, or an infrastructure facility.

    ``(x) A violation of chapter 96 of title 18, popularly known as the Racketeer Influenced and Corrupt Organizations Act, or a comparable State law, if one of the predicate acts found by a jury or admitted by the defendant consists of one of the crimes listed in this subparagraph.

    ``(xi) Attempt to commit any of the crimes listed in clauses (i) through (iv).

    ``(xii) Conspiracy or attempt to commit any of the crimes described in clauses (v) through (x).

    ``(B) INTERIM DISQUALIFYING CRIMINAL OFFENSES.--Except as provided under paragraph (2), an individual is disqualified from being issued a biometric transportation security card under subsection (b) if the individual has been convicted, or found not guilty by reason of insanity, during the 7-year period ending on the date on which the individual applies for such card, or was released from incarceration during the 5-year period ending on the date on which the individual applies for such card, of any of the following felonies:

    ``(i) Unlawful possession, use, sale, manufacture, purchase, distribution, receipt, transfer, shipment, transportation, delivery, import, export, or storage of, or dealing in, a firearm or other weapon. In this clause, a firearm or other weapon includes--

    ``(I) firearms (as defined in section 921(a)(3) of title 18 or section 5845(a) of the Internal Revenue Code of 1986); and

    ``(II) items contained on the U.S. Munitions Import List under section 447.21 of title 27, Code of Federal Regulations.

    ``(ii) Extortion.

    ``(iii) Dishonesty, fraud, or misrepresentation, including identity fraud and money laundering if the money laundering is related to a crime described in this subparagraph or subparagraph (A). In this clause, welfare fraud and passing bad checks do not constitute dishonesty, fraud, or misrepresentation.

    ``(iv) Bribery.

    ``(v) Smuggling.

    ``(vi) Immigration violations.

    ``(vii) Distribution of, possession with intent to distribute, or importation of a controlled substance.

    ``(viii) Arson.

    ``(ix) Kidnaping or hostage taking.

    ``(x) Rape or aggravated sexual abuse.

    ``(xi) Assault with intent to kill.

    ``(xii) Robbery.

    ``(xiii) Conspiracy or attempt to commit any of the crimes listed in this subparagraph.

    ``(xiv) Fraudulent entry into a seaport in violation of section 1036 of title 18, or a comparable State law.

    ``(xv) A violation of the chapter 96 of title 18, popularly known as the Racketeer Influenced and Corrupt Organizations Act or a comparable State law, other than any of the violations listed in subparagraph (A)(x).

    ``(C) UNDER WANT, WARRANT, OR INDICTMENT.--An applicant who is wanted, or under indictment, in any civilian or military jurisdiction for a felony listed in paragraph (1)(A), is disqualified from being issued a biometric transportation security card under subsection (b) until the want or warrant is released or the indictment is dismissed.

    ``(D) OTHER POTENTIAL DISQUALIFICATIONS.--Except as provided under subparagraphs (A) through (C), an individual may not be denied a transportation security card under subsection (b) unless the Secretary determines that individual--

    ``(i) has been convicted within the preceding 7-year period of a felony or found not guilty by reason of insanity of a felony--

    ``(I) that the Secretary believes could cause the individual to be a terrorism security risk to the United States; or

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    ``(II) for causing a severe transportation security incident;

    ``(ii) has been released from incarceration within the preceding 5-year period for committing a felony described in clause (i);

    ``(iii) may be denied admission to the United States or removed from the United States under the Immigration and Nationality Act (8 U.S.C. 1101 et seq.); or

    ``(iv) otherwise poses a terrorism security risk to the United States.

    ``(E) MODIFICATION OF LISTED OFFENSES.--The Secretary may, by rulemaking, add to or modify the list of disqualifying crimes described in paragraph (1)(B).''.

   SEC. 1310. ROLES OF THE DEPARTMENT OF HOMELAND SECURITY AND THE DEPARTMENT OF TRANSPORTATION.

    The Secretary of Homeland Security is the principal Federal official responsible for transportation security. The roles and responsibilities of the Department of Homeland Security and the Department of Transportation in carrying out this title and titles XII, XIV, and XV are the roles and responsibilities of such Departments pursuant to the Aviation and Transportation Security Act (Public Law 107-71); the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458); the National Infrastructure Protection Plan required by Homeland Security Presidential Directive 7; The Homeland Security Act of 2002; The National Response Plan; Executive Order 13416: Strengthening Surface Transportation Security, dated December 5, 2006; the Memorandum of Understanding between the Department and the Department of Transportation on Roles and Responsibilities, dated September 28, 2004 and any and all subsequent annexes to this Memorandum of Understanding; and any other relevant agreements between the two Departments.

   

TITLE XIV--PUBLIC TRANSPORTATION SECURITY

   SEC. 1401. SHORT TITLE.

    This title may be cited as the ``National Transit Systems Security Act of 2007''.

   SEC. 1402. DEFINITIONS.

    For purposes of this title, the following terms apply:

    (1) APPROPRIATE CONGRESSIONAL COMMITTEES.--The term ``appropriate congressional committees'' means the Committee on Banking, Housing, and Urban Affairs, and the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security and the Committee on Transportation and Infrastructure of the House of Representatives.

    (2) DEPARTMENT.--The term ``Department'' means the Department of Homeland Security.

    (3) DISADVANTAGED BUSINESSES CONCERNS.--The term ``disadvantaged business concerns'' means small businesses that are owned and controlled by socially and economically disadvantaged individuals as defined in section 124, title 13, Code of Federal Regulations.

    (4) FRONTLINE EMPLOYEE.--The term ``frontline employee'' means an employee of a public transportation agency who is a transit vehicle driver or operator, dispatcher, maintenance and maintenance support employee, station attendant, customer service employee, security employee, or transit police, or any other employee who has direct contact with riders on a regular basis, and any other employee of a public transportation agency that the Secretary determines should receive security training under section 1408.

    (5) PUBLIC TRANSPORTATION AGENCY.--The term ``public transportation agency'' means a publicly owned operator of public transportation eligible to receive Federal assistance under chapter 53 of title 49, United States Code.

    (6) SECRETARY.--The term ``Secretary'' means the Secretary of Homeland Security.

   SEC. 1403. FINDINGS.

    Congress finds that--

    (1) 182 public transportation systems throughout the world have been primary targets of terrorist attacks;

    (2) more than 6,000 public transportation agencies operate in the United States;

    (3) people use public transportation vehicles 33,000,000 times each day;

    (4) the Federal Transit Administration has invested $93,800,000,000 since 1992 for construction and improvements;

    (5) the Federal investment in transit security has been insufficient; and

    (6) greater Federal investment in transit security improvements per passenger boarding is necessary to better protect the American people, given transit's vital importance in creating mobility and promoting our Nation's economy.

   SEC. 1404. NATIONAL STRATEGY FOR PUBLIC TRANSPORTATION SECURITY.

    (a) National Strategy.--Not later than 9 months after the date of enactment of this Act and based upon the previous and ongoing security assessments conducted by the Department and the Department of Transportation, the Secretary, consistent with and as required by section 114(t) of title 49, United States Code, shall develop and implement the modal plan for public transportation, entitled the ``National Strategy for Public Transportation Security''.

    (b) Purpose.--

    (1) GUIDELINES.--In developing the National Strategy for Public Transportation Security, the Secretary shall establish guidelines for public transportation security that--

    (A) minimize security threats to public transportation systems; and

    (B) maximize the abilities of public transportation systems to mitigate damage resulting from terrorist attack or other major incident.

    (2) ASSESSMENTS AND CONSULTATIONS.--In developing the National Strategy for Public Transportation Security, the Secretary shall--

    (A) use established and ongoing public transportation security assessments as the basis of the National Strategy for Public Transportation Security; and

    (B) consult with all relevant stakeholders, including public transportation agencies, nonprofit labor organizations representing public transportation employees, emergency responders, public safety officials, and other relevant parties.

    (c) Contents.--In the National Strategy for Public Transportation Security, the Secretary shall describe prioritized goals, objectives, policies, actions, and schedules to improve the security of public transportation.

    (d) Responsibilities.--The Secretary shall include in the National Strategy for Public Transportation Security a description of the roles, responsibilities, and authorities of Federal, State, and local agencies, tribal governments, and appropriate stakeholders. The plan shall also include--

    (1) the identification of, and a plan to address, gaps and unnecessary overlaps in the roles, responsibilities, and authorities of Federal agencies; and

    (2) a process for coordinating existing or future security strategies and plans for public transportation, including the National Infrastructure Protection Plan required by Homeland Security Presidential Directive 7; Executive Order 13416: Strengthening Surface Transportation Security dated December 5, 2006; the Memorandum of Understanding between the Department and the Department of Transportation on Roles and Responsibilities dated September 28, 2004; and subsequent annexes and agreements.

    (e) Adequacy of Existing Plans and Strategies.--In developing the National Strategy for Public Transportation Security, the Secretary shall use relevant existing risk assessments and strategies developed by the Department or other Federal agencies, including those developed or implemented pursuant to section 114(t) of title 49, United States Code, or Homeland Security Presidential Directive 7.

    (f) Funding.--There is authorized to be appropriated to the Secretary to carry out this section $2,000,000 for fiscal year 2008.

   SEC. 1405. SECURITY ASSESSMENTS AND PLANS.

    (a) Public Transportation Security Assessments.--

    (1) SUBMISSION.--Not later than 30 days after the date of enactment of this Act, the Administrator of the Federal Transit Administration of the Department of Transportation shall submit all public transportation security assessments and all other relevant information to the Secretary.

    (2) SECRETARIAL REVIEW.--Not later than 60 days after receiving the submission under paragraph (1), the Secretary shall review and augment the security assessments received, and conduct additional security assessments as necessary to ensure that at a minimum, all high risk public transportation agencies, as determined by the Secretary, will have a completed security assessment.

    (3) CONTENT.--The Secretary shall ensure that each completed security assessment includes--

    (A) identification of critical assets, infrastructure, and systems and their vulnerabilities; and

    (B) identification of any other security weaknesses, including weaknesses in emergency response planning and employee training.

    (b) Bus and Rural Public Transportation Systems.--Not later than 180 days after the date of enactment of this Act, the Secretary shall--

    (1) conduct security assessments, based on a representative sample, to determine the specific needs of--

    (A) local bus-only public transportation systems; and

    (B) public transportation systems that receive funds under section 5311 of title 49, United States Code; and

    (2) make the representative assessments available for use by similarly situated systems.

    (c) Security Plans.--

    (1) REQUIREMENT FOR PLAN.--

    (A) HIGH RISK AGENCIES.--The Secretary shall require public transportation agencies determined by the Secretary to be at high risk for terrorism to develop a comprehensive security plan. The Secretary shall provide technical assistance and guidance to public transportation agencies in preparing and implementing security plans under this section.

    (B) OTHER AGENCIES.--Provided that no public transportation agency that has not been designated high risk shall be required to develop a security plan, the Secretary may also establish a security program for public transportation agencies not designated high risk by the Secretary, to assist those public transportation agencies which request assistance, including--

    (i) guidance to assist such agencies in conducting security assessments and preparing and implementing security plans; and

    (ii) a process for the Secretary to review and approve such assessments and plans, as appropriate.

    (2) CONTENTS OF PLAN.--The Secretary shall ensure that security plans include, as appropriate--

    (A) a prioritized list of all items included in the public transportation agency's security assessment that have not yet been addressed;

    (B) a detailed list of any additional capital and operational improvements identified by the Department or the public transportation agency and a certification of the public transportation agency's technical capacity for operating and maintaining any security equipment that may be identified in such list;

    (C) specific procedures to be implemented or used by the public transportation agency in response to a terrorist attack, including evacuation and passenger communication plans and appropriate evacuation and communication measures for the elderly and individuals with disabilities;

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    (D) a coordinated response plan that establishes procedures for appropriate interaction with State and local law enforcement agencies, emergency responders, and Federal officials in order to coordinate security measures and plans for response in the event of a terrorist attack or other major incident;

    (E) a strategy and timeline for conducting training under section 1408;

    (F) plans for providing redundant and other appropriate backup systems necessary to ensure the continued operation of critical elements of the public transportation system in the event of a terrorist attack or other major incident;

    (G) plans for providing service capabilities throughout the system in the event of a terrorist attack or other major incident in the city or region which the public transportation system serves;

    (H) methods to mitigate damage within a public transportation system in case of an attack on the system, including a plan for communication and coordination with emergency responders; and

    (I) other actions or procedures as the Secretary determines are appropriate to address the security of the public transportation system.

    (3) REVIEW.--Not later than 6 months after receiving the plans required under this section, the Secretary shall--

    (A) review each security plan submitted;

    (B) require the public transportation agency to make any amendments needed to ensure that the plan meets the requirements of this section; and

    (C) approve any security plan that meets the requirements of this section.

    (4) EXEMPTION.--The Secretary shall not require a public transportation agency to develop a security plan under paragraph (1) if the agency does not receive a grant under section 1406.

    (5) WAIVER.--The Secretary may waive the exemption provided in paragraph (4) to require a public transportation agency to develop a security plan under paragraph (1) in the absence of grant funds under section 1406 if not less than 3 days after making the determination the Secretary provides the appropriate congressional committees and the public transportation agency written notification detailing the need for the security plan, the reasons grant funding has not been made available, and the reason the agency has been designated high risk.

    (d) Consistency With Other Plans.--The Secretary shall ensure that the security plans developed by public transportation agencies under this section are consistent with the security assessments developed by the Department and the National Strategy for Public Transportation Security developed under section 1404.

    (e) Updates.--Not later than September 30, 2008, and annually thereafter, the Secretary shall--

    (1) update the security assessments referred to in subsection (a);

    (2) update the security improvement priorities required under subsection (f); and

    (3) require public transportation agencies to update the security plans required under subsection (c) as appropriate.

    (f) Security Improvement Priorities.--

    (1) IN GENERAL.--Beginning in fiscal year 2008 and each fiscal year thereafter, the Secretary, after consultation with management and nonprofit employee labor organizations representing public transportation employees as appropriate, and with appropriate State and local officials, shall utilize the information developed or received in this section to establish security improvement priorities unique to each individual public transportation agency that has been assessed.

    (2) ALLOCATIONS.--The Secretary shall use the security improvement priorities established in paragraph (1) as the basis for allocating risk-based grant funds under section 1406, unless the Secretary notifies the appropriate congressional committees that the Secretary has determined an adjustment is necessary to respond to an urgent threat or other significant national security factors.

    (g) Shared Facilities.--The Secretary shall encourage the development and implementation of coordinated assessments and security plans to the extent a public transportation agency shares facilities (such as tunnels, bridges, stations, or platforms) with another public transportation agency, a freight or passenger railroad carrier, or over-the-road bus operator that are geographically close or otherwise co-located.

    (h) Nondisclosure of Information.--

    (1) SUBMISSION OF INFORMATION TO CONGRESS.--Nothing in this section shall be construed as authorizing the withholding of any information from Congress.

    (2) DISCLOSURE OF INDEPENDENTLY FURNISHED INFORMATION.--Nothing in this section shall be construed as affecting any authority or obligation of a Federal agency to disclose any record or information that the Federal agency obtains from a public transportation agency under any other Federal law.

    (i) Determination.--In response to a petition by a public transportation agency or at the discretion of the Secretary, the Secretary may recognize existing procedures, protocols, and standards of a public transportation agency that the Secretary determines meet all or part of the requirements of this section regarding security assessments or security plans.

   SEC. 1406. PUBLIC TRANSPORTATION SECURITY ASSISTANCE.

    (a) Security Assistance Program.--

    (1) IN GENERAL.--The Secretary shall establish a program for making grants to eligible public transportation agencies for security improvements described in subsection (b).

    (2) ELIGIBILITY.--A public transportation agency is eligible for a grant under this section if the Secretary has performed a security assessment or the agency has developed a security plan under section 1405. Grant funds shall only be awarded for permissible uses under subsection (b) to--

    (A) address items included in a security assessment; or

    (B) further a security plan.

    (b) Uses of Funds.--A recipient of a grant under subsection (a) shall use the grant funds for one or more of the following:

    (1) Capital uses of funds, including--

    (A) tunnel protection systems;

    (B) perimeter protection systems, including access control, installation of improved lighting, fencing, and barricades;

    (C) redundant critical operations control systems;

    (D) chemical, biological, radiological, or explosive detection systems, including the acquisition of canines used for such detection;

    (E) surveillance equipment;

    (F) communications equipment, including mobile service equipment to provide access to wireless Enhanced 911 (E911) emergency services in an underground fixed guideway system;

    (G) emergency response equipment, including personal protective equipment;

    (H) fire suppression and decontamination equipment;

    (I) global positioning or tracking and recovery equipment, and other automated-vehicle-locator-type system equipment;

    (J) evacuation improvements;

    (K) purchase and placement of bomb-resistant trash cans throughout public transportation facilities, including subway exits, entrances, and tunnels;

    (L) capital costs associated with security awareness, security preparedness, and security response training, including training under section 1408 and exercises under section 1407;

    (M) security improvements for public transportation systems, including extensions thereto, in final design or under construction;

    (N) security improvements for stations and other public transportation infrastructure, including stations and other public transportation infrastructure owned by State or local governments; and

    (O) other capital security improvements determined appropriate by the Secretary.

    (2) Operating uses of funds, including--

    (A) security training, including training under section 1408 and training developed by institutions of higher education and by nonprofit employee labor organizations, for public transportation employees, including frontline employees;

    (B) live or simulated exercises under section 1407;

    (C) public awareness campaigns for enhanced public transportation security;

    (D) canine patrols for chemical, radiological, biological, or explosives detection;

    (E) development of security plans under section 1405;

    (F) overtime reimbursement including reimbursement of State, local, and tribal governments, for costs for enhanced security personnel during significant national and international public events;

    (G) operational costs, including reimbursement of State, local, and tribal governments for costs for personnel assigned to full-time or part-time security or counterterrorism duties related to public transportation, provided that this expense totals no more than 10 percent of the total grant funds received by a public transportation agency in any 1 year; and

    (H) other operational security costs determined appropriate by the Secretary, excluding routine, ongoing personnel costs, other than those set forth in this section.

    (c) Department of Homeland Security Responsibilities.--In carrying out the responsibilities under subsection (a), the Secretary shall--

    (1) determine the requirements for recipients of grants under this section, including application requirements;

    (2) pursuant to subsection (a)(2), select the recipients of grants based solely on risk; and

    (3) pursuant to subsection (b), establish the priorities for which grant funds may be used under this section.

    (d) Distribution of Grants.--Not later than 90 days after the date of enactment of this Act, the Secretary and the Secretary of Transportation shall determine the most effective and efficient way to distribute grant funds to the recipients of grants determined by the Secretary under subsection (a). Subject to the determination made by the Secretaries, the Secretary may transfer funds to the Secretary of Transportation for the purposes of disbursing funds to the grant recipient.

    (e) Subject to Certain Terms and Conditions.--Except as otherwise specifically provided in this section, a grant provided under this section shall be subject to the terms and conditions applicable to a grant made under section 5307 of title 49, United States Code, as in effect on January 1, 2007, and such other terms and conditions as are determined necessary by the Secretary.

    (f) Limitation on Uses of Funds.--Grants made under this section may not be used to make any State or local government cost-sharing contribution under any other Federal law.

    (g) Annual Reports.--Each recipient of a grant under this section shall report annually to the Secretary on the use of the grant funds.

    (h) Guidelines.--Before distribution of funds to recipients of grants, the Secretary shall issue guidelines to ensure that, to the extent that recipients of grants under this section use contractors or subcontractors, such recipients shall use small, minority, women-owned, or disadvantaged business concerns as contractors or subcontractors to the extent practicable.

    (i) Coordination With State Homeland Security Plans.--In establishing security improvement priorities under section 1405 and in awarding grants for capital security improvements and operational security improvements

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under subsection (b), the Secretary shall act consistently with relevant State homeland security plans.

    (j) Multistate Transportation Systems.--In cases in which a public transportation system operates in more than one State, the Secretary shall give appropriate consideration to the risks of the entire system, including those portions of the States into which the system crosses, in establishing security improvement priorities under section 1405 and in awarding grants for capital security improvements and operational security improvements under subsection (b).

    (k) Congressional Notification.--Not later than 3 days before the award of any grant under this section, the Secretary shall notify simultaneously, the appropriate congressional committees of the intent to award such grant.

    (l) Return of Misspent Grant Funds.--The Secretary shall establish a process to require the return of any misspent grant funds received under this section determined to have been spent for a purpose other than those specified in the grant award.

    (m) Authorization of Appropriations.--

    (1) There are authorized to be appropriated to the Secretary to make grants under this section--

    (A) such sums as are necessary for fiscal year 2007;

    (B) $650,000,000 for fiscal year 2008, except that not more than 50 percent of such funds may be used for operational costs under subsection (b)(2);

    (C) $750,000,000 for fiscal year 2009, except that not more than 30 percent of such funds may be used for operational costs under subsection (b)(2);

    (D) $900,000,000 for fiscal year 2010, except that not more than 20 percent of such funds may be used for operational costs under subsection (b)(2); and

    (E) $1,100,000,000 for fiscal year 2011, except that not more than 10 percent of such funds may be used for operational costs under subsection (b)(2).

    (2) PERIOD OF AVAILABILITY.--Sums appropriated to carry out this section shall remain available until expended.

    (3) WAIVER.--The Secretary may waive the limitation on operational costs specified in subparagraphs (B) through (E) of paragraph (1) if the Secretary determines that such a waiver is required in the interest of national security, and if the Secretary provides a written justification to the appropriate congressional committees prior to any such action.

    (4) EFFECTIVE DATE.--Funds provided for fiscal year 2007 transit security grants under Public Law 110-28 shall be allocated based on security assessments that are in existence as of the date of enactment of this Act.

   SEC. 1407. SECURITY EXERCISES.

    (a) In General.--The Secretary shall establish a program for conducting security exercises for public transportation agencies for the purpose of assessing and improving the capabilities of entities described in subsection (b) to prevent, prepare for, mitigate against, respond to, and recover from acts of terrorism.

    (b) Covered Entities.--Entities to be assessed under the program shall include--

    (1) Federal, State, and local agencies and tribal governments;

    (2) public transportation agencies;

    (3) governmental and nongovernmental emergency response providers and law enforcement personnel, including transit police; and

    (4) any other organization or entity that the Secretary determines appropriate.

    (c) Requirements.--The Secretary shall ensure that the program--

    (1) requires, for public transportation agencies which the Secretary deems appropriate, exercises to be conducted that are--

    (A) scaled and tailored to the needs of specific public transportation systems, and include taking into account the needs of the elderly and individuals with disabilities;

    (B) live;

    (C) coordinated with appropriate officials;

    (D) as realistic as practicable and based on current risk assessments, including credible threats, vulnerabilities, and consequences;

    (E) inclusive, as appropriate, of frontline employees and managers; and

    (F) consistent with the National Incident Management System, the National Response Plan, the National Infrastructure Protection Plan, the National Preparedness Guidance, the National Preparedness Goal, and other such national initiatives;

    (2) provides that exercises described in paragraph (1) will be--

    (A) evaluated by the Secretary against clear and consistent performance measures;

    (B) assessed by the Secretary to learn best practices, which shall be shared with appropriate Federal, State, local, and tribal officials, governmental and nongovernmental emergency response providers, law enforcement personnel, including railroad and transit police, and appropriate stakeholders; and

    (C) followed by remedial action by covered entities in response to lessons learned;

    (3) involves individuals in neighborhoods around the infrastructure of a public transportation system; and

    (4) assists State, local, and tribal governments and public transportation agencies in designing, implementing, and evaluating exercises that conform to the requirements of paragraph (2).

    (d) National Exercise Program.--The Secretary shall ensure that the exercise program developed under subsection (a) is a component of the National Exercise Program established under section 648 of the Post Katrina Emergency Management Reform Act (Public Law 109-295; 6 U.S.C. 748).

    (e) Ferry System Exemption.--This section does not apply to any ferry system for which drills are required to be conducted pursuant to section 70103 of title 46, United States Code.

   SEC. 1408. PUBLIC TRANSPORTATION SECURITY TRAINING PROGRAM.

    (a) In General.--Not later than 90 days after the date of enactment of this Act, the Secretary shall develop and issue detailed interim final regulations, and not later than 1 year after the date of enactment of this Act, the Secretary shall develop and issue detailed final regulations, for a public transportation security training program to prepare public transportation employees, including frontline employees, for potential security threats and conditions.

    (b) Consultation.--The Secretary shall develop the interim final and final regulations under subsection (a) in consultation with--

    (1) appropriate law enforcement, fire service, security, and terrorism experts;

    (2) representatives of public transportation agencies; and

    (3) nonprofit employee labor organizations representing public transportation employees or emergency response personnel.

    (c) Program Elements.--The interim final and final regulations developed under subsection (a) shall require security training programs to include, at a minimum, elements to address the following:

    (1) Determination of the seriousness of any occurrence or threat.

    (2) Crew and passenger communication and coordination.

    (3) Appropriate responses to defend oneself, including using nonlethal defense devices.

    (4) Use of personal protective devices and other protective equipment.

    (5) Evacuation procedures for passengers and employees, including individuals with disabilities and the elderly.

    (6) Training related to behavioral and psychological understanding of, and responses to, terrorist incidents, including the ability to cope with hijacker behavior, and passenger responses.

    (7) Live situational training exercises regarding various threat conditions, including tunnel evacuation procedures.

    (8) Recognition and reporting of dangerous substances and suspicious packages, persons, and situations.

    (9) Understanding security incident procedures, including procedures for communicating with governmental and nongovernmental emergency response providers and for on scene interaction with such emergency response providers.

    (10) Operation and maintenance of security equipment and systems.

    (11) Other security training activities that the Secretary deems appropriate.

    (d) Required Programs.--

    (1) DEVELOPMENT AND SUBMISSION TO SECRETARY.--Not later than 90 days after a public transportation agency meets the requirements under subsection (e), each such public transportation agency shall develop a security training program in accordance with the regulations developed under subsection (a) and submit the program to the Secretary for approval.

    (2) APPROVAL.--Not later than 60 days after receiving a security training program proposal under this subsection, the Secretary shall approve the program or require the public transportation agency that developed the program to make any revisions to the program that the Secretary determines necessary for the program to meet the requirements of the regulations. A public transportation agency shall respond to the Secretary's comments within 30 days after receiving them.

    (3) TRAINING.--Not later than 1 year after the Secretary approves a security training program proposal in accordance with this subsection, the public transportation agency that developed the program shall complete the training of all employees covered under the program.

    (4) UPDATES OF REGULATIONS AND PROGRAM REVISIONS.--The Secretary shall periodically review and update, as appropriate, the training regulations issued under subsection (a) to reflect new or changing security threats. Each public transportation agency shall revise its training program accordingly and provide additional training as necessary to its workers within a reasonable time after the regulations are updated.

    (e) Applicability.--A public transportation agency that receives a grant award under this title shall be required to develop and implement a security training program pursuant to this section.

    (f) Long-Term Training Requirement.--Any public transportation agency required to develop a security training program pursuant to this section shall provide routine and ongoing training for employees covered under the program, regardless of whether the public transportation agency receives subsequent grant awards.

    (g) National Training Program.--The Secretary shall ensure that the training program developed under subsection (a) is a component of the National Training Program established under section 648 of the Post Katrina Emergency Management Reform Act (Public Law 109-295; 6 U.S.C. 748).

    (h) Ferry Exemption.--This section shall not apply to any ferry system for which training is required to be conducted pursuant to section 70103 of title 46, United States Code.

    (i) Report.--Not later than 2 years after the date of issuance of the final regulation, the Comptroller General shall review implementation of the training program, including interviewing a representative sample of public transportation agencies and employees, and report to the appropriate congressional committees, on the number of reviews conducted and the results. The Comptroller General may submit the report in both classified and redacted formats as necessary.

   SEC. 1409. PUBLIC TRANSPORTATION RESEARCH AND DEVELOPMENT.

    (a) Establishment of Research and Development Program.--The Secretary shall carry

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out a research and development program through the Homeland Security Advanced Research Projects Agency in the Science and Technology Directorate and in consultation with the Transportation Security Administration and with the Federal Transit Administration, for the purpose of improving the security of public transportation systems.

    (b) Grants and Contracts Authorized.--The Secretary shall award grants or contracts to public or private entities to conduct research and demonstrate technologies and methods to reduce and deter terrorist threats or mitigate damages resulting from terrorist attacks against public transportation systems.

    (c) Use of Funds.--Grants or contracts awarded under subsection (a)--

    (1) shall be coordinated with activities of the Homeland Security Advanced Research Projects Agency; and

    (2) may be used to--

    (A) research chemical, biological, radiological, or explosive detection systems that do not significantly impede passenger access;

    (B) research imaging technologies;

    (C) conduct product evaluations and testing;

    (D) improve security and redundancy for critical communications, electrical power, and computer and train control systems;

    (E) develop technologies for securing tunnels, transit bridges and aerial structures;

    (F) research technologies that mitigate damages in the event of a cyber attack; and

    (G) research other technologies or methods for reducing or deterring terrorist attacks against public transportation systems, or mitigating damage from such attacks.

    (d) Privacy and Civil Rights and Civil Liberties Issues.--

    (1) CONSULTATION.--In carrying out research and development projects under this section, the Secretary shall consult with the Chief Privacy Officer of the Department and the Officer for Civil Rights and Civil Liberties of the Department, as appropriate, and in accordance with section 222 of the Homeland Security Act of 2002 (6 U.S.C. 142).

    (2) PRIVACY IMPACT ASSESSMENTS.--In accordance with sections 222 and 705 of the Homeland Security Act of 2002 (6 U.S.C. 142; 345), the Chief Privacy Officer shall conduct privacy impact assessments and the Officer for Civil Rights and Civil Liberties shall conduct reviews, as appropriate, for research and development initiatives developed under this section.

    (e) Reporting Requirement.--Each entity that is awarded a grant or contract under this section shall report annually to the Department on the use of grant or contract funds received under this section to ensure that the awards made are expended in accordance with the purposes of this title and the priorities developed by the Secretary.

    (f) Coordination.--The Secretary shall ensure that the research is consistent with the priorities established in the National Strategy for Public Transportation Security and is coordinated, to the extent practicable, with other Federal, State, local, tribal, and private sector public transportation, railroad, commuter railroad, and over-the-road bus research initiatives to leverage resources and avoid unnecessary duplicative efforts.

    (g) Return of Misspent Grant or Contract Funds.--If the Secretary determines that a grantee or contractor used any portion of the grant or contract funds received under this section for a purpose other than the allowable uses specified under subsection (c), the grantee or contractor shall return any amount so used to the Treasury of the United States.

    (h) Authorization of Appropriations.--There are authorized to be appropriated to the Secretary to make grants under this section--

    (1) such sums as necessary for fiscal year 2007;

    (2) $25,000,000 for fiscal year 2008;

    (3) $25,000,000 for fiscal year 2009;

    (4) $25,000,000 for fiscal year 2010; and

    (5) $25,000,000 for fiscal year 2011.

   SEC. 1410. INFORMATION SHARING.

    (a) Intelligence Sharing.--The Secretary shall ensure that the Department of Transportation receives appropriate and timely notification of all credible terrorist threats against public transportation assets in the United States.

    (b) Information Sharing Analysis Center.--

    (1) AUTHORIZATION.--The Secretary shall provide for the reasonable costs of the Information Sharing and Analysis Center for Public Transportation (referred to in this subsection as the ``ISAC'').

    (2) PARTICIPATION.--The Secretary--

    (A) shall require public transportation agencies that the Secretary determines to be at high risk of terrorist attack to participate in the ISAC;

    (B) shall encourage all other public transportation agencies to participate in the ISAC;

    (C) shall encourage the participation of nonprofit employee labor organizations representing public transportation employees, as appropriate; and

    (D) shall not charge a fee for participating in the ISAC.

    (c) Report.--The Comptroller General shall report, not less than 3 years after the date of enactment of this Act, to the appropriate congressional committees, as to the value and efficacy of the ISAC along with any other public transportation information-sharing programs ongoing at the Department. The report shall include an analysis of the user satisfaction of public transportation agencies on the state of information-sharing and the value that each system provides the user, the costs and benefits of all centers and programs, the coordination among centers and programs, how each center or program contributes to implementing the information sharing plan under section 1203, and analysis of the extent to which the ISAC is duplicative with the Department's information-sharing program.

    (d) Authorization.--

    (1) IN GENERAL.--There are authorized to be appropriated to the Secretary to carry out this section--

    (A) $600,000 for fiscal year 2008;

    (B) $600,000 for fiscal year 2009;

    (C) $600,000 for fiscal year 2010; and

    (D) such sums as may be necessary for 2011, provided the report required in subsection (c) of this section has been submitted to Congress.

    (2) AVAILABILITY OF FUNDS.--Such sums shall remain available until expended.

   SEC. 1411. THREAT ASSESSMENTS.

    Not later than 1 year after the date of enactment of this Act, the Secretary shall complete a name-based security background check against the consolidated terrorist watchlist and an immigration status check for all public transportation frontline employees, similar to the threat assessment screening program required for facility employees and longshoremen by the Commandant of the Coast Guard under Coast Guard Notice USCG-2006-24189 (71 Fed. Reg. 25066 (April 8, 2006)).

   SEC. 1412. REPORTING REQUIREMENTS.

    (a) Annual Report to Congress.--

    (1) IN GENERAL.--Not later than March 31st of each year, the Secretary shall submit a report, containing the information described in paragraph (2), to the appropriate congressional committees.

    (2) CONTENTS.--The report submitted under paragraph (1) shall include--

    (A) a description of the implementation of the provisions of this title;

    (B) the amount of funds appropriated to carry out the provisions of this title that have not been expended or obligated;

    (C) the National Strategy for Public Transportation Security required under section 1404;

    (D) an estimate of the cost to implement the National Strategy for Public Transportation Security which shall break out the aggregated total cost of needed capital and operational security improvements for fiscal years 2008-2018; and

    (E) the state of public transportation security in the United States, which shall include detailing the status of security assessments, the progress being made around the country in developing prioritized lists of security improvements necessary to make public transportation facilities and passengers more secure, the progress being made by agencies in developing security plans and how those plans differ from the security assessments and a prioritized list of security improvements being compiled by other agencies, as well as a random sample of an equal number of large- and small-scale projects currently underway.

    (3) FORMAT.--The Secretary may submit the report in both classified and redacted formats if the Secretary determines that such action is appropriate or necessary.

    (b) Annual Report to Governors.--

    (1) IN GENERAL.--Not later than March 31 of each year, the Secretary shall submit a report to the Governor of each State with a public transportation agency that has received a grant under this Act.

    (2) CONTENTS.--The report submitted under paragraph (1) shall specify--

    (A) the amount of grant funds distributed to each such public transportation agency; and

    (B) the use of such grant funds.

   SEC. 1413. PUBLIC TRANSPORTATION EMPLOYEE PROTECTIONS.

    (a) In General.--A public transportation agency, a contractor or a subcontractor of such agency, or an officer or employee of such agency, shall not discharge, demote, suspend, reprimand, or in any other way discriminate against an employee if such discrimination is due, in whole or in part, to the employee's lawful, good faith act done, or perceived by the employer to have been done or about to be done--

    (1) to provide information, directly cause information to be provided, or otherwise directly assist in any investigation regarding any conduct which the employee reasonably believes constitutes a violation of any Federal law, rule, or regulation relating to public transportation safety or security, or fraud, waste, or abuse of Federal grants or other public funds intended to be used for public transportation safety or security, if the information or assistance is provided to or an investigation stemming from the provided information is conducted by--

    (A) a Federal, State, or local regulatory or law enforcement agency (including an office of the Inspector General under the Inspector General Act of 1978 (5 U.S.C. App.; Public Law 95-452);

    (B) any Member of Congress, any Committee of Congress, or the Government Accountability Office; or

    (C) a person with supervisory authority over the employee or such other person who has the authority to investigate, discover, or terminate the misconduct;

    (2) to refuse to violate or assist in the violation of any Federal law, rule, or regulation relating to public transportation safety or security;

    (3) to file a complaint or directly cause to be brought a proceeding related to the enforcement of this section or to testify in that proceeding;

    (4) to cooperate with a safety or security investigation by the Secretary of Transportation, the Secretary of Homeland Security, or the National Transportation Safety Board; or

    (5) to furnish information to the Secretary of Transportation, the Secretary of Homeland Security, the National Transportation Safety Board, or any Federal, State, or local regulatory or law enforcement agency as to the facts relating to any accident or incident resulting in injury or death to an individual or damage to property occurring in connection with public transportation.

    (b) Hazardous Safety or Security Conditions.--(1) A public transportation agency, or a

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contractor or a subcontractor of such agency, or an officer or employee of such agency, shall not discharge, demote, suspend, reprimand, or in any other way discriminate against an employee for--

    (A) reporting a hazardous safety or security condition;

    (B) refusing to work when confronted by a hazardous safety or security condition related to the performance of the employee's duties, if the conditions described in paragraph (2) exist; or

    (C) refusing to authorize the use of any safety- or security-related equipment, track, or structures, if the employee is responsible for the inspection or repair of the equipment, track, or structures, when the employee believes that the equipment, track, or structures are in a hazardous safety or security condition, if the conditions described in paragraph (2) of this subsection exist.

    (2) A refusal is protected under paragraph (1)(B) and (C) if--

    (A) the refusal is made in good faith and no reasonable alternative to the refusal is available to the employee;

    (B) a reasonable individual in the circumstances then confronting the employee would conclude that--

    (i) the hazardous condition presents an imminent danger of death or serious injury; and

    (ii) the urgency of the situation does not allow sufficient time to eliminate the danger without such refusal; and

    (C) the employee, where possible, has notified the public transportation agency of the existence of the hazardous condition and the intention not to perform further work, or not to authorize the use of the hazardous equipment, track, or structures, unless the condition is corrected immediately or the equipment, track, or structures are repaired properly or replaced.

    (3) In this subsection, only subsection (b)(1)(A) shall apply to security personnel, including transit police, employed or utilized by a public transportation agency to protect riders, equipment, assets, or facilities.

    (c) Enforcement Action.--

    (1) FILING AND NOTIFICATION.--A person who believes that he or she has been discharged or otherwise discriminated against by any person in violation of subsection (a) or (b) may, not later than 180 days after the date on which such violation occurs, file (or have any person file on his or her behalf) a complaint with the Secretary of Labor alleging such discharge or discrimination. Upon receipt of a complaint filed under this paragraph, the Secretary of Labor shall notify, in writing, the person named in the complaint and the person's employer of the filing of the complaint, of the allegations contained in the complaint, of the substance of evidence supporting the complaint, and of the opportunities that will be afforded to such person under paragraph (2).

    (2) INVESTIGATION; PRELIMINARY ORDER.--

    (A) IN GENERAL.--Not later than 60 days after the date of receipt of a complaint filed under paragraph (1) and after affording the person named in the complaint an opportunity to submit to the Secretary of Labor a written response to the complaint and an opportunity to meet with a representative of the Secretary of Labor to present statements from witnesses, the Secretary of Labor shall conduct an investigation and determine whether there is reasonable cause to believe that the complaint has merit and notify, in writing, the complainant and the person alleged to have committed a violation of subsection (a) or (b) of the Secretary of Labor's findings. If the Secretary of Labor concludes that there is a reasonable cause to believe that a violation of subsection (a) or (b) has occurred, the Secretary of Labor shall accompany the Secretary of Labor's findings with a preliminary order providing the relief prescribed by paragraph (3)(B). Not later than 30 days after the date of notification of findings under this paragraph, either the person alleged to have committed the violation or the complainant may file objections to the findings or preliminary order, or both, and request a hearing on the record. The filing of such objections shall not operate to stay any reinstatement remedy contained in the preliminary order. Such hearings shall be conducted expeditiously. If a hearing is not requested in such 30-day period, the preliminary order shall be deemed a final order that is not subject to judicial review.

    (B) REQUIREMENTS.--

    (i) REQUIRED SHOWING BY COMPLAINANT.--The Secretary of Labor shall dismiss a complaint filed under this subsection and shall not conduct an investigation otherwise required under subparagraph (A) unless the complainant makes a prima facie showing that any behavior described in subsection (a) or (b) was a contributing factor in the unfavorable personnel action alleged in the complaint.

    (ii) SHOWING BY EMPLOYER.--Notwithstanding a finding by the Secretary of Labor that the complainant has made the showing required under clause (i), no investigation otherwise required under paragraph (A) shall be conducted if the employer demonstrates, by clear and convincing evidence, that the employer would have taken the same unfavorable personnel action in the absence of that behavior.

    (iii) CRITERIA FOR DETERMINATION BY SECRETARY OF LABOR.--The Secretary of Labor may determine that a violation of subsection (a) or (b) has occurred only if the complainant demonstrates that any behavior described in subsection (a) or (b) was a contributing factor in the unfavorable personnel action alleged in the complaint.

    (iv) PROHIBITION.--Relief may not be ordered under paragraph (A) if the employer demonstrates by clear and convincing evidence that the employer would have taken the same unfavorable personnel action in the absence of that behavior.

    (3) FINAL ORDER.--

    (A) DEADLINE FOR ISSUANCE; SETTLEMENT AGREEMENTS.--Not later than 120 days after the date of conclusion of a hearing under paragraph (2), the Secretary of Labor shall issue a final order providing the relief prescribed by this paragraph or denying the complaint. At any time before issuance of a final order, a proceeding under this subsection may be terminated on the basis of a settlement agreement entered into by the Secretary of Labor, the complainant, and the person alleged to have committed the violation.

    (B) REMEDY.--If, in response to a complaint filed under paragraph (1), the Secretary of Labor determines that a violation of subsection (a) or (b) has occurred, the Secretary of Labor shall order the person who committed such violation to--

    (i) take affirmative action to abate the violation; and

    (ii) provide the remedies described in subsection (d).

    (C) ORDER.--If an order is issued under subparagraph (B), the Secretary of Labor, at the request of the complainant, shall assess against the person against whom the order is issued a sum equal to the aggregate amount of all costs and expenses (including attorney and expert witness fees) reasonably incurred, as determined by the Secretary of Labor, by the complainant for, or in connection with, bringing the complaint upon which the order was issued.

    (D) FRIVOLOUS COMPLAINTS.--If the Secretary of Labor finds that a complaint under paragraph (1) is frivolous or has been brought in bad faith, the Secretary of Labor may award to the prevailing employer reasonable attorney fees not exceeding $1,000.

    (4) REVIEW.--

    (A) APPEAL TO COURT OF APPEALS.--Any person adversely affected or aggrieved by an order issued under paragraph (3) may obtain review of the order in the United States Court of Appeals for the circuit in which the violation, with respect to which the order was issued, allegedly occurred or the circuit in which the complainant resided on the date of such violation. The petition for review must be filed not later than 60 days after the date of the issuance of the final order of the Secretary of Labor. Review shall conform to chapter 7 of title 5, United States Code. The commencement of proceedings under this subparagraph shall not, unless ordered by the court, operate as a stay of the order.

    (B) LIMITATION ON COLLATERAL ATTACK.--An order of the Secretary of Labor with respect to which review could have been obtained under subparagraph (A) shall not be subject to judicial review in any criminal or other civil proceeding.

    (5) ENFORCEMENT OF ORDER BY SECRETARY OF LABOR.--Whenever any person has failed to comply with an order issued under paragraph (3), the Secretary of Labor may file a civil action in the United States district court for the district in which the violation was found to occur to enforce such order. In actions brought under this paragraph, the district courts shall have jurisdiction to grant all appropriate relief including, but not limited to, injunctive relief and compensatory damages.

    (6) ENFORCEMENT OF ORDER BY PARTIES.--

    (A) COMMENCEMENT OF ACTION.--A person on whose behalf an order was issued under paragraph (3) may commence a civil action against the person to whom such order was issued to require compliance with such order. The appropriate United States district court shall have jurisdiction, without regard to the amount in controversy or the citizenship of the parties, to enforce such order.

    (B) ATTORNEY FEES.--The court, in issuing any final order under this paragraph, may award costs of litigation (including reasonable attorney and expert witness fees) to any party whenever the court determines such award is appropriate.

    (7) DE NOVO REVIEW.--With respect to a complaint under paragraph (1), if the Secretary of Labor has not issued a final decision within 210 days after the filing of the complaint and if the delay is not due to the bad faith of the employee, the employee may bring an original action at law or equity for de novo review in the appropriate district court of the United States, which shall have jurisdiction over such an action without regard to the amount in controversy, and which action shall, at the request of either party to such action, be tried by the court with a jury. The action shall be governed by the same legal burdens of proof specified in paragraph (2)(B) for review by the Secretary of Labor.

    (d) Remedies.--

    (1) IN GENERAL.--An employee prevailing in any action under subsection (c) shall be entitled to all relief necessary to make the employee whole.

    (2) DAMAGES.--Relief in an action under subsection (c) (including an action described in (c)(7)) shall include--

    (A) reinstatement with the same seniority status that the employee would have had, but for the discrimination;

    (B) any backpay, with interest; and

    (C) compensatory damages, including compensation for any special damages sustained as a result of the discrimination, including litigation costs, expert witness fees, and reasonable attorney fees.

    (3) POSSIBLE RELIEF.--Relief in any action under subsection (c) may include punitive damages in an amount not to exceed $250,000.

    (e) Election of Remedies.--An employee may not seek protection under both this section and another provision of law for the same allegedly unlawful act of the public transportation agency.

    (f) No Preemption.--Nothing in this section preempts or diminishes any other safeguards against discrimination, demotion, discharge, suspension, threats, harassment, reprimand, retaliation, or any other manner of discrimination provided by Federal or State law.

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    (g) Rights Retained by Employee.--Nothing in this section shall be construed to diminish the rights, privileges, or remedies of any employee under any Federal or State law or under any collective bargaining agreement. The rights and remedies in this section may not be waived by any agreement, policy, form, or condition of employment.

    (h) Disclosure of Identity.--

    (1) Except as provided in paragraph (2) of this subsection, or with the written consent of the employee, the Secretary of Transportation or the Secretary of Homeland Security may not disclose the name of an employee who has provided information described in subsection (a)(1).

    (2) The Secretary of Transportation or the Secretary of Homeland Security shall disclose to the Attorney General the name of an employee described in paragraph (1) of this subsection if the matter is referred to the Attorney General for enforcement. The Secretary making such disclosure shall provide reasonable advance notice to the affected employee if disclosure of that person's identity or identifying information is to occur.

    (i) Process for Reporting Security Problems to the Department of Homeland Security.--

    (1) ESTABLISHMENT OF PROCESS.--The Secretary shall establish through regulations after an opportunity for notice and comment, and provide information to the public regarding, a process by which any person may submit a report to the Secretary regarding public transportation security problems, deficiencies, or vulnerabilities.

    (2) ACKNOWLEDGMENT OF RECEIPT.--If a report submitted under paragraph (1) identifies the person making the report, the Secretary shall respond promptly to such person and acknowledge receipt of the report.

    (3) STEPS TO ADDRESS PROBLEM.--The Secretary shall review and consider the information provided in any report submitted under paragraph (1) and shall take appropriate steps to address any problems or deficiencies identified.

   SEC. 1414. SECURITY BACKGROUND CHECKS OF COVERED INDIVIDUALS FOR PUBLIC TRANSPORTATION.

    (a) Definitions.--In this section, the following definitions apply:

    (1) SECURITY BACKGROUND CHECK.--The term ``security background check'' means reviewing the following for the purpose of identifying individuals who may pose a threat to transportation security, national security, or of terrorism:

    (A) Relevant criminal history databases.

    (B) In the case of an alien (as defined in section 101 of the Immigration and Nationality Act (8 U.S.C. 1101(a)(3))), the relevant databases to determine the status of the alien under the immigration laws of the United States.

    (C) Other relevant information or databases, as determined by the Secretary.

    (2) COVERED INDIVIDUAL.--The term ``covered individual'' means an employee of a public transportation agency or a contractor or subcontractor of a public transportation agency.

    (b) Guidance.--

    (1) Any guidance, recommendations, suggested action items, or any other widely disseminated voluntary action item issued by the Secretary to a public transportation agency or a contractor or subcontractor of a public transportation agency relating to performing a security background check of a covered individual shall contain recommendations on the appropriate scope and application of such a security background check, including the time period covered, the types of disqualifying offenses, and a redress process for adversely impacted covered individuals consistent with subsections (c) and (d) of this section.

    (2) Not later than 60 days after the date of enactment of this Act, any guidance, recommendations, suggested action items, or any other widely disseminated voluntary action item issued by the Secretary prior to the date of enactment of this Act to a public transportation agency or a contractor or subcontractor of a public transportation agency relating to performing a security background check of a covered individual shall be updated in compliance with paragraph (b)(1).

    (3) If a public transportation agency or a contractor or subcontractor of a public transportation agency performs a security background check on a covered individual to fulfill guidance issued by the Secretary under paragraph (1) or (2), the Secretary shall not consider such guidance fulfilled unless an adequate redress process as described in subsection (d) is provided to covered individuals.

    (c) Requirements.--If the Secretary issues a rule, regulation or directive requiring a public transportation agency or contractor or subcontractor of a public transportation agency to perform a security background check of a covered individual, then the Secretary shall prohibit a public transportation agency or contractor or subcontractor of a public transportation agency from making an adverse employment decision, including removal or suspension of the employee, due to such rule, regulation, or directive with respect to a covered individual unless the public transportation agency or contractor or subcontractor of a public transportation agency determines that the covered individual--

    (1) has been convicted of, has been found not guilty of by reason of insanity, or is under want, warrant, or indictment for a permanent disqualifying criminal offense listed in part 1572 of title 49, Code of Federal Regulations;

    (2) was convicted of or found not guilty by reason of insanity of an interim disqualifying criminal offense listed in part 1572 of title 49, Code of Federal Regulations, within 7 years of the date that the public transportation agency or contractor or subcontractor of the public transportation agency performs the security background check; or

    (3) was incarcerated for an interim disqualifying criminal offense listed in part 1572 of title 49, Code of Federal Regulations, and released from incarceration within 5 years of the date that the public transportation agency or contractor or subcontractor of a public transportation agency performs the security background check.

    (d) Redress Process.--If the Secretary issues a rule, regulation, or directive requiring a public transportation agency or contractor or subcontractor of a public transportation agency to perform a security background check of a covered individual, the Secretary shall--

    (1) provide an adequate redress process for a covered individual subjected to an adverse employment decision, including removal or suspension of the employee, due to such rule, regulation, or directive that is consistent with the appeals and waiver process established for applicants for commercial motor vehicle hazardous materials endorsements and transportation workers at ports, as required by section 70105(c) of title 49, United States Code; and

    (2) have the authority to order an appropriate remedy, including reinstatement of the covered individual, should the Secretary determine that a public transportation agency or contractor or subcontractor of a public transportation agency wrongfully made an adverse employment decision regarding a covered individual pursuant to such rule, regulation, or directive.

    (e) False Statements.--A public transportation agency or a contractor or subcontractor of a public transportation agency may not knowingly misrepresent to an employee or other relevant person, including an arbiter involved in a labor arbitration, the scope, application, or meaning of any rules, regulations, directives, or guidance issued by the Secretary related to security background check requirements for covered individuals when conducting a security background check. Not later than 1 year after the date of enactment of this Act, the Secretary shall issue a regulation that prohibits a public transportation agency or a contractor or subcontractor of a public transportation agency from knowingly misrepresenting to an employee or other relevant person, including an arbiter involved in a labor arbitration, the scope, application, or meaning of any rules, regulations, directives, or guidance issued by the Secretary related to security background check requirements for covered individuals when conducting a security background check.

    (f) Rights and Responsibilities.--Nothing in this section shall be construed to abridge a public transportation agency's or a contractor or subcontractor of a public transportation agency's rights or responsibilities to make adverse employment decisions permitted by other Federal, State, or local laws. Nothing in the section shall be construed to abridge rights and responsibilities of covered individuals, a public transportation agency, or a contractor or subcontractor of a public transportation agency under any other Federal, State, or local laws or collective bargaining agreement.

    (g) No Preemption of Federal or State Law.--Nothing in this section shall be construed to preempt a Federal, State, or local law that requires criminal history background checks, immigration status checks, or other background checks of covered individuals.

    (h) Statutory Construction.--Nothing in this section shall be construed to affect the process for review established under section 70105(c) of title 46, United States Code, including regulations issued pursuant to such section.

   SEC. 1415. LIMITATION ON FINES AND CIVIL PENALTIES.

    (a) Inspectors.--Surface transportation inspectors shall be prohibited from issuing fines to public transportation agencies for violations of the Department's regulations or orders except through the process described in subsection (b).

    (b) Civil Penalties.--The Secretary shall be prohibited from assessing civil penalties against public transportation agencies for violations of the Department's regulations or orders, except in accordance with the following:

    (1) In the case of a public transportation agency that is found to be in violation of a regulation or order issued by the Secretary, the Secretary shall seek correction of the violation through a written notice to the public transportation agency and shall give the public transportation agency reasonable opportunity to correct the violation or propose an alternative means of compliance acceptable to the Secretary.

    (2) If the public transportation agency does not correct the violation or propose an alternative means of compliance acceptable to the Secretary within a reasonable time period that is specified in the written notice, the Secretary may take any action authorized in section 114 of title 49, United States Code, as amended by this Act.

    (c) Limitation on Secretary.--The Secretary shall not initiate civil enforcement actions for violations of administrative and procedural requirements pertaining to the application for and expenditure of funds awarded under transportation security grant programs under this title.

   

TITLE XV--SURFACE TRANSPORTATION SECURITY

   

Subtitle A--General Provisions

   SEC. 1501. DEFINITIONS.

    In this title, the following definitions apply:

    (1) APPROPRIATE CONGRESSIONAL COMMITTEES.--The term ``appropriate congressional committees'' means the Committee on Commerce, Science, and Transportation and the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security and the Committee on Transportation and Infrastructure of the House of Representatives.

    (2) SECRETARY.--The term ``Secretary'' means the Secretary of Homeland Security.

    (3) DEPARTMENT.--The term ``Department'' means the Department of Homeland Security.

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    (4) OVER-THE-ROAD BUS.--The term ``over-the-road bus'' means a bus characterized by an elevated passenger deck located over a baggage compartment.

    (5) OVER-THE-ROAD BUS FRONTLINE EMPLOYEES.--In this section, the term ``over-the-road bus frontline employees'' means over-the-road bus drivers, security personnel, dispatchers, maintenance and maintenance support personnel, ticket agents, other terminal employees, and other employees of an over-the-road bus operator or terminal owner or operator that the Secretary determines should receive security training under this title.

    (6) RAILROAD FRONTLINE EMPLOYEES.--In this section, the term ``railroad frontline employees'' means security personnel, dispatchers, locomotive engineers, conductors, trainmen, other onboard employees, maintenance and maintenance support personnel, bridge tenders, and any other employees of railroad carriers that the Secretary determines should receive security training under this title.

    (7) RAILROAD.--The term ``railroad'' has the meaning that term has in section 20102 of title 49, United States Code.

    (8) RAILROAD CARRIER.--The term ``railroad carrier'' has the meaning that term has in section 20102 of title 49, United States Code.

    (9) STATE.--The term ``State'' means any one of the 50 States, the District of Columbia, Puerto Rico, the Northern Mariana Islands, the Virgin Islands, Guam, American Samoa, and any other territory or possession of the United States.

    (10) TERRORISM.--The term ``terrorism'' has the meaning that term has in section 2 of the Homeland Security Act of 2002 (6 U.S.C. 101).

    (11) TRANSPORTATION.--The term ``transportation'', as used with respect to an over-the-road bus, means the movement of passengers or property by an over-the-road bus--

    (A) in the jurisdiction of the United States between a place in a State and a place outside the State (including a place outside the United States); or

    (B) in a State that affects trade, traffic, and transportation described in subparagraph (A).

    (12) UNITED STATES.--The term ``United States'' means the 50 States, the District of Columbia, Puerto Rico, the Northern Mariana Islands, the Virgin Islands, Guam, American Samoa, and any other territory or possession of the United States.

    (13) SECURITY-SENSITIVE MATERIAL.--The term ``security-sensitive material'' means a material, or a group or class of material, in a particular amount and form that the Secretary, in consultation with the Secretary of Transportation, determines, through a rulemaking with opportunity for public comment, poses a significant risk to national security while being transported in commerce due to the potential use of the material in an act of terrorism. In making such a designation, the Secretary shall, at a minimum, consider the following:

    (A) Class 7 radioactive materials.

    (B) Division 1.1, 1.2, or 1.3 explosives.

    (C) Materials poisonous or toxic by inhalation, including Division 2.3 gases and Division 6.1 materials.

    (D) A select agent or toxin regulated by the Centers for Disease Control and Prevention under part 73 of title 42, Code of Federal Regulations.

    (14) DISADVANTAGED BUSINESS CONCERNS.--The term ``disadvantaged business concerns'' means small businesses that are owned and controlled by socially and economically disadvantaged individuals as defined in section 124, of title 13, Code of Federal Regulations.

    (15) AMTRAK.--The term ``Amtrak'' means the National Railroad Passenger Corporation.

   SEC. 1502. OVERSIGHT AND GRANT PROCEDURES.

    (a) Secretarial Oversight.--The Secretary, in coordination with Secretary of Transportation for grants awarded to Amtrak, shall establish necessary procedures, including monitoring and audits, to ensure that grants made under this title are expended in accordance with the purposes of this title and the priorities and other criteria developed by the Secretary.

    (b) Additional Audits and Reviews.--The Secretary, and the Secretary of Transportation for grants awarded to Amtrak, may award contracts to undertake additional audits and reviews of the safety, security, procurement, management, and financial compliance of a recipient of amounts under this title.

    (c) Procedures for Grant Award.--Not later than 180 days after the date of enactment of this Act, the Secretary shall prescribe procedures and schedules for the awarding of grants under this title, including application and qualification procedures, and a record of decision on applicant eligibility. The procedures shall include the execution of a grant agreement between the grant recipient and the Secretary and shall be consistent, to the extent practicable, with the grant procedures established under section 70107(i) and (j) of title 46, United States Code.

    (d) Additional Authority.--

    (1) ISSUANCE.--The Secretary may issue non-binding letters of intent to recipients of a grant under this title, to commit funding from future budget authority of an amount, not more than the Federal Government's share of the project's cost, for a capital improvement project.

    (2) SCHEDULE.--The letter of intent under this subsection shall establish a schedule under which the Secretary will reimburse the recipient for the Government's share of the project's costs, as amounts become available, if the recipient, after the Secretary issues that letter, carries out the project without receiving amounts under a grant issued under this title.

    (3) NOTICE TO SECRETARY.--A recipient that has been issued a letter of intent under this section shall notify the Secretary of the recipient's intent to carry out a project before the project begins.

    (4) NOTICE TO CONGRESS.--The Secretary shall transmit to the appropriate congressional committees a written notification at least 5 days before the issuance of a letter of intent under this subsection.

    (5) LIMITATIONS.--A letter of intent issued under this subsection is not an obligation of the Federal Government under section 1501 of title 31, United States Code, and the letter is not deemed to be an administrative commitment for financing. An obligation or administrative commitment may be made only as amounts are provided in authorization and appropriations laws.

    (e) Return of Misspent Grant Funds.--As part of the grant agreement under subsection (c), the Secretary shall require grant applicants to return any misspent grant funds received under this title that the Secretary considers to have been spent for a purpose other than those specified in the grant award. The Secretary shall take all necessary actions to recover such funds.

    (f) Congressional Notification.--Not later than 5 days before the award of any grant is made under this title, the Secretary shall notify the appropriate congressional committees of the intent to award such grant.

    (g) Guidelines.--The Secretary shall ensure, to the extent practicable, that grant recipients under this title who use contractors or subcontractors use small, minority, women-owned, or disadvantaged business concerns as contractors or subcontractors when appropriate.

   SEC. 1503. AUTHORIZATION OF APPROPRIATIONS.

    (a) Transportation Security Administration Authorization.--Section 114 of title 49, United States Code, as amended by section 1302 of this Act, is further amended by adding at the end the following:

    ``(w) Authorization of Appropriations.--There are authorized to be appropriated to the Secretary of Homeland Security for--

    ``(1) railroad security--

    ``(A) $488,000,000 for fiscal year 2008;

    ``(B) $483,000,000 for fiscal year 2009;

    ``(C) $508,000,000 for fiscal year 2010; and

    ``(D) $508,000,000 for fiscal year 2011;

    ``(2) over-the-road bus and trucking security--

    ``(A) $14,000,000 for fiscal year 2008;

    ``(B) $27,000,000 for fiscal year 2009;

    ``(C) $27,000,000 for fiscal year 2010; and

    ``(D) $27,000,000 for fiscal year 2011; and

    ``(3) hazardous material and pipeline security--

    ``(A) $12,000,000 for fiscal year 2008;

    ``(B) $12,000,000 for fiscal year 2009; and

    ``(C) $12,000,000 for fiscal year 2010.''.

    (b) Department of Transportation.--There are authorized to be appropriated to the Secretary of Transportation to carry out section 1515--

    (1) $38,000,000 for fiscal year 2008;

    (2) $40,000,000 for fiscal year 2009;

    (3) $55,000,000 for fiscal year 2010; and

    (4) $70,000,000 for fiscal year 2011.

   SEC. 1504. PUBLIC AWARENESS.

    Not later than 180 days after the date of enactment of this Act, the Secretary shall develop a national plan for railroad and over-the-road bus security public outreach and awareness. Such a plan shall be designed to increase awareness of measures that the general public, passengers, and employees of railroad carriers and over-the-road bus operators can take to increase the security of the national railroad and over-the-road bus transportation systems. Such a plan shall also provide outreach to railroad carriers and over-the-road bus operators and their employees to improve their awareness of available technologies, ongoing research and development efforts, and available Federal funding sources to improve security. Not later than 9 months after the date of enactment of this Act, the Secretary shall implement the plan developed under this section.

   

Subtitle B--Railroad Security

   SEC. 1511. RAILROAD TRANSPORTATION SECURITY RISK ASSESSMENT AND NATIONAL STRATEGY.

    (a) Risk Assessment.--The Secretary shall establish a Federal task force, including the Transportation Security Administration and other agencies within the Department, the Department of Transportation, and other appropriate Federal agencies, to complete, within 6 months of the date of enactment of this Act, a nationwide risk assessment of a terrorist attack on railroad carriers. The assessment shall include--

    (1) a methodology for conducting the risk assessment, including timelines, that addresses how the Department will work with the entities described in subsection (c) and make use of existing Federal expertise within the Department, the Department of Transportation, and other appropriate agencies;

    (2) identification and evaluation of critical assets and infrastructure, including tunnels used by railroad carriers in high-threat urban areas;

    (3) identification of risks to those assets and infrastructure;

    (4) identification of risks that are specific to the transportation of hazardous materials via railroad;

    (5) identification of risks to passenger and cargo security, transportation infrastructure protection systems, operations, communications systems, and any other area identified by the assessment;

    (6) an assessment of employee training and emergency response planning;

    (7) an assessment of public and private operational recovery plans, taking into account the plans for the maritime sector required under section 70103 of title 46, United States Code, to expedite, to the maximum extent practicable, the return of an adversely affected railroad transportation system or facility to its normal performance level after a major terrorist attack or other security event on that system or facility; and

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    (8) an account of actions taken or planned by both public and private entities to address identified railroad security issues and an assessment of the effective integration of such actions.

    (b) National Strategy.--

    (1) REQUIREMENT.--Not later than 9 months after the date of enactment of this Act and based upon the assessment conducted under subsection (a), the Secretary, consistent with and as required by section 114(t) of title 49, United States Code, shall develop and implement the modal plan for railroad transportation, entitled the ``National Strategy for Railroad Transportation Security''.

    (2) CONTENTS.--The modal plan shall include prioritized goals, actions, objectives, policies, mechanisms, and schedules for, at a minimum--

    (A) improving the security of railroad tunnels, railroad bridges, railroad switching and car storage areas, other railroad infrastructure and facilities, information systems, and other areas identified by the Secretary as posing significant railroad-related risks to public safety and the movement of interstate commerce, taking into account the impact that any proposed security measure might have on the provision of railroad service or on operations served or otherwise affected by railroad service;

    (B) deploying equipment and personnel to detect security threats, including those posed by explosives and hazardous chemical, biological, and radioactive substances, and any appropriate countermeasures;

    (C) consistent with section 1517, training railroad employees in terrorism prevention, preparedness, passenger evacuation, and response activities;

    (D) conducting public outreach campaigns for railroads regarding security, including educational initiatives designed to inform the public on how to prevent, prepare for, respond to, and recover from a terrorist attack on railroad transportation;

    (E) providing additional railroad security support for railroads at high or severe threat levels of alert;

    (F) ensuring, in coordination with freight and intercity and commuter passenger railroads, the continued movement of freight and passengers in the event of an attack affecting the railroad system, including the possibility of rerouting traffic due to the loss of critical infrastructure, such as a bridge, tunnel, yard, or station;

    (G) coordinating existing and planned railroad security initiatives undertaken by the public and private sectors;

    (H) assessing--

    (i) the usefulness of covert testing of railroad security systems;

    (ii) the ability to integrate security into infrastructure design; and

    (iii) the implementation of random searches of passengers and baggage; and

    (I) identifying the immediate and long-term costs of measures that may be required to address those risks and public and private sector sources to fund such measures.

    (3) RESPONSIBILITIES.--The Secretary shall include in the modal plan a description of the roles, responsibilities, and authorities of Federal, State, and local agencies, government-sponsored entities, tribal governments, and appropriate stakeholders described in subsection (c). The plan shall also include--

    (A) the identification of, and a plan to address, gaps and unnecessary overlaps in the roles, responsibilities, and authorities described in this paragraph;

    (B) a methodology for how the Department will work with the entities described in subsection (c), and make use of existing Federal expertise within the Department, the Department of Transportation, and other appropriate agencies;

    (C) a process for facilitating security clearances for the purpose of intelligence and information sharing with the entities described in subsection (c), as appropriate;

    (D) a strategy and timeline, coordinated with the research and development program established under section 1518, for the Department, the Department of Transportation, other appropriate Federal agencies and private entities to research and develop new technologies for securing railroad systems; and

    (E) a process for coordinating existing or future security strategies and plans for railroad transportation, including the National Infrastructure Protection Plan required by Homeland Security Presidential Directive 7; Executive Order Number 13416: ``Strengthening Surface Transportation Security'' dated December 5, 2006; the Memorandum of Understanding between the Department and the Department of Transportation on Roles and Responsibilities dated September 28, 2004, and any and all subsequent annexes to this Memorandum of Understanding, and any other relevant agreements between the two Departments.

    (c) Consultation With Stakeholders.--In developing the National Strategy required under this section, the Secretary shall consult with railroad management, nonprofit employee organizations representing railroad employees, owners or lessors of railroad cars used to transport hazardous materials, emergency responders, offerors of security-sensitive materials, public safety officials, and other relevant parties.

    (d) Adequacy of Existing Plans and Strategies.--In developing the risk assessment and National Strategy required under this section, the Secretary shall utilize relevant existing plans, strategies, and risk assessments developed by the Department or other Federal agencies, including those developed or implemented pursuant to section 114(t) of title 49, United States Code, or Homeland Security Presidential Directive 7, and, as appropriate, assessments developed by other public and private stakeholders.

    (e) Report.--

    (1) CONTENTS.--Not later than 1 year after the date of enactment of this Act, the Secretary shall transmit to the appropriate congressional committees a report containing--

    (A) the assessment and the National Strategy required by this section; and

    (B) an estimate of the cost to implement the National Strategy.

    (2) FORMAT.--The Secretary may submit the report in both classified and redacted formats if the Secretary determines that such action is appropriate or necessary.

    (f) Annual Updates.--Consistent with the requirements of section 114(t) of title 49, United States Code, the Secretary shall update the assessment and National Strategy each year and transmit a report, which may be submitted in both classified and redacted formats, to the appropriate congressional committees containing the updated assessment and recommendations.

    (g) Funding.--Out of funds appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1503 of this title, there shall be made available to the Secretary to carry out this section $5,000,000 for fiscal year 2008.

   SEC. 1512. RAILROAD CARRIER ASSESSMENTS AND PLANS.

    (a) In General.--Not later than 12 months after the date of enactment of this Act, the Secretary shall issue regulations that--

    (1) require each railroad carrier assigned to a high-risk tier under this section to--

    (A) conduct a vulnerability assessment in accordance with subsections (c) and (d); and

    (B) to prepare, submit to the Secretary for approval, and implement a security plan in accordance with this section that addresses security performance requirements; and

    (2) establish standards and guidelines, based on and consistent with the risk assessment and National Strategy for Railroad Transportation Security developed under section 1511, for developing and implementing the vulnerability assessments and security plans for railroad carriers assigned to high-risk tiers.

    (b) Non High-Risk Programs.--The Secretary may establish a security program for railroad carriers not assigned to a high-risk tier, including--

    (1) guidance for such carriers in conducting vulnerability assessments and preparing and implementing security plans, as determined appropriate by the Secretary; and

    (2) a process to review and approve such assessments and plans, as appropriate.

    (c) Deadline for Submission.--Not later than 9 months after the date of issuance of the regulations under subsection (a), the vulnerability assessments and security plans required by such regulations for railroad carriers assigned to a high-risk tier shall be completed and submitted to the Secretary for review and approval.

    (d) Vulnerability Assessments.--

    (1) REQUIREMENTS.--The Secretary shall provide technical assistance and guidance to railroad carriers in conducting vulnerability assessments under this section and shall require that each vulnerability assessment of a railroad carrier assigned to a high-risk tier under this section, include, as applicable--

    (A) identification and evaluation of critical railroad carrier assets and infrastructure, including platforms, stations, intermodal terminals, tunnels, bridges, switching and storage areas, and information systems as appropriate;

    (B) identification of the vulnerabilities to those assets and infrastructure;

    (C) identification of strengths and weaknesses in--

    (i) physical security;

    (ii) passenger and cargo security, including the security of security-sensitive materials being transported by railroad or stored on railroad property;

    (iii) programmable electronic devices, computers, or other automated systems which are used in providing the transportation;

    (iv) alarms, cameras, and other protection systems;

    (v) communications systems and utilities needed for railroad security purposes, including dispatching and notification systems;

    (vi) emergency response planning;

    (vii) employee training; and

    (viii) such other matters as the Secretary determines appropriate; and

    (D) identification of redundant and backup systems required to ensure the continued operation of critical elements of a railroad carrier's system in the event of an attack or other incident, including disruption of commercial electric power or communications network.

    (2) THREAT INFORMATION.--The Secretary shall provide in a timely manner to the appropriate employees of a railroad carrier, as designated by the railroad carrier, threat information that is relevant to the carrier when preparing and submitting a vulnerability assessment and security plan, including an assessment of the most likely methods that could be used by terrorists to exploit weaknesses in railroad security.

    (e) Security Plans.--

    (1) REQUIREMENTS.--The Secretary shall provide technical assistance and guidance to railroad carriers in preparing and implementing security plans under this section, and shall require that each security plan of a railroad carrier assigned to a high-risk tier under this section include, as applicable--

    (A) identification of a security coordinator having authority--

    (i) to implement security actions under the plan;

    (ii) to coordinate security improvements; and

    (iii) to receive immediate communications from appropriate Federal officials regarding railroad security;

    (B) a list of needed capital and operational improvements;

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    (C) procedures to be implemented or used by the railroad carrier in response to a terrorist attack, including evacuation and passenger communication plans that include individuals with disabilities as appropriate;

    (D) identification of steps taken with State and local law enforcement agencies, emergency responders, and Federal officials to coordinate security measures and plans for response to a terrorist attack;

    (E) a strategy and timeline for conducting training under section 1517;

    (F) enhanced security measures to be taken by the railroad carrier when the Secretary declares a period of heightened security risk;

    (G) plans for providing redundant and backup systems required to ensure the continued operation of critical elements of the railroad carrier's system in the event of a terrorist attack or other incident;

    (H) a strategy for implementing enhanced security for shipments of security-sensitive materials, including plans for quickly locating and securing such shipments in the event of a terrorist attack or security incident; and

    (I) such other actions or procedures as the Secretary determines are appropriate to address the security of railroad carriers.

    (2) SECURITY COORDINATOR REQUIREMENTS.--The Secretary shall require that the individual serving as the security coordinator identified in paragraph (1)(A) is a citizen of the United States. The Secretary may waive this requirement with respect to an individual if the Secretary determines that it is appropriate to do so based on a background check of the individual and a review of the consolidated terrorist watchlist.

    (3) CONSISTENCY WITH OTHER PLANS.--The Secretary shall ensure that the security plans developed by railroad carriers under this section are consistent with the risk assessment and National Strategy for Railroad Transportation Security developed under section 1511.

    (f) Deadline for Review Process.--Not later than 6 months after receiving the assessments and plans required under this section, the Secretary shall--

    (1) review each vulnerability assessment and security plan submitted to the Secretary in accordance with subsection (c);

    (2) require amendments to any security plan that does not meet the requirements of this section; and

    (3) approve any vulnerability assessment or security plan that meets the requirements of this section.

    (g) Interim Security Measures.--The Secretary may require railroad carriers, during the period before the deadline established under subsection (c), to submit a security plan under subsection (e) to implement any necessary interim security measures essential to providing adequate security of the railroad carrier's system. An interim plan required under this subsection will be superseded by a plan required under subsection (e).

    (h) Tier Assignment.--Utilizing the risk assessment and National Strategy for Railroad Transportation Security required under section 1511, the Secretary shall assign each railroad carrier to a risk-based tier established by the Secretary.

    (1) PROVISION OF INFORMATION.--The Secretary may request, and a railroad carrier shall provide, information necessary for the Secretary to assign a railroad carrier to the appropriate tier under this subsection.

    (2) NOTIFICATION.--Not later than 60 days after the date a railroad carrier is assigned to a tier under this subsection, the Secretary shall notify the railroad carrier of the tier to which it is assigned and the reasons for such assignment.

    (3) HIGH-RISK TIERS.--At least one of the tiers established by the Secretary under this subsection shall be designated a tier for high-risk railroad carriers.

    (4) REASSIGNMENT.--The Secretary may reassign a railroad carrier to another tier, as appropriate, in response to changes in risk. The Secretary shall notify the railroad carrier not later than 60 days after such reassignment and provide the railroad carrier with the reasons for such reassignment.

    (i) Nondisclosure of Information.--

    (1) SUBMISSION OF INFORMATION TO CONGRESS.--Nothing in this section shall be construed as authorizing the withholding of any information from Congress.

    (2) DISCLOSURE OF INDEPENDENTLY FURNISHED INFORMATION.--Nothing in this section shall be construed as affecting any authority or obligation of a Federal agency to disclose any record or information that the Federal agency obtains from a railroad carrier under any other Federal law.

    (j) Existing Procedures, Protocols and Standards.--

    (1) DETERMINATION.--In response to a petition by a railroad carrier or at the discretion of the Secretary, the Secretary may determine that existing procedures, protocols, and standards meet all or part of the requirements of this section, including regulations issued under subsection (a), regarding vulnerability assessments and security plans.

    (2) ELECTION.--Upon review and written determination by the Secretary that existing procedures, protocols, or standards of a railroad carrier satisfy the requirements of this section, the railroad carrier may elect to comply with those procedures, protocols, or standards instead of the requirements of this section.

    (3) PARTIAL APPROVAL.--If the Secretary determines that the existing procedures, protocols, or standards of a railroad carrier satisfy only part of the requirements of this section, the Secretary may accept such submission, but shall require submission by the railroad carrier of any additional information relevant to the vulnerability assessment and security plan of the railroad carrier to ensure that the remaining requirements of this section are fulfilled.

    (4) NOTIFICATION.--If the Secretary determines that particular existing procedures, protocols, or standards of a railroad carrier under this subsection do not satisfy the requirements of this section, the Secretary shall provide to the railroad carrier a written notification that includes an explanation of the determination.

    (5) REVIEW.--Nothing in this subsection shall relieve the Secretary of the obligation--

    (A) to review the vulnerability assessment and security plan submitted by a railroad carrier under this section; and

    (B) to approve or disapprove each submission on an individual basis.

    (k) Periodic Evaluation by Railroad Carriers Required.--

    (1) SUBMISSION OF EVALUATION.--Not later than 3 years after the date on which a vulnerability assessment or security plan required to be submitted to the Secretary under subsection (c) is approved, and at least once every 5 years thereafter (or on such a schedule as the Secretary may establish by regulation), a railroad carrier who submitted a vulnerability assessment and security plan and who is still assigned to the high-risk tier must also submit to the Secretary an evaluation of the adequacy of the vulnerability assessment and security plan that includes a description of any material changes made to the vulnerability assessment or security plan.

    (2) REVIEW OF EVALUATION.--Not later than 180 days after the date on which an evaluation is submitted, the Secretary shall review the evaluation and notify the railroad carrier submitting the evaluation of the Secretary's approval or disapproval of the evaluation.

    (l) Shared Facilities.--The Secretary may permit under this section the development and implementation of coordinated vulnerability assessments and security plans to the extent that a railroad carrier shares facilities with, or is colocated with, other transportation entities or providers that are required to develop vulnerability assessments and security plans under Federal law.

    (m) Consultation.--In carrying out this section, the Secretary shall consult with railroad carriers, nonprofit employee labor organizations representation railroad employees, and public safety and law enforcement officials.

   SEC. 1513. RAILROAD SECURITY ASSISTANCE.

    (a) Security Improvement Grants.--(1) The Secretary, in consultation with the Administrator of the Transportation Security Administration and other appropriate agencies or officials, is authorized to make grants to railroad carriers, the Alaska Railroad, security-sensitive materials offerors who ship by railroad, owners of railroad cars used in the transportation of security-sensitive materials, State and local governments (for railroad passenger facilities and infrastructure not owned by Amtrak), and Amtrak for intercity passenger railroad and freight railroad security improvements described in subsection (b) as approved by the Secretary.

    (2) A railroad carrier is eligible for a grant under this section if the carrier has completed a vulnerability assessment and developed a security plan that the Secretary has approved in accordance with section 1512.

    (3) A recipient of a grant under this section may use grant funds only for permissible uses under subsection (b) to further a railroad security plan that meets the requirements of paragraph (2).

    (4) Notwithstanding the requirement for eligibility and uses of funds in paragraphs (2) and (3), a railroad carrier is eligible for a grant under this section if the applicant uses the funds solely for the development of assessments or security plans under section 1512.

    (5) Notwithstanding the requirements for eligibility and uses of funds in paragraphs (2) and (3), prior to the earlier of one year after the date of issuance of final regulations requiring vulnerability assessments and security plans under section 1512 or 3 years after the date of enactment of this Act, the Secretary may award grants under this section for rail security improvements listed under subsection (b) based upon railroad carrier vulnerability assessments and security plans that the Secretary determines are sufficient for the purposes of this section but have not been approved by the Secretary in accordance with section 1512.

    (b) Uses of Funds.--A recipient of a grant under this section shall use the grant funds for one or more of the following:

    (1) Security and redundancy for critical communications, computer, and train control systems essential for secure railroad operations.

    (2) Accommodation of railroad cargo or passenger security inspection facilities, related infrastructure, and operations at or near United States international borders or other ports of entry.

    (3) The security of security-sensitive materials transportation by railroad.

    (4) Chemical, biological, radiological, or explosive detection, including canine patrols for such detection.

    (5) The security of intercity passenger railroad stations, trains, and infrastructure, including security capital improvement projects that the Secretary determines enhance railroad station security.

    (6) Technologies to reduce the vulnerabilities of railroad cars, including structural modification of railroad cars transporting security-sensitive materials to improve their resistance to acts of terrorism.

    (7) The sharing of intelligence and information about security threats.

    (8) To obtain train tracking and communications equipment, including equipment that is interoperable with Federal, State, and local agencies and tribal governments.

    (9) To hire, train, and employ police and security officers, including canine units, assigned to full-time security or counterterrorism duties related to railroad transportation.

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    (10) Overtime reimbursement, including reimbursement of State, local, and tribal governments for costs, for enhanced security personnel assigned to duties related to railroad security during periods of high or severe threat levels and National Special Security Events or other periods of heightened security as determined by the Secretary.

    (11) Perimeter protection systems, including access control, installation of improved lighting, fencing, and barricades at railroad facilities.

    (12) Tunnel protection systems.

    (13) Passenger evacuation and evacuation-related capital improvements.

    (14) Railroad security inspection technologies, including verified visual inspection technologies using hand-held readers.

    (15) Surveillance equipment.

    (16) Cargo or passenger screening equipment.

    (17) Emergency response equipment, including fire suppression and decontamination equipment, personal protective equipment, and defibrillators.

    (18) Operating and capital costs associated with security awareness, preparedness, and response training, including training under section 1517, and training developed by universities, institutions of higher education, and nonprofit employee labor organizations, for railroad employees, including frontline employees.

    (19) Live or simulated exercises, including exercises described in section 1516.

    (20) Public awareness campaigns for enhanced railroad security.

    (21) Development of assessments or security plans under section 1512.

    (22) Other security improvements--

    (A) identified, required, or recommended under sections 1511 and 1512, including infrastructure, facilities, and equipment upgrades; or

    (B) that the Secretary considers appropriate.

    (c) Department of Homeland Security Responsibilities.--In carrying out the responsibilities under subsection (a), the Secretary shall--

    (1) determine the requirements for recipients of grants;

    (2) establish priorities for uses of funds for grant recipients;

    (3) award the funds authorized by this section based on risk, as identified by the plans required under sections 1511 and 1512, or assessment or plan described in subsection (a)(5);

    (4) take into account whether stations or facilities are used by commuter railroad passengers as well as intercity railroad passengers in reviewing grant applications;

    (5) encourage non-Federal financial participation in projects funded by grants; and

    (6) not later than 5 business days after awarding a grant to Amtrak under this section, transfer grant funds to the Secretary of Transportation to be disbursed to Amtrak.

    (d) Multiyear Awards.--Grant funds awarded under this section may be awarded for projects that span multiple years.

    (e) Limitation on Uses of Funds.--A grant made under this section may not be used to make any State or local government cost-sharing contribution under any other Federal law.

    (f) Annual Reports.--Each recipient of a grant under this section shall report annually to the Secretary on the use of grant funds.

    (g) Non-Federal Match Study.--Not later than 240 days after the date of enactment of this Act, the Secretary shall provide a report to the appropriate congressional committees on the feasibility and appropriateness of requiring a non-Federal match for grants awarded to freight railroad carriers and other private entities under this section.

    (h) Subject to Certain Standards.--A recipient of a grant under this section and sections 1514 and 1515 shall be required to comply with the standards of section 24312 of title 49, United States Code, as in effect on January 1, 2007, with respect to the project in the same manner as Amtrak is required to comply with such standards for construction work financed under an agreement made under section 24308(a) of that title.

    (i) Authorization of Appropriations.--

    (1) IN GENERAL.--Out of funds appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1503 of this title, there shall be made available to the Secretary to carry out this section--

    (A) $300,000,000 for fiscal year 2008;

    (B) $300,000,000 for fiscal year 2009;

    (C) $300,000,000 for fiscal year 2010; and

    (D) $300,000,000 for fiscal year 2011.

    (2) PERIOD OF AVAILABILITY.--Sums appropriated to carry out this section shall remain available until expended.

   SEC. 1514. SYSTEMWIDE AMTRAK SECURITY UPGRADES.

    (a) In General.--

    (1) GRANTS.--Subject to subsection (b), the Secretary, in consultation with the Administrator of the Transportation Security Administration, is authorized to make grants to Amtrak in accordance with the provisions of this section.

    (2) GENERAL PURPOSES.--The Secretary may make such grants for the purposes of--

    (A) protecting underwater and underground assets and systems;

    (B) protecting high-risk and high-consequence assets identified through systemwide risk assessments;

    (C) providing counterterrorism or security training;

    (D) providing both visible and unpredictable deterrence; and

    (E) conducting emergency preparedness drills and exercises.

    (3) SPECIFIC PROJECTS.--The Secretary shall make such grants--

    (A) to secure major tunnel access points and ensure tunnel integrity in New York, New Jersey, Maryland, and Washington, DC;

    (B) to secure Amtrak trains;

    (C) to secure Amtrak stations;

    (D) to obtain a watchlist identification system approved by the Secretary;

    (E) to obtain train tracking and interoperable communications systems that are coordinated with Federal, State, and local agencies and tribal governments to the maximum extent possible;

    (F) to hire, train, and employ police and security officers, including canine units, assigned to full-time security or counterterrorism duties related to railroad transportation;

    (G) for operating and capital costs associated with security awareness, preparedness, and response training, including training under section 1517, and training developed by universities, institutions of higher education, and nonprofit employee labor organizations, for railroad employees, including frontline employees; and

    (H) for live or simulated exercises, including exercises described in section 1516.

    (b) Conditions.--The Secretary shall award grants to Amtrak under this section for projects contained in a systemwide security plan approved by the Secretary developed pursuant to section 1512. Not later than 5 business days after awarding a grant to Amtrak under this section, the Secretary shall transfer the grant funds to the Secretary of Transportation to be disbursed to Amtrak.

    (c) Equitable Geographic Allocation.--The Secretary shall ensure that, subject to meeting the highest security needs on Amtrak's entire system and consistent with the risk assessment required under section 1511 and Amtrak's vulnerability assessment and security plan developed under section 1512, stations and facilities located outside of the Northeast Corridor receive an equitable share of the security funds authorized by this section.

    (d) Availability of Funds.--

    (1) IN GENERAL.--Out of funds appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1503 of this title, there shall be made available to the Secretary and the Administrator of the Transportation Security Administration to carry out this section--

    (A) $150,000,000 for fiscal year 2008;

    (B) $150,000,000 for fiscal year 2009;

    (C) $175,000,000 for fiscal year 2010; and

    (D) $175,000,000 for fiscal year 2011.

    (2) AVAILABILITY OF APPROPRIATED FUNDS.--Amounts appropriated pursuant to paragraph (1) shall remain available until expended.

   SEC. 1515. FIRE AND LIFE SAFETY IMPROVEMENTS.

    (a) Life-Safety Needs.--There are authorized to be appropriated to the Secretary of Transportation for making grants to Amtrak for the purpose of carrying out projects to make fire and life safety improvements to Amtrak tunnels on the Northeast Corridor the following amounts:

    (1) For the 6 New York and New Jersey tunnels to provide ventilation, electrical, and fire safety technology improvements, emergency communication and lighting systems, and emergency access and egress for passengers--

    (A) $25,000,000 for fiscal year 2008;

    (B) $30,000,000 for fiscal year 2009;

    (C) $45,000,000 for fiscal year 2010; and

    (D) $60,000,000 for fiscal year 2011.

    (2) For the Baltimore Potomac Tunnel and the Union Tunnel, together, to provide adequate drainage and ventilation, communication, lighting, standpipe, and passenger egress improvements--

    (A) $5,000,000 for fiscal year 2008;

    (B) $5,000,000 for fiscal year 2009;

    (C) $5,000,000 for fiscal year 2010; and

    (D) $5,000,000 for fiscal year 2011.

    (3) For the Union Station tunnels in the District of Columbia to improve ventilation, communication, lighting, and passenger egress improvements--

    (A) $5,000,000 for fiscal year 2008;

    (B) $5,000,000 for fiscal year 2009;

    (C) $5,000,000 for fiscal year 2010; and

    (D) $5,000,000 for fiscal year 2011.

    (b) Infrastructure Upgrades.--Out of funds appropriated pursuant to section 1503(b), there shall be made available to the Secretary of Transportation for fiscal year 2008, $3,000,000 for the preliminary design of options for a new tunnel on a different alignment to augment the capacity of the existing Baltimore tunnels.

    (c) Availability of Amounts.--Amounts appropriated pursuant to this section shall remain available until expended.

    (d) Plans Required.--The Secretary of Transportation may not make amounts available to Amtrak for obligation or expenditure under subsection (a)--

    (1) until Amtrak has submitted to the Secretary of Transportation, and the Secretary of Transportation has approved, an engineering and financial plan for such projects; and

    (2) unless, for each project funded pursuant to this section, the Secretary of Transportation has approved a project management plan prepared by Amtrak.

    (e) Review of Plans.--

    (1) IN GENERAL.--The Secretary of Transportation shall complete the review of a plan required under subsection (d) and approve or disapprove the plan within 45 days after the date on which each such plan is submitted by Amtrak.

    (2) INCOMPLETE OR DEFICIENT PLAN.--If the Secretary of Transportation determines that a plan is incomplete or deficient, the Secretary of Transportation shall notify Amtrak of the incomplete items or deficiencies and Amtrak shall, within 30 days after receiving the Secretary of Transportation's notification, submit a modified plan for the Secretary of Transportation's review.

    (3) APPROVAL OF PLAN.--Within 15 days after receiving additional information on items previously included in the plan, and within 45 days after receiving items newly included in a modified plan, the Secretary of Transportation shall either approve the modified plan, or if the Secretary of Transportation finds the plan is still

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incomplete or deficient, the Secretary of Transportation shall--

    (A) identify in writing to the appropriate congressional committees the portions of the plan the Secretary finds incomplete or deficient;

    (B) approve all other portions of the plan;

    (C) obligate the funds associated with those portions; and

    (D) execute an agreement with Amtrak within 15 days thereafter on a process for resolving the remaining portions of the plan.

    (f) Financial Contribution From Other Tunnel Users.--The Secretary of Transportation, taking into account the need for the timely completion of all portions of the tunnel projects described in subsection (a), shall--

    (1) consider the extent to which railroad carriers other than Amtrak use or plan to use the tunnels;

    (2) consider the feasibility of seeking a financial contribution from those other railroad carriers toward the costs of the projects; and

    (3) obtain financial contributions or commitments from such other railroad carriers at levels reflecting the extent of their use or planned use of the tunnels, if feasible.

   SEC. 1516. RAILROAD CARRIER EXERCISES.

    (a) In General.--The Secretary shall establish a program for conducting security exercises for railroad carriers for the purpose of assessing and improving the capabilities of entities described in subsection (b) to prevent, prepare for, mitigate, respond to, and recover from acts of terrorism.

    (b) Covered Entities.--Entities to be assessed under the program shall include--

    (1) Federal, State, and local agencies and tribal governments;

    (2) railroad carriers;

    (3) governmental and nongovernmental emergency response providers, law enforcement agencies, and railroad and transit police, as appropriate; and

    (4) any other organization or entity that the Secretary determines appropriate.

    (c) Requirements.--The Secretary shall ensure that the program--

    (1) consolidates existing security exercises for railroad carriers administered by the Department and the Department of Transportation, as jointly determined by the Secretary and the Secretary of Transportation, unless the Secretary waives this consolidation requirement as appropriate;

    (2) consists of exercises that are--

    (A) scaled and tailored to the needs of the carrier, including addressing the needs of the elderly and individuals with disabilities;

    (B) live, in the case of the most at-risk facilities to a terrorist attack;

    (C) coordinated with appropriate officials;

    (D) as realistic as practicable and based on current risk assessments, including credible threats, vulnerabilities, and consequences;

    (E) inclusive, as appropriate, of railroad frontline employees; and

    (F) consistent with the National Incident Management System, the National Response Plan, the National Infrastructure Protection Plan, the National Preparedness Guidance, the National Preparedness Goal, and other such national initiatives;

    (3) provides that exercises described in paragraph (2) will be--

    (A) evaluated by the Secretary against clear and consistent performance measures;

    (B) assessed by the Secretary to identify best practices, which shall be shared, as appropriate, with railroad carriers, nonprofit employee organizations that represent railroad carrier employees, Federal, State, local, and tribal officials, governmental and nongovernmental emergency response providers, law enforcement personnel, including railroad carrier and transit police, and other stakeholders; and

    (C) used to develop recommendations, as appropriate, from the Secretary to railroad carriers on remedial action to be taken in response to lessons learned;

    (4) allows for proper advanced notification of communities and local governments in which exercises are held, as appropriate; and

    (5) assists State, local, and tribal governments and railroad carriers in designing, implementing, and evaluating additional exercises that conform to the requirements of paragraph (1).

    (d) National Exercise Program.--The Secretary shall ensure that the exercise program developed under subsection (c) is a component of the National Exercise Program established under section 648 of the Post Katrina Emergency Management Reform Act (Public Law 109-295; 6 U.S.C. 748).

   SEC. 1517. RAILROAD SECURITY TRAINING PROGRAM.

    (a) In General.--Not later than 6 months after the date of enactment of this Act, the Secretary shall develop and issue regulations for a training program to prepare railroad frontline employees for potential security threats and conditions. The regulations shall take into consideration any current security training requirements or best practices.

    (b) Consultation.--The Secretary shall develop the regulations under subsection (a) in consultation with--

    (1) appropriate law enforcement, fire service, emergency response, security, and terrorism experts;

    (2) railroad carriers;

    (3) railroad shippers; and

    (4) nonprofit employee labor organizations representing railroad employees or emergency response personnel.

    (c) Program Elements.--The regulations developed under subsection (a) shall require security training programs described in subsection (a) to include, at a minimum, elements to address the following, as applicable:

    (1) Determination of the seriousness of any occurrence or threat.

    (2) Crew and passenger communication and coordination.

    (3) Appropriate responses to defend or protect oneself.

    (4) Use of personal and other protective equipment.

    (5) Evacuation procedures for passengers and railroad employees, including individuals with disabilities and the elderly.

    (6) Psychology, behavior, and methods of terrorists, including observation and analysis.

    (7) Training related to psychological responses to terrorist incidents, including the ability to cope with hijacker behavior and passenger responses.

    (8) Live situational training exercises regarding various threat conditions, including tunnel evacuation procedures.

    (9) Recognition and reporting of dangerous substances, suspicious packages, and situations.

    (10) Understanding security incident procedures, including procedures for communicating with governmental and nongovernmental emergency response providers and for on-scene interaction with such emergency response providers.

    (11) Operation and maintenance of security equipment and systems.

    (12) Other security training activities that the Secretary considers appropriate.

    (d) Required Programs.--

    (1) DEVELOPMENT AND SUBMISSION TO SECRETARY.--Not later than 90 days after the Secretary issues regulations under subsection (a), each railroad carrier shall develop a security training program in accordance with this section and submit the program to the Secretary for approval.

    (2) APPROVAL OR DISAPPROVAL.--Not later than 60 days after receiving a security training program proposal under this subsection, the Secretary shall approve the program or require the railroad carrier that developed the program to make any revisions to the program that the Secretary considers necessary for the program to meet the requirements of this section. A railroad carrier shall respond to the Secretary's comments within 30 days after receiving them.

    (3) TRAINING.--Not later than 1 year after the Secretary approves a security training program in accordance with this subsection, the railroad carrier that developed the program shall complete the training of all railroad frontline employees who were hired by a carrier more than 30 days preceding such date. For such employees employed less than 30 days by a carrier preceding such date, training shall be completed within the first 60 days of employment.

    (4) UPDATES OF REGULATIONS AND PROGRAM REVISIONS.--The Secretary shall periodically review and update as appropriate the training regulations issued under subsection (a) to reflect new or changing security threats. Each railroad carrier shall revise its training program accordingly and provide additional training as necessary to its frontline employees within a reasonable time after the regulations are updated.

    (e) National Training Program.--The Secretary shall ensure that the training program developed under subsection (a) is a component of the National Training Program established under section 648 of the Post Katrina Emergency Management Reform Act (Public Law 109-295; 6 U.S.C. 748).

    (f) Reporting Requirements.--Not later than 2 years after the date of regulation issuance, the Secretary shall review implementation of the training program of a representative sample of railroad carriers and railroad frontline employees, and report to the appropriate congressional committees on the number of reviews conducted and the results of such reviews. The Secretary may submit the report in both classified and redacted formats as necessary.

    (g) Other Employees.--The Secretary shall issue guidance and best practices for a railroad shipper employee security program containing the elements listed under subsection (c).

   SEC. 1518. RAILROAD SECURITY RESEARCH AND DEVELOPMENT.

    (a) Establishment of Research and Development Program.--The Secretary, acting through the Under Secretary for Science and Technology and the Administrator of the Transportation Security Administration, shall carry out a research and development program for the purpose of improving the security of railroad transportation systems.

    (b) Eligible Projects.--The research and development program may include projects--

    (1) to reduce the vulnerability of passenger trains, stations, and equipment to explosives and hazardous chemical, biological, and radioactive substances, including the development of technology to screen passengers in large numbers at peak commuting times with minimal interference and disruption;

    (2) to test new emergency response and recovery techniques and technologies, including those used at international borders;

    (3) to develop improved railroad security technologies, including--

    (A) technologies for sealing or modifying railroad tank cars;

    (B) automatic inspection of railroad cars;

    (C) communication-based train control systems;

    (D) emergency response training, including training in a tunnel environment;

    (E) security and redundancy for critical communications, electrical power, computer, and train control systems; and

    (F) technologies for securing bridges and tunnels;

    (4) to test wayside detectors that can detect tampering;

    (5) to support enhanced security for the transportation of security-sensitive materials by railroad;

    (6) to mitigate damages in the event of a cyber attack; and

    (7) to address other vulnerabilities and risks identified by the Secretary.

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    (c) Coordination With Other Research Initiatives.--The Secretary--

    (1) shall ensure that the research and development program is consistent with the National Strategy for Railroad Transportation Security developed under section 1511 and any other transportation security research and development programs required by this Act;

    (2) shall, to the extent practicable, coordinate the research and development activities of the Department with other ongoing research and development security-related initiatives, including research being conducted by--

    (A) the Department of Transportation, including University Transportation Centers and other institutes, centers, and simulators funded by the Department of Transportation;

    (B) the National Academy of Sciences;

    (C) the Technical Support Working Group;

    (D) other Federal departments and agencies; and

    (E) other Federal and private research laboratories, research entities, and universities and institutions of higher education, including Historically Black Colleges and Universities, Hispanic Serving Institutions, or Indian Tribally Controlled Colleges and Universities;

    (3) shall carry out any research and development project authorized by this section through a reimbursable agreement with an appropriate Federal agency, if the agency--

    (A) is currently sponsoring a research and development project in a similar area; or

    (B) has a unique facility or capability that would be useful in carrying out the project;

    (4) may award grants, or enter into cooperative agreements, contracts, other transactions, or reimbursable agreements to the entities described in paragraph (2) and the eligible grant recipients under section 1513; and

    (5) shall make reasonable efforts to enter into memoranda of understanding, contracts, grants, cooperative agreements, or other transactions with railroad carriers willing to contribute both physical space and other resources.

    (d) Privacy and Civil Rights and Civil Liberties Issues.--

    (1) CONSULTATION.--In carrying out research and development projects under this section, the Secretary shall consult with the Chief Privacy Officer of the Department and the Officer for Civil Rights and Civil Liberties of the Department as appropriate and in accordance with section 222 of the Homeland Security Act of 2002 (6 U.S.C. 142).

    (2) PRIVACY IMPACT ASSESSMENTS.--In accordance with sections 222 and 705 of the Homeland Security Act of 2002 (6 U.S.C. 142; 345), the Chief Privacy Officer shall conduct privacy impact assessments and the Officer for Civil Rights and Civil Liberties shall conduct reviews, as appropriate, for research and development initiatives developed under this section that the Secretary determines could have an impact on privacy, civil rights, or civil liberties.

    (e) Authorization of Appropriations.--

    (1) IN GENERAL.--Out of funds appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1503, there shall be made available to the Secretary to carry out this section--

    (A) $33,000,000 for fiscal year 2008;

    (B) $33,000,000 for fiscal year 2009;

    (C) $33,000,000 for fiscal year 2010; and

    (D) $33,000,000 for fiscal year 2011.

    (2) PERIOD OF AVAILABILITY.--Such sums shall remain available until expended.

   SEC. 1519. RAILROAD TANK CAR SECURITY TESTING.

    (a) Railroad Tank Car Vulnerability Assessment.--

    (1) ASSESSMENT.--The Secretary shall assess the likely methods of a deliberate terrorist attack against a railroad tank car used to transport toxic-inhalation-hazard materials, and for each method assessed, the degree to which it may be successful in causing death, injury, or serious adverse effects to human health, the environment, critical infrastructure, national security, the national economy, or public welfare.

    (2) THREATS.--In carrying out paragraph (1), the Secretary shall consider the most current threat information as to likely methods of a successful terrorist attack on a railroad tank car transporting toxic-inhalation-hazard materials, and may consider the following:

    (A) Explosive devices placed along the tracks or attached to a railroad tank car.

    (B) The use of missiles, grenades, rockets, mortars, or other high-caliber weapons against a railroad tank car.

    (3) PHYSICAL TESTING.--In developing the assessment required under paragraph (1), the Secretary shall conduct physical testing of the vulnerability of railroad tank cars used to transport toxic-inhalation-hazard materials to different methods of a deliberate attack, using technical information and criteria to evaluate the structural integrity of railroad tank cars.

    (4) REPORT.--Not later than 30 days after the completion of the assessment under paragraph (1), the Secretary shall provide to the appropriate congressional committees a report, in the appropriate format, on such assessment.

    (b) Railroad Tank Car Dispersion Modeling.--

    (1) IN GENERAL.--The Secretary, acting through the National Infrastructure Simulation and Analysis Center, shall conduct an air dispersion modeling analysis of release scenarios of toxic-inhalation-hazard materials resulting from a terrorist attack on a loaded railroad tank car carrying such materials in urban and rural environments.

    (2) CONSIDERATIONS.--The analysis under this subsection shall take into account the following considerations:

    (A) The most likely means of attack and the resulting dispersal rate.

    (B) Different times of day, to account for differences in cloud coverage and other atmospheric conditions in the environment being modeled.

    (C) Differences in population size and density.

    (D) Historically accurate wind speeds, temperatures, and wind directions.

    (E) Differences in dispersal rates or other relevant factors related to whether a railroad tank car is in motion or stationary.

    (F) Emergency response procedures by local officials.

    (G) Any other considerations the Secretary believes would develop an accurate, plausible dispersion model for toxic-inhalation-hazard materials released from a railroad tank car as a result of a terrorist act.

    (3) CONSULTATION.--In conducting the dispersion modeling under paragraph (1), the Secretary shall consult with the Secretary of Transportation, hazardous materials experts, railroad carriers, nonprofit employee labor organizations representing railroad employees, appropriate State, local, and tribal officials, and other Federal agencies, as appropriate.

    (4) INFORMATION SHARING.--Upon completion of the analysis required under paragraph (1), the Secretary shall share the information developed with the appropriate stakeholders, given appropriate information protection provisions as may be required by the Secretary.

    (5) REPORT.--Not later than 30 days after completion of all dispersion analyses under paragraph (1), the Secretary shall submit to the appropriate congressional committees a report detailing the Secretary's conclusions and findings in an appropriate format.

   SEC. 1520. RAILROAD THREAT ASSESSMENTS.

    Not later than 1 year after the date of enactment of this Act, the Secretary shall complete a name-based security background check against the consolidated terrorist watchlist and an immigration status check for all railroad frontline employees, similar to the threat assessment screening program required for facility employees and longshoremen by the Commandant of the Coast Guard under Coast Guard Notice USCG-2006-24189 (71 Fed. Reg. 25066 (April 8, 2006)).

   SEC. 1521. RAILROAD EMPLOYEE PROTECTIONS.

    Section 20109 of title 49, United States Code, is amended to read:

   ``SEC. 20109. EMPLOYEE PROTECTIONS.

    ``(a) In General.--A railroad carrier engaged in interstate or foreign commerce, a contractor or a subcontractor of such a railroad carrier, or an officer or employee of such a railroad carrier, may not discharge, demote, suspend, reprimand, or in any other way discriminate against an employee if such discrimination is due, in whole or in part, to the employee's lawful, good faith act done, or perceived by the employer to have been done or about to be done--

    ``(1) to provide information, directly cause information to be provided, or otherwise directly assist in any investigation regarding any conduct which the employee reasonably believes constitutes a violation of any Federal law, rule, or regulation relating to railroad safety or security, or gross fraud, waste, or abuse of Federal grants or other public funds intended to be used for railroad safety or security, if the information or assistance is provided to or an investigation stemming from the provided information is conducted by--

    ``(A) a Federal, State, or local regulatory or law enforcement agency (including an office of the Inspector General under the Inspector General Act of 1978 (5 U.S.C. App.; Public Law 95-452);

    ``(B) any Member of Congress, any committee of Congress, or the Government Accountability Office; or

    ``(C) a person with supervisory authority over the employee or such other person who has the authority to investigate, discover, or terminate the misconduct;

    ``(2) to refuse to violate or assist in the violation of any Federal law, rule, or regulation relating to railroad safety or security;

    ``(3) to file a complaint, or directly cause to be brought a proceeding related to the enforcement of this part or, as applicable to railroad safety or security, chapter 51 or 57 of this title, or to testify in that proceeding;

    ``(4) to notify, or attempt to notify, the railroad carrier or the Secretary of Transportation of a work-related personal injury or work-related illness of an employee;

    ``(5) to cooperate with a safety or security investigation by the Secretary of Transportation, the Secretary of Homeland Security, or the National Transportation Safety Board;

    ``(6) to furnish information to the Secretary of Transportation, the Secretary of Homeland Security, the National Transportation Safety Board, or any Federal, State, or local regulatory or law enforcement agency as to the facts relating to any accident or incident resulting in injury or death to an individual or damage to property occurring in connection with railroad transportation; or

    ``(7) to accurately report hours on duty pursuant to chapter 211.

    ``(b) Hazardous Safety or Security Conditions.--(1) A railroad carrier engaged in interstate or foreign commerce, or an officer or employee of such a railroad carrier, shall not discharge, demote, suspend, reprimand, or in any other way discriminate against an employee for--

    ``(A) reporting, in good faith, a hazardous safety or security condition;

    ``(B) refusing to work when confronted by a hazardous safety or security condition related to the performance of the employee's duties, if the conditions described in paragraph (2) exist; or

    ``(C) refusing to authorize the use of any safety-related equipment, track, or structures, if the employee is responsible for the inspection or repair of the equipment, track, or structures, when the employee believes that the equipment, track, or structures are in a hazardous safety or

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security condition, if the conditions described in paragraph (2) exist.

    ``(2) A refusal is protected under paragraph (1)(B) and (C) if--

    ``(A) the refusal is made in good faith and no reasonable alternative to the refusal is available to the employee;

    ``(B) a reasonable individual in the circumstances then confronting the employee would conclude that--

    ``(i) the hazardous condition presents an imminent danger of death or serious injury; and

    ``(ii) the urgency of the situation does not allow sufficient time to eliminate the danger without such refusal; and

    ``(C) the employee, where possible, has notified the railroad carrier of the existence of the hazardous condition and the intention not to perform further work, or not to authorize the use of the hazardous equipment, track, or structures, unless the condition is corrected immediately or the equipment, track, or structures are repaired properly or replaced.

    ``(3) In this subsection, only paragraph (1)(A) shall apply to security personnel employed by a railroad carrier to protect individuals and property transported by railroad.

    ``(c) Enforcement Action.--

    ``(1) IN GENERAL.--An employee who alleges discharge, discipline, or other discrimination in violation of subsection (a) or (b) of this section, may seek relief in accordance with the provisions of this section, with any petition or other request for relief under this section to be initiated by filing a complaint with the Secretary of Labor.

    ``(2) PROCEDURE.--

    ``(A) IN GENERAL.--Any action under paragraph (1) shall be governed under the rules and procedures set forth in section 42121(b), including:

    ``(i) BURDENS OF PROOF.--Any action brought under (c)(1) shall be governed by the legal burdens of proof set forth in section 42121(b).

    ``(ii) STATUTE OF LIMITATIONS.--An action under paragraph (1) shall be commenced not later than 180 days after the date on which the alleged violation of subsection (a) or (b) of this section occurs.

    ``(iii) CIVIL ACTIONS TO ENFORCE.--If a person fails to comply with an order issued by the Secretary of Labor pursuant to the procedures in section 42121(b), the Secretary of Labor may bring a civil action to enforce the order in the district court of the United States for the judicial district in which the violation occurred, as set forth in 42121.

    ``(B) EXCEPTION.--Notification made under section 42121(b)(1) shall be made to the person named in the complaint and the person's employer.

    ``(3) DE NOVO REVIEW.--With respect to a complaint under paragraph (1), if the Secretary of Labor has not issued a final decision within 210 days after the filing of the complaint and if the delay is not due to the bad faith of the employee, the employee may bring an original action at law or equity for de novo review in the appropriate district court of the United States, which shall have jurisdiction over such an action without regard to the amount in controversy, and which action shall, at the request of either party to such action, be tried by the court with a jury.

    ``(4) APPEALS.--Any person adversely affected or aggrieved by an order issued pursuant to the procedures in section 42121(b), may obtain review of the order in the United States court of appeals for the circuit in which the violation, with respect to which the order was issued, allegedly occurred or the circuit in which the complainant resided on the date of such violation. The petition for review must be filed not later than 60 days after the date of the issuance of the final order of the Secretary of Labor. The review shall conform to chapter 7 of title 5. The commencement of proceedings under this paragraph shall not, unless ordered by the court, operate as a stay of the order.

    ``(d) Remedies.--

    ``(1) IN GENERAL.--An employee prevailing in any action under subsection (c) shall be entitled to all relief necessary to make the employee whole.

    ``(2) DAMAGES.--Relief in an action under subsection (c) (including an action described in subsection (c)(3)) shall include--

    ``(A) reinstatement with the same seniority status that the employee would have had, but for the discrimination;

    ``(B) any backpay, with interest; and

    ``(C) compensatory damages, including compensation for any special damages sustained as a result of the discrimination, including litigation costs, expert witness fees, and reasonable attorney fees.

    ``(3) POSSIBLE RELIEF.--Relief in any action under subsection (c) may include punitive damages in an amount not to exceed $250,000.

    ``(e) Election of Remedies.--An employee may not seek protection under both this section and another provision of law for the same allegedly unlawful act of the railroad carrier.

    ``(f) No Preemption.--Nothing in this section preempts or diminishes any other safeguards against discrimination, demotion, discharge, suspension, threats, harassment, reprimand, retaliation, or any other manner of discrimination provided by Federal or State law.

    ``(g) Rights Retained by Employee.--Nothing in this section shall be deemed to diminish the rights, privileges, or remedies of any employee under any Federal or State law or under any collective bargaining agreement. The rights and remedies in this section may not be waived by any agreement, policy, form, or condition of employment.

    ``(h) Disclosure of Identity.--

    ``(1) Except as provided in paragraph (2) of this subsection, or with the written consent of the employee, the Secretary of Transportation or the Secretary of Homeland Security may not disclose the name of an employee of a railroad carrier who has provided information about an alleged violation of this part or, as applicable to railroad safety or security, chapter 51 or 57 of this title, or a regulation prescribed or order issued under any of those provisions.

    ``(2) The Secretary of Transportation or the Secretary of Homeland Security shall disclose to the Attorney General the name of an employee described in paragraph (1) if the matter is referred to the Attorney General for enforcement. The Secretary making such disclosures shall provide reasonable advance notice to the affected employee if disclosure of that person's identity or identifying information is to occur.

    ``(i) Process for Reporting Security Problems to the Department of Homeland Security.--

    ``(1) ESTABLISHMENT OF PROCESS.--The Secretary of Homeland Security shall establish through regulations, after an opportunity for notice and comment, a process by which any person may report to the Secretary of Homeland Security regarding railroad security problems, deficiencies, or vulnerabilities.

    ``(2) ACKNOWLEDGMENT OF RECEIPT.--If a report submitted under paragraph (1) identifies the person making the report, the Secretary of Homeland Security shall respond promptly to such person and acknowledge receipt of the report.

    ``(3) STEPS TO ADDRESS PROBLEM.--The Secretary of Homeland Security shall review and consider the information provided in any report submitted under paragraph (1) and shall take appropriate steps to address any problems or deficiencies identified.''.

   SEC. 1522. SECURITY BACKGROUND CHECKS OF COVERED INDIVIDUALS.

    (a) Definitions.--In this section, the following definitions apply:

    (1) SECURITY BACKGROUND CHECK.--The term ``security background check'' means reviewing, for the purpose of identifying individuals who may pose a threat to transportation security or national security, or of terrorism--

    (A) relevant criminal history databases;

    (B) in the case of an alien (as defined in the Immigration and Nationality Act (8 U.S.C. 1101(a)(3)), the relevant databases to determine the status of the alien under the immigration laws of the United States; and

    (C) other relevant information or databases, as determined by the Secretary.

    (2) COVERED INDIVIDUAL.--The term ``covered individual'' means an employee of a railroad carrier or a contractor or subcontractor of a railroad carrier.

    (b) Guidance.--

    (1) Any guidance, recommendations, suggested action items, or any other widely disseminated voluntary action items issued by the Secretary to a railroad carrier or a contractor or subcontractor of a railroad carrier relating to performing a security background check of a covered individual shall contain recommendations on the appropriate scope and application of such a security background check, including the time period covered, the types of disqualifying offenses, and a redress process for adversely impacted covered individuals consistent with subsections (c) and (d) of this section.

    (2) Within 60 days after the date of enactment of this Act, any guidance, recommendations, suggested action items, or any other widely disseminated voluntary action item issued by the Secretary prior to the date of enactment of this Act to a railroad carrier or a contractor or subcontractor of a railroad carrier relating to performing a security background check of a covered individual shall be updated in compliance with paragraph (1).

    (3) If a railroad carrier or a contractor or subcontractor of a railroad carrier performs a security background check on a covered individual to fulfill guidance issued by the Secretary under paragraph (1) or (2), the Secretary shall not consider such guidance fulfilled unless an adequate redress process as described in subsection (d) is provided to covered individuals.

    (c) Requirements.--If the Secretary issues a rule, regulation, or directive requiring a railroad carrier or contractor or subcontractor of a railroad carrier to perform a security background check of a covered individual, then the Secretary shall prohibit the railroad carrier or contractor or subcontractor of a railroad carrier from making an adverse employment decision, including removal or suspension of the covered individual, due to such rule, regulation, or directive with respect to a covered individual unless the railroad carrier or contractor or subcontractor of a railroad carrier determines that the covered individual--

    (1) has been convicted of, has been found not guilty by reason of insanity, or is under want, warrant, or indictment for a permanent disqualifying criminal offense listed in part 1572 of title 49, Code of Federal Regulations;

    (2) was convicted of or found not guilty by reason of insanity of an interim disqualifying criminal offense listed in part 1572 of title 49, Code of Federal Regulations, within 7 years of the date that the railroad carrier or contractor or subcontractor of a railroad carrier performs the security background check; or

    (3) was incarcerated for an interim disqualifying criminal offense listed in part 1572 of title 49, Code of Federal Regulations, and released from incarceration within 5 years of the date that the railroad carrier or contractor or subcontractor of a railroad carrier performs the security background check.

    (d) Redress Process.--If the Secretary issues a rule, regulation, or directive requiring a railroad carrier or contractor or subcontractor of a railroad carrier to perform a security background check of a covered individual, the Secretary shall--

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    (1) provide an adequate redress process for a covered individual subjected to an adverse employment decision, including removal or suspension of the employee, due to such rule, regulation, or directive that is consistent with the appeals and waiver process established for applicants for commercial motor vehicle hazardous materials endorsements and transportation employees at ports, as required by section 70105(c) of title 46, United States Code; and

    (2) have the authority to order an appropriate remedy, including reinstatement of the covered individual, should the Secretary determine that a railroad carrier or contractor or subcontractor of a railroad carrier wrongfully made an adverse employment decision regarding a covered individual pursuant to such rule, regulation, or directive.

    (e) False Statements.--A railroad carrier or a contractor or subcontractor of a railroad carrier may not knowingly misrepresent to an employee or other relevant person, including an arbiter involved in a labor arbitration, the scope, application, or meaning of any rules, regulations, directives, or guidance issued by the Secretary related to security background check requirements for covered individuals when conducting a security background check. Not later than 1 year after the date of enactment of this Act, the Secretary shall issue a regulation that prohibits a railroad carrier or a contractor or subcontractor of a railroad carrier from knowingly misrepresenting to an employee or other relevant person, including an arbiter involved in a labor arbitration, the scope, application, or meaning of any rules, regulations, directives, or guidance issued by the Secretary related to security background check requirements for covered individuals when conducting a security background check.

    (f) Rights and Responsibilities.--Nothing in this section shall be construed to abridge a railroad carrier's or a contractor or subcontractor of a railroad carrier's rights or responsibilities to make adverse employment decisions permitted by other Federal, State, or local laws. Nothing in the section shall be construed to abridge rights and responsibilities of covered individuals, a railroad carrier, or a contractor or subcontractor of a railroad carrier, under any other Federal, State, or local laws or under any collective bargaining agreement.

    (g) No Preemption of Federal or State Law.--Nothing in this section shall be construed to preempt a Federal, State, or local law that requires criminal history background checks, immigration status checks, or other background checks, of covered individuals.

    (h) Statutory Construction.--Nothing in this section shall be construed to affect the process for review established under section 70105(c) of title 46, United States Code, including regulations issued pursuant to such section.

   SEC. 1523. NORTHERN BORDER RAILROAD PASSENGER REPORT.

    (a) In General.--Not later than 1 year after the date of enactment of this Act, the Secretary, in consultation with the Administrator of the Transportation Security Administration, the Secretary of Transportation, heads of other appropriate Federal departments and agencies and Amtrak shall transmit a report to the appropriate congressional committees that contains--

    (1) a description of the current system for screening passengers and baggage on passenger railroad service between the United States and Canada;

    (2) an assessment of the current program to provide preclearance of airline passengers between the United States and Canada as outlined in ``The Agreement on Air Transport Preclearance between the Government of Canada and the Government of the United States of America'', dated January 18, 2001;

    (3) an assessment of the current program to provide preclearance of freight railroad traffic between the United States and Canada as outlined in the ``Declaration of Principle for the Improved Security of Rail Shipments by Canadian National Railway and Canadian Pacific Railway from Canada to the United States'', dated April 2, 2003;

    (4) information on progress by the Department of Homeland Security and other Federal agencies towards finalizing a bilateral protocol with Canada that would provide for preclearance of passengers on trains operating between the United States and Canada;

    (5) a description of legislative, regulatory, budgetary, or policy barriers within the United States Government to providing prescreened passenger lists for railroad passengers traveling between the United States and Canada to the Department;

    (6) a description of the position of the Government of Canada and relevant Canadian agencies with respect to preclearance of such passengers;

    (7) a draft of any changes in existing Federal law necessary to provide for prescreening of such passengers and providing prescreened passenger lists to the Department; and

    (8) an analysis of the feasibility of reinstating in-transit inspections onboard international Amtrak trains.

    (b) Privacy and Civil Rights and Civil Liberties Issues.--

    (1) CONSULTATION.--In preparing the report under this section, the Secretary shall consult with the Chief Privacy Officer of the Department and the Officer for Civil Rights and Civil Liberties of the Department as appropriate and in accordance with section 222 of the Homeland Security Act of 2002.

    (2) PRIVACY IMPACT ASSESSMENTS.--In accordance with sections 222 and 705 of the Homeland Security Act of 2002, the report must contain a privacy impact assessment conducted by the Chief Privacy Officer and a review conducted by the Officer for Civil Rights and Civil Liberties.

   SEC. 1524. INTERNATIONAL RAILROAD SECURITY PROGRAM.

    (a) In General.--

    (1) The Secretary shall develop a system to detect both undeclared passengers and contraband, with a primary focus on the detection of nuclear and radiological materials entering the United States by railroad.

    (2) SYSTEM REQUIREMENTS.--In developing the system under paragraph (1), the Secretary may, in consultation with the Domestic Nuclear Detection Office, Customs and Border Protection, and the Transportation Security Administration--

    (A) deploy radiation detection equipment and nonintrusive imaging equipment at locations where railroad shipments cross an international border to enter the United States;

    (B) consider the integration of radiation detection technologies with other nonintrusive inspection technologies where feasible;

    (C) ensure appropriate training, operations, and response protocols are established for Federal, State, and local personnel;

    (D) implement alternative procedures to check railroad shipments at locations where the deployment of nonintrusive inspection imaging equipment is determined to not be practicable;

    (E) ensure, to the extent practicable, that such technologies deployed can detect terrorists or weapons, including weapons of mass destruction; and

    (F) take other actions, as appropriate, to develop the system.

    (b) Additional Information.--The Secretary shall--

    (1) identify and seek the submission of additional data elements for improved high-risk targeting related to the movement of cargo through the international supply chain utilizing a railroad prior to importation into the United States;

    (2) utilize data collected and maintained by the Secretary of Transportation in the targeting of high-risk cargo identified under paragraph (1); and

    (3) analyze the data provided in this subsection to identify high-risk cargo for inspection.

    (c) Report to Congress.--Not later than September 30, 2008, the Secretary shall transmit to the appropriate congressional committees a report that describes the progress of the system being developed under subsection (a).

    (d) Definitions.--In this section:

    (1) INTERNATIONAL SUPPLY CHAIN.--The term ``international supply chain'' means the end-to-end process for shipping goods to or from the United States, beginning at the point of origin (including manufacturer, supplier, or vendor) through a point of distribution to the destination.

    (2) RADIATION DETECTION EQUIPMENT.--The term ``radiation detection equipment'' means any technology that is capable of detecting or identifying nuclear and radiological material or nuclear and radiological explosive devices.

    (3) INSPECTION.--The term ``inspection'' means the comprehensive process used by Customs and Border Protection to assess goods entering the United States to appraise them for duty purposes, to detect the presence of restricted or prohibited items, and to ensure compliance with all applicable laws.

   SEC. 1525. TRANSMISSION LINE REPORT.

    (a) Study.--The Comptroller General shall undertake an assessment of the placement of high-voltage, direct-current, electric transmission lines along active railroad and other transportation rights-of-way. In conducting the assessment, the Comptroller General shall evaluate any economic, safety, and security risks and benefits to inhabitants living adjacent to such rights-of-way and to consumers of electric power transmitted by such transmission lines.

    (b) Report.--Not later than 6 months after the date of enactment of this Act, the Comptroller General shall transmit the results of the assessment in subsection (a) to the appropriate congressional committees.

   SEC. 1526. RAILROAD SECURITY ENHANCEMENTS.

    (a) Railroad Police Officers.--Section 28101 of title 49, United States Code, is amended--

    (1) by inserting ``(a) In General.--'' before ``Under''; and

    (2) by adding at the end the following:

    ``(b) Assignment.--A railroad police officer employed by a railroad carrier and certified or commissioned as a police officer under the laws of a State may be temporarily assigned to assist a second railroad carrier in carrying out law enforcement duties upon the request of the second railroad carrier, at which time the police officer shall be considered to be an employee of the second railroad carrier and shall have authority to enforce the laws of any jurisdiction in which the second railroad carrier owns property to the same extent as provided in subsection (a).''.

    (b) Model State Legislation.--Not later than November 2, 2007, the Secretary of Transportation shall develop and make available to States model legislation to address the problem of entities that claim to be railroad carriers in order to establish and run a police force when the entities do not in fact provide railroad transportation. In developing the model State legislation the Secretary shall solicit the input of the States, railroads carriers, and railroad carrier employees. The Secretary shall review and, if necessary, revise such model State legislation periodically.

   SEC. 1527. APPLICABILITY OF DISTRICT OF COLUMBIA LAW TO CERTAIN AMTRAK CONTRACTS.

    Section 24301 of title 49, United States Code, is amended by adding at the end the following:

    ``(o) Applicability of District of Columbia Law.--Any lease or contract entered into between Amtrak and the State of Maryland, or any department or agency of the State of Maryland, after the date of the enactment of this subsection shall be governed by the laws of the District of Columbia.''.

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   SEC. 1528. RAILROAD PREEMPTION CLARIFICATION.

    Section 20106 of title 49, United States Code, is amended to read as follows:``§20106. Preemption

    ``(a) National Uniformity of Regulation.--(1) Laws, regulations, and orders related to railroad safety and laws, regulations, and orders related to railroad security shall be nationally uniform to the extent practicable.

    ``(2) A State may adopt or continue in force a law, regulation, or order related to railroad safety or security until the Secretary of Transportation (with respect to railroad safety matters), or the Secretary of Homeland Security (with respect to railroad security matters), prescribes a regulation or issues an order covering the subject matter of the State requirement. A State may adopt or continue in force an additional or more stringent law, regulation, or order related to railroad safety or security when the law, regulation, or order--

    ``(A) is necessary to eliminate or reduce an essentially local safety or security hazard;

    ``(B) is not incompatible with a law, regulation, or order of the United States Government; and

    ``(C) does not unreasonably burden interstate commerce.

    ``(b) Clarification Regarding State Law Causes of Action.--(1) Nothing in this section shall be construed to preempt an action under State law seeking damages for personal injury, death, or property damage alleging that a party--

    ``(A) has failed to comply with the Federal standard of care established by a regulation or order issued by the Secretary of Transportation (with respect to railroad safety matters), or the Secretary of Homeland Security (with respect to railroad security matters), covering the subject matter as provided in subsection (a) of this section;

    ``(B) has failed to comply with its own plan, rule, or standard that it created pursuant to a regulation or order issued by either of the Secretaries; or

    ``(C) has failed to comply with a State law, regulation, or order that is not incompatible with subsection (a)(2).

    ``(2) This subsection shall apply to all pending State law causes of action arising from events or activities occurring on or after January 18, 2002.

    ``(c) Jurisdiction.--Nothing in this section creates a Federal cause of action on behalf of an injured party or confers Federal question jurisdiction for such State law causes of action.''.

   

Subtitle C--Over-the-Road Bus and Trucking Security

   SEC. 1531. OVER-THE-ROAD BUS SECURITY ASSESSMENTS AND PLANS.

    (a) In General.--Not later than 18 months after the date of enactment of this Act, the Secretary shall issue regulations that--

    (1) require each over-the-road bus operator assigned to a high-risk tier under this section--

    (A) to conduct a vulnerability assessment in accordance with subsections (c) and (d); and

    (B) to prepare, submit to the Secretary for approval, and implement a security plan in accordance with subsection (e); and

    (2) establish standards and guidelines for developing and implementing the vulnerability assessments and security plans for carriers assigned to high-risk tiers consistent with this section.

    (b) Non High-Risk Programs.--The Secretary may establish a security program for over-the-road bus operators not assigned to a high-risk tier, including--

    (1) guidance for such operators in conducting vulnerability assessments and preparing and implementing security plans, as determined appropriate by the Secretary; and

    (2) a process to review and approve such assessments and plans, as appropriate.

    (c) Deadline for Submission.--Not later than 9 months after the date of issuance of the regulations under subsection (a), the vulnerability assessments and security plans required by such regulations for over-the-road bus operators assigned to a high-risk tier shall be completed and submitted to the Secretary for review and approval.

    (d) Vulnerability Assessments.--

    (1) REQUIREMENTS.--The Secretary shall provide technical assistance and guidance to over-the-road bus operators in conducting vulnerability assessments under this section and shall require that each vulnerability assessment of an operator assigned to a high-risk tier under this section includes, as appropriate--

    (A) identification and evaluation of critical assets and infrastructure, including platforms, stations, terminals, and information systems;

    (B) identification of the vulnerabilities to those assets and infrastructure; and

    (C) identification of weaknesses in--

    (i) physical security;

    (ii) passenger and cargo security;

    (iii) the security of programmable electronic devices, computers, or other automated systems which are used in providing over-the-road bus transportation;

    (iv) alarms, cameras, and other protection systems;

    (v) communications systems and utilities needed for over-the-road bus security purposes, including dispatching systems;

    (vi) emergency response planning;

    (vii) employee training; and

    (viii) such other matters as the Secretary determines appropriate.

    (2) THREAT INFORMATION.--The Secretary shall provide in a timely manner to the appropriate employees of an over-the-road bus operator, as designated by the over-the-road bus operator, threat information that is relevant to the operator when preparing and submitting a vulnerability assessment and security plan, including an assessment of the most likely methods that could be used by terrorists to exploit weaknesses in over-the-road bus security.

    (e) Security Plans.--

    (1) REQUIREMENTS.--The Secretary shall provide technical assistance and guidance to over-the-road bus operators in preparing and implementing security plans under this section and shall require that each security plan of an over-the-road bus operator assigned to a high-risk tier under this section includes, as appropriate--

    (A) the identification of a security coordinator having authority--

    (i) to implement security actions under the plan;

    (ii) to coordinate security improvements; and

    (iii) to receive communications from appropriate Federal officials regarding over-the-road bus security;

    (B) a list of needed capital and operational improvements;

    (C) procedures to be implemented or used by the over-the-road bus operator in response to a terrorist attack, including evacuation and passenger communication plans that include individuals with disabilities, as appropriate;

    (D) the identification of steps taken with State and local law enforcement agencies, emergency responders, and Federal officials to coordinate security measures and plans for response to a terrorist attack;

    (E) a strategy and timeline for conducting training under section 1534;

    (F) enhanced security measures to be taken by the over-the-road bus operator when the Secretary declares a period of heightened security risk;

    (G) plans for providing redundant and backup systems required to ensure the continued operation of critical elements of the over-the-road bus operator's system in the event of a terrorist attack or other incident; and

    (H) such other actions or procedures as the Secretary determines are appropriate to address the security of over-the-road bus operators.

    (2) SECURITY COORDINATOR REQUIREMENTS.--The Secretary shall require that the individual serving as the security coordinator identified in paragraph (1)(A) is a citizen of the United States. The Secretary may waive this requirement with respect to an individual if the Secretary determines that it is appropriate to do so based on a background check of the individual and a review of the consolidated terrorist watchlist.

    (f) Deadline for Review Process.--Not later than 6 months after receiving the assessments and plans required under this section, the Secretary shall--

    (1) review each vulnerability assessment and security plan submitted to the Secretary in accordance with subsection (c);

    (2) require amendments to any security plan that does not meet the requirements of this section; and

    (3) approve any vulnerability assessment or security plan that meets the requirements of this section.

    (g) Interim Security Measures.--The Secretary may require over-the-road bus operators, during the period before the deadline established under subsection (c), to submit a security plan to implement any necessary interim security measures essential to providing adequate security of the over-the-road bus operator's system. An interim plan required under this subsection shall be superseded by a plan required under subsection (c).

    (h) Tier Assignment.--The Secretary shall assign each over-the-road bus operator to a risk-based tier established by the Secretary.

    (1) PROVISION OF INFORMATION.--The Secretary may request, and an over-the-road bus operator shall provide, information necessary for the Secretary to assign an over-the-road bus operator to the appropriate tier under this subsection.

    (2) NOTIFICATION.--Not later than 60 days after the date an over-the-road bus operator is assigned to a tier under this section, the Secretary shall notify the operator of the tier to which it is assigned and the reasons for such assignment.

    (3) HIGH-RISK TIERS.--At least one of the tiers established by the Secretary under this section shall be a tier designated for high-risk over-the-road bus operators.

    (4) REASSIGNMENT.--The Secretary may reassign an over-the-road bus operator to another tier, as appropriate, in response to changes in risk and the Secretary shall notify the over-the-road bus operator within 60 days after such reassignment and provide the operator with the reasons for such reassignment.

    (i) Existing Procedures, Protocols, and Standards.--

    (1) DETERMINATION.--In response to a petition by an over-the-road bus operator or at the discretion of the Secretary, the Secretary may determine that existing procedures, protocols, and standards meet all or part of the requirements of this section regarding vulnerability assessments and security plans.

    (2) ELECTION.--Upon review and written determination by the Secretary that existing procedures, protocols, or standards of an over-the-road bus operator satisfy the requirements of this section, the over-the-road bus operator may elect to comply with those procedures, protocols, or standards instead of the requirements of this section.

    (3) PARTIAL APPROVAL.--If the Secretary determines that the existing procedures, protocols, or standards of an over-the-road bus operator satisfy only part of the requirements of this section, the Secretary may accept such submission, but shall require submission by the operator of any additional information relevant to the vulnerability assessment and security plan of the operator to ensure that the remaining requirements of this section are fulfilled.

    (4) NOTIFICATION.--If the Secretary determines that particular existing procedures, protocols, or

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standards of an over-the-road bus operator under this subsection do not satisfy the requirements of this section, the Secretary shall provide to the operator a written notification that includes an explanation of the reasons for nonacceptance.

    (5) REVIEW.--Nothing in this subsection shall relieve the Secretary of the obligation--

    (A) to review the vulnerability assessment and security plan submitted by an over-the-road bus operator under this section; and

    (B) to approve or disapprove each submission on an individual basis.

    (j) Periodic Evaluation by Over-the-Road Bus Provider Required.--

    (1) SUBMISSION OF EVALUATION.--Not later than 3 years after the date on which a vulnerability assessment or security plan required to be submitted to the Secretary under subsection (c) is approved, and at least once every 5 years thereafter (or on such a schedule as the Secretary may establish by regulation), an over-the-road bus operator who submitted a vulnerability assessment and security plan and who is still assigned to the high-risk tier shall also submit to the Secretary an evaluation of the adequacy of the vulnerability assessment and security plan that includes a description of any material changes made to the vulnerability assessment or security plan.

    (2) REVIEW OF EVALUATION.--Not later than 180 days after the date on which an evaluation is submitted, the Secretary shall review the evaluation and notify the over-the-road bus operator submitting the evaluation of the Secretary's approval or disapproval of the evaluation.

    (k) Shared Facilities.--The Secretary may permit under this section the development and implementation of coordinated vulnerability assessments and security plans to the extent that an over-the-road bus operator shares facilities with, or is colocated with, other transportation entities or providers that are required to develop vulnerability assessments and security plans under Federal law.

    (l) Nondisclosure of Information.--

    (1) SUBMISSION OF INFORMATION TO CONGRESS.--Nothing in this section shall be construed as authorizing the withholding of any information from Congress.

    (2) DISCLOSURE OF INDEPENDENTLY FURNISHED INFORMATION.--Nothing in this section shall be construed as affecting any authority or obligation of a Federal agency to disclose any record or information that the Federal agency obtains from an over-the-road bus operator under any other Federal law.

   SEC. 1532. OVER-THE-ROAD BUS SECURITY ASSISTANCE.

    (a) In General.--The Secretary shall establish a program for making grants to eligible private operators providing transportation by an over-the-road bus for security improvements described in subsection (b).

    (b) Uses of Funds.--A recipient of a grant received under subsection (a) shall use the grant funds for one or more of the following:

    (1) Constructing and modifying terminals, garages, and facilities, including terminals and other over-the-road bus facilities owned by State or local governments, to increase their security.

    (2) Modifying over-the-road buses to increase their security.

    (3) Protecting or isolating the driver of an over-the-road bus.

    (4) Acquiring, upgrading, installing, or operating equipment, software, or accessorial services for collection, storage, or exchange of passenger and driver information through ticketing systems or other means and for information links with government agencies, for security purposes.

    (5) Installing cameras and video surveillance equipment on over-the-road buses and at terminals, garages, and over-the-road bus facilities.

    (6) Establishing and improving an emergency communications system linking drivers and over-the-road buses to the recipient's operations center or linking the operations center to law enforcement and emergency personnel.

    (7) Implementing and operating passenger screening programs for weapons and explosives.

    (8) Public awareness campaigns for enhanced over-the-road bus security.

    (9) Operating and capital costs associated with over-the-road bus security awareness, preparedness, and response training, including training under section 1534 and training developed by institutions of higher education and by nonprofit employee labor organizations, for over-the-road bus employees, including frontline employees.

    (10) Chemical, biological, radiological, or explosive detection, including canine patrols for such detection.

    (11) Overtime reimbursement, including reimbursement of State, local, and tribal governments for costs, for enhanced security personnel assigned to duties related to over-the-road bus security during periods of high or severe threat levels, National Special Security Events, or other periods of heightened security as determined by the Secretary.

    (12) Live or simulated exercises, including those described in section 1533.

    (13) Operational costs to hire, train, and employ police and security officers, including canine units, assigned to full-time security or counterterrorism duties related to over-the-road bus transportation, including reimbursement of State, local, and tribal government costs for such personnel.

    (14) Development of assessments or security plans under section 1531.

    (15) Such other improvements as the Secretary considers appropriate.

    (c) Due Consideration.--In making grants under this section, the Secretary shall prioritize grant funding based on security risks to bus passengers and the ability of a project to reduce, or enhance response to, that risk, and shall not penalize private operators of over-the-road buses that have taken measures to enhance over-the-road bus transportation security prior to September 11, 2001.

    (d) Department of Homeland Security Responsibilities.--In carrying out the responsibilities under subsection (a), the Secretary shall--

    (1) determine the requirements for recipients of grants under this section, including application requirements;

    (2) select grant recipients;

    (3) award the funds authorized by this section based on risk, as identified by the plans required under section 1531 or assessment or plan described in subsection (f)(2); and

    (4) pursuant to subsection (c), establish priorities for the use of funds for grant recipients.

    (e) Distribution of Grants.--Not later than 90 days after the date of enactment of this Act, the Secretary and the Secretary of Transportation shall determine the most effective and efficient way to distribute grant funds to the recipients of grants determined by the Secretary under subsection (a). Subject to the determination made by the Secretaries, the Secretary may transfer funds to the Secretary of Transportation for the purposes of disbursing funds to the grant recipient.

    (f) Eligibility.--

    (1) A private operator providing transportation by an over-the-road bus is eligible for a grant under this section if the operator has completed a vulnerability assessment and developed a security plan that the Secretary has approved under section 1531. Grant funds may only be used for permissible uses under subsection (b) to further an over-the-road bus security plan.

    (2) Notwithstanding the requirements for eligibility and uses in paragraph (1), prior to the earlier of one year after the date of issuance of final regulations requiring vulnerability assessments and security plans under section 1531 or 3 years after the date of enactment of this Act, the Secretary may award grants under this section for over-the-road bus security improvements listed under subsection (b) based upon over-the-road bus vulnerability assessments and security plans that the Secretary deems are sufficient for the purposes of this section but have not been approved by the Secretary in accordance with section 1531.

    (g) Subject to Certain Terms and Conditions.--Except as otherwise specifically provided in this section, a grant made under this section shall be subject to the terms and conditions applicable to subrecipients who provide over-the-road bus transportation under section 5311(f) of title 49, United States Code, and such other terms and conditions as are determined necessary by the Secretary.

    (h) Limitation on Uses of Funds.--A grant made under this section may not be used to make any State or local government cost-sharing contribution under any other Federal law.

    (i) Annual Reports.--Each recipient of a grant under this section shall report annually to the Secretary and on the use of such grant funds.

    (j) Consultation.--In carrying out this section, the Secretary shall consult with over-the-road bus operators and nonprofit employee labor organizations representing over-the-road bus employees, public safety and law enforcement officials.

    (k) Authorization.--

    (1) IN GENERAL.--From the amounts appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1503 of this Act, there shall be made available to the Secretary to make grants under this section--

    (A) $12,000,000 for fiscal year 2008;

    (B) $25,000,000 for fiscal year 2009;

    (C) $25,000,000 for fiscal year 2010; and

    (D) $25,000,000 for fiscal year 2011.

    (2) PERIOD OF AVAILABILITY.--Sums appropriated to carry out this section shall remain available until expended.

   SEC. 1533. OVER-THE-ROAD BUS EXERCISES.

    (a) In General.--The Secretary shall establish a program for conducting security exercises for over-the-road bus transportation for the purpose of assessing and improving the capabilities of entities described in subsection (b) to prevent, prepare for, mitigate, respond to, and recover from acts of terrorism.

    (b) Covered Entities.--Entities to be assessed under the program shall include--

    (1) Federal, State, and local agencies and tribal governments;

    (2) over-the-road bus operators and over-the-road bus terminal owners and operators;

    (3) governmental and nongovernmental emergency response providers and law enforcement agencies; and

    (4) any other organization or entity that the Secretary determines appropriate.

    (c) Requirements.--The Secretary shall ensure that the program--

    (1) consolidates existing security exercises for over-the-road bus operators and terminals administered by the Department and the Department of Transportation, as jointly determined by the Secretary and the Secretary of Transportation, unless the Secretary waives this consolidation requirement, as appropriate;

    (2) consists of exercises that are--

    (A) scaled and tailored to the needs of the over-the-road bus operators and terminals, including addressing the needs of the elderly and individuals with disabilities;

    (B) live, in the case of the most at-risk facilities to a terrorist attack;

    (C) coordinated with appropriate officials;

    (D) as realistic as practicable and based on current risk assessments, including credible threats, vulnerabilities, and consequences;

    (E) inclusive, as appropriate, of over-the-road bus frontline employees; and

    (F) consistent with the National Incident Management System, the National Response Plan, the National Infrastructure Protection Plan, the National Preparedness Guidance, the

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National Preparedness Goal, and other such national initiatives;

    (3) provides that exercises described in paragraph (2) will be--

    (A) evaluated by the Secretary against clear and consistent performance measures;

    (B) assessed by the Secretary to identify best practices, which shall be shared, as appropriate, with operators providing over-the-road bus transportation, nonprofit employee organizations that represent over-the-road bus employees, Federal, State, local, and tribal officials, governmental and nongovernmental emergency response providers, and law enforcement personnel; and

    (C) used to develop recommendations, as appropriate, provided to over-the-road bus operators and terminal owners and operators on remedial action to be taken in response to lessons learned;

    (4) allows for proper advanced notification of communities and local governments in which exercises are held, as appropriate; and

    (5) assists State, local, and tribal governments and over-the-road bus operators and terminal owners and operators in designing, implementing, and evaluating additional exercises that conform to the requirements of paragraph (2).

    (d) National Exercise Program.--The Secretary shall ensure that the exercise program developed under subsection (c) is consistent with the National Exercise Program established under section 648 of the Post Katrina Emergency Management Reform Act (Public Law 109-295; 6 U.S.C. 748).

   SEC. 1534. OVER-THE-ROAD BUS SECURITY TRAINING PROGRAM.

    (a) In General.--Not later than 6 months after the date of enactment of this Act, the Secretary shall develop and issue regulations for an over-the-road bus training program to prepare over-the-road bus frontline employees for potential security threats and conditions. The regulations shall take into consideration any current security training requirements or best practices.

    (b) Consultation.--The Secretary shall develop regulations under subsection (a) in consultation with--

    (1) appropriate law enforcement, fire service, emergency response, security, and terrorism experts;

    (2) operators providing over-the-road bus transportation; and

    (3) nonprofit employee labor organizations representing over-the-road bus employees and emergency response personnel.

    (c) Program Elements.--The regulations developed under subsection (a) shall require security training programs, to include, at a minimum, elements to address the following, as applicable:

    (1) Determination of the seriousness of any occurrence or threat.

    (2) Driver and passenger communication and coordination.

    (3) Appropriate responses to defend or protect oneself.

    (4) Use of personal and other protective equipment.

    (5) Evacuation procedures for passengers and over-the-road bus employees, including individuals with disabilities and the elderly.

    (6) Psychology, behavior, and methods of terrorists, including observation and analysis.

    (7) Training related to psychological responses to terrorist incidents, including the ability to cope with hijacker behavior and passenger responses.

    (8) Live situational training exercises regarding various threat conditions, including tunnel evacuation procedures.

    (9) Recognition and reporting of dangerous substances, suspicious packages, and situations.

    (10) Understanding security incident procedures, including procedures for communicating with emergency response providers and for on-scene interaction with such emergency response providers.

    (11) Operation and maintenance of security equipment and systems.

    (12) Other security training activities that the Secretary considers appropriate.

    (d) Required Programs.--

    (1) DEVELOPMENT AND SUBMISSION TO SECRETARY.--Not later than 90 days after the Secretary issues the regulations under subsection (a), each over-the-road bus operator shall develop a security training program in accordance with such regulations and submit the program to the Secretary for approval.

    (2) APPROVAL.--Not later than 60 days after receiving a security training program under this subsection, the Secretary shall approve the program or require the over-the-road bus operator that developed the program to make any revisions to the program that the Secretary considers necessary for the program to meet the requirements of the regulations. An over-the-road bus operator shall respond to the Secretary's comments not later than 30 days after receiving them.

    (3) TRAINING.--Not later than 1 year after the Secretary approves a security training program in accordance with this subsection, the over-the-road bus operator that developed the program shall complete the training of all over-the-road bus frontline employees who were hired by the operator more than 30 days preceding such date. For such employees employed less than 30 days by an operator preceding such date, training shall be completed within the first 60 days of employment.

    (4) UPDATES OF REGULATIONS AND PROGRAM REVISIONS.--The Secretary shall periodically review and update, as appropriate, the training regulations issued under subsection (a) to reflect new or changing security threats. Each over-the-road bus operator shall revise its training program accordingly and provide additional training as necessary to its employees within a reasonable time after the regulations are updated.

    (e) National Training Program.--The Secretary shall ensure that the training program developed under subsection (a) is a component of the National Training Program established under section 648 of the Post Katrina Emergency Management Reform Act (Public Law 109-295; 6 U.S.C. 748).

    (f) Reporting Requirements.--Not later than 2 years after the date of regulation issuance, the Secretary shall review implementation of the training program of a representative sample of over-the-road bus operators and over-the-road bus frontline employees, and report to the appropriate congressional committees of such reviews. The Secretary may submit the report in both classified and redacted formats as necessary.

   SEC. 1535. OVER-THE-ROAD BUS SECURITY RESEARCH AND DEVELOPMENT.

    (a) Establishment of Research and Development Program.--The Secretary, acting through the Under Secretary for Science and Technology and the Administrator of the Transportation Security Administration, shall carry out a research and development program for the purpose of improving the security of over-the-road buses.

    (b) Eligible Projects.--The research and development program may include projects--

    (1) to reduce the vulnerability of over-the-road buses, stations, terminals, and equipment to explosives and hazardous chemical, biological, and radioactive substances, including the development of technology to screen passengers in large numbers with minimal interference and disruption;

    (2) to test new emergency response and recovery techniques and technologies, including those used at international borders;

    (3) to develop improved technologies, including those for--

    (A) emergency response training, including training in a tunnel environment, if appropriate; and

    (B) security and redundancy for critical communications, electrical power, computer, and over-the-road bus control systems; and

    (4) to address other vulnerabilities and risks identified by the Secretary.

    (c) Coordination With Other Research Initiatives.--The Secretary--

    (1) shall ensure that the research and development program is consistent with the other transportation security research and development programs required by this Act;

    (2) shall, to the extent practicable, coordinate the research and development activities of the Department with other ongoing research and development security-related initiatives, including research being conducted by--

    (A) the Department of Transportation, including University Transportation Centers and other institutes, centers, and simulators funded by the Department of Transportation;

    (B) the National Academy of Sciences;

    (C) the Technical Support Working Group;

    (D) other Federal departments and agencies; and

    (E) other Federal and private research laboratories, research entities, and institutions of higher education, including Historically Black Colleges and Universities, Hispanic Serving Institutions, and Indian Tribally Controlled Colleges and Universities;

    (3) shall carry out any research and development project authorized by this section through a reimbursable agreement with an appropriate Federal agency, if the agency--

    (A) is currently sponsoring a research and development project in a similar area; or

    (B) has a unique facility or capability that would be useful in carrying out the project;

    (4) may award grants and enter into cooperative agreements, contracts, other transactions, or reimbursable agreements to the entities described in paragraph (2) and eligible recipients under section 1532; and

    (5) shall make reasonable efforts to enter into memoranda of understanding, contracts, grants, cooperative agreements, or other transactions with private operators providing over-the-road bus transportation willing to contribute assets, physical space, and other resources.

    (d) Privacy and Civil Rights and Civil Liberties Issues.--

    (1) CONSULTATION.--In carrying out research and development projects under this section, the Secretary shall consult with the Chief Privacy Officer of the Department and the Officer for Civil Rights and Civil Liberties of the Department as appropriate and in accordance with section 222 of the Homeland Security Act of 2002.

    (2) PRIVACY IMPACT ASSESSMENTS.--In accordance with sections 222 and 705 of the Homeland Security Act of 2002, the Chief Privacy Officer shall conduct privacy impact assessments and the Officer for Civil Rights and Civil Liberties shall conduct reviews, as appropriate, for research and development initiatives developed under this section that the Secretary determines could have an impact on privacy, civil rights, or civil liberties.

    (e) Authorization of Appropriations.--

    (1) IN GENERAL.--From the amounts appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1503 of this Act, there shall be made available to the Secretary to carry out this section--

    (A) $2,000,000 for fiscal year 2008;

    (B) $2,000,000 for fiscal year 2009;

    (C) $2,000,000 for fiscal year 2010; and

    (D) $2,000,000 for fiscal year 2011.

    (2) PERIOD OF AVAILABILITY.--Such sums shall remain available until expended.

   SEC. 1536. MOTOR CARRIER EMPLOYEE PROTECTIONS.

    Section 31105 of title 49, United States Code, is amended to read:

    ``(a) Prohibitions.--(1) A person may not discharge an employee, or discipline or discriminate against an employee regarding pay, terms, or privileges of employment, because--

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    ``(A)(i) the employee, or another person at the employee's request, has filed a complaint or begun a proceeding related to a violation of a commercial motor vehicle safety or security regulation, standard, or order, or has testified or will testify in such a proceeding; or

    ``(ii) the person perceives that the employee has filed or is about to file a complaint or has begun or is about to begin a proceeding related to a violation of a commercial motor vehicle safety or security regulation, standard, or order;

    ``(B) the employee refuses to operate a vehicle because--

    ``(i) the operation violates a regulation, standard, or order of the United States related to commercial motor vehicle safety, health, or security; or

    ``(ii) the employee has a reasonable apprehension of serious injury to the employee or the public because of the vehicle's hazardous safety or security condition;

    ``(C) the employee accurately reports hours on duty pursuant to chapter 315;

    ``(D) the employee cooperates, or the person perceives that the employee is about to cooperate, with a safety or security investigation by the Secretary of Transportation, the Secretary of Homeland Security, or the National Transportation Safety Board; or

    ``(E) the employee furnishes, or the person perceives that the employee is or is about to furnish, information to the Secretary of Transportation, the Secretary of Homeland Security, the National Transportation Safety Board, or any Federal, State, or local regulatory or law enforcement agency as to the facts relating to any accident or incident resulting in injury or death to an individual or damage to property occurring in connection with commercial motor vehicle transportation.

    ``(2) Under paragraph (1)(B)(ii) of this subsection, an employee's apprehension of serious injury is reasonable only if a reasonable individual in the circumstances then confronting the employee would conclude that the hazardous safety or security condition establishes a real danger of accident, injury, or serious impairment to health. To qualify for protection, the employee must have sought from the employer, and been unable to obtain, correction of the hazardous safety or security condition.

    ``(b) Filing Complaints and Procedures.--(1) An employee alleging discharge, discipline, or discrimination in violation of subsection (a) of this section, or another person at the employee's request, may file a complaint with the Secretary of Labor not later than 180 days after the alleged violation occurred. All complaints initiated under this section shall be governed by the legal burdens of proof set forth in section 42121(b). On receiving the complaint, the Secretary of Labor shall notify, in writing, the person alleged to have committed the violation of the filing of the complaint.

    ``(2)(A) Not later than 60 days after receiving a complaint, the Secretary of Labor shall conduct an investigation, decide whether it is reasonable to believe the complaint has merit, and notify, in writing, the complainant and the person alleged to have committed the violation of the findings. If the Secretary of Labor decides it is reasonable to believe a violation occurred, the Secretary of Labor shall include with the decision findings and a preliminary order for the relief provided under paragraph (3) of this subsection.

    ``(B) Not later than 30 days after the notice under subparagraph (A) of this paragraph, the complainant and the person alleged to have committed the violation may file objections to the findings or preliminary order, or both, and request a hearing on the record. The filing of objections does not stay a reinstatement ordered in the preliminary order. If a hearing is not requested within the 30 days, the preliminary order is final and not subject to judicial review.

    ``(C) A hearing shall be conducted expeditiously. Not later than 120 days after the end of the hearing, the Secretary of Labor shall issue a final order. Before the final order is issued, the proceeding may be ended by a settlement agreement made by the Secretary of Labor, the complainant, and the person alleged to have committed the violation.

    ``(3)(A) If the Secretary of Labor decides, on the basis of a complaint, a person violated subsection (a) of this section, the Secretary of Labor shall order the person to--

    ``(i) take affirmative action to abate the violation;

    ``(ii) reinstate the complainant to the former position with the same pay and terms and privileges of employment; and

    ``(iii) pay compensatory damages, including backpay with interest and compensation for any special damages sustained as a result of the discrimination, including litigation costs, expert witness fees, and reasonable attorney fees.

    ``(B) If the Secretary of Labor issues an order under subparagraph (A) of this paragraph and the complainant requests, the Secretary of Labor may assess against the person against whom the order is issued the costs (including attorney fees) reasonably incurred by the complainant in bringing the complaint. The Secretary of Labor shall determine the costs that reasonably were incurred.

    ``(C) Relief in any action under subsection (b) may include punitive damages in an amount not to exceed $250,000.

    ``(c) De Novo Review.--With respect to a complaint under paragraph (1), if the Secretary of Labor has not issued a final decision within 210 days after the filing of the complaint and if the delay is not due to the bad faith of the employee, the employee may bring an original action at law or equity for de novo review in the appropriate district court of the United States, which shall have jurisdiction over such an action without regard to the amount in controversy, and which action shall, at the request of either party to such action, be tried by the court with a jury.

    ``(d) Judicial Review and Venue.--A person adversely affected by an order issued after a hearing under subsection (b) of this section may file a petition for review, not later than 60 days after the order is issued, in the court of appeals of the United States for the circuit in which the violation occurred or the person resided on the date of the violation. Review shall conform to chapter 7 of title 5. The review shall be heard and decided expeditiously. An order of the Secretary of Labor subject to review under this subsection is not subject to judicial review in a criminal or other civil proceeding.

    ``(e) Civil Actions to Enforce.--If a person fails to comply with an order issued under subsection (b) of this section, the Secretary of Labor shall bring a civil action to enforce the order in the district court of the United States for the judicial district in which the violation occurred.

    ``(f) No Preemption.--Nothing in this section preempts or diminishes any other safeguards against discrimination, demotion, discharge, suspension, threats, harassment, reprimand, retaliation, or any other manner of discrimination provided by Federal or State law.

    ``(g) Rights Retained by Employee.--Nothing in this section shall be deemed to diminish the rights, privileges, or remedies of any employee under any Federal or State law or under any collective bargaining agreement. The rights and remedies in this section may not be waived by any agreement, policy, form, or condition of employment.

    ``(h) Disclosure of Identity.--

    ``(1) Except as provided in paragraph (2) of this subsection, or with the written consent of the employee, the Secretary of Transportation or the Secretary of Homeland Security may not disclose the name of an employee who has provided information about an alleged violation of this part, or a regulation prescribed or order issued under any of those provisions.

    ``(2) The Secretary of Transportation or the Secretary of Homeland Security shall disclose to the Attorney General the name of an employee described in paragraph (1) of this subsection if the matter is referred to the Attorney General for enforcement. The Secretary making such disclosure shall provide reasonable advance notice to the affected employee if disclosure of that person's identity or identifying information is to occur.

    ``(i) Process for Reporting Security Problems to the Department of Homeland Security.--

    ``(1) ESTABLISHMENT OF PROCESS.--The Secretary of Homeland Security shall establish through regulations, after an opportunity for notice and comment, a process by which any person may report to the Secretary of Homeland Security regarding motor carrier vehicle security problems, deficiencies, or vulnerabilities.

    ``(2) ACKNOWLEDGMENT OF RECEIPT.--If a report submitted under paragraph (1) identifies the person making the report, the Secretary of Homeland Security shall respond promptly to such person and acknowledge receipt of the report.

    ``(3) STEPS TO ADDRESS PROBLEM.--The Secretary of Homeland Security shall review and consider the information provided in any report submitted under paragraph (1) and shall take appropriate steps to address any problems or deficiencies identified.

    ``(j) Definition.--In this section, `employee' means a driver of a commercial motor vehicle (including an independent contractor when personally operating a commercial motor vehicle), a mechanic, a freight handler, or an individual not an employer, who--

    ``(1) directly affects commercial motor vehicle safety or security in the course of employment by a commercial motor carrier; and

    ``(2) is not an employee of the United States Government, a State, or a political subdivision of a State acting in the course of employment.''.

   SEC. 1537. UNIFIED CARRIER REGISTRATION SYSTEM AGREEMENT.

    (a) Reenactment of SSRS.--Section 14504 of title 49, United States Code, as that section was in effect on December 31, 2006, shall be in effect as a law of the United States for the period beginning on January 1, 2007, ending on the earlier of January 1, 2008, or the effective date of the final regulations issued pursuant to subsection (b).

    (b) Deadline for Final Regulations.--Not later than October 1, 2007, the Federal Motor Carrier Safety Administration shall issue final regulations to establish the Unified Carrier Registration System, as required by section 13908 of title 49, United States Code, and set fees for the unified carrier registration agreement for calendar year 2007 or subsequent calendar years to be charged to motor carriers, motor private carriers, and freight forwarders under such agreement, as required by 14504a of title 49, United States Code.

    (c) Repeal of SSRS.--Section 4305(a) of the Safe, Accountable, Flexible Efficient Transportation Equity Act: A Legacy for Users (119 Stat. 1764) is amended by striking ``the first January'' and all that follows through ``this Act'' and inserting ``January 1, 2008''.

   SEC. 1538. SCHOOL BUS TRANSPORTATION SECURITY.

    (a) School Bus Security Risk Assessment.--Not later than 1 year after the date of enactment of this Act, the Secretary shall transmit to the appropriate congressional committees a report, including a classified report, as appropriate, containing a comprehensive assessment of the risk of a terrorist attack on the Nation's school bus transportation system in accordance with the requirements of this section.

    (b) Contents of Risk Assessment.--The assessment shall include--

    (1) an assessment of security risks to the Nation's school bus transportation system, including publicly and privately operated systems;

    (2) an assessment of actions already taken by operators or others to address identified security risks; and

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    (3) an assessment of whether additional actions and investments are necessary to improve the security of passengers traveling on school buses and a list of such actions or investments, if appropriate.

    (c) Consultation.--In conducting the risk assessment, the Secretary shall consult with administrators and officials of school systems, representatives of the school bus industry, including both publicly and privately operated systems, public safety and law enforcement officials, and nonprofit employee labor organizations representing school bus drivers.

   SEC. 1539. TECHNICAL AMENDMENT.

    Section 1992(d)(7) of title 18, United States Code, is amended by inserting ``intercity bus transportation'' after ``includes''.

   SEC. 1540. TRUCK SECURITY ASSESSMENT.

    (a) Definition.--For the purposes of this section, the term ``truck'' means any self-propelled or towed motor vehicle used on a highway in interstate commerce to transport property when the vehicle--

    (1) has a gross vehicle weight rating or gross combination weight rating, or gross vehicle weight or gross combination weight, of 4,536 kg (10,001 pounds) or more, whichever is greater; or

    (2) is used in transporting material found by the Secretary of Transportation to be hazardous under section 5103 of title 49, United States Code, and transported in a quantity requiring placarding under regulations prescribed by the Secretary under subtitle B, chapter I, subchapter C of title 49, Code of Federal Regulations.

    (b) In General.--Not later than 1 year after the date of enactment of this Act, the Secretary, in coordination with the Secretary of Transportation, shall transmit a report to the appropriate congressional committees on truck security issues that includes--

    (1) a security risk assessment of the trucking industry;

    (2) an assessment of actions already taken by both public and private entities to address identified security risks;

    (3) an assessment of the economic impact that security upgrades of trucks, truck equipment, or truck facilities may have on the trucking industry and its employees, including independent owner-operators;

    (4) an assessment of ongoing research by public and private entities and the need for additional research on truck security;

    (5) an assessment of industry best practices to enhance security; and

    (6) an assessment of the current status of secure truck parking.

    (c) Format.--The Secretary may submit the report in both classified and redacted formats if the Secretary determines that such action is appropriate or necessary.

   SEC. 1541. MEMORANDUM OF UNDERSTANDING ANNEX.

    Not later than 1 year after the date of enactment of this Act, the Secretary of Transportation and the Secretary shall execute and develop an annex to the Memorandum of Understanding between the two departments signed on September 28, 2004, governing the specific roles, delineations of responsibilities, resources, and commitments of the Department of Transportation and the Department of Homeland Security, respectively, in addressing motor carrier transportation security matters, including over-the-road bus security matters, and shall cover the processes the Departments will follow to promote communications, efficiency, and nonduplication of effort.

   SEC. 1542. DHS INSPECTOR GENERAL REPORT ON TRUCKING SECURITY GRANT PROGRAM.

    (a) Initial Report.--Not later than 90 days after the date of enactment of this Act, the Inspector General of the Department of Homeland Security shall submit a report to the appropriate congressional committees on the Federal trucking industry security grant program, for fiscal years 2004 and 2005 that--

    (1) addresses the grant announcement, application, receipt, review, award, monitoring, and closeout processes; and

    (2) states the amount obligated or expended under the program for fiscal years 2004 and 2005 for--

    (A) infrastructure protection;

    (B) training;

    (C) equipment;

    (D) educational materials;

    (E) program administration;

    (F) marketing; and

    (G) other functions.

    (b) Subsequent Report.--Not later than 1 year after the date of enactment of this Act, the Inspector General of the Department of Homeland Security shall submit a report to the appropriate congressional committees that--

    (1) analyzes the performance, efficiency, and effectiveness of the Federal trucking industry security grant program, and the need for the program using all years of available data; and

    (2) makes recommendations regarding the future of the program, including options to improve the effectiveness and utility of the program and motor carrier security.

   

Subtitle D--Hazardous Material and Pipeline Security

   SEC. 1551. RAILROAD ROUTING OF SECURITY-SENSITIVE MATERIALS.

    (a) In General.--Not later than 9 months after the date of enactment of this Act, the Secretary of Transportation, in consultation with the Secretary, shall publish a final rule based on the Pipeline and Hazardous Materials Safety Administration's Notice of Proposed Rulemaking published on December 21, 2006, entitled ``Hazardous Materials: Enhancing Railroad Transportation Safety and Security for Hazardous Materials Shipments''. The final rule shall incorporate the requirements of this section and, as appropriate, public comments received during the comment period of the rulemaking.

    (b) Security-Sensitive Materials Commodity Data.--The Secretary of Transportation shall ensure that the final rule requires each railroad carrier transporting security-sensitive materials in commerce to, no later than 90 days after the end of each calendar year, compile security-sensitive materials commodity data. Such data must be collected by route, line segment, or series of line segments, as aggregated by the railroad carrier. Within the railroad carrier selected route, the commodity data must identify the geographic location of the route and the total number of shipments by the United Nations identification number for the security-sensitive materials.

    (c) Railroad Transportation Route Analysis for Security-Sensitive Materials.--The Secretary of Transportation shall ensure that the final rule requires each railroad carrier transporting security-sensitive materials in commerce to, for each calendar year, provide a written analysis of the safety and security risks for the transportation routes identified in the security-sensitive materials commodity data collected as required by subsection (b). The safety and security risks present shall be analyzed for the route, railroad facilities, railroad storage facilities, and high-consequence targets along or in proximity to the route.

    (d) Alternative Route Analysis for Security-Sensitive Materials.--The Secretary of Transportation shall ensure that the final rule requires each railroad carrier transporting security-sensitive materials in commerce to--

    (1) for each calendar year--

    (A) identify practicable alternative routes over which the railroad carrier has authority to operate as compared to the current route for such a shipment analyzed under subsection (c); and

    (B) perform a safety and security risk assessment of the alternative route for comparison to the route analysis specified in subsection (c);

    (2) ensure that the analysis under paragraph (1) includes--

    (A) identification of safety and security risks for an alternative route;

    (B) comparison of those risks identified under subparagraph (A) to the primary railroad transportation route, including the risk of a catastrophic release from a shipment traveling along the alternate route compared to the primary route;

    (C) any remediation or mitigation measures implemented on the primary or alternative route; and

    (D) potential economic effects of using an alternative route; and

    (3) consider when determining the practicable alternative routes under paragraph (1)(A) the use of interchange agreements with other railroad carriers.

    (e) Alternative Route Selection for Security-Sensitive Materials.--The Secretary of Transportation shall ensure that the final rule requires each railroad carrier transporting security-sensitive materials in commerce to use the analysis required by subsections (c) and (d) to select the safest and most secure route to be used in transporting security-sensitive materials.

    (f) Review.--The Secretary of Transportation shall ensure that the final rule requires each railroad carrier transporting security-sensitive materials in commerce to annually review and select the practicable route posing the least overall safety and security risk in accordance with this section. The railroad carrier must retain in writing all route review and selection decision documentation and restrict the distribution, disclosure, and availability of information contained in the route analysis to appropriate persons. This documentation should include, but is not limited to, comparative analyses, charts, graphics, or railroad system maps.

    (g) Retrospective Analysis.--The Secretary of Transportation shall ensure that the final rule requires each railroad carrier transporting security-sensitive materials in commerce to, not less than once every 3 years, analyze the route selection determinations required under this section. Such an analysis shall include a comprehensive, systemwide review of all operational changes, infrastructure modifications, traffic adjustments, changes in the nature of high-consequence targets located along or in proximity to the route, or other changes affecting the safety and security of the movements of security-sensitive materials that were implemented since the previous analysis was completed.

    (h) Consultation.--In carrying out subsection (c), railroad carriers transporting security-sensitive materials in commerce shall seek relevant information from State, local, and tribal officials, as appropriate, regarding security risks to high-consequence targets along or in proximity to a route used by a railroad carrier to transport security-sensitive materials.

    (i) Definitions.--In this section:

    (1) The term ``route'' includes storage facilities and trackage used by railroad cars in transportation in commerce.

    (2) The term ``high-consequence target'' means a property, natural resource, location, area, or other target designated by the Secretary that is a viable terrorist target of national significance, which may include a facility or specific critical infrastructure, the attack of which by railroad could result in--

    (A) catastrophic loss of life;

    (B) significant damage to national security or defense capabilities; or

    (C) national economic harm.

   SEC. 1552. RAILROAD SECURITY-SENSITIVE MATERIAL TRACKING.

    (a) Communications.--

    (1) IN GENERAL.--In conjunction with the research and development program established under section 1518 and consistent with the results of research relating to wireless and other

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tracking technologies, the Secretary, in consultation with the Administrator of the Transportation Security Administration, shall develop a program that will encourage the equipping of railroad cars transporting security-sensitive materials, as defined in section 1501, with technology that provides--

    (A) car position location and tracking capabilities; and

    (B) notification of railroad car depressurization, breach, unsafe temperature, or release of hazardous materials, as appropriate.

    (2) COORDINATION.--In developing the program required by paragraph (1), the Secretary shall--

    (A) consult with the Secretary of Transportation to coordinate the program with any ongoing or planned efforts for railroad car tracking at the Department of Transportation; and

    (B) ensure that the program is consistent with recommendations and findings of the Department of Homeland Security's hazardous material railroad tank car tracking pilot programs.

    (b) Funding.--From the amounts appropriated pursuant to 114(w) of title 49, United States Code, as amended by section 1503 of this title, there shall be made available to the Secretary to carry out this section--

    (1) $3,000,000 for fiscal year 2008;

    (2) $3,000,000 for fiscal year 2009; and

    (3) $3,000,000 for fiscal year 2010.

   SEC. 1553. HAZARDOUS MATERIALS HIGHWAY ROUTING.

    (a) Route Plan Guidance.--Not later than 1 year after the date of enactment of this Act, the Secretary of Transportation, in consultation with the Secretary, shall--

    (1) document existing and proposed routes for the transportation of radioactive and nonradioactive hazardous materials by motor carrier, and develop a framework for using a geographic information system-based approach to characterize routes in the national hazardous materials route registry;

    (2) assess and characterize existing and proposed routes for the transportation of radioactive and nonradioactive hazardous materials by motor carrier for the purpose of identifying measurable criteria for selecting routes based on safety and security concerns;

    (3) analyze current route-related hazardous materials regulations in the United States, Canada, and Mexico to identify cross-border differences and conflicting regulations;

    (4) document the safety and security concerns of the public, motor carriers, and State, local, territorial, and tribal governments about the highway routing of hazardous materials;

    (5) prepare guidance materials for State officials to assist them in identifying and reducing both safety concerns and security risks when designating highway routes for hazardous materials consistent with the 13 safety-based nonradioactive materials routing criteria and radioactive materials routing criteria in subpart C part 397 of title 49, Code of Federal Regulations;

    (6) develop a tool that will enable State officials to examine potential routes for the highway transportation of hazardous materials, assess specific security risks associated with each route, and explore alternative mitigation measures; and

    (7) transmit to the appropriate congressional committees a report on the actions taken to fulfill paragraphs (1) through (6) and any recommended changes to the routing requirements for the highway transportation of hazardous materials in part 397 of title 49, Code of Federal Regulations.

    (b) Route Plans.--

    (1) ASSESSMENT.--Not later than 1 year after the date of enactment of this Act, the Secretary of Transportation shall complete an assessment of the safety and national security benefits achieved under existing requirements for route plans, in written or electronic format, for explosives and radioactive materials. The assessment shall, at a minimum--

    (A) compare the percentage of Department of Transportation recordable incidents and the severity of such incidents for shipments of explosives and radioactive materials for which such route plans are required with the percentage of recordable incidents and the severity of such incidents for shipments of explosives and radioactive materials not subject to such route plans; and

    (B) quantify the security and safety benefits, feasibility, and costs of requiring each motor carrier that is required to have a hazardous material safety permit under part 385 of title 49, Code of Federal Regulations, to maintain, follow, and carry such a route plan that meets the requirements of section 397.101 of that title when transporting the type and quantity of hazardous materials described in section 385.403, taking into account the various segments of the motor carrier industry, including tank truck, truckload and less than truckload carriers.

    (2) REPORT.--Not later than 1 year after the date of enactment of this Act, the Secretary of Transportation shall submit a report to the appropriate congressional committees containing the findings and conclusions of the assessment.

    (c) Requirement.--The Secretary shall require motor carriers that have a hazardous material safety permit under part 385 of title 49, Code of Federal Regulations, to maintain, follow, and carry a route plan, in written or electronic format, that meets the requirements of section 397.101 of that title when transporting the type and quantity of hazardous materials described in section 385.403 if the Secretary determines, under the assessment required in subsection (b), that such a requirement would enhance security and safety without imposing unreasonable costs or burdens upon motor carriers.

   SEC. 1554. MOTOR CARRIER SECURITY-SENSITIVE MATERIAL TRACKING.

    (a) Communications.--

    (1) IN GENERAL.--Not later than 6 months after the date of enactment of this Act, consistent with the findings of the Transportation Security Administration's hazardous materials truck security pilot program, the Secretary, through the Administrator of the Transportation Security Administration and in consultation with the Secretary of Transportation, shall develop a program to facilitate the tracking of motor carrier shipments of security-sensitive materials and to equip vehicles used in such shipments with technology that provides--

    (A) frequent or continuous communications;

    (B) vehicle position location and tracking capabilities; and

    (C) a feature that allows a driver of such vehicles to broadcast an emergency distress signal.

    (2) CONSIDERATIONS.--In developing the program required by paragraph (1), the Secretary shall--

    (A) consult with the Secretary of Transportation to coordinate the program with any ongoing or planned efforts for motor carrier or security-sensitive materials tracking at the Department of Transportation;

    (B) take into consideration the recommendations and findings of the report on the hazardous material safety and security operational field test released by the Federal Motor Carrier Safety Administration on November 11, 2004; and

    (C) evaluate--

    (i) any new information related to the costs and benefits of deploying, equipping, and utilizing tracking technology, including portable tracking technology, for motor carriers transporting security-sensitive materials not included in the hazardous material safety and security operational field test report released by the Federal Motor Carrier Safety Administration on November 11, 2004;

    (ii) the ability of tracking technology to resist tampering and disabling;

    (iii) the capability of tracking technology to collect, display, and store information regarding the movement of shipments of security-sensitive materials by commercial motor vehicles;

    (iv) the appropriate range of contact intervals between the tracking technology and a commercial motor vehicle transporting security-sensitive materials;

    (v) technology that allows the installation by a motor carrier of concealed electronic devices on commercial motor vehicles that can be activated by law enforcement authorities to disable the vehicle or alert emergency response resources to locate and recover security-sensitive materials in the event of loss or theft of such materials;

    (vi) whether installation of the technology described in clause (v) should be incorporated into the program under paragraph (1);

    (vii) the costs, benefits, and practicality of such technology described in clause (v) in the context of the overall benefit to national security, including commerce in transportation; and

    (viii) other systems and information the Secretary determines appropriate.

    (b) Funding.--From the amounts appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1503 of this Act, there shall be made available to the Secretary to carry out this section--

    (1) $7,000,000 for fiscal year 2008 of which $3,000,000 may be used for equipment;

    (2) $7,000,000 for fiscal year 2009 of which $3,000,000 may be used for equipment; and

    (3) $7,000,000 for fiscal year 2010 of which $3,000,000 may be used for equipment.

    (c) Report.--Not later than 1 year after the issuance of regulations under subsection (a), the Secretary shall issue a report to the appropriate congressional committees on the program developed and evaluation carried out under this section.

    (d) Limitation.--The Secretary may not mandate the installation or utilization of a technology described under this section without additional congressional authority provided after the date of enactment of this Act.

   SEC. 1555. HAZARDOUS MATERIALS SECURITY INSPECTIONS AND STUDY.

    (a) In General.--The Secretary of Transportation shall consult with the Secretary to limit, to the extent practicable, duplicative reviews of the hazardous materials security plans required under part 172, title 49, Code of Federal Regulations.

    (b) Transportation Costs Study.--Within 1 year after the date of enactment of this Act, the Secretary of Transportation, in conjunction with the Secretary, shall study to what extent the insurance, security, and safety costs borne by railroad carriers, motor carriers, pipeline carriers, air carriers, and maritime carriers associated with the transportation of hazardous materials are reflected in the rates paid by offerors of such commodities as compared to the costs and rates, respectively, for the transportation of nonhazardous materials.

   SEC. 1556. TECHNICAL CORRECTIONS.

    (a) Correction.--Section 5103a of title 49, United States Code, is amended--

    (1) in subsection (a)(1) by striking ``Secretary'' and inserting ``Secretary of Homeland Security'';

    (2) in subsection (b) by striking ``Secretary'' each place it appears and inserting ``Secretary of Transportation'';

    (3) in subsection (d)(1)(B) by striking ``Secretary'' and inserting ``Secretary of Homeland Security''; and

    (4) in subsection (e) by striking ``Secretary'' and inserting ``Secretary of Homeland Security'' each place it appears.

    (b) Relationship to Transportation Security Cards.--

    (1) BACKGROUND CHECK.--An individual who has a valid transportation employee identification card issued by the Secretary under section 70105 of title 46, United States Code, shall be deemed to have met the background records check required under section 5103a of title 49, United States Code.

    (2) STATE REVIEW.--Nothing in this subsection prevents or preempts a State from conducting a criminal records check of an individual that has applied for a license to operate a motor vehicle transporting in commerce a hazardous material.

   SEC. 1557. PIPELINE SECURITY INSPECTIONS AND ENFORCEMENT.

    (a) In General.--Not later than 9 months after the date of enactment of this Act, consistent with the Annex to the Memorandum of Understanding executed on August 9, 2006, between the Department of Transportation and the Department, the Secretary, in consultation with the Secretary of Transportation, shall establish a program for reviewing pipeline operator adoption of recommendations of the September 5, 2002, Department of Transportation Research and Special Programs Administration's Pipeline Security Information Circular, including the review of pipeline security plans and critical facility inspections.

    (b) Review and Inspection.--Not later than 12 months after the date of enactment of this Act, the Secretary and the Secretary of Transportation shall develop and implement a plan for reviewing the pipeline security plans and an inspection of the critical facilities of the 100 most critical pipeline operators covered by the September 5, 2002, circular, where such facilities have not been inspected for security purposes since September 5, 2002, by either the Department or the Department of Transportation.

    (c) Compliance Review Methodology.--In reviewing pipeline operator compliance under subsections (a) and (b), risk assessment methodologies shall be used to prioritize risks and to target inspection and enforcement actions to the highest risk pipeline assets.

    (d) Regulations.--Not later than 18 months after the date of enactment of this Act, the Secretary and the Secretary of Transportation shall develop and transmit to pipeline operators security recommendations for natural gas and hazardous liquid pipelines and pipeline facilities. If the Secretary determines that regulations are appropriate, the Secretary shall consult with the Secretary of Transportation on the extent of risk and appropriate mitigation measures, and the Secretary or the Secretary of Transportation, consistent with the Annex to the Memorandum of Understanding executed on August 9, 2006, shall promulgate such regulations and carry out necessary inspection and enforcement actions. Any regulations shall incorporate the guidance provided to pipeline operators by the September 5, 2002, Department of Transportation Research and Special Programs Administration's Pipeline Security Information Circular and contain additional requirements as necessary based upon the results of the inspections performed under subsection (b). The regulations shall include the imposition of civil penalties for noncompliance.

    (e) Funding.--From the amounts appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1503 of this Act, there shall be made available to the Secretary to carry out this section--

    (1) $2,000,000 for fiscal year 2008;

    (2) $2,000,000 for fiscal year 2009; and

    (3) $2,000,000 for fiscal year 2010.

   SEC. 1558. PIPELINE SECURITY AND INCIDENT RECOVERY PLAN.

    (a) In General.--The Secretary, in consultation with the Secretary of Transportation and the Administrator of the Pipeline and Hazardous Materials Safety Administration, and in accordance with the Annex to the Memorandum of Understanding executed on August 9, 2006, the National Strategy for Transportation Security, and Homeland Security Presidential Directive 7, shall develop a pipeline security and incident recovery protocols plan. The plan shall include--

    (1) for the Government to provide increased security support to the most critical interstate and intrastate natural gas and hazardous liquid transmission pipeline infrastructure and operations as determined under section 1557 when--

    (A) under severe security threat levels of alert; or

    (B) under specific security threat information relating to such pipeline infrastructure or operations exists; and

    (2) an incident recovery protocol plan, developed in conjunction with interstate and intrastate transmission and distribution pipeline operators and terminals and facilities operators connected to pipelines, to develop protocols to ensure the continued transportation of natural gas and hazardous liquids to essential markets and for essential public health or national defense uses in the event of an incident affecting the interstate and intrastate natural gas and hazardous liquid transmission and distribution pipeline system, which shall include protocols for restoring essential services supporting pipelines and granting access to pipeline operators for pipeline infrastructure repair, replacement, or bypass following an incident.

    (b) Existing Private and Public Sector Efforts.--The plan shall take into account actions taken or planned by both private and public entities to address identified pipeline security issues and assess the effective integration of such actions.

    (c) Consultation.--In developing the plan under subsection (a), the Secretary shall consult with the Secretary of Transportation, interstate and intrastate transmission and distribution pipeline operators, nonprofit employee organizations representing pipeline employees, emergency responders, offerors, State pipeline safety agencies, public safety officials, and other relevant parties.

    (d) Report.--

    (1) CONTENTS.--Not later than 2 years after the date of enactment of this Act, the Secretary shall transmit to the appropriate congressional committees a report containing the plan required by subsection (a), including an estimate of the private and public sector costs to implement any recommendations.

    (2) FORMAT.--The Secretary may submit the report in both classified and redacted formats if the Secretary determines that such action is appropriate or necessary.

   

TITLE XVI--AVIATION

   SEC. 1601. AIRPORT CHECKPOINT SCREENING FUND.

    Section 44940 of title 49, United States Code, is amended--

    (1) in subsection (d)(4) by inserting ``, other than subsection (i),'' before ``except to''; and

    (2) by adding at the end the following:

    ``(i) Checkpoint Screening Security Fund.--

    ``(1) ESTABLISHMENT.--There is established in the Department of Homeland Security a fund to be known as the `Checkpoint Screening Security Fund'.

    ``(2) DEPOSITS.--In fiscal year 2008, after amounts are made available under section 44923(h), the next $250,000,000 derived from fees received under subsection (a)(1) shall be available to be deposited in the Fund.

    ``(3) FEES.--The Secretary of Homeland Security shall impose the fee authorized by subsection (a)(1) so as to collect at least $250,000,000 in fiscal year 2008 for deposit into the Fund.

    ``(4) AVAILABILITY OF AMOUNTS.--Amounts in the Fund shall be available until expended by the Administrator of the Transportation Security Administration for the purchase, deployment, installation, research, and development of equipment to improve the ability of security screening personnel at screening checkpoints to detect explosives.''.

   SEC. 1602. SCREENING OF CARGO CARRIED ABOARD PASSENGER AIRCRAFT.

    (a) In General.--Section 44901 of title 49, United States Code, is amended--

    (1) by redesignating subsections (g) and (h) as subsections (h) and (i), respectively; and

    (2) by inserting after subsection (f) the following:

    ``(g) Air Cargo on Passenger Aircraft.--

    ``(1) IN GENERAL.--Not later than 3 years after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the Secretary of Homeland Security shall establish a system to screen 100 percent of cargo transported on passenger aircraft operated by an air carrier or foreign air carrier in air transportation or intrastate air transportation to ensure the security of all such passenger aircraft carrying cargo.

    ``(2) MINIMUM STANDARDS.--The system referred to in paragraph (1) shall require, at a minimum, that equipment, technology, procedures, personnel, or other methods approved by the Administrator of the Transportation Security Administration, are used to screen cargo carried on passenger aircraft described in paragraph (1) to provide a level of security commensurate with the level of security for the screening of passenger checked baggage as follows:

    ``(A) 50 percent of such cargo is so screened not later than 18 months after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007.

    ``(B) 100 percent of such cargo is so screened not later than 3 years after such date of enactment.

    ``(3) REGULATIONS.--

    ``(A) INTERIM FINAL RULE.--The Secretary of Homeland Security may issue an interim final rule as a temporary regulation to implement this subsection without regard to the provisions of chapter 5 of title 5.

    ``(B) FINAL RULE.--

    ``(i) IN GENERAL.--If the Secretary issues an interim final rule under subparagraph (A), the Secretary shall issue, not later than one year after the effective date of the interim final rule, a final rule as a permanent regulation to implement this subsection in accordance with the provisions of chapter 5 of title 5.

    ``(ii) FAILURE TO ACT.--If the Secretary does not issue a final rule in accordance with clause (i) on or before the last day of the one-year period referred to in clause (i), the Secretary shall submit to the Committee on Homeland Security of the House of Representatives, Committee on Commerce, Science, and Transportation of the Senate, and the Committee on Homeland Security and Governmental Affairs of the Senate a report explaining why the final rule was not timely issued and providing an estimate of the earliest date on which the final rule will be issued. The Secretary shall submit the first such report within 10 days after such last day and submit a report to the Committees containing updated information every 30 days thereafter until the final rule is issued.

    ``(iii) SUPERCEDING OF INTERIM FINAL RULE.--The final rule issued in accordance with this subparagraph shall supersede the interim final rule issued under subparagraph (A).

    ``(4) REPORT.--Not later than 1 year after the date of establishment of the system under paragraph (1), the Secretary shall submit to the Committees referred to in paragraph (3)(B)(ii) a report that describes the system.

    ``(5) SCREENING DEFINED.--In this subsection the term `screening' means a physical examination or non-intrusive methods of assessing whether cargo poses a threat to transportation security. Methods of screening include x-ray systems, explosives detection systems, explosives trace detection, explosives detection canine teams certified by the Transportation Security Administration, or a physical search together with manifest verification. The Administrator may approve additional methods to ensure that the cargo does not pose a threat to transportation security and to assist in meeting the requirements of this subsection. Such additional cargo screening methods shall not include solely performing a review of information about the contents of cargo or verifying the identity of a shipper of the cargo that is not performed in

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conjunction with other security methods authorized under this subsection, including whether a known shipper is registered in the known shipper database. Such additional cargo screening methods may include a program to certify the security methods used by shippers pursuant to paragraphs (1) and (2) and alternative screening methods pursuant to exemptions referred to in subsection (b) of section 1602 of the Implementing Recommendations of the 9/11 Commission Act of 2007.''.

    (b) Assessment of Exemptions.--

    (1) TSA ASSESSMENT.--

    (A) IN GENERAL.--Not later than 120 days after the date of enactment of this Act, the Secretary of Homeland Security shall submit to the appropriate committees of Congress and to the Comptroller General a report containing an assessment of each exemption granted under section 44901(i)(1) of title 49, United States Code, for the screening required by such section for cargo transported on passenger aircraft and an analysis to assess the risk of maintaining such exemption.

    (B) CONTENTS.--The report under subparagraph (A) shall include--

    (i) the rationale for each exemption;

    (ii) what percentage of cargo is not screened in accordance with section 44901(g) of title 49, United States Code;

    (iii) the impact of each exemption on aviation security;

    (iv) the projected impact on the flow of commerce of eliminating each exemption, respectively, should the Secretary choose to take such action; and

    (v) plans and rationale for maintaining, changing, or eliminating each exemption.

    (C) FORMAT.--The Secretary may submit the report under subparagraph (A) in both classified and redacted formats if the Secretary determines that such action is appropriate or necessary.

    (2) GAO ASSESSMENT.--Not later than 120 days after the date on which the report under paragraph (1) is submitted, the Comptroller General shall review the report and submit to the Committee on Homeland Security of the House of Representatives, the Committee on Commerce, Science, and Transportation of the Senate, and the Committee on Homeland Security and Governmental Affairs of the Senate an assessment of the methodology of determinations made by the Secretary for maintaining, changing, or eliminating an exemption under section 44901(i)(1) of title 49, United States Code.

   SEC. 1603. IN-LINE BAGGAGE SCREENING.

    (a) Extension of Authorization.--Section 44923(i)(1) of title 49, United States Code, is amended by striking ``2007.'' and inserting ``2007, and $450,000,000 for each of fiscal years 2008 through 2011''.

    (b) Submission of Cost-Sharing Study and Plan.--Not later than 60 days after the date of enactment of this Act, the Secretary for Homeland Security shall submit to the appropriate congressional committees the cost sharing study described in section 4019(d) of the Intelligence Reform and Terrorism Prevention Act of 2004 (118 Stat. 3722), together with the Secretary's analysis of the study, a list of provisions of the study the Secretary intends to implement, and a plan and schedule for implementation of such listed provisions.

   SEC. 1604. IN-LINE BAGGAGE SYSTEM DEPLOYMENT.

    (a) In General.--Section 44923 of title 49, United States Code, is amended--

    (1) in subsection (a) by striking ``may make'' and inserting ``shall make'';

    (2) in subsection (d)(1) by striking ``may'' and inserting ``shall'';

    (3) in subsection (h)(1) by striking ``2007'' and inserting ``2028'';

    (4) in subsection (h) by striking paragraphs (2) and (3) and inserting the following:

    ``(2) ALLOCATION.--Of the amount made available under paragraph (1) for a fiscal year, not less than $200,000,000 shall be allocated to fulfill letters of intent issued under subsection (d).

    ``(3) DISCRETIONARY GRANTS.--Of the amount made available under paragraph (1) for a fiscal year, up to $50,000,000 shall be used to make discretionary grants, including other transaction agreements for airport security improvement projects, with priority given to small hub airports and nonhub airports.'';

    (5) by redesignating subsection (i) as subsection (j); and

    (6) by inserting after subsection (h) the following:

    ``(i) Leveraged Funding.--For purposes of this section, a grant under subsection (a) to an airport sponsor to service an obligation issued by or on behalf of that sponsor to fund a project described in subsection (a) shall be considered to be a grant for that project.''.

    (b) Prioritization of Projects.--

    (1) IN GENERAL.--The Administrator of the Transportation Security Administration shall establish a prioritization schedule for airport security improvement projects described in section 44923 of title 49, United States Code, based on risk and other relevant factors, to be funded under that section. The schedule shall include both hub airports referred to in paragraphs (29), (31), and (42) of section 40102 of such title and nonhub airports (as defined in section 47102(13) of such title).

    (2) AIRPORTS THAT HAVE INCURRED ELIGIBLE COSTS.--The schedule shall include airports that have incurred eligible costs associated with development of partial or completed in-line baggage systems before the date of enactment of this Act in reasonable anticipation of receiving a grant under section 44923 of title 49, United States Code, in reimbursement of those costs but that have not received such a grant.

    (3) REPORT.--Not later than 180 days after the date of enactment of this Act, the Administrator shall provide a copy of the prioritization schedule, a corresponding timeline, and a description of the funding allocation under section 44923 of title 49, United States Code, to the Committee on Commerce, Science, and Transportation of the Senate and the Committee on Homeland Security of the House of Representatives.

   SEC. 1605. STRATEGIC PLAN TO TEST AND IMPLEMENT ADVANCED PASSENGER PRESCREENING SYSTEM.

    (a) In General.--Not later than 120 days after the date of enactment of this Act, the Secretary of Homeland Security, in consultation with the Administrator of the Transportation Security Administration, shall submit to the Committee on Homeland Security of the House of Representatives, the Committee on Commerce, Science, and Transportation of the Senate, and the Committee on Homeland Security and Governmental Affairs of the Senate a plan that--

    (1) describes the system to be utilized by the Department of Homeland Security to assume the performance of comparing passenger information, as defined by the Administrator, to the automatic selectee and no-fly lists, utilizing appropriate records in the consolidated and integrated terrorist watchlist maintained by the Federal Government;

    (2) provides a projected timeline for each phase of testing and implementation of the system;

    (3) explains how the system will be integrated with the prescreening system for passengers on international flights; and

    (4) describes how the system complies with section 552a of title 5, United States Code.

    (b) GAO Assessment.--Not later than 180 days after the date of enactment of this Act, the Comptroller General shall submit a report to the Committee on Commerce, Science, and Transportation of the Senate and the Committee on Homeland Security of the House of Representatives that--

    (1) describes the progress made by the Transportation Security Administration in implementing the secure flight passenger pre-screening program;

    (2) describes the effectiveness of the current appeals process for passengers wrongly assigned to the no-fly and terrorist watch lists;

    (3) describes the Transportation Security Administration's plan to protect private passenger information and progress made in integrating the system with the pre-screening program for international flights operated by United States Customs and Border Protection;

    (4) provides a realistic determination of when the system will be completed; and

    (5) includes any other relevant observations or recommendations the Comptroller General deems appropriate.

   SEC. 1606. APPEAL AND REDRESS PROCESS FOR PASSENGERS WRONGLY DELAYED OR PROHIBITED FROM BOARDING A FLIGHT.

    (a) In General.--Subchapter I of chapter 449 of title 49, United States Code is amended by adding at the end the following:``§44926. Appeal and redress process for passengers wrongly delayed or prohibited from boarding a flight

    ``(a) In General.--The Secretary of Homeland Security shall establish a timely and fair process for individuals who believe they have been delayed or prohibited from boarding a commercial aircraft because they were wrongly identified as a threat under the regimes utilized by the Transportation Security Administration, United States Customs and Border Protection, or any other office or component of the Department of Homeland Security.

    ``(b) Office of Appeals and Redress.--

    ``(1) ESTABLISHMENT.--The Secretary shall establish in the Department an Office of Appeals and Redress to implement, coordinate, and execute the process established by the Secretary pursuant to subsection (a). The Office shall include representatives from the Transportation Security Administration, United States Customs and Border Protection, and such other offices and components of the Department as the Secretary determines appropriate.

    ``(2) RECORDS.--The process established by the Secretary pursuant to subsection (a) shall include the establishment of a method by which the Office, under the direction of the Secretary, will be able to maintain a record of air carrier passengers and other individuals who have been misidentified and have corrected erroneous information.

    ``(3) INFORMATION.--To prevent repeated delays of an misidentified passenger or other individual, the Office shall--

    ``(A) ensure that the records maintained under this subsection contain information determined by the Secretary to authenticate the identity of such a passenger or individual;

    ``(B) furnish to the Transportation Security Administration, United States Customs and Border Protection, or any other appropriate office or component of the Department, upon request, such information as may be necessary to allow such office or component to assist air carriers in improving their administration of the advanced passenger prescreening system and reduce the number of false positives; and

    ``(C) require air carriers and foreign air carriers take action to identify passengers determined, under the process established under subsection (a), to have been wrongly identified.

    ``(4) HANDLING OF PERSONALLY IDENTIFIABLE INFORMATION.--The Secretary, in conjunction with the Chief Privacy Officer of the Department shall--

    ``(A) require that Federal employees of the Department handling personally identifiable information of passengers (in this paragraph referred to as `PII') complete mandatory privacy and security training prior to being authorized to handle PII;

    ``(B) ensure that the records maintained under this subsection are secured by encryption, one-way hashing, other data anonymization techniques, or such other equivalent security

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technical protections as the Secretary determines necessary;

    ``(C) limit the information collected from misidentified passengers or other individuals to the minimum amount necessary to resolve a redress request;

    ``(D) require that the data generated under this subsection shall be shared or transferred via a secure data network, that has been audited to ensure that the anti-hacking and other security related software functions properly and is updated as necessary;

    ``(E) ensure that any employee of the Department receiving the data contained within the records handles the information in accordance with the section 552a of title 5, United States Code, and the Federal Information Security Management Act of 2002 (Public Law 107-296);

    ``(F) only retain the data for as long as needed to assist the individual traveler in the redress process; and

    ``(G) conduct and publish a privacy impact assessment of the process described within this subsection and transmit the assessment to the Committee on Homeland Security of the House of Representatives, the Committee on Commerce, Science, and Transportation of the Senate, and Committee on Homeland Security and Governmental Affairs of the Senate.

    ``(5) INITIATION OF REDRESS PROCESS AT AIRPORTS.--The Office shall establish at each airport at which the Department has a significant presence a process to provide information to air carrier passengers to begin the redress process established pursuant to subsection (a).''.

    (b) Clerical Amendment.--The analysis for such chapter is amended by inserting after the item relating to section 44925 the following:

   ``44926..Appeal and redress process for passengers wrongly delayed or prohibited from boarding a flight.''.

   SEC. 1607. STRENGTHENING EXPLOSIVES DETECTION AT PASSENGER SCREENING CHECKPOINTS.

    (a) In General.--Not later than 30 days after the date of enactment of this Act, the Secretary of Homeland Security, in consultation with the Administrator of the Transportation Security Administration, shall issue the strategic plan the Secretary was required by section 44925(b) of title 49, United States Code, to have issued within 90 days after the date of enactment of the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458).

    (b) Deployment.--Section 44925(b) of title 49, United States Code, is amended by adding at the end the following:

    ``(3) IMPLEMENTATION.--The Secretary shall begin implementation of the strategic plan within one year after the date of enactment of this paragraph.''.

   SEC. 1608. RESEARCH AND DEVELOPMENT OF AVIATION TRANSPORTATION SECURITY TECHNOLOGY.

    Section 137(a) of the Aviation and Transportation Security Act (49 U.S.C. 44912 note; 115 Stat. 637) is amended--

    (1) by striking ``2002 through 2006'' and inserting ``2006 through 2011'';

    (2) by striking ``aviation'' and inserting ``transportation''; and

    (3) by striking ``2002 and 2003'' and inserting ``2006 through 2011''.

   SEC. 1609. BLAST-RESISTANT CARGO CONTAINERS.

    Section 44901 of title 49, United States Code, as amended by section 1602, is further amended by adding at the end the following:

    ``(j) Blast-Resistant Cargo Containers.--

    ``(1) IN GENERAL.--Before January 1, 2008, the Administrator of the Transportation Security Administration shall--

    ``(A) evaluate the results of the blast-resistant cargo container pilot program that was initiated before the date of enactment of this subsection; and

    ``(B) prepare and distribute through the Aviation Security Advisory Committee to the appropriate Committees of Congress and air carriers a report on that evaluation which may contain nonclassified and classified sections.

    ``(2) ACQUISITION, MAINTENANCE, AND REPLACEMENT.--Upon completion and consistent with the results of the evaluation that paragraph (1)(A) requires, the Administrator shall--

    ``(A) develop and implement a program, as the Administrator determines appropriate, to acquire, maintain, and replace blast-resistant cargo containers;

    ``(B) pay for the program; and

    ``(C) make available blast-resistant cargo containers to air carriers pursuant to paragraph (3).

    ``(3) DISTRIBUTION TO AIR CARRIERS.--The Administrator shall make available, beginning not later than July 1, 2008, blast-resistant cargo containers to air carriers for use on a risk managed basis as determined by the Administrator.''.

   SEC. 1610. PROTECTION OF PASSENGER PLANES FROM EXPLOSIVES.

    (a) Technology Research and Pilot Projects.--

    (1) RESEARCH AND DEVELOPMENT.--The Secretary of Homeland Security, in consultation with the Administrator of the Transportation Security Administration, shall expedite research and development programs for technologies that can disrupt or prevent an explosive device from being introduced onto a passenger plane or from damaging a passenger plane while in flight or on the ground. The research shall be used in support of implementation of section 44901 of title 49, United States Code.

    (2) PILOT PROJECTS.--The Secretary, in conjunction with the Secretary of Transportation, shall establish a grant program to fund pilot projects--

    (A) to deploy technologies described in paragraph (1); and

    (B) to test technologies to expedite the recovery, development, and analysis of information from aircraft accidents to determine the cause of the accident, including deployable flight deck and voice recorders and remote location recording devices.

    (b) Authorization of Appropriations.--There are authorized to be appropriated to the Secretary of Homeland Security for fiscal year 2008 such sums as may be necessary to carry out this section. Such sums shall remain available until expended.

   SEC. 1611. SPECIALIZED TRAINING.

    The Administrator of the Transportation Security Administration shall provide advanced training to transportation security officers for the development of specialized security skills, including behavior observation and analysis, explosives detection, and document examination, in order to enhance the effectiveness of layered transportation security measures.

   SEC. 1612. CERTAIN TSA PERSONNEL LIMITATIONS NOT TO APPLY.

    (a) In General.--Notwithstanding any provision of law, any statutory limitation on the number of employees in the Transportation Security Administration, before or after its transfer to the Department of Homeland Security from the Department of Transportation, does not apply after fiscal year 2007.

    (b) Aviation Security.--Notwithstanding any provision of law imposing a limitation on the recruiting or hiring of personnel into the Transportation Security Administration to a maximum number of permanent positions, the Secretary of Homeland Security shall recruit and hire such personnel into the Administration as may be necessary--

    (1) to provide appropriate levels of aviation security; and

    (2) to accomplish that goal in such a manner that the average aviation security-related delay experienced by airline passengers is reduced to a level of less than 10 minutes.

   SEC. 1613. PILOT PROJECT TO TEST DIFFERENT TECHNOLOGIES AT AIRPORT EXIT LANES.

    (a) In General.--The Administrator of the Transportation Security Administration shall conduct a pilot program at not more than 2 airports to identify technologies to improve security at airport exit lanes.

    (b) Program Components.--In conducting the pilot program under this section, the Administrator shall--

    (1) utilize different technologies that protect the integrity of the airport exit lanes from unauthorized entry;

    (2) work with airport officials to deploy such technologies in multiple configurations at a selected airport or airports at which some of the exits are not colocated with a screening checkpoint; and

    (3) ensure the level of security is at or above the level of existing security at the airport or airports where the pilot program is conducted.

    (c) Reports.--

    (1) INITIAL BRIEFING.--Not later than 180 days after the date of enactment of this Act, the Administrator shall conduct a briefing to the congressional committees set forth in paragraph (3) that describes--

    (A) the airport or airports selected to participate in the pilot program;

    (B) the technologies to be tested;

    (C) the potential savings from implementing the technologies at selected airport exits;

    (D) the types of configurations expected to be deployed at such airports; and

    (E) the expected financial contribution from each airport.

    (2) FINAL REPORT.--Not later than 18 months after the technologies are deployed at the airports participating in the pilot program, the Administrator shall submit a final report to the congressional committees set forth in paragraph (3) that describes--

    (A) the changes in security procedures and technologies deployed;

    (B) the estimated cost savings at the airport or airports that participated in the pilot program; and

    (C) the efficacy and staffing benefits of the pilot program and its applicability to other airports in the United States.

    (3) CONGRESSIONAL COMMITTEES.--The reports required under this subsection shall be submitted to--

    (A) the Committee on Commerce, Science, and Transportation of the Senate;

    (B) the Committee on Appropriations of the Senate;

    (C) the Committee on Homeland Security and Governmental Affairs of the Senate;

    (D) the Committee on Homeland Security of the House of Representatives; and

    (E) the Committee on Appropriations of the House of Representatives.

    (d) Use of Existing Funds.--This section shall be executed using existing funds.

   SEC. 1614. SECURITY CREDENTIALS FOR AIRLINE CREWS.

    (a) Report.--Not later than 180 days after the date of enactment of this Act, the Administrator of the Transportation Security Administration, after consultation with airline, airport, and flight crew representatives, shall submit to the Committee on Commerce, Science, and Transportation of the Senate, the Committee on Homeland Security and Governmental Affairs of the Senate, the Committee on Homeland Security of the House of Representatives, and the Committee on Transportation and Infrastructure of the House of Representatives a report on the status of the Administration's efforts to institute a sterile area access system or method that will enhance security by properly identifying authorized airline flight deck and cabin crew members at screening checkpoints and granting them expedited access through screening checkpoints. The Administrator shall include in the report

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recommendations on the feasibility of implementing the system for the domestic aviation industry beginning one year after the date on which the report is submitted.

    (b) Beginning Implementation.--The Administrator shall begin implementation of the system or method referred to in subsection (a) not later than one year after the date on which the Administrator submits the report under subsection (a).

   SEC. 1615. LAW ENFORCEMENT OFFICER BIOMETRIC CREDENTIAL.

    (a) In General.--Section 44903(h)(6) of title 49, United States Code, is amended to read as follows:

    ``(6) USE OF BIOMETRIC TECHNOLOGY FOR ARMED LAW ENFORCEMENT TRAVEL.--

    ``(A) IN GENERAL.--Not later than 18 months after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the Secretary of Homeland Security, in consultation with the Attorney General, shall--

    ``(i) implement this section by publication in the Federal Register; and

    ``(ii) establish a national registered armed law enforcement program, that shall be federally managed, for law enforcement officers needing to be armed when traveling by commercial aircraft.

    ``(B) PROGRAM REQUIREMENTS.--The program shall--

    ``(i) establish a credential or a system that incorporates biometric technology and other applicable technologies;

    ``(ii) establish a system for law enforcement officers who need to be armed when traveling by commercial aircraft on a regular basis and for those who need to be armed during temporary travel assignments;

    ``(iii) comply with other uniform credentialing initiatives, including the Homeland Security Presidential Directive 12;

    ``(iv) apply to all Federal, State, local, tribal, and territorial government law enforcement agencies; and

    ``(v) establish a process by which the travel credential or system may be used to verify the identity, using biometric technology, of a Federal, State, local, tribal, or territorial law enforcement officer seeking to carry a weapon on board a commercial aircraft, without unnecessarily disclosing to the public that the individual is a law enforcement officer.

    ``(C) PROCEDURES.--In establishing the program, the Secretary shall develop procedures--

    ``(i) to ensure that a law enforcement officer of a Federal, State, local, tribal, or territorial government flying armed has a specific reason for flying armed and the reason is within the scope of the duties of such officer;

    ``(ii) to preserve the anonymity of the armed law enforcement officer;

    ``(iii) to resolve failures to enroll, false matches, and false nonmatches relating to the use of the law enforcement travel credential or system;

    ``(iv) to determine the method of issuance of the biometric credential to law enforcement officers needing to be armed when traveling by commercial aircraft;

    ``(v) to invalidate any law enforcement travel credential or system that is lost, stolen, or no longer authorized for use;

    ``(vi) to coordinate the program with the Federal Air Marshal Service, including the force multiplier program of the Service; and

    ``(vii) to implement a phased approach to launching the program, addressing the immediate needs of the relevant Federal agent population before expanding to other law enforcement populations.''.

    (b) Report.--

    (1) IN GENERAL.--Not later than 180 days after implementing the national registered armed law enforcement program required by section 44903(h)(6) of title 49, United States Code, the Secretary of Homeland Security shall submit to the Committee on Commerce, Science, and Transportation of the Senate and the Committee on Homeland Security of the House of Representatives a report. If the Secretary has not implemented the program within 180 days after the date of enactment of this Act, the Secretary shall submit a report to the Committees within 180 days explaining the reasons for the failure to implement the program within the time required by that section and a further report within each successive 90-day period until the program is implemented explaining the reasons for such further delays in implementation until the program is functioning.

    (2) CLASSIFIED FORMAT.--The Secretary may submit each report required by this subsection in classified format.

   SEC. 1616. REPAIR STATION SECURITY.

    (a) Certification of Foreign Repair Stations Suspension.--If the regulations required by section 44924(f) of title 49, United States Code, are not issued within one year after the date of enactment of this Act, the Administrator of the Federal Aviation Administration may not certify any foreign repair station under part 145 of title 14, Code of Federal Regulations, after such date unless the station was previously certified, or is in the process of certification by the Administration under that part.

    (b) 6-Month Deadline for Security Review and Audit.--Subsections (a) and (d) of section 44924 of title 49, United States Code, is amended--

    (1) in each of subsections (a) and (b) by striking ``18 months'' and inserting ``6 months''; and

    (2) in subsection (d) by inserting ``(other than a station that was previously certified, or is in the process of certification, by the Administration under this part)'' before ``until''.

   SEC. 1617. GENERAL AVIATION SECURITY.

    Section 44901 of title 49, United States Code, as amended by sections 1602 and 1609, is further amended by adding at the end the following:

    ``(k) General Aviation Airport Security Program.--

    ``(1) IN GENERAL.--Not later than one year after the date of enactment of this subsection, the Administrator of the Transportation Security Administration shall--

    ``(A) develop a standardized threat and vulnerability assessment program for general aviation airports (as defined in section 47134(m)); and

    ``(B) implement a program to perform such assessments on a risk-managed basis at general aviation airports.

    ``(2) GRANT PROGRAM.--Not later than 6 months after the date of enactment of this subsection, the Administrator shall initiate and complete a study of the feasibility of a program, based on a risk-managed approach, to provide grants to operators of general aviation airports (as defined in section 47134(m)) for projects to upgrade security at such airports. If the Administrator determines that such a program is feasible, the Administrator shall establish such a program.

    ``(3) APPLICATION TO GENERAL AVIATION AIRCRAFT.--Not later than 180 days after the date of enactment of this subsection, the Administrator shall develop a risk-based system under which--

    ``(A) general aviation aircraft, as identified by the Administrator, in coordination with the Administrator of the Federal Aviation Administration, are required to submit passenger information and advance notification requirements for United States Customs and Border Protection before entering United States airspace; and

    ``(B) such information is checked against appropriate databases.

    ``(4) AUTHORIZATION OF APPROPRIATIONS.--There are authorized to be appropriated to the Administrator of the Transportation Security Administration such sums as may be necessary to carry out paragraphs (2) and (3).''.

   SEC. 1618. EXTENSION OF AUTHORIZATION OF AVIATION SECURITY FUNDING.

    Section 48301(a) of title 49, United States Code, is amended by striking ``and 2006'' and inserting ``2007, 2008, 2009, 2010, and 2011''.

   

TITLE XVII--MARITIME CARGO

   SEC. 1701. CONTAINER SCANNING AND SEALS.

    (a) Container Scanning.--Section 232(b) of the SAFE Ports Act (6 U.S.C. 982(b)) is amended to read as follows:

    ``(b) Full-Scale Implementation.--

    ``(1) IN GENERAL.--A container that was loaded on a vessel in a foreign port shall not enter the United States (either directly or via a foreign port) unless the container was scanned by nonintrusive imaging equipment and radiation detection equipment at a foreign port before it was loaded on a vessel.

    ``(2) APPLICATION.--Paragraph (1) shall apply with respect to containers loaded on a vessel in a foreign country on or after the earlier of--

    ``(A) July 1, 2012; or

    ``(B) such other date as may be established by the Secretary under paragraph (3).

    ``(3) ESTABLISHMENT OF EARLIER DEADLINE.--The Secretary shall establish a date under (2)(B) pursuant to the lessons learned through the pilot integrated scanning systems established under section 231.

    ``(4) EXTENSIONS.--The Secretary may extend the date specified in paragraph (2)(A) or (2)(B) for 2 years, and may renew the extension in additional 2-year increments, for containers loaded in a port or ports, if the Secretary certifies to Congress that at least two of the following conditions exist:

    ``(A) Systems to scan containers in accordance with paragraph (1) are not available for purchase and installation.

    ``(B) Systems to scan containers in accordance with paragraph (1) do not have a sufficiently low false alarm rate for use in the supply chain.

    ``(C) Systems to scan containers in accordance with paragraph (1) cannot be purchased, deployed, or operated at ports overseas, including, if applicable, because a port does not have the physical characteristics to install such a system.

    ``(D) Systems to scan containers in accordance with paragraph (1) cannot be integrated, as necessary, with existing systems.

    ``(E) Use of systems that are available to scan containers in accordance with paragraph (1) will significantly impact trade capacity and the flow of cargo.

    ``(F) Systems to scan containers in accordance with paragraph (1) do not adequately provide an automated notification of questionable or high-risk cargo as a trigger for further inspection by appropriately trained personnel.

    ``(5) EXEMPTION FOR MILITARY CARGO.--Notwithstanding any other provision in the section, supplies bought by the Secretary of Defense and transported in compliance section 2631 of title 10, United States Code, and military cargo of foreign countries are exempt from the requirements of this section.

    ``(6) REPORT ON EXTENSIONS.--An extension under paragraph (4) for a port or ports shall take effect upon the expiration of the 60-day period beginning on the date the Secretary provides a report to Congress that--

    ``(A) states what container traffic will be affected by the extension;

    ``(B) provides supporting evidence to support the Secretary's certification of the basis for the extension; and

    ``(C) explains what measures the Secretary is taking to ensure that scanning can be implemented as early as possible at the port or ports that are the subject of the report.

    ``(7) REPORT ON RENEWAL OF EXTENSION.--If an extension under paragraph (4) takes effect, the Secretary shall, after one year, submit a report to Congress on whether the Secretary expects to seek to renew the extension.

    ``(8) SCANNING TECHNOLOGY STANDARDS.--In implementing paragraph (1), the Secretary shall--

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    ``(A) establish technological and operational standards for systems to scan containers;

    ``(B) ensure that the standards are consistent with the global nuclear detection architecture developed under the Homeland Security Act of 2002; and

    ``(C) coordinate with other Federal agencies that administer scanning or detection programs at foreign ports.

    ``(9) INTERNATIONAL TRADE AND OTHER OBLIGATIONS.--In carrying out this subsection, the Secretary shall consult with appropriate Federal departments and agencies and private sector stakeholders, and ensure that actions under this section do not violate international trade obligations, and are consistent with the World Customs Organization framework, or other international obligations of the United States.''.

    (b) Deadline for Container Security Standards and Procedures.--Section 204(a)(4) of the SAFE Port Act (6 U.S.C. 944(a)(4)) is amended by--

    (1) striking ``(1) DEADLINE FOR ENFORCEMENT.--'' and inserting the following:

    ``(1) DEADLINE FOR ENFORCEMENT.--

    ``(A) ENFORCEMENT OF RULE.--''; and

    (2) adding at the end the following:

    ``(B) INTERIM REQUIREMENT.--If the interim final rule described in paragraph (2) is not issued by April 1, 2008, then--

    ``(i) effective not later than October 15, 2008, all containers in transit to the United States shall be required to meet the requirements of International Organization for Standardization Publicly Available Specification 17712 standard for sealing containers; and

    ``(ii) the requirements of this subparagraph shall cease to be effective upon the effective date of the interim final rule issued pursuant to this subsection.''.

   

TITLE XVIII--PREVENTING WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM

   SEC. 1801. FINDINGS.

    The 9/11 Commission has made the following recommendations:

    (1) STRENGTHEN ``COUNTER-PROLIFERATION'' EFFORTS.--The United States should work with the international community to develop laws and an international legal regime with universal jurisdiction to enable any state in the world to capture, interdict, and prosecute smugglers of nuclear material.

    (2) EXPAND THE PROLIFERATION SECURITY INITIATIVE.--In carrying out the Proliferation Security Initiative, the United States should--

    (A) use intelligence and planning resources of the North Atlantic Treaty Organization (NATO) alliance;

    (B) make participation open to non-NATO countries; and

    (C) encourage Russia and the People's Republic of China to participate.

    (3) SUPPORT THE COOPERATIVE THREAT REDUCTION PROGRAM.--The United States should expand, improve, increase resources for, and otherwise fully support the Cooperative Threat Reduction program.

   SEC. 1802. DEFINITIONS.

    In this title:

    (1) The terms ``prevention of weapons of mass destruction proliferation and terrorism'' and ``prevention of WMD proliferation and terrorism'' include activities under--

    (A) the programs specified in section 1501(b) of the National Defense Authorization Act for Fiscal Year 1997 (Public Law 104-201; 110 Stat. 2731; 50 U.S.C. 2362 note);

    (B) the programs for which appropriations are authorized by section 3101(a)(2) of the Bob Stump National Defense Authorization Act for Fiscal Year 2003 (Public Law 107-314; 116 Stat. 2729);

    (C) programs authorized by section 504 of the Freedom for Russia and Emerging Eurasian Democracies and Open Markets Support Act of 1992 (the FREEDOM Support Act) (22 U.S.C. 5854) and programs authorized by section 1412 of the Former Soviet Union Demilitarization Act of 1992 (22 U.S.C. 5902); and

    (D) a program of any agency of the Federal Government having a purpose similar to that of any of the programs identified in subparagraphs (A) through (C), as designated by the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism and the head of the agency.

    (2) The terms ``weapons of mass destruction'' and ``WMD'' mean chemical, biological, and nuclear weapons, and chemical, biological, and nuclear materials used in the manufacture of such weapons.

    (3) The term ``items of proliferation concern'' means--

    (A) equipment, materials, or technology listed in--

    (i) the Trigger List of the Guidelines for Nuclear Transfers of the Nuclear Suppliers Group;

    (ii) the Annex of the Guidelines for Transfers of Nuclear-Related Dual-Use Equipment, Materials, Software, and Related Technology of the Nuclear Suppliers Group; or

    (iii) any of the Common Control Lists of the Australia Group; and

    (B) any other sensitive items.

   

Subtitle A--Repeal and Modification of Limitations on Assistance for Prevention of WMD Proliferation and Terrorism

   SEC. 1811. REPEAL AND MODIFICATION OF LIMITATIONS ON ASSISTANCE FOR PREVENTION OF WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM.

    Consistent with the recommendations of the 9/11 Commission, Congress repeals or modifies the limitations on assistance for prevention of weapons of mass destruction proliferation and terrorism as follows:

    (1) SOVIET NUCLEAR THREAT REDUCTION ACT OF 1991.--Subsections (b) and (c) of section 211 of the Soviet Nuclear Threat Reduction Act of 1991 (title II of Public Law 102-228; 22 U.S.C. 2551 note) are repealed.

    (2) COOPERATIVE THREAT REDUCTION ACT OF 1993.--Section 1203(d) of the Cooperative Threat Reduction Act of 1993 (title XII of Public Law 103-160; 22 U.S.C. 5952(d)) is repealed.

    (3) RUSSIAN CHEMICAL WEAPONS DESTRUCTION FACILITIES.--Section 1305 of the National Defense Authorization Act for Fiscal Year 2000 (Public Law 106-65; 22 U.S.C. 5952 note) is repealed.

    (4) AUTHORITY TO USE COOPERATIVE THREAT REDUCTION FUNDS OUTSIDE THE FORMER SOVIET UNION--

   

MODIFICATION OF CERTIFICATION REQUIREMENT; CONGRESSIONAL NOTICE REQUIREMENT.--Section 1308 of the National Defense Authorization Act for Fiscal Year 2004 (Public Law 108-136; 22 U.S.C. 5963) is amended--

    (A) in subsection (a)--

    (i) by striking ``the President may'' and inserting ``the Secretary of Defense may''; and

    (ii) by striking ``if the President'' and inserting ``if the Secretary of Defense, with the concurrence of the Secretary of State,'';

    (B) in subsection (d)(1)--

    (i) by striking ``The President may not'' and inserting ``The Secretary of Defense may not''; and

    (ii) by striking ``until the President'' and inserting ``until the Secretary of Defense, with the concurrence of the Secretary of State,'';

    (C) in subsection (d)(2)--

    (i) by striking ``Not later than 10 days after'' and inserting ``Not later than 15 days prior to'';

    (ii) by striking ``the President shall'' and inserting ``the Secretary of Defense shall''; and

    (iii) by striking ``Congress'' and inserting ``the Committee on Armed Services and the Committee on Foreign Affairs of the House of Representatives and the Committee on Armed Services and the Committee on Foreign Relations of the Senate''; and

    (D) in subsection (d) by adding at the end the following:

    ``(3) In the case of a situation that threatens human life or safety or where a delay would severely undermine the national security of the United States, notification under paragraph (2) shall be made not later than 10 days after obligating funds under the authority in subsection (a) for a project or activity.''.

   

Subtitle B--Proliferation Security Initiative

   SEC. 1821. PROLIFERATION SECURITY INITIATIVE IMPROVEMENTS AND AUTHORITIES.

    (a) Sense of Congress.--It is the sense of Congress, consistent with the 9/11 Commission's recommendations, that the President should strive to expand and strengthen the Proliferation Security Initiative (in this subtitle referred to as ``PSI'') announced by the President on May 31, 2003, with a particular emphasis on the following:

    (1) Issuing a presidential directive to the relevant United States Government agencies and departments that directs such agencies and departments to--

    (A) establish clear PSI authorities, responsibilities, and structures;

    (B) include in the budget request for each such agency or department for each fiscal year, a request for funds necessary for United States PSI-related activities; and

    (C) provide other necessary resources to achieve more efficient and effective performance of United States PSI-related activities.

    (2) Increasing PSI cooperation with all countries.

    (3) Implementing the recommendations of the Government Accountability Office (GAO) in the September 2006 report titled ``Better Controls Needed to Plan and Manage Proliferation Security Initiative Activities'' (GAO-06-937C) regarding the following:

    (A) The Department of Defense and the Department of State should establish clear PSI roles and responsibilities, policies and procedures, interagency communication mechanisms, documentation requirements, and indicators to measure program results.

    (B) The Department of Defense and the Department of State should develop a strategy to work with PSI-participating countries to resolve issues that are impediments to conducting successful PSI interdictions.

    (4) Establishing a multilateral mechanism to increase coordination, cooperation, and compliance among PSI-participating countries.

    (b) Budget Submission.--

    (1) IN GENERAL.--Each fiscal year in which activities are planned to be carried out under the PSI, the President shall include in the budget request for each participating United States Government agency or department for that fiscal year, a description of the funding and the activities for which the funding is requested for each such agency or department.

    (2) REPORT.--Not later than the first Monday in February of each year in which the President submits a budget request described in paragraph (1), the Secretary of Defense and the Secretary of State shall submit to Congress a comprehensive joint report setting forth the following:

    (A) A three-year plan, beginning with the fiscal year for the budget request, that specifies the amount of funding and other resources to be provided by the United States for PSI-related activities over the term of the plan, including the purposes for which such funding and resources will be used.

    (B) For the report submitted in 2008, a description of the PSI-related activities carried out during the three fiscal years preceding the year of the report, and for the report submitted in 2009 and each year thereafter, a description of the PSI-related activities carried out during the fiscal year preceding the year of the report. The description shall include, for each fiscal year covered by the report--

    (i) the amounts obligated and expended for such activities and the purposes for which such amounts were obligated and expended;

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    (ii) a description of the participation of each department or agency of the United States Government in such activities;

    (iii) a description of the participation of each foreign country or entity in such activities;

    (iv) a description of any assistance provided to a foreign country or entity participating in such activities in order to secure such participation, in response to such participation, or in order to improve the quality of such participation; and

    (v) such other information as the Secretary of Defense and the Secretary of State determine should be included to keep Congress fully informed of the operation and activities of the PSI.

    (3) CLASSIFICATION.--The report required by paragraph (2) shall be in an unclassified form but may include a classified annex as necessary.

    (c) Implementation Report.--Not later than 180 days after the date of the enactment of this Act, the President shall transmit to the Committee on Armed Services and the Committee on Foreign Affairs of the House of Representatives and the Committee on Armed Services and the Committee on Foreign Relations of the Senate a report on the implementation of this section. The report shall include--

    (1) the steps taken to implement the recommendations described in paragraph (3) of subsection (a); and

    (2) the progress made toward implementing the matters described in paragraphs (1), (2), and (4) of subsection (a).

    (d) GAO Reports.--The Government Accountability Office shall submit to Congress, for each of fiscal years 2007, 2009, and 2011, a report with its assessment of the progress and effectiveness of the PSI, which shall include an assessment of the measures referred to in subsection (a).

   SEC. 1822. AUTHORITY TO PROVIDE ASSISTANCE TO COOPERATIVE COUNTRIES.

    (a) In General.--The President is authorized to provide assistance under subsection (b) to any country that cooperates with the United States and with other countries allied with the United States to prevent the transport and transshipment of items of proliferation concern in its national territory or airspace or in vessels under its control or registry.

    (b) Types of Assistance.--The assistance authorized under subsection (a) consists of the following:

    (1) Assistance under section 23 of the Arms Export Control Act (22 U.S.C. 2763).

    (2) Assistance under chapters 4 (22 U.S.C. 2346 et seq.) and 5 (22 U.S.C. 2347 et seq.) of part II of the Foreign Assistance Act of 1961.

    (3) Drawdown of defense excess defense articles and services under section 516 of the Foreign Assistance Act of 1961 (22 U.S.C. 2321j).

    (c) Congressional Notification.--Assistance authorized under this section may not be provided until at least 30 days after the date on which the President has provided notice thereof to the Committee on Armed Services, the Committee on Foreign Affairs, and the Committee on Appropriations of the House of Representatives and the Committee on Armed Services, the Committee on Foreign Relations, and the Committee on Appropriations of the Senate, in accordance with the procedures applicable to reprogramming notifications under section 634A(a) of the Foreign Assistance Act of 1961 (22 U.S.C. 2394-1(a)), and has certified to such committees that such assistance will be used in accordance with the requirement of subsection (e) of this section.

    (d) Limitation.--Assistance may be provided to a country under section (a) in no more than three fiscal years.

    (e) Use of Assistance.--Assistance provided under this section shall be used to enhance the capability of the recipient country to prevent the transport and transshipment of items of proliferation concern in its national territory or airspace, or in vessels under its control or registry, including through the development of a legal framework in that country to enhance such capability by criminalizing proliferation, enacting strict export controls, and securing sensitive materials within its borders, and to enhance the ability of the recipient country to cooperate in PSI operations.

    (f) Limitation on Ship or Aircraft Transfers.--

    (1) LIMITATION.--Except as provided in paragraph (2), the President may not transfer any excess defense article that is a vessel or an aircraft to a country that has not agreed, in connection with such transfer, that it will support and assist efforts by the United States, consistent with international law, to interdict items of proliferation concern until thirty days after the date on which the President has provided notice of the proposed transfer to the committees described in subsection (c) in accordance with the procedures applicable to reprogramming notifications under section 634A(a) of the Foreign Assistance Act of 1961 (22 U.S.C. 2394-1(a)), in addition to any other requirement of law.

    (2) EXCEPTION.--The limitation in paragraph (1) shall not apply to any transfer, not involving significant military equipment, in which the primary use of the aircraft or vessel will be for counternarcotics, counterterrorism, or counterproliferation purposes.

   

Subtitle C--Assistance to Accelerate Programs to Prevent Weapons of Mass Destruction Proliferation and Terrorism

   SEC. 1831. STATEMENT OF POLICY.

    It shall be the policy of the United States, consistent with the 9/11 Commission's recommendations, to eliminate any obstacles to timely obligating and executing the full amount of any appropriated funds for threat reduction and nonproliferation programs in order to accelerate and strengthen progress on preventing weapons of mass destruction (WMD) proliferation and terrorism. Such policy shall be implemented with concrete measures, such as those described in this title, including the removal and modification of statutory limits to executing funds, the expansion and strengthening of the Proliferation Security Initiative, the establishment of the Office of the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism under subtitle D, and the establishment of the Commission on the Prevention of Weapons of Mass Destruction Proliferation and Terrorism under subtitle E. As a result, Congress intends that any funds authorized to be appropriated to programs for preventing WMD proliferation and terrorism under this subtitle will be executed in a timely manner.

   SEC. 1832. AUTHORIZATION OF APPROPRIATIONS FOR THE DEPARTMENT OF DEFENSE COOPERATIVE THREAT REDUCTION PROGRAM.

    (a) Fiscal Year 2008.--

    (1) IN GENERAL.--Subject to paragraph (2), there are authorized to be appropriated to the Department of Defense Cooperative Threat Reduction Program such sums as may be necessary for fiscal year 2008 for the following purposes:

    (A) Chemical weapons destruction at Shchuch'ye, Russia.

    (B) Biological weapons proliferation prevention.

    (C) Acceleration, expansion, and strengthening of Cooperative Threat Reduction Program activities.

    (2) LIMITATION.--The sums appropriated pursuant to paragraph (1) may not exceed the amounts authorized to be appropriated by any national defense authorization Act for fiscal year 2008 (whether enacted before or after the date of the enactment of this Act) to the Department of Defense Cooperative Threat Reduction Program for such purposes.

    (b) Future Years.--It is the sense of Congress that in fiscal year 2008 and future fiscal years, the President should accelerate and expand funding for Cooperative Threat Reduction programs administered by the Department of Defense and such efforts should include, beginning upon enactment of this Act, encouraging additional commitments by the Russian Federation and other partner nations, as recommended by the 9/11 Commission.

   SEC. 1833. AUTHORIZATION OF APPROPRIATIONS FOR THE DEPARTMENT OF ENERGY PROGRAMS TO PREVENT WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM.

    (a) In General.--Subject to subsection (b), there are authorized to be appropriated to Department of Energy National Nuclear Security Administration Defense Nuclear Nonproliferation such sums as may be necessary for fiscal year 2008 to accelerate, expand, and strengthen the following programs to prevent weapons of mass destruction (WMD) proliferation and terrorism:

    (1) The Global Threat Reduction Initiative.

    (2) The Nonproliferation and International Security program.

    (3) The International Materials Protection, Control and Accounting program.

    (4) The Nonproliferation and Verification Research and Development program.

    (b) Limitation.--The sums appropriated pursuant to subsection (a) may not exceed the amounts authorized to be appropriated by any national defense authorization Act for fiscal year 2008 (whether enacted before or after the date of the enactment of this Act) to Department of Energy National Nuclear Security Administration Defense Nuclear Nonproliferation for such purposes.

   

Subtitle D--Office of the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism

   SEC. 1841. OFFICE OF THE UNITED STATES COORDINATOR FOR THE PREVENTION OF WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM.

    (a) Establishment.--There is established within the Executive Office of the President an office to be known as the ``Office of the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism'' (in this section referred to as the ``Office'').

    (b) Officers.--

    (1) UNITED STATES COORDINATOR.--The head of the Office shall be the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism (in this section referred to as the ``Coordinator'').

    (2) DEPUTY UNITED STATES COORDINATOR.--There shall be a Deputy United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism (in this section referred to as the ``Deputy Coordinator''), who shall--

    (A) assist the Coordinator in carrying out the responsibilities of the Coordinator under this subtitle; and

    (B) serve as Acting Coordinator in the absence of the Coordinator and during any vacancy in the office of Coordinator.

    (3) APPOINTMENT.--The Coordinator and Deputy Coordinator shall be appointed by the President, by and with the advice and consent of the Senate, and shall be responsible on a full-time basis for the duties and responsibilities described in this section.

    (4) LIMITATION.--No person shall serve as Coordinator or Deputy Coordinator while serving in any other position in the Federal Government.

    (5) ACCESS BY CONGRESS.--The establishment of the Office of the Coordinator within the Executive Office of the President shall not be construed as affecting access by the Congress or committees of either House to--

    (A) information, documents, and studies in the possession of, or conducted by or at the direction of, the Coordinator; or

    (B) personnel of the Office of the Coordinator.

    (c) Duties.--The responsibilities of the Coordinator shall include the following:

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    (1) Serving as the principal advisor to the President on all matters relating to the prevention of weapons of mass destruction (WMD) proliferation and terrorism.

    (2) Formulating a comprehensive and well-coordinated United States strategy and policies for preventing WMD proliferation and terrorism, including--

    (A) measurable milestones and targets to which departments and agencies can be held accountable;

    (B) identification of gaps, duplication, and other inefficiencies in existing activities, initiatives, and programs and the steps necessary to overcome these obstacles;

    (C) plans for preserving the nuclear security investment the United States has made in Russia, the former Soviet Union, and other countries;

    (D) prioritized plans to accelerate, strengthen, and expand the scope of existing initiatives and programs, which include identification of vulnerable sites and material and the corresponding actions necessary to eliminate such vulnerabilities;

    (E) new and innovative initiatives and programs to address emerging challenges and strengthen United States capabilities, including programs to attract and retain top scientists and engineers and strengthen the capabilities of United States national laboratories;

    (F) plans to coordinate United States activities, initiatives, and programs relating to the prevention of WMD proliferation and terrorism, including those of the Department of Energy, the Department of Defense, the Department of State, and the Department of Homeland Security, and including the Proliferation Security Initiative, the G-8 Global Partnership Against the Spread of Weapons and Materials of Mass Destruction, United Nations Security Council Resolution 1540, and the Global Initiative to Combat Nuclear Terrorism;

    (G) plans to strengthen United States commitments to international regimes and significantly improve cooperation with other countries relating to the prevention of WMD proliferation and terrorism, with particular emphasis on work with the international community to develop laws and an international legal regime with universal jurisdiction to enable any state in the world to interdict and prosecute smugglers of WMD material, as recommended by the 9/11 Commission; and

    (H) identification of actions necessary to implement the recommendations of the Commission on the Prevention of Weapons of Mass Destruction Proliferation and Terrorism established under subtitle E of this title.

    (3) Leading inter-agency coordination of United States efforts to implement the strategy and policies described in this section.

    (4) Conducting oversight and evaluation of accelerated and strengthened implementation of initiatives and programs to prevent WMD proliferation and terrorism by relevant government departments and agencies.

    (5) Overseeing the development of a comprehensive and coordinated budget for programs and initiatives to prevent WMD proliferation and terrorism, ensuring that such budget adequately reflects the priority of the challenges and is effectively executed, and carrying out other appropriate budgetary authorities.

    (d) Staff.--The Coordinator may--

    (1) appoint, employ, fix compensation, and terminate such personnel as may be necessary to enable the Coordinator to perform his or her duties under this title;

    (2) direct, with the concurrence of the Secretary of a department or head of an agency, the temporary reassignment within the Federal Government of personnel employed by such department or agency, in order to implement United States policy with regard to the prevention of WMD proliferation and terrorism;

    (3) use for administrative purposes, on a reimbursable basis, the available services, equipment, personnel, and facilities of Federal, State, and local agencies;

    (4) procure the services of experts and consultants in accordance with section 3109 of title 5, United States Code, relating to appointments in the Federal Service, at rates of compensation for individuals not to exceed the daily equivalent of the rate of pay payable for a position at level IV of the Executive Schedule under section 5315 of title 5, United States Code; and

    (5) use the mails in the same manner as any other department or agency of the executive branch.

    (e) Consultation With Commission.--The Office and the Coordinator shall regularly consult with and strive to implement the recommendations of the Commission on the Prevention of Weapons of Mass Destruction Proliferation and Terrorism, established under subtitle E of this title.

    (f) Annual Report on Strategic Plan.--For fiscal year 2009 and each fiscal year thereafter, the Coordinator shall submit to Congress, at the same time as the submission of the budget for that fiscal year under title 31, United States Code, a report on the strategy and policies developed pursuant to subsection (c)(2), together with any recommendations of the Coordinator for legislative changes that the Coordinator considers appropriate with respect to such strategy and policies and their implementation or the Office of the Coordinator.

    (g) Participation in National Security Council and Homeland Security Council.--Section 101 of the National Security Act of 1947 (50 U.S.C. 402) is amended--

    (1) by redesignating the last subsection (added as ``(i)'' by section 301 of Public Law 105-292) as subsection (k); and

    (2) by adding at the end the following:

    ``(l) Participation of Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism.--The United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism (or, in the Coordinator's absence, the Deputy United States Coordinator) may, in the performance of the Coordinator's duty as principal advisor to the President on all matters relating to the prevention of weapons of mass destruction proliferation and terrorism, and, subject to the direction of the President, attend and participate in meetings of the National Security Council and the Homeland Security Council.''.

   SEC. 1842. SENSE OF CONGRESS ON UNITED STATES-RUSSIA COOPERATION AND COORDINATION ON THE PREVENTION OF WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM.

    It is the sense of the Congress that, as soon as practical, the President should engage the President of the Russian Federation in a discussion of the purposes and goals for the establishment of the Office of the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism (in this section referred to as the ``Office''), the authorities and responsibilities of the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism (in this section referred to as the ``United States Coordinator''), and the importance of strong cooperation between the United States Coordinator and a senior official of the Russian Federation having authorities and responsibilities for preventing weapons of mass destruction proliferation and terrorism commensurate with those of the United States Coordinator, and with whom the United States Coordinator should coordinate planning and implementation of activities within and outside of the Russian Federation having the purpose of preventing weapons of mass destruction proliferation and terrorism.

   

Subtitle E--Commission on the Prevention of Weapons of Mass Destruction Proliferation and Terrorism

   SEC. 1851. ESTABLISHMENT OF COMMISSION ON THE PREVENTION OF WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM.

    There is established the Commission on the Prevention of Weapons of Mass Destruction Proliferation and Terrorism (in this subtitle referred to as the ``Commission'').

   SEC. 1852. PURPOSES OF COMMISSION.

    (a) In General.--The purposes of the Commission are to--

    (1) assess current activities, initiatives, and programs to prevent weapons of mass destruction proliferation and terrorism; and

    (2) provide a clear and comprehensive strategy and concrete recommendations for such activities, initiatives, and programs.

    (b) In Particular.--The Commission shall give particular attention to activities, initiatives, and programs to secure all nuclear weapons-usable material around the world and to significantly accelerate, expand, and strengthen, on an urgent basis, United States and international efforts to prevent, stop, and counter the spread of nuclear weapons capabilities and related equipment, material, and technology to terrorists and states of concern.

   SEC. 1853. COMPOSITION OF COMMISSION.

    (a) Members.--The Commission shall be composed of 9 members, of whom--

    (1) 1 member shall be appointed by the leader of the Senate of the Democratic Party (majority or minority leader, as the case may be), with the concurrence of the leader of the House of Representatives of the Democratic party (majority or minority leader as the case may be), who shall serve as chairman of the Commission;

    (2) 2 members shall be appointed by the senior member of the Senate leadership of the Democratic party;

    (3) 2 members shall be appointed by the senior member of the Senate leadership of the Republican party;

    (4) 2 members shall be appointed by the senior member of the leadership of the House of Representatives of the Democratic party; and

    (5) 2 members shall be appointed by the senior member of the leadership of the House of Representatives of the Republican party.

    (b) Qualifications.--It is the sense of Congress that individuals appointed to the Commission should be prominent United States citizens, with significant depth of experience in the nonproliferation or arms control fields.

    (c) Deadline for Appointment.--All members of the Commission shall be appointed within 90 days of the date of the enactment of this Act.

    (d) Initial Meeting.--The Commission shall meet and begin the operations of the Commission as soon as practicable.

    (e) Quorum; Vacancies.--After its initial meeting, the Commission shall meet upon the call of the chairman or a majority of its members. Six members of the Commission shall constitute a quorum. Any vacancy in the Commission shall not affect its powers, but shall be filled in the same manner in which the original appointment was made.

   SEC. 1854. RESPONSIBILITIES OF COMMISSION.

    (a) In General.--The Commission shall address--

    (1) the roles, missions, and structure of all relevant government departments, agencies, and other actors, including the Office of the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism established under subtitle D of this title;

    (2) inter-agency coordination;

    (3) United States commitments to international regimes and cooperation with other countries; and

    (4) the threat of weapons of mass destruction proliferation and terrorism to the United States

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and its interests and allies, including the threat posed by black-market networks, and the effectiveness of the responses by the United States and the international community to such threats.

    (b) Follow-on Baker-Cutler Report.--The Commission shall also reassess, and where necessary update and expand on, the conclusions and recommendations of the report titled ``A Report Card on the Department of Energy's Nonproliferation Programs with Russia'' of January 2001 (also known as the ``Baker-Cutler Report'') and implementation of such recommendations.

   SEC. 1855. POWERS OF COMMISSION.

    (a) Hearings and Evidence.--The Commission or, on the authority of the Commission, any subcommittee or member thereof, may, for the purpose of carrying out this subtitle, hold such hearings and sit and act at such times and places, take such testimony, receive such evidence, and administer such oaths as the Commission or such designate subcommittee or designated member may determine advisable.

    (b) Contracting.--The Commission may, to such extent and in such amounts as are provided in appropriations Acts, enter into contracts to enable the Commission to discharge its duties under this subtitle.

    (c) Staff of Commission.--

    (1) APPOINTMENT AND COMPENSATION.--The chairman of the Commission, in accordance with rules agreed upon by the Commission, may appoint and fix the compensation of a staff director and such other personnel as may be necessary to enable the Commission to carry out its functions, without regard to the provisions of title 5, United States Code, governing appointments in the competitive service, and without regard to the provisions of chapter 51 and subchapter III of chapter 53 of such title relating to classification and General Schedule pay rates, except that no rate of pay fixed under this subsection may exceed the equivalent of that payable for a position at level V of the Executive Schedule under section 5316 of title 5, United States Code.

    (2) PERSONNEL AS FEDERAL EMPLOYEES.--

    (A) IN GENERAL.--The executive director and any employees of the Commission shall be employees under section 2105 of title 5, United States Code, for purposes of chapters 63, 81, 83, 84, 85, 87, 89, and 90 of that title.

    (B) MEMBERS OF COMMISSION.--Subparagraph (A) shall not be construed to apply to members of the Commission.

    (3) DETAILEES.--Any Federal Government employee may be detailed to the Commission without reimbursement from the Commission, and such detailee shall retain the rights, status, and privileges of his or her regular employment without interruption.

    (4) CONSULTANT SERVICES.--The Commission may procure the services of experts and consultants in accordance with section 3109 of title 5, United States Code, but at rates not to exceed the daily rate paid a person occupying a position at level IV of the Executive Schedule under section 5315 of title 5, United States Code.

    (5) EMPHASIS ON SECURITY CLEARANCES.--Emphasis shall be made to hire employees and retain contractors and detailees with active security clearances.

    (d) Information From Federal Agencies.--

    (1) IN GENERAL.--The Commission is authorized to secure directly from any executive department, bureau, agency, board, commission, office, independent establishment, or instrumentality of the Government, information, suggestions, estimates, and statistics for the purposes of this subtitle. Each department, bureau, agency, board, commission, office, independent establishment, or instrumentality shall, to the extent authorized by law, furnish such information, suggestions, estimates, and statistics directly to the Commission, upon request made by the chairman, the chairman of any subcommittee created by a majority of the Commission, or any member designated by a majority of the Commission.

    (2) RECEIPT, HANDLING, STORAGE, AND DISSEMINATION.--Information shall only be received, handled, stored, and disseminated by members of the Commission and its staff consistent with all applicable statutes, regulations, and Executive orders.

    (e) Assistance From Federal Agencies.--

    (1) GENERAL SERVICES ADMINISTRATION.--The Administrator of General Services shall provide to the Commission on a reimbursable basis administrative support and other services for the performance of the Commission's functions.

    (2) OTHER DEPARTMENTS AND AGENCIES.--In addition to the assistance prescribed in paragraph (1), departments and agencies of the United States may provide to the Commission such services, funds, facilities, staff, and other support services as they may determine advisable and as may be authorized by law.

    (f) Gifts.--The Commission may accept, use, and dispose of gifts or donations of services or property.

    (g) Postal Services.--The Commission may use the United States mails in the same manner and under the same conditions as departments and agencies of the United States.

   SEC. 1856. NONAPPLICABILITY OF FEDERAL ADVISORY COMMITTEE ACT.

    (a) In General.--The Federal Advisory Committee Act (5 U.S.C. App.) shall not apply to the Commission.

    (b) Public Meetings and Release of Public Versions of Reports.--The Commission shall--

    (1) hold public hearings and meetings to the extent appropriate; and

    (2) release public versions of the report required under section 1857.

    (c) Public Hearings.--Any public hearings of the Commission shall be conducted in a manner consistent with the protection of information provided to or developed for or by the Commission as required by any applicable statute, regulation, or Executive order.

   SEC. 1857. REPORT.

    Not later than 180 days after the appointment of the Commission, the Commission shall submit to the President and Congress a final report containing such findings, conclusions, and recommendations for corrective measures as have been agreed to by a majority of Commission members.

   SEC. 1858. TERMINATION.

    (a) In General.--The Commission, and all the authorities of this subtitle, shall terminate 60 days after the date on which the final report is submitted under section 1857.

    (b) Administrative Activities Before Termination.--The Commission may use the 60-day period referred to in subsection (a) for the purpose of concluding its activities, including providing testimony to committees of Congress concerning its report and disseminating the final report.

   SEC. 1859. FUNDING.

    (a) In General.--There are authorized to be appropriated such sums as may be necessary for the purposes of the activities of the Commission under this title.

    (b) Duration of Availability.--Amounts made available to the Commission under subsection (a) shall remain available until the termination of the Commission.

   

TITLE XIX--INTERNATIONAL COOPERATION ON ANTITERRORISM TECHNOLOGIES

   SEC. 1901. PROMOTING ANTITERRORISM CAPABILITIES THROUGH INTERNATIONAL COOPERATION.

    (a) Findings.--Congress finds the following:

    (1) The development and implementation of technology is critical to combating terrorism and other high consequence events and implementing a comprehensive homeland security strategy.

    (2) The United States and its allies in the global war on terrorism share a common interest in facilitating research, development, testing, and evaluation of equipment, capabilities, technologies, and services that will aid in detecting, preventing, responding to, recovering from, and mitigating against acts of terrorism.

    (3) Certain United States allies in the global war on terrorism, including Israel, the United Kingdom, Canada, Australia, and Singapore have extensive experience with, and technological expertise in, homeland security.

    (4) The United States and certain of its allies in the global war on terrorism have a history of successful collaboration in developing mutually beneficial equipment, capabilities, technologies, and services in the areas of defense, agriculture, and telecommunications.

    (5) The United States and its allies in the global war on terrorism will mutually benefit from the sharing of technological expertise to combat domestic and international terrorism.

    (6) The establishment of an office to facilitate and support cooperative endeavors between and among government agencies, for-profit business entities, academic institutions, and nonprofit entities of the United States and its allies will safeguard lives and property worldwide against acts of terrorism and other high consequence events.

    (b) Promoting Antiterrorism Through International Cooperation Act.--

    (1) IN GENERAL.--Title III of the Homeland Security Act of 2002 (6 U.S.C. 181 et seq.) is amended by adding after section 316, as added by section 1101 of this Act, the following:

   ``SEC. 317. PROMOTING ANTITERRORISM THROUGH INTERNATIONAL COOPERATION PROGRAM.

    ``(a) Definitions.--In this section:

    ``(1) DIRECTOR.--The term `Director' means the Director selected under subsection (b)(2).

    ``(2) INTERNATIONAL COOPERATIVE ACTIVITY.--The term `international cooperative activity' includes--

    ``(A) coordinated research projects, joint research projects, or joint ventures;

    ``(B) joint studies or technical demonstrations;

    ``(C) coordinated field exercises, scientific seminars, conferences, symposia, and workshops;

    ``(D) training of scientists and engineers;

    ``(E) visits and exchanges of scientists, engineers, or other appropriate personnel;

    ``(F) exchanges or sharing of scientific and technological information; and

    ``(G) joint use of laboratory facilities and equipment.

    ``(b) Science and Technology Homeland Security International Cooperative Programs Office.--

    ``(1) ESTABLISHMENT.--The Under Secretary shall establish the Science and Technology Homeland Security International Cooperative Programs Office.

    ``(2) DIRECTOR.--The Office shall be headed by a Director, who--

    ``(A) shall be selected, in consultation with the Assistant Secretary for International Affairs, by and shall report to the Under Secretary; and

    ``(B) may be an officer of the Department serving in another position.

    ``(3) RESPONSIBILITIES.--

    ``(A) DEVELOPMENT OF MECHANISMS.--The Director shall be responsible for developing, in coordination with the Department of State and, as appropriate, the Department of Defense, the Department of Energy, and other Federal agencies, understandings and agreements to allow and to support international cooperative activity in support of homeland security.

    ``(B) PRIORITIES.--The Director shall be responsible for developing, in coordination with the Office of International Affairs and other Federal agencies, strategic priorities for international cooperative activity for the Department in support of homeland security.

    ``(C) ACTIVITIES.--The Director shall facilitate the planning, development, and implementation

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of international cooperative activity to address the strategic priorities developed under subparagraph (B) through mechanisms the Under Secretary considers appropriate, including grants, cooperative agreements, or contracts to or with foreign public or private entities, governmental organizations, businesses (including small businesses and socially and economically disadvantaged small businesses (as those terms are defined in sections 3 and 8 of the Small Business Act (15 U.S.C. 632 and 637), respectively)), federally funded research and development centers, and universities.

    ``(D) IDENTIFICATION OF PARTNERS.--The Director shall facilitate the matching of United States entities engaged in homeland security research with non-United States entities engaged in homeland security research so that they may partner in homeland security research activities.

    ``(4) COORDINATION.--The Director shall ensure that the activities under this subsection are coordinated with the Office of International Affairs and the Department of State and, as appropriate, the Department of Defense, the Department of Energy, and other relevant Federal agencies or interagency bodies. The Director may enter into joint activities with other Federal agencies.

    ``(c) Matching Funding.--

    ``(1) IN GENERAL.--

    ``(A) EQUITABILITY.--The Director shall ensure that funding and resources expended in international cooperative activity will be equitably matched by the foreign partner government or other entity through direct funding, funding of complementary activities, or the provision of staff, facilities, material, or equipment.

    ``(B) GRANT MATCHING AND REPAYMENT.--

    ``(i) IN GENERAL.--The Secretary may require a recipient of a grant under this section--

    ``(I) to make a matching contribution of not more than 50 percent of the total cost of the proposed project for which the grant is awarded; and

    ``(II) to repay to the Secretary the amount of the grant (or a portion thereof), interest on such amount at an appropriate rate, and such charges for administration of the grant as the Secretary determines appropriate.

    ``(ii) MAXIMUM AMOUNT.--The Secretary may not require that repayment under clause (i)(II) be more than 150 percent of the amount of the grant, adjusted for inflation on the basis of the Consumer Price Index.

    ``(2) FOREIGN PARTNERS.--Partners may include Israel, the United Kingdom, Canada, Australia, Singapore, and other allies in the global war on terrorism as determined to be appropriate by the Secretary of Homeland Security and the Secretary of State.

    ``(3) LOANS OF EQUIPMENT.--The Director may make or accept loans of equipment for research and development and comparative testing purposes.

    ``(d) Foreign Reimbursements.--If the Science and Technology Homeland Security International Cooperative Programs Office participates in an international cooperative activity with a foreign partner on a cost-sharing basis, any reimbursements or contributions received from that foreign partner to meet its share of the project may be credited to appropriate current appropriations accounts of the Directorate of Science and Technology.

    ``(e) Report to Congress on International Cooperative Activities.--Not later than one year after the date of enactment of this section, and every 5 years thereafter, the Under Secretary, acting through the Director, shall submit to Congress a report containing--

    ``(1) a brief description of each grant, cooperative agreement, or contract made or entered into under subsection (b)(3)(C), including the participants, goals, and amount and sources of funding; and

    ``(2) a list of international cooperative activities underway, including the participants, goals, expected duration, and amount and sources of funding, including resources provided to support the activities in lieu of direct funding.

    ``(f) Animal and Zoonotic Diseases.--As part of the international cooperative activities authorized in this section, the Under Secretary, in coordination with the Chief Medical Officer, the Department of State, and appropriate officials of the Department of Agriculture, the Department of Defense, and the Department of Health and Human Services, may enter into cooperative activities with foreign countries, including African nations, to strengthen American preparedness against foreign animal and zoonotic diseases overseas that could harm the Nation's agricultural and public health sectors if they were to reach the United States.

    ``(g) Construction; Authorities of the Secretary of State.--Nothing in this section shall be construed to alter or affect the following provisions of law:

    ``(1) Title V of the Foreign Relations Authorization Act, Fiscal Year 1979 (22 U.S.C. 2656a et seq.).

    ``(2) Section 112b(c) of title 1, United States Code.

    ``(3) Section 1(e)(2) of the State Department Basic Authorities Act of 1956 (22 U.S.C. 2651a(e)(2)).

    ``(4) Sections 2 and 27 of the Arms Export Control Act (22 U.S.C. 2752 and 22 U.S.C. 2767).

    ``(5) Section 622(c) of the Foreign Assistance Act of 1961 (22 U.S.C. 2382(c)).

    ``(h) Authorization of Appropriations.--There are authorized to be appropriated to carry out this section such sums as are necessary.''.

    (2) TECHNICAL AND CONFORMING AMENDMENT.--The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended by inserting after the item relating to section 316, as added by section 1101 of this Act, the following:

   ``Sec..317..Promoting antiterrorism through international cooperation program.''.

   SEC. 1902. TRANSPARENCY OF FUNDS.

    For each Federal award (as that term is defined in section 2 of the Federal Funding Accountability and Transparency Act of 2006 (31 U.S.C. 6101 note)) under this title or an amendment made by this title, the Director of the Office of Management and Budget shall ensure full and timely compliance with the requirements of the Federal Funding Accountability and Transparency Act of 2006 (31 U.S.C. 6101 note).

   

TITLE XX--9/11 COMMISSION INTERNATIONAL IMPLEMENTATION

   SEC. 2001. SHORT TITLE.

    This title may be cited as the ``9/11 Commission International Implementation Act of 2007''.

   SEC. 2002. DEFINITION.

    In this title, except as otherwise provided, the term ``appropriate congressional committees''--

    (1) means--

    (A) the Committee on Foreign Affairs and the Committee on Appropriations of the House of Representatives; and

    (B) the Committee on Foreign Relations and the Committee on Appropriations of the Senate; and

    (2) includes, for purposes of subtitle D, the Committees on Armed Services of the House of Representatives and of the Senate.

   

Subtitle A--Quality Educational Opportunities in Predominantly Muslim Countries.

   SEC. 2011. FINDINGS; POLICY.

    (a) Findings.--Congress makes the following findings:

    (1) The report of the National Commission on Terrorist Attacks Upon the United States stated that ``[e]ducation that teaches tolerance, the dignity and value of each individual, and respect for different beliefs is a key element in any global strategy to eliminate Islamist terrorism''.

    (2) The report of the National Commission on Terrorist Attacks Upon the United States concluded that ensuring educational opportunity is essential to the efforts of the United States to defeat global terrorism and recommended that the United States Government ``should offer to join with other nations in generously supporting [spending funds] . . . directly for building and operating primary and secondary schools in those Muslim states that commit to sensibly investing their own money in public education''.

    (3) While Congress endorsed such a program in the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458), such a program has not been established.

    (b) Policy.--It is the policy of the United States--

    (1) to work toward the goal of dramatically increasing the availability of modern basic education through public schools in predominantly Muslim countries, which will reduce the influence of radical madrassas and other institutions that promote religious extremism;

    (2) to join with other countries in generously supporting the International Muslim Youth Opportunity Fund authorized under section 7114 of the Intelligence Reform and Terrorism Prevention Act of 2004, as amended by section 2012 of this Act, with the goal of building and supporting public primary and secondary schools in predominantly Muslim countries that commit to sensibly investing the resources of such countries in modern public education;

    (3) to offer additional incentives to increase the availability of modern basic education in predominantly Muslim countries; and

    (4) to work to prevent financing of educational institutions that support radical Islamic fundamentalism.

   SEC. 2012. INTERNATIONAL MUSLIM YOUTH OPPORTUNITY FUND.

    Section 7114 of the Intelligence Reform and Terrorism Prevention Act of 2004 (22 U.S.C. 2228) is amended to read as follows:

   ``SEC. 7114. INTERNATIONAL MUSLIM YOUTH OPPORTUNITY FUND.

    ``(a) Purpose.--The purpose of this section is to strengthen the public educational systems in predominantly Muslim countries by--

    ``(1) authorizing the establishment of an International Muslim Youth Educational Fund through which the United States dedicates resources, either through a separate fund or through an international organization, to assist those countries that commit to education reform; and

    ``(2) providing resources for the Fund and to the President to help strengthen the public educational systems in those countries.

    ``(b) Establishment of Fund.--

    ``(1) AUTHORITY.--The President is authorized to establish an International Muslim Youth Opportunity Fund and to carry out programs consistent with paragraph (4) under existing authorities, including the Mutual Educational and Cultural Exchange Act of 1961 (commonly referred to as the `Fulbright-Hays Act').

    ``(2) LOCATION.--The Fund may be established--

    ``(A) as a separate fund in the Treasury; or

    ``(B) through an international organization or international financial institution, such as the United Nations Educational, Science and Cultural Organization, the United Nations Development Program, or the International Bank for Reconstruction and Development.

    ``(3) TRANSFERS AND RECEIPTS.--The head of any department, agency, or instrumentality of the United States Government may transfer any amount to the Fund, and the Fund may receive funds from private enterprises, foreign countries, or other entities.

    ``(4) ACTIVITIES OF THE FUND.--The Fund shall support programs described in this paragraph to improve the education environment in predominantly Muslim countries.

    ``(A) ASSISTANCE TO ENHANCE MODERN EDUCATIONAL PROGRAMS.--

    ``(i) The establishment in predominantly Muslim countries of a program of reform to create a

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modern education curriculum in the public educational systems in such countries.

    ``(ii) The establishment or modernization of educational materials to advance a modern educational curriculum in such systems.

    ``(iii) Teaching English to adults and children.

    ``(iv) The enhancement in predominantly Muslim countries of community, family, and student participation in the formulation and implementation of education strategies and programs in such countries.

    ``(B) ASSISTANCE FOR TRAINING AND EXCHANGE PROGRAMS FOR TEACHERS, ADMINISTRATORS, AND STUDENTS.--

    ``(i) The establishment of training programs for teachers and educational administrators to enhance skills, including the establishment of regional centers to train individuals who can transfer such skills upon return to their countries.

    ``(ii) The establishment of exchange programs for teachers and administrators in predominantly Muslim countries and with other countries to stimulate additional ideas and reform throughout the world, including teacher training exchange programs focused on primary school teachers in such countries.

    ``(iii) The establishment of exchange programs for primary and secondary students in predominantly Muslim countries and with other countries to foster understanding and tolerance and to stimulate long-standing relationships.

    ``(C) ASSISTANCE TARGETING PRIMARY AND SECONDARY STUDENTS.--

    ``(i) The establishment in predominantly Muslim countries of after-school programs, civic education programs, and education programs focusing on life skills, such as inter-personal skills and social relations and skills for healthy living, such as nutrition and physical fitness.

    ``(ii) The establishment in predominantly Muslim countries of programs to improve the proficiency of primary and secondary students in information technology skills.

    ``(D) ASSISTANCE FOR DEVELOPMENT OF YOUTH PROFESSIONALS.--

    ``(i) The establishment of programs in predominantly Muslim countries to improve vocational training in trades to help strengthen participation of Muslims and Arabs in the economic development of their countries.

    ``(ii) The establishment of programs in predominantly Muslim countries that target older Muslim youths not in school in such areas as entrepreneurial skills, accounting, micro-finance activities, work training, financial literacy, and information technology.

    ``(E) OTHER TYPES OF ASSISTANCE.--

    ``(i) The translation of foreign books, newspapers, reference guides, and other reading materials into local languages.

    ``(ii) The construction and equipping of modern community and university libraries.

    ``(5) AUTHORIZATION OF APPROPRIATIONS.--

    ``(A) IN GENERAL.--There is authorized to be appropriated to the President to carry out this section such sums as may be necessary for fiscal years 2008, 2009, and 2010.

    ``(B) AVAILABILITY.--Amounts appropriated pursuant to the authorization of appropriations under subsection (a) are authorized to remain available until expended.

    ``(C) ADDITIONAL FUNDS.--Amounts authorized to be appropriated under subsection (a) shall be in addition to amounts otherwise available for such purposes.

    ``(6) REPORT TO CONGRESS.--Not later than 180 days after the date of the enactment of this section and annually thereafter until January 30, 2010, the President shall submit to the appropriate congressional committees a report on United States efforts to assist in the improvement of educational opportunities for predominantly Muslim children and youths, including the progress made toward establishing the International Muslim Youth Opportunity Fund.

    ``(7) APPROPRIATE CONGRESSIONAL COMMITTEES DEFINED.--In this subsection, the term `appropriate congressional committees' means the Committee on Foreign Affairs and the Committee on Appropriations of the House of Representatives and the Committee on Foreign Relations and the Committee on Appropriations of the Senate.''.

   SEC. 2013. ANNUAL REPORT TO CONGRESS.

    (a) In General.--Not later than June 1 of each year until December 31, 2009, the Secretary of State shall submit to the appropriate congressional committees a report on the efforts of predominantly Muslim countries to increase the availability of modern basic education and to close educational institutions that promote religious extremism and terrorism.

    (b) Contents.--Each report shall include--

    (1) a list of predominantly Muslim countries that are making serious and sustained efforts to improve the availability of modern basic education and to close educational institutions that promote religious extremism and terrorism;

    (2) a list of such countries that are making efforts to improve the availability of modern basic education and to close educational institutions that promote religious extremism and terrorism, but such efforts are not serious and sustained;

    (3) a list of such countries that are not making efforts to improve the availability of modern basic education and to close educational institutions that promote religious extremism and terrorism; and

    (4) an assessment for each country specified in each of paragraphs (1), (2), and (3) of the role of United States assistance with respect to the efforts made or not made to improve the availability of modern basic education and close educational institutions that promote religious extremism and terrorism.

   SEC. 2014. EXTENSION OF PROGRAM TO PROVIDE GRANTS TO AMERICAN-SPONSORED SCHOOLS IN PREDOMINANTLY MUSLIM COUNTRIES TO PROVIDE SCHOLARSHIPS.

    (a) Findings.--Congress finds the following:

    (1) Section 7113 of the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458; 22 U.S.C. 2452 note) authorized the establishment of a pilot program to provide grants to American-sponsored schools in predominantly Muslim countries so that such schools could provide scholarships to young people from lower-income and middle-income families in such countries to attend such schools, where they could improve their English and be exposed to a modern education.

    (2) Since the date of the enactment of that section, the Middle East Partnership Initiative has pursued implementation of that program.

    (b) Extension of Program.--

    (1) IN GENERAL.--Section 7113 of the Intelligence Reform and Terrorism Prevention Act of 2004 is amended--

    (A) in the section heading by striking ``

   

   PILOT''; and

    (B) in subsection (c)--

    (i) in the subsection heading, by striking ``Pilot''; and

    (ii) by striking ``pilot'';

    (C) in subsection (d), by striking ``pilot'' each place it appears;

    (D) in subsection (f) by striking ``pilot'';

    (E) in subsection (g), in the first sentence--

    (i) by inserting ``and April 15, 2008,'' after ``April 15, 2006,''; and

    (ii) by striking ``pilot''; and

    (F) in subsection (h)--

    (i) by striking ``2005 and 2006'' and inserting ``2007 and 2008''; and

    (ii) by striking ``pilot''.

    (2) CONFORMING AMENDMENT.--Section 1(b) of such Act is amended, in the table of contents, by striking the item relating to section 7113 and inserting after section 7112 the following new item:

   ``7113..Program to provide grants to American-sponsored schools in predominantly Muslim countries to provide scholarships.''.

   

Subtitle B--Democracy and Development in the Broader Middle East Region

   SEC. 2021. MIDDLE EAST FOUNDATION.

    (a) Purposes.--The purposes of this section are to support, through the provision of grants, technical assistance, training, and other programs, in the countries of the broader Middle East region, the expansion of--

    (1) civil society;

    (2) opportunities for political participation for all citizens;

    (3) protections for internationally recognized human rights, including the rights of women;

    (4) educational system reforms;

    (5) independent media;

    (6) policies that promote economic opportunities for citizens;

    (7) the rule of law; and

    (8) democratic processes of government.

    (b) Middle East Foundation.--

    (1) DESIGNATION.--The Secretary of State is authorized to designate an appropriate private, nonprofit organization that is organized or incorporated under the laws of the United States or of a State as the Middle East Foundation (referred to in this section as the ``Foundation'').

    (2) FUNDING.--

    (A) AUTHORITY.--The Secretary of State is authorized to provide funding to the Foundation through the Middle East Partnership Initiative of the Department of State. Notwithstanding any other provision of law, the Foundation shall use amounts provided under this paragraph to carry out the purposes specified in subsection (a), including through making grants, using such funds as an endowment, and providing other assistance to entities to carry out programs for such purposes.

    (B) FUNDING FROM OTHER SOURCES.--In determining the amount of funding to provide to the Foundation, the Secretary of State shall take into consideration the amount of funds that the Foundation has received from sources other than the United States Government.

    (3) NOTIFICATION TO CONGRESSIONAL COMMITTEES.--The Secretary of State shall notify the appropriate congressional committees of the designation of an appropriate organization as the Foundation.

    (c) Grants for Projects.--

    (1) FOUNDATION TO MAKE GRANTS.--The Secretary of State shall enter into an agreement with the Foundation that requires the Foundation to use the funds provided under subsection (b)(2) to make grants to persons or entities (other than governments or government entities) located in the broader Middle East region or working with local partners based in the broader Middle East region to carry out projects that support the purposes specified in subsection (a).

    (2) CENTER FOR PUBLIC POLICY.--Under the agreement described in paragraph (1), the Foundation may make a grant to an institution of higher education located in the broader Middle East region to create a center for public policy for the purpose of permitting scholars and professionals from the countries of the broader Middle East region and from other countries, including the United States, to carry out research, training programs, and other activities to inform public policymaking in the broader Middle East region and to promote broad economic, social, and political reform for the people of the broader Middle East region.

    (3) APPLICATIONS FOR GRANTS.--An entity seeking a grant from the Foundation under this section shall submit an application to the head of the Foundation at such time, in such manner, and containing such information as the head of the Foundation may reasonably require.

    (d) Private Character of the Foundation.--Nothing in this section shall be construed to--

    (1) make the Foundation an agency or establishment of the United States Government, or to make the officers or employees of the Foundation officers or employees of the United States for purposes of title 5, United States Code; or

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    (2) impose any restriction on the Foundation's acceptance of funds from private and public sources in support of its activities consistent with the purposes specified in subsection (a).

    (e) Limitation on Payments to Foundation Personnel.--No part of the funds provided to the Foundation under this section shall inure to the benefit of any officer or employee of the Foundation, except as salary or reasonable compensation for services.

    (f) Retention of Interest.--The Foundation may hold funds provided under this section in interest-bearing accounts prior to the disbursement of such funds to carry out the purposes specified in subsection (a), and may retain for such purposes any interest earned without returning such interest to the Treasury of the United States. The Foundation may retain and use such funds as an endowment to carry out the purposes specified in subsection (a).

    (g) Financial Accountability.--

    (1) INDEPENDENT PRIVATE AUDITS OF THE FOUNDATION.--The accounts of the Foundation shall be audited annually in accordance with generally accepted auditing standards by independent certified public accountants or independent licensed public accountants certified or licensed by a regulatory authority of a State or other political subdivision of the United States. The report of the independent audit shall be included in the annual report required by subsection (h).

    (2) GAO AUDITS.--The financial transactions undertaken pursuant to this section by the Foundation may be audited by the Government Accountability Office in accordance with such principles and procedures and under such rules and regulations as may be prescribed by the Comptroller General of the United States.

    (3) AUDITS OF GRANT RECIPIENTS.--

    (A) IN GENERAL.--A recipient of a grant from the Foundation shall agree to permit an audit of the books and records of such recipient related to the use of the grant funds.

    (B) RECORDKEEPING.--Such recipient shall maintain appropriate books and records to facilitate an audit referred to in subparagraph (A), including--

    (i) separate accounts with respect to the grant funds;

    (ii) records that fully disclose the use of the grant funds;

    (iii) records describing the total cost of any project carried out using grant funds; and

    (iv) the amount and nature of any funds received from other sources that were combined with the grant funds to carry out a project.

    (h) Annual Reports.--Not later than January 31, 2008, and annually thereafter, the Foundation shall submit to the appropriate congressional committees and make available to the public a report that includes, for the fiscal year prior to the fiscal year in which the report is submitted, a comprehensive and detailed description of--

    (1) the operations and activities of the Foundation that were carried out using funds provided under this section;

    (2) grants made by the Foundation to other entities with funds provided under this section;

    (3) other activities of the Foundation to further the purposes specified in subsection (a); and

    (4) the financial condition of the Foundation.

    (i) Broader Middle East Region Defined.--In this section, the term ``broader Middle East region'' means Afghanistan, Algeria, Bahrain, Egypt, Iran, Iraq, Jordan, Kuwait, Lebanon, Libya, Morocco, Oman, Pakistan, Qatar, Saudi Arabia, Syria, Tunisia, United Arab Emirates, West Bank and Gaza, and Yemen.

    (j) Repeal.--Section 534(k) of Public Law 109-102 is repealed.

   

Subtitle C--Reaffirming United States Moral Leadership

   SEC. 2031. ADVANCING UNITED STATES INTERESTS THROUGH PUBLIC DIPLOMACY.

    (a) Finding.--Congress finds that the report of the National Commission on Terrorist Attacks Upon the United States stated that, ``Recognizing that Arab and Muslim audiences rely on satellite television and radio, the government has begun some promising initiatives in television and radio broadcasting to the Arab world, Iran, and Afghanistan. These efforts are beginning to reach large audiences. The Broadcasting Board of Governors has asked for much larger resources. It should get them.''.

    (b) Sense of Congress.--It is the sense of Congress that--

    (1) the United States needs to improve its communication of information and ideas to people in foreign countries, particularly in countries with significant Muslim populations; and

    (2) public diplomacy should reaffirm the paramount commitment of the United States to democratic principles, including preserving the civil liberties of all the people of the United States, including Muslim-Americans.

    (c) Special Authority for Surge Capacity.--The United States International Broadcasting Act of 1994 (22 U.S.C. 6201 et seq.) is amended by adding at the end the following new section:

   ``SEC. 316. SPECIAL AUTHORITY FOR SURGE CAPACITY.

    ``(a) Emergency Authority.--

    ``(1) IN GENERAL.--Whenever the President determines it to be important to the national interests of the United States and so certifies to the appropriate congressional committees, the President, on such terms and conditions as the President may determine, is authorized to direct any department, agency, or other entity of the United States to furnish the Broadcasting Board of Governors with such assistance outside the United States as may be necessary to provide international broadcasting activities of the United States with a surge capacity to support United States foreign policy objectives during a crisis abroad.

    ``(2) SUPERSEDES EXISTING LAW.--The authority of paragraph (1) shall supersede any other provision of law.

    ``(3) SURGE CAPACITY DEFINED.--In this subsection, the term `surge capacity' means the financial and technical resources necessary to carry out broadcasting activities in a geographical area during a crisis abroad.

    ``(4) DURATION.--The President is authorized to exercise the authority provided in subsection (a)(1) for a period of up to six months, which may be renewed for one additional six month period.

    ``(b) Authorization of Appropriations.--

    ``(1) IN GENERAL.--There are authorized to be appropriated to the President such sums as may be necessary for the President to carry out this section, except that no such amount may be appropriated which, when added to amounts previously appropriated for such purpose but not yet obligated, would cause such amounts to exceed $25,000,000.

    ``(2) AVAILABILITY OF FUNDS.--Amounts appropriated pursuant to the authorization of appropriations in this subsection are authorized to remain available until expended.

    ``(3) DESIGNATION OF APPROPRIATIONS.--Amounts appropriated pursuant to the authorization of appropriations in this subsection may be referred to as the `United States International Broadcasting Surge Capacity Fund'.

    ``(c) Report.--The annual report submitted to the President and Congress by the Broadcasting Board of Governors under section 305(a)(9) shall provide a detailed description of any activities carried out under this section.''.

   SEC. 2032. OVERSIGHT OF INTERNATIONAL BROADCASTING.

    (a) Transcription of Persian and Arabic Language Broadcasts.--Not later than 90 days after the date of the enactment of this Act, the Broadcasting Board of Governors shall initiate a pilot project to transcribe into the English language news and information programming broadcast by Radio Farda, Radio Sawa, the Persian Service of the Voice of America, and Alhurra.

    (b) Random Sampling; Public Availability.--The transcription required under subsection (a) shall consist of a random sampling of such programming. The transcripts shall be available to Congress and the public on the Internet site of the Board.

    (c) Report.--Not later than May 1, 2008, the Chairman of the Broadcasting Board of Governors shall submit to the Committee on Foreign Affairs of the House of Representatives and Committee on Foreign Relations of the Senate a report on the feasibility and utility of continuing the pilot project required under subsection (a).

    (d) Authorization of Appropriations.--There is authorized to be appropriated to the ``International Broadcasting Operations'' account of the Broadcasting Board of Governors $2,000,000 for fiscal year 2008 to carry out the pilot project required under subsection (a).

   SEC. 2033. EXPANSION OF UNITED STATES SCHOLARSHIP, EXCHANGE, AND LIBRARY PROGRAMS IN PREDOMINANTLY MUSLIM COUNTRIES.

    (a) Report; Certification.--Not later than 30 days after the date of the enactment of this Act and every 180 days thereafter until December 31, 2009, the Secretary of State shall submit to the appropriate congressional committees a report on the recommendations of the National Commission on Terrorist Attacks Upon the United States and the policy goals described in section 7112 of the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458) for expanding United States scholarship, exchange, and library programs in predominantly Muslim countries. Such report shall include--

    (1) a certification by the Secretary of State that such recommendations have been implemented; or

    (2) if the Secretary of State is unable to make the certification described in paragraph (1), a description of--

    (A) the steps taken to implement such recommendations and achieve such policy goals;

    (B) when the Secretary of State expects such recommendations to be implemented and such policy goals to be achieved; and

    (C) any allocation of resources or other actions by Congress the Secretary of State considers necessary to implement such recommendations and achieve such policy goals.

    (b) Termination of Duty to Report.--The duty to submit a report under subsection (a) shall terminate when the Secretary of State submits a certification pursuant to paragraph (1) of such subsection.

   SEC. 2034. UNITED STATES POLICY TOWARD DETAINEES.

    (a) Findings.--Congress finds the following:

    (1) The National Commission on Terrorist Attacks Upon the United States (commonly referred to as the ``9/11 Commission'') declared that the United States ``should work with friends to develop mutually agreed-on principles for the detention and humane treatment of captured international terrorists who are not being held under a particular country's criminal laws'' and recommended that the United States engage its allies ``to develop a common coalition approach toward the detention and humane treatment of captured terrorists''.

    (2) A number of investigations remain ongoing by countries that are close United States allies in the war on terrorism regarding the conduct of officials, employees, and agents of the United States and of other countries related to conduct regarding detainees.

    (3) The Secretary of State has launched an initiative to try to address the differences between the United States and many of its allies regarding the treatment of detainees.

    (b) Sense of Congress.--It is the sense of Congress that the Secretary, acting through the Legal Adviser of the Department of State,

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should continue to build on the Secretary's efforts to engage United States allies to develop a common coalition approach, in compliance with Common Article 3 of the Geneva Conventions and other applicable legal principles, toward the detention and humane treatment of individuals detained during Operation Iraqi Freedom, Operation Enduring Freedom, or in connection with United States counterterrorist operations.

    (c) Reporting to Congress.--

    (1) BRIEFINGS.--The Secretary of State shall keep the appropriate congressional committees fully and currently informed of the progress of any discussions between the United States and its allies regarding the development of the common coalition approach described in subsection (b).

    (2) REPORT.--Not later than 180 days after the date of the enactment of this Act, the Secretary of State, in consultation with the Attorney General and the Secretary of Defense, shall submit to the appropriate congressional committees a report on any progress towards developing the common coalition approach described in subsection (b).

    (d) Definition.--In this section, the term ``appropriate congressional committees'' means--

    (1) with respect to the House of Representatives, the Committee on Foreign Affairs, the Committee on Armed Services, the Committee on the Judiciary, and the Permanent Select Committee on Intelligence; and

    (2) with respect to the Senate, the Committee on Foreign Relations, the Committee on Armed Services, the Committee on the Judiciary, and the Select Committee on Intelligence.

   

Subtitle D--Strategy for the United States Relationship With Afghanistan, Pakistan, and Saudi Arabia

   SEC. 2041. AFGHANISTAN.

    (a) Congressional Findings.--Congress finds the following:

    (1) A democratic, stable, and prosperous Afghanistan is vital to the national security of the United States and to combating international terrorism.

    (2) Following the ouster of the Taliban regime in 2001, the Government of Afghanistan, with assistance from the United States and the international community, has achieved some notable successes, including--

    (A) adopting a constitution;

    (B) holding presidential, parliamentary, and provincial council elections;

    (C) improving the protection of human rights, including women's rights; and

    (D) expanding educational opportunities.

    (3) The following factors pose a serious and immediate threat to the stability of Afghanistan:

    (A) Taliban and anti-government forces, al Qaeda, and criminal networks.

    (B) Drug trafficking and corruption.

    (C) Weak institutions of administration, security, and justice, including pervasive lack of the rule of law.

    (D) Poverty, unemployment, and lack of provision of basic services.

    (4) The United States and the international community must significantly increase political, economic, and military support to Afghanistan to ensure its long-term stability and prosperity, and to deny violent extremist groups such as al Qaeda sanctuary in Afghanistan.

    (b) Statements of Policy.--The following shall be the policies of the United States:

    (1) The United States shall vigorously support the people and Government of Afghanistan as they continue to commit to the path toward a government representing and protecting the rights of all Afghans, and shall maintain its long-term commitment to the people of Afghanistan by increased assistance and the continued deployment of United States troops in Afghanistan as long as the Government of Afghanistan supports such United States involvement.

    (2) In order to reduce the ability of the Taliban and al Qaeda to finance their operations through the opium trade, the President shall engage aggressively with the Government of Afghanistan, countries in the region or otherwise influenced by the trade and transit of narcotics, as well as North Atlantic Treaty Organization (NATO) partners of the United States, and in consultation with Congress, to assess the success of the current Afghan counter-narcotics strategy and to explore additional options for addressing the narcotics crisis in Afghanistan, including possible changes in rules of engagement for NATO and Coalition forces for participation in actions against narcotics trafficking and kingpins, and the provision of comprehensive assistance to farmers who rely on opium for their livelihood, including through the promotion of alternative crops and livelihoods.

    (3) The United States shall continue to work with and provide assistance to the Government of Afghanistan to strengthen local and national government institutions and the rule of law, including the training of judges and prosecutors, and to train and equip the Afghan National Security Forces.

    (4) The United States shall continue to call on NATO members participating in operations in Afghanistan to meet their commitments to provide forces and equipment, and to lift restrictions on how such forces can be deployed.

    (5) The United States shall continue to foster greater understanding and cooperation between the Governments of Afghanistan and Pakistan by taking the following actions:

    (A) Facilitating greater communication, including through official mechanisms such as the Tripartite Commission and the Joint Intelligence Operations Center, and by promoting other forms of exchange between the parliaments and civil society of the two countries.

    (B) Urging the Government of Afghanistan to enter into a political dialogue with Pakistan with respect to all issues relating to the border between the two countries, with the aim of establishing a mutually-recognized and monitored border, open to human and economic exchange, and with both countries fully responsible for border security.

    (c) Statement of Congress.--Congress strongly urges that the Afghanistan Freedom Support Act of 2002 (22 U.S.C. 7501 et seq.) be reauthorized and updated to take into account new developments in Afghanistan and in the region so as to demonstrate the continued support by the United States for the people and Government of Afghanistan.

    (d) Emergency Increase in Effective Police Training and Policing Operations.--

    (1) CONGRESSIONAL FINDING.--Congress finds that police training programs in Afghanistan have achieved far less return on substantial investment to date and require a substantive review and justification of the means and purposes of such assistance, consequent to any provision of additional resources.

    (2) ASSISTANCE AUTHORIZED.--The President shall make increased efforts, on an urgent basis, to--

    (A) dramatically improve the capability and effectiveness of United States and international police trainers, mentors, and police personnel for police training programs in Afghanistan, as well as develop a pretraining screening program;

    (B) increase the numbers of such trainers, mentors, and personnel only if such increase is determined to improve the performance and capabilities of the Afghanistan civil security forces; and

    (C) assist the Government of Afghanistan, in conjunction with the Afghanistan civil security forces and their leadership, in addressing the corruption crisis that is threatening to undermine Afghanistan's future.

    (3) REPORT.--Not later than 180 days after the date of the enactment of this Act, and every six months thereafter until September 30, 2010, the President shall transmit to the appropriate congressional committees a report on United States efforts to fulfill the requirements of this subsection. The report required by this paragraph may be transmitted concurrently with any similar report required by the Afghanistan Freedom Support Act of 2002.

   SEC. 2042. PAKISTAN.

    (a) Congressional Findings.--Congress finds the following:

    (1) A democratic, stable, and prosperous Pakistan that is a full and reliable partner in the struggle against the Taliban, al Qaeda, and other terrorist groups, and is a responsible steward of its nuclear weapons and technology, is vital to the national security of the United States.

    (2) Since September 11, 2001, the Government of Pakistan has been a critical ally and an important partner in removing the Taliban regime in Afghanistan and combating al Qaeda.

    (3) Pakistan has made great sacrifices in the shared struggle against al Qaeda-affiliated terrorist groups, engaging in military operations that have led to the deaths of hundreds of Pakistani security personnel and enduring acts of terrorism that have killed hundreds of Pakistani civilians.

    (4) Publicly-stated goals of the Government of Pakistan and the national interests of the United States are in close agreement in many areas, including--

    (A) curbing the proliferation of nuclear weapons technology;

    (B) combating poverty and corruption;

    (C) enabling effective government institutions, including public education;

    (D) promoting democracy and the rule of law, particularly at the national level;

    (E) addressing the continued presence of Taliban and other violent extremist forces throughout the country;

    (F) maintaining the authority of the Government of Pakistan in all parts of its national territory;

    (G) securing the borders of Pakistan to prevent the movement of militants and terrorists into other countries and territories; and

    (H) effectively dealing with violent extremism.

    (5) The opportunity exists for shared effort in helping to achieve correlative goals with the Government of Pakistan, particularly--

    (A) increased United States assistance to Pakistan, as appropriate, to achieve progress in meeting the goals of subparagraphs (A) through (C) of paragraph (4);

    (B) increased commitment on the part of the Government of Pakistan to achieve the goals of paragraph (4)(D), particularly given continued concerns, based on the conduct of previous elections, regarding whether parliamentary elections scheduled for 2007 will be free, fair, and inclusive of all political parties and carried out in full accordance with internationally-recognized democratic norms; and

    (C) increased commitment on the part of the Government of Pakistan to take actions described in paragraph (4)(E), particularly given--

    (i) the continued operation of the Taliban's Quetta shura, as noted by then-North Atlantic Treaty Organization Supreme Allied Commander General James Jones in testimony before the Senate Foreign Relations Committee on September 21, 2006; and

    (ii) the continued operation of al Qaeda affiliates Lashkar-e Taiba and Jaish-e Muhammad, sometimes under different names, as demonstrated by the lack of meaningful action taken against Hafiz Muhammad Saeed, Maulana Masood Azhar, and other known leaders and members of such terrorist organizations; and

    (D) increased commitment on the part of the Government of the United States in regard to working with all elements of Pakistan society in helping to achieve the correlative goals described in subparagraphs (A) through (H) of paragraph (4).

    (b) Statements of Policy.--The following shall be the policy of the United States:

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    (1) To maintain and deepen its friendship and long-term strategic relationship with Pakistan.

    (2) To work with the Government of Pakistan to combat international terrorism, especially in the frontier provinces of Pakistan, and to end the use of Pakistan as a safe haven for terrorist groups, including those associated with al Qaeda or the Taliban.

    (3) To support robust funding for programs of the United States Agency for International Development and the Department of State that assist the Government of Pakistan in working toward the goals described in subsection (a)(4), as the Government of Pakistan demonstrates a clear commitment to building a moderate, democratic state.

    (4) To work with the international community to secure additional financial and political support to effectively implement the policies set forth in this subsection.

    (5) To facilitate a just resolution of the dispute over the territory of Kashmir, to the extent that such facilitation is invited and welcomed by the Governments of Pakistan and India and by the people of Kashmir.

    (6) To facilitate greater communication and cooperation between the Governments of Afghanistan and Pakistan for the improvement of bilateral relations and cooperation in combating terrorism in both countries.

    (7) To work with the Government of Pakistan to dismantle existing proliferation networks and prevent the proliferation of nuclear technology.

    (c) Strategy Relating to Pakistan.--

    (1) REQUIREMENT FOR REPORT ON STRATEGY.--Not later than 90 days after the date of the enactment of this Act, the President shall transmit to the appropriate congressional committees a report that describes the long-term strategy of the United States to engage with the Government of Pakistan to achieve the goals described in subparagraphs (A) through (H) of subsection (a)(4) and to carry out the policies described in subsection (b).

    (2) FORM.--The report required by paragraph (1) shall be transmitted in unclassified form, but may include a classified annex, if necessary.

    (d) Limitation on United States Security Assistance to Pakistan.--

    (1) LIMITATION.--For fiscal year 2008, United States assistance under chapter 2 of part II of the Foreign Assistance Act of 1961 (22 U.S.C. 2311 et seq.) or section 23 of the Arms Export Control Act (22 U.S.C. 2763) may not be provided to, and a license for any item controlled under the Arms Export Control Act (22 U.S.C. 2751 et seq.) may not be approved for, Pakistan until the President transmits to the appropriate congressional committees a report that contains a determination of the President that the Government of Pakistan--

    (A) is committed to eliminating from Pakistani territory any organization such as the Taliban, al Qaeda, or any successor, engaged in military, insurgent, or terrorist activities in Afghanistan;

    (B) is undertaking a comprehensive military, legal, economic, and political campaign to achieving the goal described in subparagraph (A); and

    (C) is currently making demonstrated, significant, and sustained progress toward eliminating support or safe haven for terrorists.

    (2) MEMORANDUM OF JUSTIFICATION.--The President shall include in the report required by paragraph (1) a memorandum of justification setting forth the basis for the President's determination under paragraph (1).

    (3) FORM.--The report required by paragraph (1) and the memorandum of justification required by paragraph (2) shall be transmitted in unclassified form, but may include a classified annex, if necessary.

    (e) Nuclear Proliferation.--

    (1) CONGRESSIONAL FINDING.--Congress finds that the maintenance by any country of a procurement or supply network for the illicit proliferation of nuclear and missile technologies would be inconsistent with that country being considered an ally of the United States.

    (2) SENSE OF CONGRESS.--It is the sense of Congress that the national security interest of the United States will best be served if the United States develops and implements a long-term strategy to improve the United States relationship with Pakistan and works with the Government of Pakistan to stop nuclear proliferation.

    (f) Authorization of Appropriations.--

    (1) IN GENERAL.--There is authorized to be appropriated to the President such sums as may be necessary to provide assistance described in subsection (d)(1) for Pakistan for fiscal year 2008 in accordance with the requirements of subsection (d)(1).

    (2) OTHER FUNDS.--Amounts authorized to be appropriated under this subsection are in addition to amounts otherwise available for such purposes.

    (3) DECLARATION OF POLICY.--Congress declares that the amount of funds appropriated pursuant to the authorization of appropriations under paragraph (1) and for subsequent fiscal years shall be determined by the extent to which the Government of Pakistan displays demonstrable progress in--

    (A) preventing al Qaeda and other terrorist organizations from operating in the territory of Pakistan, including eliminating terrorist training camps or facilities, arresting members and leaders of terrorist organizations, and countering recruitment efforts;

    (B) preventing the Taliban from using the territory of Pakistan as a sanctuary from which to launch attacks within Afghanistan, including by arresting Taliban leaders, stopping cross-border incursions, and countering recruitment efforts; and

    (C) implementing democratic reforms, including allowing free, fair, and inclusive elections at all levels of government in accordance with internationally-recognized democratic norms, and respecting the independence of the press and judiciary.

    (4) BIANNUAL REPORTS TO CONGRESS.--

    (A) IN GENERAL.--The Secretary of State shall submit to the appropriate congressional committees a biannual report describing in detail the extent to which the Government of Pakistan has displayed demonstrable progress in meeting the goals described in subparagraphs (A) through (C) of paragraph (3).

    (B) SCHEDULE FOR SUBMISSION.--The report required by subparagraph (A) shall be submitted not later than April 15 and October 15 of each year until October 15, 2009.

    (C) FORM.--The report required by subparagraph (A) shall be submitted in unclassified form, but may include a classified annex, if necessary.

    (g) Extension of Waivers.--

    (1) AMENDMENTS.--The Act entitled ``An Act to authorize the President to exercise waivers of foreign assistance restrictions with respect to Pakistan through September 30, 2003, and for other purposes'', approved October 27, 2001 (Public Law 107-57; 115 Stat. 403), is amended--

    (A) in section 1(b)--

    (i) in the heading, to read as follows:

    ``(b) Fiscal Years 2007 and 2008--''; and

    (ii) in paragraph (1), by striking ``any provision'' and all that follows through ``that prohibits'' and inserting ``any provision of an Act making appropriations for foreign operations, export financing, and related programs appropriations for fiscal year 2007 or 2008 (or any other appropriations Act) that prohibits'';

    (B) in section 3(2), by striking ``Such provision'' and all that follows through ``as are'' and inserting ``Such provision of an Act making appropriations for foreign operations, export financing, and related programs appropriations for fiscal years 2002 through 2008 (or any other appropriations Act) as are''; and

    (C) in section 6, by striking ``the provisions'' and all that follows and inserting ``the provisions of this Act shall terminate on October 1, 2008.''.

    (2) EFFECTIVE DATE.--The amendments made by paragraph (1) take effect on October 1, 2006.

    (3) SENSE OF CONGRESS.--It is the sense of Congress that determinations to provide extensions of waivers of foreign assistance prohibitions with respect to Pakistan pursuant to Public Law 107-57 for fiscal years after the fiscal years specified in the amendments made by paragraph (1) to Public Law 107-57 should be informed by demonstrable progress in achieving the goals described in subparagraphs (A) through (C) of subsection (f)(3).

   SEC. 2043. SAUDI ARABIA.

    (a) Congressional Findings.--Congress finds that:

    (1) The National Commission on Terrorist Attacks Upon the United States concluded that the Kingdom of Saudi Arabia has ``been a problematic ally in combating Islamic extremism. At the level of high policy, Saudi Arabia's leaders cooperated with American diplomatic initiatives aimed at the Taliban or Pakistan before 9/11. At the same time, Saudi Arabia's society was a place where al Qaeda raised money directly from individuals and through charities. It was the society that produced 15 of the 19 hijackers.''.

    (2) Saudi Arabia has an uneven record in the fight against terrorism, especially with respect to terrorist financing, support for radical madrassas, a lack of political outlets for its citizens, and restrictions on religious pluralism, that poses a threat to the security of the United States, the international community, and Saudi Arabia itself.

    (3) The National Commission on Terrorist Attacks Upon the United States concluded that the ``problems in the U.S.-Saudi relationship must be confronted, openly''. It recommended that the two countries build a relationship that includes a ``shared commitment to political and economic reform . . . and a shared interest in greater tolerance and cultural respect, translating into a commitment to fight the violent extremists who foment hatred''.

    (4) The United States has a national security interest in working with the Government of Saudi Arabia to combat international terrorists that operate within that country or that operate outside Saudi Arabia with the support of citizens of Saudi Arabia.

    (5) The United States and Saudi Arabia established a Strategic Dialogue in 2005, which provides a framework for the two countries to discuss a range of bilateral issues at high levels, including counterterrorism policy and political and economic reforms.

    (6) It is in the national security interest of the United States to support the Government of Saudi Arabia in undertaking a number of political and economic reforms, including increasing anti-terrorism operations conducted by law enforcement agencies, providing more political and religious rights to its citizens, increasing the rights of women, engaging in comprehensive educational reform, enhancing monitoring of charitable organizations, and promulgating and enforcing domestic laws and regulation on terrorist financing.

    (b) Statement of Policy.--It is the policy of the United States--

    (1) to engage with the Government of Saudi Arabia to openly confront the issue of terrorism, as well as other problematic issues such as the lack of political freedoms;

    (2) to enhance counterterrorism cooperation with the Government of Saudi Arabia; and

    (3) to support the efforts of the Government of Saudi Arabia to make political, economic, and social reforms, including greater religious freedom, throughout the country.

    (c) Progress in Counterterrorism and Other Cooperation.--

    (1) REPORT.--Not later than 180 days after the date of the enactment of this Act, the President shall transmit to the appropriate congressional committees a report that--

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    (A) describes the long-term strategy of the United States--

    (i) to engage with the Government of Saudi Arabia to facilitate political, economic, and social reforms, including greater religious freedom, that will enhance the ability of the Government of Saudi Arabia to combat international terrorism; and

    (ii) to work with the Government of Saudi Arabia to combat terrorism, including through effective measures to prevent and prohibit the financing of terrorists by Saudi institutions and citizens; and

    (B) provides an assessment of the progress made by Saudi Arabia since 2001 on the matters described in subparagraph (A), including--

    (i) whether Saudi Arabia has become a party to the International Convention for the Suppression of the Financing of Terrorism; and

    (ii) the activities and authority of the Saudi Nongovernmental National Commission for Relief and Charity Work Abroad.

    (2) FORM.--The report required by paragraph (1) shall be transmitted in unclassified form, but may include a classified annex, if necessary.

   

TITLE XXI--ADVANCING DEMOCRATIC VALUES

   SEC. 2101. SHORT TITLE.

    This title may be cited as the ``Advance Democratic Values, Address Nondemocratic Countries, and Enhance Democracy Act of 2007'' or the ``ADVANCE Democracy Act of 2007''.

   SEC. 2102. FINDINGS.

    Congress finds the following:

    (1) The United States Declaration of Independence, the United States Constitution, and the United Nations Universal Declaration of Human Rights declare that all human beings are created equal and possess certain rights and freedoms, including the fundamental right to participate in the political life and government of their respective countries.

    (2) The development of democracy constitutes a long-term challenge that goes through unique phases and paces in individual countries as such countries develop democratic institutions such as a thriving civil society, a free media, and an independent judiciary, and must be led from within such countries, including by nongovernmental and governmental reformers.

    (3) Individuals, nongovernmental organizations, and movements that support democratic principles, practices, and values are under increasing pressure from some governments of nondemocratic countries (as well as, in some cases, from governments of democratic transition countries), including by using administrative and regulatory mechanisms to undermine the activities of such individuals, organizations, and movements.

    (4) Democratic countries have a number of instruments available for supporting democratic reformers who are committed to promoting effective, nonviolent change in nondemocratic countries and who are committed to keeping their countries on the path to democracy.

    (5) United States efforts to promote democracy and protect human rights can be strengthened to improve assistance for such reformers, including through an enhanced role for United States diplomats when properly trained and given the right incentives.

    (6) The promotion of democracy requires a broad-based effort with cooperation between all democratic countries, including through the Community of Democracies.

   SEC. 2103. STATEMENT OF POLICY.

    It is the policy of the United States--

    (1) to promote freedom and democracy in foreign countries as a fundamental component of United States foreign policy, along with other key foreign policy goals;

    (2) to affirm fundamental freedoms and internationally recognized human rights in foreign countries, as reflected in the Universal Declaration of Human Rights and the International Covenant on Civil and Political Rights, and to condemn offenses against those freedoms and rights as a fundamental component of United States foreign policy, along with other key foreign policy goals;

    (3) to protect and promote such fundamental freedoms and rights, including the freedoms of association, of expression, of the press, and of religion, and the right to own private property;

    (4) to commit to the long-term challenge of promoting universal democracy by promoting democratic institutions, including institutions that support the rule of law (such as an independent judiciary), an independent and professional media, strong legislatures, a thriving civil society, transparent and professional independent governmental auditing agencies, civilian control of the military, and institutions that promote the rights of minorities and women;

    (5) to use instruments of United States influence to support, promote, and strengthen democratic principles, practices, and values, including the right to free, fair, and open elections, secret balloting, and universal suffrage, including by--

    (A) providing appropriate support to individuals, nongovernmental organizations, and movements located in nondemocratic countries that aspire to live in freedom and establish full democracy in such countries; and

    (B) providing political, economic, and other support to foreign countries and individuals, nongovernmental organizations, and movements that are willingly undertaking a transition to democracy; and

    (6) to strengthen cooperation with other democratic countries in order to better promote and defend shared values and ideals.

   SEC. 2104. DEFINITIONS.

    In this title:

    (1) ANNUAL REPORT ON ADVANCING FREEDOM AND DEMOCRACY.--The term ``Annual Report on Advancing Freedom and Democracy'' refers to the annual report submitted to Congress by the Department of State pursuant to section 665(c) of the Foreign Relations Authorization Act, Fiscal Year 2003 (Public Law 107-228; 22 U.S.C. 2151n note), in which the Department reports on actions taken by the United States Government to encourage respect for human rights and democracy.

    (2) APPROPRIATE CONGRESSIONAL COMMITTEES.--The term ``appropriate congressional committees'' means the Committee on Foreign Affairs of the House of Representatives and the Committee on Foreign Relations of the Senate.

    (3) ASSISTANT SECRETARY.--The term ``Assistant Secretary'' means the Assistant Secretary of State for Democracy, Human Rights, and Labor.

    (4) COMMUNITY OF DEMOCRACIES AND COMMUNITY.--The terms ``Community of Democracies'' and ``Community'' mean the association of democratic countries committed to the global promotion of democratic principles, practices, and values, which held its First Ministerial Conference in Warsaw, Poland, in June 2000.

    (5) DEPARTMENT.--The term ``Department'' means the Department of State.

    (6) NONDEMOCRATIC COUNTRY OR DEMOCRATIC TRANSITION COUNTRY.--The term ``nondemocratic country'' or ``democratic transition country'' shall include any country which is not governed by a fully functioning democratic form of government, as determined by the Secretary, taking into account the general consensus regarding the status of civil and political rights in a country by major nongovernmental organizations that conduct assessments of such conditions in countries and whether the country exhibits the following characteristics:

    (A) All citizens of such country have the right to, and are not restricted in practice from, fully and freely participating in the political life of such country.

    (B) The national legislative body of such country and, if directly elected, the head of government of such country, are chosen by free, fair, open, and periodic elections, by universal and equal suffrage, and by secret ballot.

    (C) More than one political party in such country has candidates who seek elected office at the national level and such parties are not restricted in their political activities or their process for selecting such candidates, except for reasonable administrative requirements commonly applied in countries categorized as fully democratic.

    (D) All citizens in such country have a right to, and are not restricted in practice from, fully exercising such fundamental freedoms as the freedom of expression, conscience, and peaceful assembly and association, and such country has a free, independent, and pluralistic media.

    (E) The current government of such country did not come to power in a manner contrary to the rule of law.

    (F) Such country possesses an independent judiciary and the government of such country generally respects the rule of law.

    (G) Such country does not violate other core principles enshrined in the United Nations Charter, the Universal Declaration of Human Rights, the International Covenant on Civil and Political Rights, United Nations Commission on Human Rights Resolution 1499/57 (entitled ``Promotion of the Right to Democracy''), and the United Nations General Assembly Resolution 55/96 (entitled ``Promoting and consolidating democracy'').

    (H) As applicable, whether the country has scored favorably on the political, civil liberties, corruption, and rule of law indicators used to determine eligibility for financial assistance disbursed from the Millennium Challenge Account.

    (7) SECRETARY.--The term ``Secretary'' means the Secretary of State.

   

Subtitle A--Activities to Enhance the Promotion of Democracy

   SEC. 2111. DEMOCRACY PROMOTION AT THE DEPARTMENT OF STATE.

    (a) Democracy Liaison Officers.--

    (1) IN GENERAL.--The Secretary of State shall establish and staff Democracy Liaison Officer positions. Democracy Liaison Officers shall serve under the supervision of the Assistant Secretary. Democracy Liaison Officers may be assigned to the following posts:

    (A) United States missions to, or liaisons with, regional and multilateral organizations, including the United States missions to the European Union, African Union, Organization of American States, and any other appropriate regional organization, the Organization for Security and Cooperation in Europe, the United Nations and its relevant specialized agencies, and the North Atlantic Treaty Organization.

    (B) Regional public diplomacy centers of the Department of State.

    (C) United States combatant commands.

    (D) Other posts as designated by the Secretary.

    (2) RESPONSIBILITIES.--Each Democracy Liaison Officer should--

    (A) provide expertise on effective approaches to promote and build democracy;

    (B) assist in formulating and implementing strategies for transitions to democracy; and

    (C) carry out such other responsibilities as the Secretary or the Assistant Secretary may assign.

    (3) NEW POSITIONS.--To the fullest extent practicable, taking into consideration amounts appropriated to carry out this subsection and personnel available for assignment to the positions described in paragraph (1), the Democracy Liaison Officer positions established under subsection (a) shall be new positions that are in addition to existing positions with responsibility for other human rights and democracy related issues and programs, including positions with responsibility for labor issues.

    (4) RELATIONSHIP TO OTHER AUTHORITIES.--Nothing in this subsection may be construed as altering any authority or responsibility of a chief of mission or other employee of a diplomatic mission of the United States provided under any other provision of law, including any

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authority or responsibility for the development or implementation of strategies to promote democracy.

    (b) Office Related to Democratic Movements and Transitions.--

    (1) ESTABLISHMENT.--There shall be identified within the Bureau of Democracy, Human Rights, and Labor of the Department at least one office that shall be responsible for working with democratic movements and facilitating the transition to full democracy of nondemocratic countries and democratic transition countries.

    (2) RESPONSIBILITIES.--The Assistant Secretary shall, including by acting through the office or offices identified pursuant to paragraph (1)--

    (A) provide support for Democratic Liaison Officers established under subsection (a);

    (B) develop relations with, consult with, and provide assistance to nongovernmental organizations, individuals, and movements that are committed to the peaceful promotion of democracy and fundamental rights and freedoms, including fostering relationships with the United States Government and the governments of other democratic countries; and

    (C) assist officers and employees of regional bureaus of the Department to develop strategies and programs to promote peaceful change in nondemocratic countries and democratic transition countries.

    (3) LIAISON.--Within the Bureau of Democracy, Human Rights, and Labor, the Assistant Secretary shall identify officers or employees who have expertise in and shall be responsible for working with nongovernmental organizations, individuals, and movements that develop relations with, consult with, and provide assistance to nongovernmental organizations, individuals, and movements in foreign countries that are committed to the peaceful promotion of democracy and fundamental rights and freedoms.

    (c) Actions by Chiefs of Mission.--Each chief of mission in each nondemocratic country or democratic transition country should--

    (1) develop, as part of annual program planning, a strategy to promote democratic principles, practices, and values in each such foreign country and to provide support, as appropriate, to nongovernmental organizations, individuals, and movements in each such country that are committed to democratic principles, practices, and values, such as by--

    (A) consulting and coordinating with and providing support to such nongovernmental organizations, individuals, and movements regarding the promotion of democracy;

    (B) issuing public condemnations of violations of internationally recognized human rights, including violations of religious freedom, and visiting local landmarks and other local sites associated with nonviolent protest in support of democracy and freedom from oppression; and

    (C) holding periodic meetings with such nongovernmental organizations, individuals, and movements to discuss democracy and political, social, and economic freedoms;

    (2) hold ongoing discussions with the leaders of each such nondemocratic country or democratic transition country regarding progress toward a democratic system of governance and the development of political, social, and economic freedoms and respect for human rights, including freedom of religion or belief, in such country; and

    (3) conduct meetings with civil society, interviews with media that can directly reach citizens of each such country, and discussions with students and young people of each such country regarding progress toward a democratic system of governance and the development of political, social, and economic freedoms in each such country.

    (d) Recruitment.--The Secretary should seek to increase the proportion of members of the Foreign Service who serve in the Bureau of Democracy, Human Rights, and Labor.

    (e) Authorization of Appropriations.--There are authorized to be appropriated to the Secretary such sums as may be necessary to carry out this section.

   SEC. 2112. DEMOCRACY FELLOWSHIP PROGRAM.

    (a) Requirement for Program.--The Secretary shall establish a Democracy Fellowship Program to enable officers of the Department to gain an additional perspective on democracy promotion in foreign countries by working on democracy issues in appropriate congressional offices or congressional committees with oversight over the subject matter of this title, including the Committee on Foreign Affairs and the Committee on Appropriations of the House of Representatives and the Committee on Foreign Relations and the Committee on Appropriations of the Senate, and international or nongovernmental organizations involved in democracy promotion.

    (b) Selection and Placement.--The Assistant Secretary shall play a central role in the selection of Democracy Fellows and facilitate their placement in appropriate congressional offices, congressional committees, international organizations, and nongovernmental organizations.

   SEC. 2113. INVESTIGATIONS OF VIOLATIONS OF INTERNATIONAL HUMANITARIAN LAW.

    (a) In General.--The President, with the assistance of the Secretary, the Under Secretary of State for Democracy and Global Affairs, and the Ambassador-at-Large for War Crimes Issues, shall collect information regarding incidents that may constitute crimes against humanity, genocide, slavery, or other violations of international humanitarian law.

    (b) Accountability.--The President shall consider what actions can be taken to ensure that any government of a country or the leaders or senior officials of such government who are responsible for crimes against humanity, genocide, slavery, or other violations of international humanitarian law identified under subsection (a) are brought to account for such crimes in an appropriately constituted tribunal.

   

Subtitle B--Strategies and Reports on Human Rights and the Promotion of Democracy

   SEC. 2121. STRATEGIES, PRIORITIES, AND ANNUAL REPORT.

    (a) Expansion of Country-Specific Strategies to Promote Democracy.--

    (1) COMMENDATION.--Congress commends the Secretary for the ongoing work by the Department to develop country-specific strategies for promoting democracy.

    (2) EXPANSION.--The Secretary shall expand the development of such strategies to all nondemocratic countries and democratic transition countries.

    (3) BRIEFINGS.--The Secretary shall keep the appropriate congressional committees fully and currently informed as such strategies are developed.

    (b) Report Title.--Section 665(c) of the Foreign Relations Authorization Act, Fiscal Year 2003 (Public Law 107-228; 22 U.S.C. 2151n note) is amended, in the first sentence, by inserting ``entitled the Annual Report on Advancing Freedom and Democracy'' before the period at the end.

    (c) Enhanced Report.--The Annual Report on Advancing Freedom and Democracy shall include, as appropriate--

    (1) United States priorities for the promotion of democracy and the protection of human rights for each nondemocratic country and democratic transition country, developed in consultation with relevant parties in such countries; and

    (2) specific actions and activities of chiefs of missions and other United States officials to promote democracy and protect human rights in each such country.

    (d) Schedule of Submission.--Section 665(c) of the Foreign Relations Authorization Act, Fiscal Year 2003 (Public Law 107-228; 22 U.S.C. 2151n note) is amended, in the second sentence, by striking ``30 days'' and inserting ``90 days''.

   SEC. 2122. TRANSLATION OF HUMAN RIGHTS REPORTS.

    (a) In General.--The Secretary shall continue to expand the timely translation of the applicable parts of the Country Reports on Human Rights Practices required under sections 116(d) and 502B(b) of the Foreign Assistance Act of 1961 (22 U.S.C. 2151n(d) and 2304(b)), the Annual Report on International Religious Freedom required under section 102(b) of the International Religious Freedom Act of 1998 (22 U.S.C. 6412(b)), the Trafficking in Persons Report required under section 110(b) of the Trafficking Victims Protection Act of 2000 (22 U.S.C. 7107(b)), and any separate report on democracy and human rights policy submitted in accordance with section 665(c) of the Foreign Relations Authorization Act, Fiscal Year 2003 (Public Law 107-228; 22 U.S.C. 2151n note) into the principal languages of as many countries as possible, with particular emphasis on nondemocratic countries, democratic transition countries, and countries in which extrajudicial killings, torture, or other serious violations of human rights have occurred.

    (b) Report.--

    (1) REQUIREMENT.--Not later than April 1, 2008, and annually thereafter through 2010, the Secretary shall submit to the appropriate congressional committees a report describing any translations of the reports specified in subsection (a) for the preceding year, including which of such reports have been translated into which principal languages and the countries in which such translations have been distributed by posting on a relevant website or elsewhere.

    (2) FORM.--The report required under paragraph (1) may be included in any separate report on democracy and human rights policy submitted in accordance with section 665(c) of the Foreign Relations Authorization Act, Fiscal Year 2003.

   

Subtitle C--Advisory Committee on Democracy Promotion and the Internet Website of the Department of State

   SEC. 2131. ADVISORY COMMITTEE ON DEMOCRACY PROMOTION.

    Congress commends the Secretary for creating an Advisory Committee on Democracy Promotion, and it is the sense of Congress that the Committee should play a significant role in the Department's transformational diplomacy by advising the Secretary regarding United States efforts to promote democracy and democratic transition in connection with the formulation and implementation of United States foreign policy and foreign assistance, including reviewing and making recommendations on--

    (1) how to improve the capacity of the Department to promote democracy and human rights; and

    (2) how to improve foreign assistance programs related to the promotion of democracy.

   SEC. 2132. SENSE OF CONGRESS REGARDING THE INTERNET WEBSITE OF THE DEPARTMENT OF STATE.

    It is the sense of Congress that in order to facilitate access by individuals, nongovernmental organizations, and movements in foreign countries to documents, streaming video and audio, and other media regarding democratic principles, practices, and values, and the promotion and strengthening of democracy, the Secretary should take additional steps to enhance the Internet site for global democracy and human rights of the Department, which should include, where practicable, the following:

    (1) Narratives and histories, published by the United States Government, of significant democratic movements in foreign countries, particularly regarding successful nonviolent campaigns to promote democracy in non-democratic countries and democratic transition countries.

    (2) Narratives, published by the United States Government, relating to the importance of the establishment of and respect for internationally recognized human rights, democratic principles,

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practices, and values, and other fundamental freedoms.

    (3) Major human rights reports by the United States Government, including translations of such materials, as appropriate.

    (4) Any other documents, references, or links to appropriate external Internet websites (such as websites of international or nongovernmental organizations), including references or links to training materials, narratives, and histories regarding successful democratic movements.

   

Subtitle D--Training in Democracy and Human Rights; Incentives

   SEC. 2141. TRAINING IN DEMOCRACY PROMOTION AND THE PROTECTION OF HUMAN RIGHTS.

    (a) In General.--The Secretary shall continue to enhance training for members of the Foreign Service and civil service responsible for the promotion of democracy and the protection of human rights. Such training shall include appropriate instruction and training materials regarding:

    (1) International documents and United States policy regarding the promotion of democracy and respect for human rights.

    (2) United States policy regarding the promotion and strengthening of democracy around the world, with particular emphasis on the transition to democracy in nondemocratic countries and democratic transition countries.

    (3) For any member, chief of mission, or deputy chief of mission who is to be assigned to a nondemocratic country or democratic transition country, ways to promote democracy in such country and to assist individuals, nongovernmental organizations, and movements in such country that support democratic principles, practices, and values.

    (4) The protection of internationally recognized human rights (including the protection of religious freedom) and standards related to such rights, provisions of United States law related to such rights, diplomatic tools to promote respect for such rights, and the protection of individuals who have fled their countries due to violations of such rights.

    (b) Consultation.--The Secretary, acting through the Director of the National Foreign Affairs Training Center of the Foreign Service Institute of the Department, shall consult, as appropriate, with nongovernmental organizations involved in the protection and promotion of such rights and the United States Commission on International Religious Freedom with respect to the training required by this subsection.

    (c) Report.--Not later than 180 days after the date of the enactment of this Act, the Secretary shall submit to the appropriate congressional committees a report containing a description of the current and planned training provided to Foreign Service officers in human rights and democracy promotion, including such training provided to chiefs of mission serving or preparing to serve in nondemocratic countries or democratic transition countries.

   SEC. 2142. SENSE OF CONGRESS REGARDING ADVANCE DEMOCRACY AWARD.

    It is the sense of Congress that--

    (1) the Secretary should further strengthen the capacity of the Department to carry out results-based democracy promotion efforts through the establishment of an annual award to be known as the ``Outstanding Achievements in Advancing Democracy Award'', or the ``ADVANCE Democracy Award'', that would be awarded to officers or employees of the Department; and

    (2) the Secretary should establish procedures for selecting recipients of such award, including any financial terms associated with such award.

   SEC. 2143. PERSONNEL POLICIES AT THE DEPARTMENT OF STATE.

    In addition to the awards and other incentives already implemented, the Secretary should increase incentives for members of the Foreign Service and other employees of the Department who take assignments relating to the promotion of democracy and the protection of human rights, including the following:

    (1) Providing performance pay under section 405 of the Foreign Service Act of 1980 (22 U.S.C. 3965) to such members and employees who carry out their assignment in an outstanding manner.

    (2) Considering such an assignment as a basis for promotion into the Senior Foreign Service.

    (3) Providing Foreign Service Awards under section 614 of the Foreign Service Act of 1980 (22 U.S.C. 4013) to such members and employees who provide distinguished or meritorious service in the promotion of democracy or the protection of human rights.

   

Subtitle E--Cooperation With Democratic Countries

   SEC. 2151. COOPERATION WITH DEMOCRATIC COUNTRIES.

    (a) Sense of Congress.--It is the sense of Congress that the United States should cooperate with other democratic countries to--

    (1) promote and protect democratic principles, practices, and values;

    (2) promote and protect shared political, social, and economic freedoms, including the freedoms of association, of expression, of the press, of religion, and to own private property;

    (3) promote and protect respect for the rule of law;

    (4) develop, adopt, and pursue strategies to advance common interests in international organizations and multilateral institutions to which members of cooperating democratic countries belong; and

    (5) provide political, economic, and other necessary support to countries that are undergoing a transition to democracy.

    (b) Community of Democracies.--

    (1) SENSE OF CONGRESS.--It is the sense of Congress that--

    (A) the Community of Democracies should develop a more formal mechanism for carrying out work between ministerial meetings, such as through the creation of a permanent secretariat with appropriate staff to carry out such work, and should establish a headquarters; and

    (B) nondemocratic countries should not participate in any association or group of democratic countries aimed at working together to promote democracy.

    (2) DETAIL OF PERSONNEL.--The Secretary is authorized to detail on a nonreimbursable basis any employee of the Department to any permanent secretariat of the Community of Democracies or to the government of any country that is a member of the Convening Group of the Community of Democracies.

    (c) Establishment of an Office for Multilateral Democracy Promotion.--The Secretary should establish an office of multilateral democracy promotion with the mission to further develop and strengthen the institutional structure of the Community of Democracies, develop interministerial projects, enhance the United Nations Democracy Caucus, manage policy development of the United Nations Democracy Fund, and enhance coordination with other regional and multilateral bodies with jurisdiction over democracy issues.

    (d) International Center for Democratic Transition.--

    (1) SENSE OF CONGRESS.--It is the sense of Congress that the International Center for Democratic Transition, an initiative of the Government of Hungary, serves to promote practical projects and the sharing of best practices in the area of democracy promotion and should be supported by, in particular, the United States, other European countries with experiences in democratic transitions, and private individuals.

    (2) AUTHORIZATION OF APPROPRIATIONS.--There is authorized to be appropriated $1,000,000 for each of fiscal years 2008, 2009, and 2010 to the Secretary for a grant to the International Center for Democratic Transition. Amounts appropriated under this paragraph are authorized to remain available until expended.

   

Subtitle F--Funding for Promotion of Democracy

   SEC. 2161. THE UNITED NATIONS DEMOCRACY FUND.

    (a) Sense of Congress.--It is the sense of Congress that the United States should work with other countries to enhance the goals and work of the United Nations Democracy Fund, an essential tool to promote democracy, and in particular support civil society in foreign countries in their efforts to help consolidate democracy and bring about transformational change.

    (b) Authorization of Appropriations.--There is authorized to be appropriated $14,000,000 for each of fiscal years 2008 and 2009 to the Secretary for a United States contribution to the United Nations Democracy Fund.

   SEC. 2162. UNITED STATES DEMOCRACY ASSISTANCE PROGRAMS.

    (a) Sense of Congress Regarding Use of Instruments of Democracy Promotion.--It is the sense of Congress that--

    (1) United States support for democracy is strengthened by using a variety of different instrumentalities, such as the National Endowment for Democracy, the United States Agency for International Development, and the Department; and

    (2) the purpose of the Department's Human Rights and Democracy Fund should be to support innovative programming, media, and materials designed to uphold democratic principles, practices, and values, support and strengthen democratic institutions, promote human rights and the rule of law, and build civil societies in countries around the world.

    (b) Sense of Congress Regarding Mechanisms for Delivering Assistance.--

    (1) FINDINGS.--Congress finds the following:

    (A) Democracy assistance has many different forms, including assistance to promote the rule of law, build the capacity of civil society, political parties, and legislatures, improve the independence of the media and the judiciary, enhance independent auditing functions, and advance security sector reform.

    (B) There is a need for greater clarity on the coordination and delivery mechanisms for United States democracy assistance.

    (2) SENSE OF CONGRESS.--It is the sense of Congress that the Secretary and the Administrator of the United States Agency for International Development should develop guidelines, in consultation with the appropriate congressional committees, building on the existing framework for grants, cooperative agreements, contracts, and other acquisition mechanisms to guide United States missions in foreign countries in coordinating United States democracy assistance and selecting the appropriate combination of such mechanisms for such assistance.

   

TITLE XXII--INTEROPERABLE EMERGENCY COMMUNICATIONS

   SEC. 2201. INTEROPERABLE EMERGENCY COMMUNICATIONS.

    (a) In General.--Section 3006 of Public Law 109-171 (47 U.S.C. 309 note) is amended--

    (1) by striking paragraphs (1) and (2) of subsection (a) and inserting the following:

    ``(1) may take such administrative action as is necessary to establish and implement--

    ``(A) a grant program to assist public safety agencies in the planning and coordination associated with, the acquisition of, deployment of, or training for the use of interoperable communications equipment, software and systems that--

    ``(i) utilize reallocated public safety spectrum for radio communication;

    ``(ii) enable interoperability with communications systems that can utilize reallocated public safety spectrum for radio communication; or

    ``(iii) otherwise improve or advance the interoperability of public safety communications systems that utilize other public safety spectrum bands; and

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    ``(B) are used to establish and implement a strategic technology reserve to pre-position or secure interoperable communications in advance for immediate deployment in an emergency or major disaster;

    ``(2) shall make payments of not to exceed $1,000,000,000, in the aggregate, through fiscal year 2010 from the Digital Television Transition and Public Safety Fund established under section 309(j)(8)(E) of the Communications Act of 1934 (47 U.S.C. 309(j)(8)(E)) to carry out the grant program established under paragraph (1), of which at least $75,000,000, in the aggregate, shall be used for purposes described in paragraph (1)(B); and

    ``(3) shall permit any funds allocated for use under paragraph (1)(B) to be used for purposes identified under paragraph (1)(A), if the public safety agency demonstrates that it has already implemented such a strategic technology reserve or demonstrates higher priority public safety communications needs.'';

    (2) by redesignating subsections (b), (c), and (d) as subsections (h), (i), and (j), respectively, and inserting after subsection (a) the following:

    ``(b) Eligibility.--To be eligible for assistance under the grant program established under subsection (a)(1)(A), an applicant shall submit an application, at such time, in such form, and containing such information as the Assistant Secretary may require, including a detailed explanation of how assistance received under the program would be used to improve communications interoperability and ensure interoperability with other public safety agencies in an emergency or a major disaster.

    ``(c) Criteria for Strategic Technology Reserves.--

    ``(1) IN GENERAL.--In evaluating permitted uses under subsection (a)(1)(B), the Assistant Secretary shall consider the continuing technological evolution of communications technologies and devices, with its implicit risk of obsolescence, and shall ensure, to the maximum extent feasible, that a substantial part of the reserve involves prenegotiated contracts and other arrangements for rapid deployment of equipment, supplies, and systems (and communications service related to such equipment, supplies, and systems), rather than the warehousing or storage of equipment and supplies currently available at the time the reserve is established.

    ``(2) REQUIREMENTS AND CHARACTERISTICS.--Funds provided to meet uses described in paragraph (1) shall be used in support of reserves that--

    ``(A) are capable of re-establishing communications when existing critical infrastructure is damaged or destroyed in an emergency or a major disaster;

    ``(B) include appropriate current, widely-used equipment, such as Land Mobile Radio Systems, cellular telephones and satellite- enabled equipment (and related communications service), Cells-On-Wheels, Cells-On-Light-Trucks, or other self-contained mobile cell sites that can be towed, backup batteries, generators, fuel, and computers;

    ``(C) include equipment on hand for the Governor of each State, key emergency response officials, and appropriate State or local personnel;

    ``(D) include contracts (including prenegotiated contracts) for rapid delivery of the most current technology available from commercial sources; and

    ``(E) include arrangements for training to ensure that personnel are familiar with the operation of the equipment and devices to be delivered pursuant to such contracts.

    ``(3) ADDITIONAL CHARACTERISTICS.--Portions of the reserve may be virtual and may include items donated on an in-kind contribution basis.

    ``(4) ALLOCATION OF FUNDS.--In evaluating permitted uses under section (a)(1)(B), the Assistant Secretary shall take into account barriers to immediate deployment, including time and distance, that may slow the rapid deployment of equipment, supplies, and systems (and communications service related to such equipment, supplies, and systems) in the event of an emergency in any State.

    ``(d) Voluntary Consensus Standards.--In carrying out this section, the Assistant Secretary, in cooperation with the Secretary of Homeland Security, shall identify and, if necessary, encourage the development and implementation of, voluntary consensus standards for interoperable communications systems to the greatest extent practicable, but shall not require any such standard.

    ``(e) Inspector General Report and Audits.--

    ``(1) REPORT.--Beginning with the first fiscal year beginning after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the Inspector General of the Department of Commerce shall conduct an annual assessment of the management of the grant program implemented under subsection (a)(1) and transmit a report containing the findings of that assessment and any recommendations related thereto to the Senate Committee on Commerce, Science, and Transportation and the House of Representatives Committee on Energy and Commerce.

    ``(2) AUDITS.--Beginning with the first fiscal year beginning after the date of enactment of the Implementing Recommendations of the 9/11 Commission Act of 2007, the Inspector General of the Department of Commerce shall conduct financial audits of entities receiving grants from the program implemented under subsection (a)(1), and shall ensure that, over the course of 4 years, such audits cover recipients in a representative sample of not fewer than 25 States or territories. The results of any such audits shall be made publicly available via web site, subject to redaction as the Inspector General determines necessary to protect classified and other sensitive information.

    ``(f) Rule of Construction.--Nothing in this section shall be construed or interpreted to preclude the use of funds under this section by any public safety agency for interim or long-term Internet Protocol-based interoperable solutions.''; and

    (3) by striking paragraph (3) of subsection (j), as so redesignated.

    (b) FCC Vulnerability Assessment and Report on Emergency Communications Back-up System.--

    (1) IN GENERAL.--Not later than 180 days after the date of enactment of this Act, the Federal Communications Commission shall conduct a vulnerability assessment of the Nation's critical communications and information systems infrastructure and shall evaluate the technical feasibility of creating a back-up emergency communications system that complements existing communications resources and takes into account next generation and advanced communications technologies. The overriding objective for the evaluation shall be providing a framework for the development of a resilient interoperable communications system for emergency responders in an emergency. The Commission shall consult with the National Communications System and shall evaluate all reasonable options, including satellites, wireless, and terrestrial-based communications systems and other alternative transport mechanisms that can be used in tandem with existing technologies.

    (2) FACTORS TO BE EVALUATED.--The evaluation under paragraph (1) shall include--

    (A) a survey of all Federal agencies that use terrestrial or satellite technology for communications security and an evaluation of the feasibility of using existing systems for the purpose of creating such an emergency back-up public safety communications system;

    (B) the feasibility of using private satellite, wireless, or terrestrial networks for emergency communications;

    (C) the technical options, cost, and deployment methods of software, equipment, handsets or desktop communications devices for public safety entities in major urban areas, and nationwide; and

    (D) the feasibility and cost of necessary changes to the network operations center of terrestrial-based or satellite systems to enable the centers to serve as emergency back-up communications systems.

    (3) REPORT.--

    (A) IN GENERAL.--Upon the completion of the evaluation under subsection (a), the Commission shall submit a report to Congress that details the findings of the evaluation, including a full inventory of existing public and private resources most efficiently capable of providing emergency communications.

    (B) CLASSIFIED INDEX.--The report on critical infrastructure under this subsection may contain a classified annex.

    (C) RETENTION OF CLASSIFICATION.--The classification of information required to be provided to Congress or any other department or agency under this section by the Federal Communications Commission, including the assignment of a level of classification of such information, shall be binding on Congress and any other department or agency.

    (c) Joint Advisory Committee on Communications Capabilities of Emergency Medical and Public Health Care Facilities.--

    (1) ESTABLISHMENT.--The Assistant Secretary of Commerce for Communications and Information and the Chairman of Federal Communications Commission, in consultation with the Secretary of Homeland Security and the Secretary of Health and Human Services, shall establish a joint advisory committee to examine the communications capabilities and needs of emergency medical and public health care facilities. The joint advisory committee shall be composed of individuals with expertise in communications technologies and emergency medical and public health care, including representatives of Federal, State and local governments, industry and non-profit health organizations, and academia and educational institutions.

    (2) DUTIES.--The joint advisory committee shall--

    (A) assess specific communications capabilities and needs of emergency medical and public health care facilities, including the including improvement of basic voice, data, and broadband capabilities;

    (B) assess options to accommodate growth of basic and emerging communications services used by emergency medical and public health care facilities;

    (C) assess options to improve integration of communications systems used by emergency medical and public health care facilities with existing or future emergency communications networks; and

    (D) report its findings to the Senate Committee on Commerce, Science, and Transportation and the House of Representatives Committee on Energy and Commerce, within 6 months after the date of enactment of this Act.

    (d) Authorization of Emergency Medical and Public Health Communications Pilot Projects.--

    (1) IN GENERAL.--The Assistant Secretary of Commerce for Communications and Information may establish not more than 10 geographically dispersed project grants to emergency medical and public health care facilities to improve the capabilities of emergency communications systems in emergency medical care facilities.

    (2) MAXIMUM AMOUNT.--The Assistant Secretary may not provide more than $2,000,000 in Federal assistance under the pilot program to any applicant.

    (3) COST SHARING.--The Assistant Secretary may not provide more than 20 percent of the cost, incurred during the period of the grant, of any project under the pilot program.

    (4) MAXIMUM PERIOD OF GRANTS.--The Assistant Secretary may not fund any applicant under the pilot program for more than 3 years.

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    (5) DEPLOYMENT AND DISTRIBUTION.--The Assistant Secretary shall seek to the maximum extent practicable to ensure a broad geographic distribution of project sites.

    (6) TRANSFER OF INFORMATION AND KNOWLEDGE.--The Assistant Secretary shall establish mechanisms to ensure that the information and knowledge gained by participants in the pilot program are transferred among the pilot program participants and to other interested parties, including other applicants that submitted applications.

   SEC. 2202. CLARIFICATION OF CONGRESSIONAL INTENT.

    The Federal departments and agencies (including independent agencies) identified under the provisions of this title and title III of this Act and title VI of Public Law 109-295 shall carry out their respective duties and responsibilities in a manner that does not impede the implementation of requirements specified under this title and title III of this Act and title VI of Public Law 109-295. Notwithstanding the obligations under section 1806 of Public Law 109-295, the provisions of this title and title III of this Act and title VI of Public Law 109-295 shall not preclude or obstruct any such department or agency from exercising its other authorities related to emergency communications matters.

   SEC. 2203. CROSS BORDER INTEROPERABILITY REPORTS.

    (a) In General.--Not later than 90 days after the date of enactment of this Act, the Federal Communications Commission, in consultation with the Department of Homeland Security's Office of Emergency Communications, the Office of Management of Budget, and the Department of State shall report to the Senate Committee on Commerce, Science, and Transportation and the House of Representatives Committee on Energy and Commerce on--

    (1) the status of the mechanism established by the President under section 7303(c) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(c)) for coordinating cross border interoperability issues between--

    (A) the United States and Canada; and

    (B) the United States and Mexico;

    (2) the status of treaty negotiations with Canada and Mexico regarding the coordination of the re-banding of 800 megahertz radios, as required under the final rule of the Federal Communication Commission in the ``Private Land Mobile Services; 800 MHz Public Safety Interface Proceeding'' (WT Docket No. 02-55; ET Docket No. 00-258; ET Docket No. 95-18, RM-9498; RM-10024; FCC 04-168,) including the status of any outstanding issues in the negotiations between--

    (A) the United States and Canada; and

    (B) the United States and Mexico;

    (3) communications between the Commission and the Department of State over possible amendments to the bilateral legal agreements and protocols that govern the coordination process for license applications seeking to use channels and frequencies above Line A;

    (4) the annual rejection rate for the last 5 years by the United States of applications for new channels and frequencies by Canadian private and public entities; and

    (5) any additional procedures and mechanisms that can be taken by the Commission to decrease the rejection rate for applications by United States private and public entities seeking licenses to use channels and frequencies above Line A.

    (b) Updated Reports To Be Filed on the Status of Treaty of Negotiations.--The Federal Communications Commission, in conjunction with the Department of Homeland Security, the Office of Management of Budget, and the Department of State shall continually provide updated reports to the Committee on Commerce, Science, and Transportation of the Senate and the Committee on Energy and Commerce of the House of Representatives on the status of treaty negotiations under subsection (a)(2) until the appropriate United States treaty has been revised with each of--

    (1) Canada; and

    (2) Mexico.

    (c) International Negotiations To Remedy Situation.--Not later than 90 days after the date of enactment of this Act, the Secretary of the Department of State shall report to Congress on--

    (1) the current process for considering applications by Canada for frequencies and channels by United States communities above Line A;

    (2) the status of current negotiations to reform and revise such process;

    (3) the estimated date of conclusion for such negotiations;

    (4) whether the current process allows for automatic denials or dismissals of initial applications by the Government of Canada, and whether such denials or dismissals are currently occurring; and

    (5) communications between the Department of State and the Federal Communications Commission pursuant to subsection (a)(3).

   SEC. 2204. EXTENSION OF SHORT QUORUM.

    Notwithstanding section 4(d) of the Consumer Product Safety Act (15 U.S.C. 2053(d)), 2 members of the Consumer Product Safety Commission, if they are not affiliated with the same political party, shall constitute a quorum for the 6-month period beginning on the date of enactment of this Act.

   SEC. 2205. REQUIRING REPORTS TO BE SUBMITTED TO CERTAIN COMMITTEES.

    In addition to the committees specifically enumerated to receive reports under this title, any report transmitted under the provisions of this title shall also be transmitted to the appropriate congressional committees (as defined in section 2(2) of the Homeland Security Act of 2002 (6 U.S.C. 101(2))).

   

TITLE XXIII--EMERGENCY COMMUNICATIONS MODERNIZATION

   SEC. 2301. SHORT TITLE.

    This title may be cited as the ``Improving Emergency Communications Act of 2007''.

   SEC. 2302. FUNDING FOR PROGRAM.

    Section 3011 of the Digital Television Transition and Public Safety Act of 2005 (Public Law 109-171; 47 U.S.C. 309 note) is amended--

    (1) by striking ``The'' and inserting:

    ``(a) In General.--The''; and

    (2) by adding at the end the following:

    ``(b) Credit.--The Assistant Secretary may borrow from the Treasury, upon enactment of the 911 Modernization Act, such sums as necessary, but not to exceed $43,500,000, to implement this section. The Assistant Secretary shall reimburse the Treasury, without interest, as funds are deposited into the Digital Television Transition and Public Safety Fund.''.

   SEC. 2303. NTIA COORDINATION OF E-911 IMPLEMENTATION.

    Section 158(b)(4) of the National Telecommunications and Information Administration Organization Act (47 U.S.C. 942(b)(4)) is amended by adding at the end thereof the following: ``Within 180 days after the date of enactment of the 911 Modernization Act, the Assistant Secretary and the Administrator shall jointly issue regulations updating the criteria to allow a portion of the funds to be used to give priority to grants that are requested by public safety answering points that were not capable of receiving 911 calls as of the date of enactment of that Act, for the incremental cost of upgrading from Phase I to Phase II compliance. Such grants shall be subject to all other requirements of this section.''.

   

TITLE XXIV--MISCELLANEOUS PROVISIONS

   SEC. 2401. QUADRENNIAL HOMELAND SECURITY REVIEW.

    (a) Review Required.--Title VII of the Homeland Security Act of 2002 is amended by adding at the end the following:

   ``SEC. 707. QUADRENNIAL HOMELAND SECURITY REVIEW.

    ``(a) Requirement.--

    ``(1) QUADRENNIAL REVIEWS REQUIRED.--In fiscal year 2009, and every 4 years thereafter, the Secretary shall conduct a review of the homeland security of the Nation (in this section referred to as a `quadrennial homeland security review').

    ``(2) SCOPE OF REVIEWS.--Each quadrennial homeland security review shall be a comprehensive examination of the homeland security strategy of the Nation, including recommendations regarding the long-term strategy and priorities of the Nation for homeland security and guidance on the programs, assets, capabilities, budget, policies, and authorities of the Department.

    ``(3) CONSULTATION.--The Secretary shall conduct each quadrennial homeland security review under this subsection in consultation with--

    ``(A) the heads of other Federal agencies, including the Attorney General, the Secretary of State, the Secretary of Defense, the Secretary of Health and Human Services, the Secretary of the Treasury, the Secretary of Agriculture, and the Director of National Intelligence;

    ``(B) key officials of the Department; and

    ``(C) other relevant governmental and nongovernmental entities, including State, local, and tribal government officials, members of Congress, private sector representatives, academics, and other policy experts.

    ``(4) RELATIONSHIP WITH FUTURE YEARS HOMELAND SECURITY PROGRAM.--The Secretary shall ensure that each review conducted under this section is coordinated with the Future Years Homeland Security Program required under section 874.

    ``(b) Contents of Review.--In each quadrennial homeland security review, the Secretary shall--

    ``(1) delineate and update, as appropriate, the national homeland security strategy, consistent with appropriate national and Department strategies, strategic plans, and Homeland Security Presidential Directives, including the National Strategy for Homeland Security, the National Response Plan, and the Department Security Strategic Plan;

    ``(2) outline and prioritize the full range of the critical homeland security mission areas of the Nation;

    ``(3) describe the interagency cooperation, preparedness of Federal response assets, infrastructure, budget plan, and other elements of the homeland security program and policies of the Nation associated with the national homeland security strategy, required to execute successfully the full range of missions called for in the national homeland security strategy described in paragraph (1) and the homeland security mission areas outlined under paragraph (2);

    ``(4) identify the budget plan required to provide sufficient resources to successfully execute the full range of missions called for in the national homeland security strategy described in paragraph (1) and the homeland security mission areas outlined under paragraph (2);

    ``(5) include an assessment of the organizational alignment of the Department with the national homeland security strategy referred to in paragraph (1) and the homeland security mission areas outlined under paragraph (2); and

    ``(6) review and assess the effectiveness of the mechanisms of the Department for executing the process of turning the requirements developed in the quadrennial homeland security review into an acquisition strategy and expenditure plan within the Department.

    ``(c) Reporting.--

    ``(1) IN GENERAL.--Not later than December 31 of the year in which a quadrennial homeland security review is conducted, the Secretary shall submit to Congress a report regarding that quadrennial homeland security review.

    ``(2) CONTENTS OF REPORT.--Each report submitted under paragraph (1) shall include--

    ``(A) the results of the quadrennial homeland security review;

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    ``(B) a description of the threats to the assumed or defined national homeland security interests of the Nation that were examined for the purposes of that review;

    ``(C) the national homeland security strategy, including a prioritized list of the critical homeland security missions of the Nation;

    ``(D) a description of the interagency cooperation, preparedness of Federal response assets, infrastructure, budget plan, and other elements of the homeland security program and policies of the Nation associated with the national homeland security strategy, required to execute successfully the full range of missions called for in the applicable national homeland security strategy referred to in subsection (b)(1) and the homeland security mission areas outlined under subsection (b)(2);

    ``(E) an assessment of the organizational alignment of the Department with the applicable national homeland security strategy referred to in subsection (b)(1) and the homeland security mission areas outlined under subsection (b)(2), including the Department's organizational structure, management systems, budget and accounting systems, human resources systems, procurement systems, and physical and technical infrastructure;

    ``(F) a discussion of the status of cooperation among Federal agencies in the effort to promote national homeland security;

    ``(G) a discussion of the status of cooperation between the Federal Government and State, local, and tribal governments in preventing terrorist attacks and preparing for emergency response to threats to national homeland security;

    ``(H) an explanation of any underlying assumptions used in conducting the review; and

    ``(I) any other matter the Secretary considers appropriate.

    ``(3) PUBLIC AVAILABILITY.--The Secretary shall, consistent with the protection of national security and other sensitive matters, make each report submitted under paragraph (1) publicly available on the Internet website of the Department.

    ``(d) Authorization of Appropriations.--There are authorized to be appropriated such sums as may be necessary to carry out this section.''.

    (b) Preparation for Quadrennial Homeland Security Review.--

    (1) IN GENERAL.--During fiscal years 2007 and 2008, the Secretary of Homeland Security shall make preparations to conduct the first quadrennial homeland security review under section 707 of the Homeland Security Act of 2002, as added by subsection (a), in fiscal year 2009, including--

    (A) determining the tasks to be performed;

    (B) estimating the human, financial, and other resources required to perform each task;

    (C) establishing the schedule for the execution of all project tasks;

    (D) ensuring that these resources will be available as needed; and

    (E) all other preparations considered necessary by the Secretary.

    (2) REPORT.--Not later than 60 days after the date of enactment of this Act, the Secretary shall submit to Congress and make publicly available on the Internet website of the Department of Homeland Security a detailed resource plan specifying the estimated budget and number of staff members that will be required for preparation of the first quadrennial homeland security review.

    (c) Clerical Amendment.--The table of sections in section 1(b) of such Act is amended by inserting after the item relating to section 706 the following new item:

   ``Sec..707..Quadrennial Homeland Security Review.''.

   SEC. 2402. SENSE OF THE CONGRESS REGARDING THE PREVENTION OF RADICALIZATION LEADING TO IDEOLOGICALLY-BASED VIOLENCE.

    (a) Findings.--Congress finds the following:

    (1) The United States is engaged in a struggle against a transnational terrorist movement of radical extremists that plans, prepares for, and engages in acts of ideologically-based violence worldwide.

    (2) The threat of radicalization that leads to ideologically-based violence transcends borders and has been identified as a potential threat within the United States.

    (3) Radicalization has been identified as a precursor to terrorism caused by ideologically-based groups.

    (4) Countering the threat of violent extremists domestically, as well as internationally, is a critical element of the plan of the United States for success in the fight against terrorism.

    (5) United States law enforcement agencies have identified radicalization that leads to ideologically-based violence as an emerging threat and have in recent years identified cases of extremists operating inside the United States, known as ``homegrown'' extremists, with the intent to provide support for, or directly commit, terrorist attacks.

    (6) Alienation of Muslim populations in the Western world has been identified as a factor in the spread of radicalization that could lead to ideologically-based violence.

    (7) Many other factors have been identified as contributing to the spread of radicalization and resulting acts of ideologically-based violence. Among these is the appeal of left-wing and right-wing hate groups, and other hate groups, including groups operating in prisons. Other such factors must be examined and countered as well in order to protect the homeland from violent extremists of every kind.

    (8) Radicalization leading to ideologically-based violence cannot be prevented solely through law enforcement and intelligence measures.

    (b) Sense of Congress.--It is the sense of Congress that the Secretary of Homeland Security, in consultation with other relevant Federal agencies, should make a priority of countering domestic radicalization that leads to ideologically-based violence by--

    (1) using intelligence analysts and other experts to better understand the process of radicalization from sympathizer to activist to terrorist;

    (2) recruiting employees with diverse worldviews, skills, languages, and cultural backgrounds, and expertise;

    (3) consulting with experts to ensure that the lexicon used within public statements is precise and appropriate and does not aid extremists by offending religious, ethnic, and minority communities;

    (4) addressing prisoner radicalization and post-sentence reintegration, in concert with the Attorney General and State and local corrections officials;

    (5) pursuing broader avenues of dialogue with minority communities, including the American Muslim community, to foster mutual respect, understanding, and trust; and

    (6) working directly with State, local, and community leaders to--

    (A) educate such leaders about the threat of radicalization that leads to ideologically-based violence and the necessity of taking preventative action at the local level; and

    (B) facilitate the sharing of best practices from other countries and communities to encourage outreach to minority communities, including the American Muslim community, and develop partnerships among and between all religious faiths and ethnic groups.

   SEC. 2403. REQUIRING REPORTS TO BE SUBMITTED TO CERTAIN COMMITTEES.

    The Committee on Commerce, Science, and Transportation of the Senate shall receive the reports required by the following provisions of law in the same manner and to the same extent that the reports are to be received by the Committee on Homeland Security and Governmental Affairs of the Senate:

    (1) Section 1016(j)(1) of the Intelligence Reform and Terrorist Prevention Act of 2004 (6 U.S.C. 485(j)(1)).

    (2) Section 511(d) of this Act.

    (3) Subsection (a)(3)(D) of section 2022 of the Homeland Security Act of 2002, as added by section 101 of this Act.

    (4) Section 7215(d) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 123(d)).

    (5) Section 7209(b)(1)(C) of the Intelligence Reform and Terrorism Prevention Act of 2004 (8 U.S.C. 1185 note).

    (6) Section 804(c) of this Act.

    (7) Section 901(b) of this Act.

    (8) Section 1002(a) of this Act.

    (9) Title III of this Act.

   SEC. 2404. DEMONSTRATION PROJECT.

    (a) Demonstration Project Required.--Not later than 120 days after the date of enactment of this Act, the Secretary of Homeland Security shall--

    (1) establish a demonstration project to conduct demonstrations of security management systems that--

    (A) shall use a management system standards approach; and

    (B) may be integrated into quality, safety, environmental and other internationally adopted management systems; and

    (2) enter into one or more agreements with a private sector entity to conduct such demonstrations of security management systems.

    (b) Security Management System Defined.--In this section, the term `security management system' means a set of guidelines that address the security assessment needs of critical infrastructure and key resources that are consistent with a set of generally accepted management standards ratified and adopted by a standards making body.

   SEC. 2405. UNDER SECRETARY FOR MANAGEMENT OF DEPARTMENT OF HOMELAND SECURITY.

    (a) Responsibilities.--Section 701(a) of the Homeland Security Act of 2002 (6 U.S.C. 341) is amended--

    (1) by inserting ``The Under Secretary for Management shall serve as the Chief Management Officer and principal advisor to the Secretary on matters related to the management of the Department, including management integration and transformation in support of homeland security operations and programs.'' before ``The Secretary'';

    (2) by striking paragraph (7) and inserting the following:

    ``(7) Strategic management planning and annual performance planning and identification and tracking of performance measures relating to the responsibilities of the Department.''; and

    (3) by striking paragraph (9), and inserting the following:

    ``(9) The management integration and transformation process, as well as the transition process, to ensure an efficient and orderly consolidation of functions and personnel in the Department and transition, including--

    ``(A) the development of a management integration strategy for the Department, and

    ``(B) before December 1 of any year in which a Presidential election is held, the development of a transition and succession plan, to be made available to the incoming Secretary and Under Secretary for Management, to guide the transition of management functions to a new Administration.''.

    (b) Appointment and Evaluation.--Section 701 of the Homeland Security Act of 2002 (6 U.S.C. 341), as amended by subsection (a), is further amended by adding at the end the following:

    ``(c) Appointment and Evaluation.--The Under Secretary for Management shall--

    ``(1) be appointed by the President, by and with the advice and consent of the Senate, from among persons who have--

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    ``(A) extensive executive level leadership and management experience in the public or private sector;

    ``(B) strong leadership skills;

    ``(C) a demonstrated ability to manage large and complex organizations; and

    ``(D) a proven record in achieving positive operational results;

    ``(2) enter into an annual performance agreement with the Secretary that shall set forth measurable individual and organizational goals; and

    ``(3) be subject to an annual performance evaluation by the Secretary, who shall determine as part of each such evaluation whether the Under Secretary for Management has made satisfactory progress toward achieving the goals set out in the performance agreement required under paragraph (2).''.

    (c) Deadline for Appointment; Incumbent.--

    (1) DEADLINE FOR APPOINTMENT.--Not later than 90 days after the date of the enactment of this Act, the Secretary of Homeland Security shall name an individual who meets the qualifications of section 701 of the Homeland Security Act (6 U.S.C. 341), as amended by subsections (a) and (b), to serve as the Under Secretary of Homeland Security for Management. The Secretary may submit the name of the individual who serves in the position of Under Secretary of Homeland Security for Management on the date of enactment of this Act together with a statement that informs the Congress that the individual meets the qualifications of such section as so amended.

    (2) INCUMBENT.--The incumbent serving as Under Secretary of Homeland Security for Management on November 4, 2008, is authorized to continue serving in that position until a successor is confirmed, to ensure continuity in the management functions of the Department.

    (d) Sense of Congress With Respect to Service of Incumbents.--It is the sense of the Congress that the person serving as Under Secretary of Homeland Security for Management on the date on which a Presidential election is held should be encouraged by the newly-elected President to remain in office in a new Administration until such time as a successor is confirmed by Congress.

    (e) Executive Schedule.--Section 5313 of title 5, United States Code, is amended by inserting after the item relating to the Deputy Secretary of Homeland Security the following:

    ``Under Secretary of Homeland Security for Management.''.

   And the Senate agree to the same.

   

Bennie G. Thompson,

   

Loretta Sanchez,

   

Norman Dicks,

   

Jane Harman,

   

Nita M. Lowey,

   

Sheila Jackson-Lee,

   

Donna M. Christensen,

   

Bob Etheridge,

   

James R. Langevin,

   

Henry Cuellar,

   

Al Green,

   

Ed Perlmutter,

   

Peter T. King,

   

Mark Souder,

   

Tom Davis,

   

Daniel E. Lungren,

   

Michael T. McCaul,

   

Charles W. Dent,

   

Ike Skelton,

   

John M. Spratt, Jr,

   

Jim Saxton,

   

John D. Dingell,

   

Edward J. Markey,

   

Tom Lantos,

   

Gary Ackerman,

   

Ileana Ros-Lehtinen,

   

John Conyers,

   

Zoe Lofgren,

   

Henry A. Waxman,

   

Wm. Lacy Clay,

   

Silvestre Reyes,

   

Bud Cramer,

   

Bart Gordon,

   

David Wu,

   

Peter A. DeFazio,

   

John B. Larson,


Managers on the Part of the House,

   

Joe Lieberman,

   

Carl Levin,

   

Daniel K. Akaka,

   

Tom Carper,

   

Mark Pryor,

   

Chris Dodd,

   

Daniel K. Inouye,

   

Joe Biden,


Managers on the Part of the Senate.

   JOINT EXPLANATORY STATEMENT OF THE COMMITTEE OF CONFERENCE

   The managers on the part of the House and the Senate at the conference on the disagreeing votes of the two Houses on the amendment of the Senate to the bill (H.R. 1), to provide for the implementation of the recommendations of the National Commission on Terrorist Attacks Upon the United States, submit the following joint statement to the House and the Senate in explanation of the effect of the action agreed upon by the managers and recommended in the accompanying conference report:

   The Senate amendment struck all of the House bill after the enacting clause and inserted a substitute text.

   The House recedes from its disagreement to the amendment of the Senate with an amendment that is a substitute for the House bill and the Senate amendment. The differences between the House bill, the Senate amendment, and the substitute agreed to in conference are noted below, except for clerical corrections, conforming changes made necessary by agreements reached by the conferees, and minor drafting and clarifying changes.

   Joint Explanatory Statement

   TITLE I--HOMELAND SECURITY GRANTS

   Section 101. Homeland Security Grant Program

   Section 101 of the Conference Report amends the Homeland Security Act to add a new Title XX, comprised of two subtitles and including the following sections:

   Subtitle A--Grants to States and High-Risk Urban Areas

   Section 2001. Definitions

   Section 2001 of the House bill defines several terms that are used in the title relevant to homeland security grants, including ``Covered grant,'' ``Directly Eligible Tribe,'' ``Elevations in the Threat Alert Level,'' ``First Responder,'' ``Indian Tribe,'' ``Region,'' ``Terrorism Preparedness,'' and ``Capabilities.''

   Section 2001 of the Senate bill is a comparable provision, which defines ``Administrator,'' ``Combined Statistical Area,'' ``Directly Eligible Tribe,'' ``Eligible Metropolitan Area,'' ``Indian Tribe,'' ``Metropolitan Statistical Area,'' ``National Special Security Event,'' ``Population,'' ``Population Density,'' ``Target Capabilities,'' and ``Tribal Government.''

   The Conference substitute adopts the Senate provision, as modified. The provision defines the terms ``Administrator,'' ``Appropriate Committees of Congress,'' ``Critical Infrastructure Sectors,'' ``Directly Eligible Tribe,'' ``Eligible Metropolitan Area,'' ``High-Risk Urban Area,'' ``Indian Tribe,'' ``Metropolitan Statistical Area,'' ``National Special Security Event,'' ``Population,'' ``Population Density,'' ``Qualified Intelligence Analyst,'' ``Target Capabilities,'' and ``Tribal Government.''

   Section 2002. Homeland Security Grant Programs

   Section 2002 of the House bill sets forth the first responder grant programs at the Department that are covered by the provisions in the title. These programs are the State Homeland Security Grant Program, the Urban Area Security Initiative, and the Law Enforcement Terrorism Prevention Program. It specifically excludes the Assistance to Firefighters Grant programs, the Emergency Management Performance Grant program, and the Urban Search and Rescue program.

   Section 2002 of the Senate bill authorizes the Secretary of Homeland Security (the Secretary), acting through the Administrator of the Federal Emergency Management Agency (FEMA), to award grants to State, local, and tribal governments. It clarifies that other grant programs, such as the Assistance to Firefighters Grant programs, the Metropolitan Medical Response System, critical infrastructure grant programs, including transportation security grants programs, the port security grant program, and grants administered by agencies other than the Department of Homeland Security (the Department or DHS), are not covered under the title.

   The Conference substitute adopts the Senate provision, as modified. It specifically authorizes the Secretary, acting through the Administrator of FEMA (the Administrator), to make grants under the State Homeland Security Grant Program and the Urban Area Security Initiative. It specifically provides that none of the provisions in subtitle A affect, or may be construed to affect, programs authorized under the Federal Fire Prevention and Control Act; grants authorized under the Stafford Act; Emergency Management Performance Grants under the amendments made by Title II of the Implementing the Recommendations of the 9/11 Commission Act of 2007; grants to protect critical infrastructure, including port security grants authorized under 46 U.S.C. 70107 and grants authorized under titles XIV, XV, and XVI of the Implementing the Recommendations of the 9/11 Commission Act of 2007; Metropolitan Medical Response System grants authorized under section 635 of the Post-Katrina Emergency Management Reform Act; the Interoperable Emergency Communications Grant Program authorized under title XVIII of the Homeland Security Act; and grants not administered by the Department.

   Section 1014 of the USA Patriot Act (42 U.S.C. 3714), which authorized grants to States to ``enhance the capability of State and local jurisdictions to prepare for and respond to terrorist acts,'' has, up until now, served as the authority for grant programs such as the State Homeland Security Grant Program and the Law Enforcement Terrorism Prevention Program. Section 1014 further provided that each State receive a minimum of 0.75 percent of such authorized grants. The Conference substitute clarifies that the grants authorized under sections 2003 and 2004 of the Homeland Security Act are to supersede all grant programs authorized by section 1014 of the USA PATRIOT Act and that such grants shall be governed by the terms of this title and not any other provision of law, including with respect to the minimum guaranteed to each State under section 2004 and the fact that, where there is such a minimum, it is to be allocated as a ``true minimum,'' in the manner explained below.

   The Conferees remain concerned about the implementation of the provisions in the Post-Katrina Emergency Management Reform Act (PL 109-295), which placed the authority to conduct training and exercises and administer grants within FEMA, thus restoring the nexus between emergency preparedness and response. The Conferees continue to believe that the Administrator, in

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consultation with other relevant Departmental components with issue-area expertise, should have responsibility for administering all grant programs administered by the Department, which will ensure the coordination among those programs and consistency in the guidance issued to grant recipients.

   Section 2003. Urban Area Security Initiative

   Section 2003 of the House bill provides that areas determined by the Secretary to be high-threat urban areas may apply for Urban Area Security Initiative grants.

   Section 2003 of the Senate bill specifically establishes the Urban Area Security Initiative grant program, to assist high-risk urban areas in preventing, preparing for, and responding to acts of terrorism. It allows eligible metropolitan areas, defined primarily as self-defined areas within the 100 largest metropolitan statistical areas, to apply for the grants. This section requires that the grants be allocated based on the threat, vulnerability, and consequences of a terrorist attack, as well as the effectiveness of each urban area's proposed spending plan in increasing the area's preparedness for terrorism and reducing risk. The section further describes the allowable uses of the grant funding by urban areas.

   The Conference substitute adopts the Senate provision, as modified. The Conference substitute provides for a two-stage process for designating high-risk urban areas eligible to apply for Urban Area Security Initiative grants. First, the Department is to conduct an initial assessment of the risks, threats, and vulnerabilities from acts of terrorism faced by eligible metropolitan areas, defined as the 100 most populous metropolitan statistical areas in the United States. During this initial assessment, these areas may submit relevant information to the Department for consideration. Second, once this initial assessment process is complete, the Department will designate which jurisdictions may apply for Urban Area Security Initiative grants based solely on the assessment of risk from acts of terrorism.

   Section 2004. State Homeland Security Grant Program

   Section 2003 of the House bill provides that States, regions, and directly eligible tribes shall be eligible to apply for grant funds under the State Homeland Security Grant Program and the Law Enforcement Terrorism Prevention Program. Section 2004 of the House Bill sets forth minimum amounts each State shall receive (0.25 percent), providing for larger grant awards to applicants that have a significant international land border and/or adjoin a body of water within North America that contains an international boundary line (0.45 percent). Under the House bill territories and directly eligible tribes would receive not less than 0.08 percent of the funds.

   Section 2004 of the Senate bill establishes the State Homeland Security Grant Program to assist State, local, and tribal governments in preventing, preparing for, protecting against, responding to, and recovering from acts of terrorism. The section requires that the grants be allocated to States based on the threat, vulnerability, and consequences of terrorism faced by a State, and lists factors to be considered in determining a State's risk. The section further provides that, in allocating funds, no State shall receive less than 0.45 percent of the overall appropriation for this program and that each State distribute a minimum of 80 percent of funding received under this program to local and tribal governments within that State, consistent with the State's homeland security plan. Territories would receive not less than 0.08 percent of the funds. The section also describes the allowable uses for grant funding provided to States under this section.

   The Conference substitute adopts the Senate provision, as modified. The Conference substitute requires that each State receive, from the funds appropriated for the State Homeland Security Grant Program, not less than 0.375 percent of the total funds appropriated for grants under sections 2003 and 2004 in Fiscal Year 2008. This minimum decreases to 0.35 percent over five years. Each territory is to receive not less than 0.08 percent of the funds and tribes are to receive, collectively, not less than 0.1 percent of the funds.

   In all cases, the minimum is a ``true minimum,'' in which funding allocations are initially determined entirely on the basis of terrorism risk and the anticipated effectiveness of the proposed use of the grant. Any recipient that does not reach the minimum based on this risk allocation will receive additional funding from the amount appropriated for the State Homeland Security Grant Program to ensure the respective minimum is met. This distribution method is consistent with the Department's practice for FY 2007 for the formula grants in the Homeland Security Grant Program, and maximizes the share of funds distributed on the basis of risk. The Urban Area Security Initiative will continue to be allocated exclusively on the basis of the risk from acts of terrorism and the anticipated effectiveness of the proposed use of the grant.

   Section 2005. Grants to directly eligible tribes

   Section 2003 of the House bill authorizes the Secretary to award grants to directly eligible tribes under the State Homeland Security Grant Program, requires the designation of a specific individual to serve as the tribal liaison for each tribe, and allows an opportunity for each State to comment to the Secretary on the consistency of a tribe's application with the State's homeland security plan.

   Section 2004 of the Senate bill authorizes the Secretary to award grants to directly eligible tribes under the State Homeland Security Grant Program.

   The Conference substitute adopts the House provision, as modified. The Conference substitute further clarifies that, regardless of whether a tribe receives funds directly from the Department, the tribe remains eligible to receive a pass-through of section 2004 funds for other purposes from any State within which it is located, and that States retain a responsibility for allocating funds received under section 2004 to assist tribal communities, including tribes that are not directly eligible tribes, achieve target capabilities not achieved through direct grants.

   Section 2006. Terrorism prevention

   There is no comparable House provision.

   Section 2005 of the Senate bill requires that the Department of Homeland Security designate a minimum of 25 percent of the funding to States and urban areas through the State Homeland Security Grant Program and Urban Area Security Initiative for law enforcement terrorism prevention activities. It provides a list of allowable uses for the funding. The section also establishes the Office for the Prevention of Terrorism within the Department to, among other things, coordinate policy and operations between Federal, State, local, and tribal governments related to the prevention of terrorism.

   The Conference substitute adopts the Senate provision, as modified.

   The Conferees note the importance of law enforcement terrorism prevention activities and requires the Administrator to ensure that not less than 25 percent of the combined funds from the State Homeland Security Grant Program and Urban Area Security Initiative are dedicated to these vital activities. This will ensure that law enforcement terrorism prevention activities are appropriately coordinated with other State and high-risk urban area efforts to prevent, prepare for, protect against, and respond to acts of terrorism using grant funds.

   The Conference substitute also includes a provision creating an Assistant Secretary in the DHS Policy Directorate to head an Office for State and Local Law Enforcement. This new Assistant Secretary will lead the coordination of Department-wide policies relating to State and local law enforcement's role in preventing acts of terrorism and will also serve as a liaison between law enforcement agencies across the country and the Department. The Conferees believe this office gives the State and local law enforcement community a much needed voice and high-level point of contact in the Department and integrates prevention and other law enforcement activities across the Department, while avoiding the creation of further stovepipes.

   The Conference substitute creates the Assistant Secretary in the Department's Policy Directorate because of that Directorate's central role in coordinating policies across the Department. By such placement, however, the Conferees do not intend to preclude the Secretary from seeking advice directly from the Assistant Secretary, or from having the Assistant Secretary report directly to the Secretary, if the Secretary determines that arrangement would be most helpful and/or most beneficial to the Department.

   In addition, the Conference substitute includes language in this section to reflect the general purpose of the Fusion and Law Enforcement Education and Teaming (FLEET) Grant Program in House Sections 701 and 702. Many local and tribal law enforcement and other emergency response providers that would like to participate in State, local, or regional fusion centers lack the resources--in terms of funding and staff--to do so. These providers are not usually in the headlines; instead, they typically serve under represented suburban and rural jurisdictions where terrorists may live, work, and plan attacks--even if they themselves are not likely targets of those attacks.

   The Conferees believe that such agencies and departments, based on an appropriate showing of risk, should qualify for grant funding so they can send representatives to State, local, or regional fusion centers. Such funding should be available for (1) backfilling positions for law enforcement officers, intelligence analysts, and other emergency response staff detailed to fusion centers; and (2) appropriate training in the intelligence cycle, privacy and civil liberties, and other relevant matters, as determined by the Secretary.

   The Conference substitute also provides for the Assistant Secretary for State and Local Law Enforcement and the Administrator to jointly conduct a study to determine the efficacy and feasibility of establishing specialized law enforcement deployment teams to assist State, local and tribal governments in responding to natural disasters, acts of terrorism, or other man-made disasters, and to report on the results of that study to the appropriate Committees of Congress. By requiring the study, the Conferees do not intend to authorize the creation, use or deployment of such teams, but instead intends that the Assistant Secretary and the Administrator report to Congress on the results of the study and, in the event they determine that such deployment teams are feasible and likely to be effective, that they seek further Congressional authorization before implementing any such program. The Conferees further intend that any such deployment

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teams, if implemented, would, like other specialized response teams, such as Urban Search and Rescue Teams, be subject to the direction of the Administrator and coordinated with the other activities of FEMA.

   Section 2007. Prioritization

   Section 2004 of the House bill requires the Secretary to evaluate and annually prioritize pending applications for covered grants based upon the degree to which they would lessen the threat to, vulnerability of, and consequences for persons and critical infrastructure from acts of terrorism.

   There is no comparable Senate provision. Instead the Senate bill individually lists the factors that the Administrator shall consider when allocating grants under sections 2003 and 2004.

   The Conference substitute adopts the House provision, as modified. The Conference substitute requires that in allocating funds among States and high-risk urban areas the Administrator consider for each State and high-risk urban area, its relative threat, vulnerability, and consequences from acts of terrorism, including consideration of several enumerated factors; and the anticipated effectiveness of the proposed use of the grant by the State or high-risk urban area. While the Conference substitute does not specify the particular weight to be given to any of the listed criteria, it nonetheless requires that each of the characteristics listed in subparagraphs 2007(a)(1)(A) through (J) be considered as part of the assessment of threat, vulnerability, and consequences from acts of terrorism faced by the State or high-risk urban area. The Conference substitute also provides that the Administrator may consider additional factors beyond those listed, as specified in writing, in assessing a State or high-risk urban area's risk.

   Section 2008. Use of funds

   Section 2005 of the House bill lists authorized uses of covered grants and prohibits the use of grant funds to supplant State or local funds, to construct physical facilities, to acquire land, or for any State or local government cost sharing contribution. This section also requires each covered grant recipient to submit annual reports on homeland security spending and establishes penalties for States that fail to pass funds through to local governments within 45 days of receipt of grant funds.

   There is no comparable Senate provision. Instead, the Senate bill authorizes eligible uses of funds for each grant program individually and provides for limitations on the use of grant funds under Section 2007 of the Senate bill.

   The Conference substitute adopts the House provision, with modifications. The Conference substitute authorizes grant funds under sections 2003 and 2004 to be used for a number of uses including planning, training, exercises, protecting critical infrastructure, purchasing equipment, and paying personnel costs associated with both straight time and overtime and backfill, in addition to any allowable use in the FY2007 grant guidance for the State Homeland Security Grant Program, the Urban Area Security Initiative (including activities permitted under the full-time counterterrorism staffing pilot), or the Law Enforcement Terrorism Prevention Program. The Conference substitute authorizes grant recipients to use up to 50 percent of their grant funds for overtime and straight personnel costs because prevention and protection activities are personnel intensive. Nonetheless, the needs of communities vary considerably, and the Conferees anticipate that many, if not most, recipients will not need to devote the maximum allowable funding to personnel costs. The Conferees encourage grant recipients to also emphasize planning, training, and exercising in their spending plans.

   It is important to note that the Conferees are concerned about audits and news reports illustrating some inappropriate uses of grant funds since the programs' inception. The Conferees, therefore, emphasize language in the Conference substitute that prohibits grant recipients from using their funding for social and recreational purposes.

   Finally, the Conferees note the provision permitting grant recipients to use their funding for multiple purposes. To be clear, the Conferees do not intend for grant recipients to use their funding solely to prepare for natural disasters. The programs authorized in this title are for counter-terrorism purposes. Nevertheless, the Conferees recognize that many of the planning, training, exercising, and equipment needs of jurisdictions are similar, if not identical, for natural disasters, acts of terrorism, and other man-made disasters, and that, although some preparations for terrorist threats require unique plans and capabilities, many will be part of overall all-hazards preparedness. Therefore, although the use of grant funds under these programs must further a jurisdiction's counter-terrorism activities and programs, the Conferees expect and encourage such jurisdictions to engage in activities, such as evacuation exercises, that will contribute to preparedness for both terrorist and non-terrorist events and not to hesitate to use, for example, equipment purchased for counter-terrorism purposes to respond to a non-terrorist incident.

   Subtitle B--Grants Administration

   Section 2021. Administration and coordination

   There is no comparable House provision.

   Section 2007 of the Senate bill requires the Administrator to ensure that the recipients of grants administered by the Department coordinate their activities regionally, including across State boundaries where appropriate, and that State and urban recipients establish a planning committee including relevant stakeholders to assist in the preparation and revision of area homeland security plans. This section also requires that the Department coordinate with other relevant Federal agencies to develop a proposal to coordinate the reporting and other requirements for homeland security assistance programs across the Federal government to avoid duplication and undue burdens on State, local, and tribal governments.

   The Conference substitute adopts the Senate provision, as modified.

   The Conference substitute includes a provision requiring States and high-risk urban areas receiving grants under the State Homeland Security Grant Program or the Urban Area Security Initiative to establish a planning committee if they have not already done so. The Conferees are aware that many multi-jurisdictional councils of governments, regional planning commissions and organizations, development districts, and consortiums have responsibility for implementing emergency response plans and coordinating cross-jurisdictional response capabilities, and urges the Department to support the continued use of such entities.

   Because natural disasters, acts of terrorism and other man-made disasters do not respect political boundaries, and because such events have the potential to overwhelm the capabilities of a single jurisdiction, the Conferees believe that it is important that there be regional coordination in preparing for these events, and the Conference substitute requires that the Administrator ensure that grant recipients appropriately coordinate with neighboring State, local and tribal governments. The Conference does not intend, however, that this provide a license to the Administrator to impose burdensome requirements on local subgrantees or other small communities, and encourages the Administrator to ensure regional coordination primarily by working with States, high-risk urban areas, and other direct recipients of grants.

   Section 2022. Accountability

   Section 2005 of the House bill requires recipients of grants under the State Homeland Security Grant Program, Urban Area Security Initiative, and Law Enforcement Terrorism Prevention Program to submit an annual report to the Secretary concerning the use and allocation of those grant funds, and provides incentives for submission of quarterly reports. It also requires that the Secretary submit an annual report to Congress concerning the use of funds by grant recipients and describing progress made in enhancing capabilities as a result of the expenditure of grant funds.

   Section 2008 of the Senate bill requires the Administrator to submit annual reports to Congress evaluating the extent to which grants have contributed to the progress of State, local, and tribal governments in achieving target capabilities and providing an explanation of the Department's risk methodology. In addition, Section 2009 of the Senate bill requires the Inspector General of the Department (the Inspector General) to audit all recipients of grants under the State Homeland Security Grant Program, Urban Area Security Initiative, and Emergency Management Performance Grant program. The audits are to be conducted within two years of enactment of the bill or receipt of such a grant, and be made publicly available on the website of the Inspector General. The Inspector General is also required to audit each entity that received a preparedness grant from the Department prior to enactment of this legislation.

   The Conference substitute adopts the Senate provision, as modified. Among other things, the Conference substitute requires that at least every two years, the Administrator conduct a programmatic and financial review of each State and high-risk urban area receiving a grant administered by the Department to examine whether grant funds are being used properly and effectively. It requires further that the Inspector General follow up these agency reviews by conducting independent audits of a sample of States and high-risk urban areas each year. The Inspector General is to conduct an audit of all States at least once over the next seven years, report to Congress on any findings, and post the results of the audits on the Internet, taking steps to protect classified and other sensitive information. The Conference substitute authorizes additional funding to help ensure that the Administrator and the Office of the Inspector General are able to carry out these oversight and auditing functions. In addition, the Conference substitute requires the submission of quarterly and annual reports by grant recipients.

   While the Conference acknowledges the importance of transparency and therefore requires the public online posting of audits in this section, the Conference substitute exempts any audit information from being released publicly that contains ``sensitive'' information. The Conference emphasizes that the sensitive information referred to in this provision is information that, while it may not be classified, would be detrimental to national security if made public, such as information designated as Sensitive Security Information. The Conference emphasizes therefore that the term ``sensitive information,'' and the associated exemption from public disclosure, does not apply to information

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which a grantee or the Department may simply find embarrassing, questionable, unlawful, or otherwise suggestive of poor management or judgment. That an audit contains sensitive information should not be cause to withhold the entire audit from public release, but rather the Conference expects that such information would merely be redacted from posted audits.

   Section 102. Other Amendments to the Homeland Security Act of 2002

   Section 2004(a)(1) of the House bill includes a provision requiring the Secretary to coordinate with the National Advisory Council and other components of the Department when evaluating and prioritizing grant applications.

   Section 2007 of the Senate bill requires that the Administrator regularly consult and work with the National Advisory Council, an advisory panel of State, local, tribal, private and nonprofit officials established under Section 508 of the Homeland Security Act, on the administration and assessment of the Department's grant programs, in order to ensure regular and continuing input from State, local and tribal governments and emergency response providers and better integration of these parties into the grants process.

   The Conference substitute adopts the Senate provision, as modified.

   Section 103. Amendments to the Post-Katrina Emergency Management Reform Act of 2006

   Section 2005(h)(5)(E) of the House bill requires that each recipient of a covered grant include in its annual report to the Secretary, information on the extent to which capabilities identified in the applicable State homeland security plan or plans remain unmet.

   Section 2008(a)(1) of the Senate bill requires that, as a component of the annual Federal Preparedness Report required under section 652 of the Post-Katrina Emergency Management Reform Act, the Administrator report to Congress on the extent to which grants administered by the Department have contributed to State, local and tribal governments achieving target capabilities and have led to the reduction of risk.

   The Conference substitute adopts the Senate provision, as modified. Section 103 of the substitute amends section 652 of the Post-Katrina Emergency Management Reform Act to require that the Administrator conduct an evaluation of the efficacy of Department grants in helping States, localities, and tribes achieve target capabilities and in reducing risk and to require States to report on the extent to which their target capabilities remain unmet and assess the resources needed to meet preparedness priorities.

   Section 104. Technical and conforming amendments

   Section 104 makes technical and conforming amendments to the Homeland Security Act of 2002, consistent with those made in section 204 of the Senate bill and paragraphs (a)(1)-(4) of Section 101 of the House bill.

   TITLE II--EMERGENCY MANAGEMENT PERFORMANCE GRANTS

   There is no comparable House provision.

   Title IV of the Senate bill reauthorizes the Emergency Management Performance Grants (EMPG) Program. In the Senate bill, the program provides grants to States to assist State, local and tribal governments in preparing for, responding to, recovering from, and mitigating against all hazards. The section codifies the existing allocation formula for EMPG grants in which each State receives 0.75 percent of the total appropriation for this program, with the remainder of the appropriated funding distributed to States in proportion to their population. The Senate bill also specifies allowable uses for EMPG grants, and continues the existing cost-sharing requirement, whereby the Federal share of an activity's cost may not exceed 50 percent.

   The Conference substitute adopts the Senate provision, with modifications. Section 201 of this title directs the Administrator to continue implementation of an Emergency Management Performance Grants program, the nation's principal grant program to assist State, local, and tribal governments in preparing for all hazards. The Conference substitute continues this program, as authorized by the Robert T. Stafford Disaster Relief and Emergency Assistance Act, and authorizes appropriations for the program through FY 2012. Section 202 of this title amends section 614 of the Stafford Act, concerning the Federal share for construction of Emergency Operations Centers (EOCs). Section 202 allows the Federal Government to finance up to 75 percent of the costs of equipping, upgrading, and constructing State or local EOCs. While equipping, upgrading, and constructing EOCs are eligible activities under the EMPG program, these also remain eligible activities under other provisions of Title VI of the Stafford Act, and section 202 applies the maximum 75 percent Federal cost share to the EMPG program and to any other program authorized under Title VI of the Stafford Act that provides grants for construction of EOCs.

   TITLE III--INTEROPERABLE COMMUNICATIONS FOR FIRST RESPONDERS

   Section 301. Interoperable Emergency Communications Grant Program

   Section 201 of the House bill amends Title V of the Homeland Security Act of 2002 by creating a stand-alone interoperability grant program at the Department of Homeland Security (the Department or DHS). This provision directs the Secretary of Homeland Security (the Secretary), acting through the Office of Grants and Training, in coordination with the Director of Emergency Communications, to establish the Improved Communications for Emergency Response (ICER) grant program to improve emergency communications among State, regional, national, and, in some instances, international border communities. The provision provides that the ICER grant program would be established the first fiscal year after the Department met the following requirements: the completion of and delivery to Congress of the National Emergency Communications Plan; the completion of the baseline interoperability assessment, and the determination by the Secretary that substantial progress has been made with regard to emergency communications equipment and technology standards. Further, the provision states that the ICER grants may be used for planning, design and engineering, training and exercises, technical assistance, and other emergency communications activities deemed integral to emergency interoperable communications by the Secretary.

   Section 301 of the Senate bill amends Title XVIII of the Homeland Security Act of 2002 by creating a grant program administered by the Federal Emergency Management Agency (FEMA) dedicated to improving operable and interoperable emergency communications at local, regional, State, Federal and, where appropriate, international levels. In applying for the grants, States would have to demonstrate that the grants would be used in a manner consistent with their Statewide interoperability plans and the National Emergency Communications Plan. The States would be required to pass at least 80 percent of the total amount of the grants they receive, or the functional equivalent, to local and tribal governments. Section 301 requires that each State receive not less than 0.75 percent of the total funds appropriated for the grant program in any given year. Further, Section 301 authorizes $3.3 billion for the grant program for the first five years: $400 million in Fiscal Year 2008; $500 million in Fiscal Year 2009; $600 million in Fiscal Year 2010; $800 million in Fiscal Year 2011; and $1 billion in Fiscal Year 2012.

   The Conference substitute adopts the Senate provision by amending Title XVIII of the Homeland Security Act to require that the Secretary establish the Interoperable Communications Grant Program to make the grants to States. The Conference Report clarifies the Senate's all-hazards approach for the use of the grants by stating that the grants should be used to carry out initiatives to improve ``interoperable emergency communications, including the collective response to natural disasters, acts of terrorism, and other man-made disasters.''

   The Conference substitute clarifies that the Office of Emergency Communications is responsible for ensuring that the grants awarded under this section are consistent with the policies established by the Office of Emergency Communications in accord with its statutory authority and that the activities funded by the grants must be consistent with the Statewide interoperable communications plans and comply with the National Emergency Communication Plan, when completed. The Conference substitute further makes clear that FEMA will administer the grant program pursuant to its responsibilities and authorities under law. It is the intent of the Conferees that FEMA administer the grant program in a manner that is consistent with the policies established by the Office of Emergency Communications. FEMA shall provide applicants a reasonable opportunity to correct defects in the application, if any, before making final awards.

   The Conference substitute modifies the House and Senate provisions to clarify that the grants administered under this section shall be used for activities determined by the Secretary of the Department to be integral to interoperable communications. Because of a concern about the potential for fraud, waste, and abuse, the Conferees expect the Department to institute aggressive oversight and accountability measures to ensure that grantees under this section use the funds in a manner that advances the standards outlined in the SAFECOM interoperability continuum, including but not limited to governance, standard operating procedures, technology, training and exercises, and usage. Moreover, the Conference substitute states that recipients of grant funds under this program are prohibited from using grants for recreational or social purposes. Nor may grantees use these funds to supplant State or local funds, or to meet cost-sharing contributions. The Conference substitute gives the Secretary clear authority to take ``such actions as necessary'' to ensure that the grant funds are being used for their intended purpose.

   Grants awarded pursuant to the Interoperable Emergency Communications Grant Program may be used for operable communications--the ability of emergency response providers and relevant government officials to continue to communicate in the event of natural disasters, acts of terrorism, and other man-made disasters--if the Director of Emergency Communications reports to the Secretary of the Department of Homeland Security that a national baseline level of interoperability has been achieved, or if the Director of Emergency Communications finds that an applicant's specific request for grant funds for operability is critical and necessary to achieve interoperability.

   The Conference substitute requires that before a State may receive a grant under

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this section, the Director of the Office of Emergency Communications shall approve the State's statewide interoperable communications plan required under section 7303(f) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. §194(f)). The Conferees intend it to be the responsibility of the Director of Emergency Communications to ensure that the State-wide interoperability plans are designed to advance interoperability at all levels of government, consider applicable local and regional plans, and comply with the National Emergency Communications Plan, when complete. The Conference substitute provides that each State that receives a grant under this section shall certify that the grant is used for the intended purposes of the grant program.

   The Conferees agreed to remove the Senate provision related to a review board to assist in reviewing the grant applications since the Department has entrusted that responsibility to peer review groups made of emergency communication experts.

   The Conference substitute reflects the agreed-upon authorization of $1.6 billion for the grant program under this section which shall be allocated over five fiscal years beginning in Fiscal Year 2008, after the completion of the National Emergency Communications Plan and its submission to Congress. The Conference substitute authorizes such sums as necessary for each fiscal year following the initial five year period. The Conferees agree that to ensure that grants are spent on effective measures to improve interoperability, the Secretary may not award a grant under this section for the purchase of equipment that does not meet applicable voluntary consensus standards, to the extent that such standards exist, unless the State demonstrates a compelling reason. The Conference substitute adopts the Senate provision, with modifications, that States receiving a grant under this section shall pass through 80 percent of the grant funds, or the functional equivalent, to local and tribal governments. The Conference substitute prohibits States from imposing unreasonable or unduly burdensome requirements on tribal governments as a condition of providing grant funds or resources.

   The Conference substitute outlines the funding formula for the distribution of grant dollars to ensure that each State receives a minimum of funds for each fiscal year as follows: 0.50 percent for Fiscal Year 2008; 0.50 percent for Fiscal Year 2009; 0.45 percent for Fiscal Year 2010; 0.40 percent for Fiscal Year 2011; and 0.35 percent for Fiscal Year 2012 and each subsequent fiscal year. The territories of the United States are to receive no less than 0.08 percent of the total amount appropriated for grants under this title for each fiscal year.

   The Conference substitute modifies the Senate's provision regarding the annual reporting requirement of States that receive grants. Reports to the Office of Emergency Communications shall be made publicly available, subject to redactions necessary to protect classified or other sensitive information. The Conference substitute requires that the Office of Emergency Communications submit to Congress an annual report detailing how the grants under this section facilitate the implementation of the Statewide interoperability plans and advance interoperability at all levels of government.

   Section 302. Border interoperability demonstration project

   There is no comparable House provision.

   Section 302 of the Senate bill establishes an international border demonstration project involving at least six pilot projects aimed at improving interoperability along the U.S.-Canada and U.S.-Mexico borders.

   The Conference substitute adopts the Senate provision, with modifications. The Senate provision establishes in the Department the International Border Community Interoperable Communications Demonstration Project. The Conference has agreed that the demonstration project will be carried out by the Office of Emergency Communications at the Department in coordination with the Federal Communications Commission and the Department of Commerce. The Conference directs that the demonstration project may only proceed after the Federal Communications Commission and the Department of Commerce have agreed upon the availability of the necessary spectrum resulting from the 800 megahertz rebanding process in the affected border areas.

   The Conference substitute directs the Office of Emergency Communications to foster local and tribal, State and Federal interoperable communications in those communities selected for demonstration projects. The Office of Emergency Communications is also directed to identify solutions to facilitate interoperable communications across the national borders, provide technical assistance, and ensure the emergency responders can communicate in the event of natural disasters, acts of terrorism, and other man-made disasters. The Conference agrees that the Director of the Office of Emergency Communications shall receive a report from each State receiving funds under this section within 90 days of receiving the funds. The Conference substitute specifies that the Director may not fund a demonstration project for more than three years.

   TITLE IV--INCIDENT COMMAND SYSTEM

   Section 401. Definitions

   There is no comparable House provision.

   Section 1002 of the Senate bill includes several definitions relevant to credentialing and typing.

   The Conference substitute adopts the Senate provision with minor modifications.

   Section 402. National exercise program design

   Section 301 of the House bill strengthens the design of the national exercise program to require the program to enhance the use and understanding of the Incident Command System (ICS).

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision.

   Section 403. National exercise program model exercises

   Section 302 of the House bill strengthens the national exercise program to enhance the use and understanding of ICS by requiring that the national exercise program include model exercises for use by State, local and tribal governments.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision with minor modifications.

   Section 404. Preidentifying and evaluating multijurisdictional facilities to strengthen incident command; private sector preparedness.

   Section 1001 of the Senate bill and section 303 of the House bill both contain language making it a responsibility of the Federal Emergency Management Agency (FEMA) regional directors to work with State and local governments to pre-identify sites where multi-jurisdictional incident command can be established. Additionally, section 1001 of the Senate bill creates a responsibility for FEMA regional directors to coordinate with the private sector to ensure private sector preparedness.

   The Conference substitute adopts these provisions.

   Section 405. Federal response capability inventory

   There is no comparable House provision.

   Section 1002 of the Senate bill establishes a database of all Federal personnel and resources credentialed and typed that are likely needed to respond to a natural disaster, act of terrorism, or other man-made disaster.

   The Conference substitute adopts the Senate provision with modifications integrating it into the Federal Response Capability Inventory established by the Post-Katrina Emergency Management Reform Act of 2006.

   Section 406. Reporting requirements

   There is no comparable House provision.

   Section 1002 of the Senate bill requires an annual report to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives detailing the number and qualifications of Federal personnel trained and ready to respond to a natural disaster, act of terrorism or other man-made disaster. This section also requires the Administrator to evaluate whether the list of credentialed FEMA personnel complies with the strategic human capital plan established by the Post-Katrina Emergency Management Reform Act of 2006.

   The Conference substitute adopts the Senate provision with modifications which integrate the provisions into the reporting requirements of the Post-Katrina Emergency Management Reform Act of 2006.

   Section 407. Federal preparedness

   There is no comparable House provision.

   A critical component of any incident command system is the use of common terminology for disaster response resources to ensure the correct resources are deployed to and used in an incident. Credentialing and typing involves using a common naming system to classify the capabilities or attributes of personnel and equipment, and is a fundamental part of the ICS. In order to fully implement ICS, section 1002 of the Senate bill requires DHS to establish standards for credentialing and typing personnel and other assets likely to be used to respond to disasters.

   The Conference substitute adopts the Senate provision with modifications, amending the Post-Katrina Emergency Management Act to clarify that the typing and credentialing provisions will be used to enhance our national preparedness system. The Conference agrees that the typing and credentialing provisions are an essential part of enhancing our national preparedness system and that once completed, such data must be regularly updated so that an inventory of available resources is available to the Administrator of FEMA to aid in preparing for and responding to disasters.

   Section 408. Credentialing and typing

   There is no comparable House provision.

   Section 1002 of the Senate bill requires DHS to establish standards for credentialing and typing personnel and other assets likely to be used to respond to disasters. Once the standards have been developed, the language requires DHS and other Federal agencies with responsibilities under the National Response Plan to type, credential, and inventory personnel and resources likely to be used in disaster response, to allow FEMA to be able to effectively coordinate the deployment and use of Federal resources in disaster response. The Senate bill also directs FEMA to distribute standards to Federal agencies with responsibilities under the National Response Plan, and State and local governments.

   The Conference substitute adopts the Senate provisions with some modifications, requiring Federal agencies to credential and type incident management personnel, emergency response providers, and other personnel (including temporary personnel) and

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resources likely needed to respond to a disaster. The Conference substitute also requires the Administrator of FEMA to distribute standards and detailed written guidance to Federal, State, local, and tribal governments that may be used by such governments to credential and type incident management personnel, emergency response providers, and other personnel (including temporary personnel) and other resources likely needed to respond to disasters.

   Section 409. Model standards and guidelines for critical infrastructure workers

   There is no comparable House provision.

   Section 1002 of the Senate bill requires FEMA, working with Federal, State, local, and tribal governments, and the private-sector to establish model standards and guidelines for credentialing critical infrastructure workers that may be used by a State to credential critical infrastructure workers that may respond to disasters.

   The Conference substitute adopts the Senate language with minor modifications. The Conference notes that responsibility and authority for access of critical infrastructure workers to disaster sites generally resides with State and local governments, except in limited circumstances, and that this section does not alter those responsibilities and authorities.

   Section 410. Authorization of appropriations

   There is no comparable House provision.

   Section 1002 of the Senate bill authorizes the appropriation of such sums as necessary to carry out the section.

   The Conference substitute adopts the Senate language with minor modifications.

   TITLE V--IMPROVING INTELLIGENCE AND INFORMATION SHARING WITHIN THE FEDERAL GOVERNMENT AND WITH STATE, LOCAL, AND TRIBAL GOVERNMENTS

   Section 501. Homeland security information sharing

   Section 723 of the House bill includes several provisions to improve homeland security information sharing. Among other things, it directs the Secretary of Homeland Security (the Secretary), acting through the Under Secretary for Intelligence and Analysis, to establish a comprehensive information technology network architecture for the Department of Homeland Security's (the Department or DHS) Office of Intelligence and Analysis; requires the Secretary to submit an implementation plan and progress report to Congress in order to monitor the development of that architecture; and encourages its developers to adopt the functions, methods, policies, and network qualities recommended by the Markle Foundation.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, with modifications. It deletes the reference to an implementation plan for the comprehensive information technology network architecture and instead includes new text to reflect the purpose of that architecture: to connect the various databases and related information technology assets of the Office of Intelligence and Analysis and the intelligence components of the Department in order to promote internal information sharing within the Department. The Conference substitute likewise deletes references to the Markle Foundation. The Conference nevertheless concurs that the architecture in question should, to the extent possible, incorporate the approaches, features, and functions of the information sharing network proposed by the Markle Foundation in reports issued in October 2002 and December 2003, known as the System-wide Homeland Security Analysis and Resource Exchange (SHARE) Network.

   The Conference substitute also directs the Secretary to designate ``Information Sharing and Knowledge Management Officers'' within each intelligence component to coordinate information sharing efforts and assist the Secretary with the development of feedback mechanisms to State, local, tribal, and private sector entities. The Conference concurs that the Department's outreach to State, local, and tribal intelligence and law enforcement officials has been haphazard and often accompanied by less than timely results. While it can point to many successful examples of coordination and collaboration with State, local, tribal, and private sector officials, the Office of Intelligence and Analysis must increase its involvement with them and appropriately incorporate their non-Federal information into the Department's intelligence products. In addition, it is essential that the Department provide feedback to these non-Federal partners--both to encourage their contributions going forward and to provide helpful guidance for future contributions. The information sharing and knowledge management officers under this section should play a key role in helping to address these gaps.

   Section 502. Intelligence component defined

   Section 723 of the House bill defines ``intelligence component of the Department'' as ``any directorate, agency, or element of the Department that gathers, receives, analyzes, produces, or disseminates homeland security information'' except: (1) ``a directorate, agency, or element of the Department that is required to be maintained as a distinct entity'' under the Homeland Security Act of 2002 (6 U.S.C. 101); and (2) ``any personnel security, physical security, document security, or communications security program within any directorate, agency, or element of the Department.''

   Although Section 111 of the Senate bill includes a similar definition for ``intelligence component of the Department,'' it does not include either of the two exceptions enumerated by the House provision.

   The Conference substitute adopts the House provision, with modifications. In order to capture all of the intelligence information being gathered, received, analyzed, produced, or disseminated that might qualify an element or entity of the Department as an ``intelligence component,'' the Conference has chosen to refer to that universe of information as ``intelligence information within the scope of the information sharing environment, including homeland security information, terrorism information, and weapons of mass destruction information, or national intelligence *.*.*'' This phrase appears numerous times throughout the Conference substitute.

   The Conference is aware that the Conference substitute defines ``terrorism information'' to include ``weapons of mass destruction information'' in section 504 of the Conference substitute. The Conference, nevertheless, has included both terms when describing ``intelligence information within the scope of the information sharing environment'' for illustrative purposes. This phrase should not be interpreted to give the term ``weapons of mass destruction information'' any meaning other than the definition for it provided in section 504 of the Conference substitute.

   The Conference substitute establishes the position of Under Secretary for Intelligence and Analysis to replace the Assistant Secretary for Information Analysis, commonly known as the Department's Chief Intelligence Officer. The Under Secretary shall also serve as the Department's Chief Intelligence Officer. Through the Secretary, the Under Secretary shall be given new responsibilities, in addition to those of the Assistant Secretary for Information Analysis, in order to drive a common intelligence mission at the Department that involves the full participation of the Department's intelligence components.

   The Conference substitute carves out the United States Secret Service from the definition of ``intelligence component of the Department'' entirely. Subsection (b) nevertheless would require that the Secret Service share all homeland security information, terrorism information, weapons of mass destruction information, national intelligence, or suspect information obtained in criminal investigations with the Under Secretary for Intelligence and Analysis. In addition, the United States Secret Service will cooperate with the Under Secretary concerning information sharing and information technology activities outlined in sections 204 and 205 of the Homeland Security Act of 2002. The Conference also expects that the Secret Service will provide training and guidance to its employees, officials, and senior executives in a manner that is comparable to the training provided to intelligence component personnel under section 208 of the Homeland Security Act of 2002.

   The Conference intends that the United States Secret Service should participate to the fullest extent in the integration and management of the intelligence enterprise of the Department. Given unique operational equities of the United States Secret Service, however, the Conference does not believe that it is appropriate to specifically identify the United States Secret Service as an ``intelligence component'' of the Department. The provision also clarifies that nothing in this Act interferes with the position of the United States Secret Service as a ``distinct entity'' within the Department.

   Subsection (b) carves out the Coast Guard from the definition of ``intelligence component of the Department'' when it is engaged in certain activities or acting under or pursuant to particular authorities. The Conference concurs that nothing in this section shall provide the Under Secretary for Intelligence and Analysis with operational or other tasking authority over the Coast Guard. The Conference nevertheless believes that the Coast Guard should collaborate and participate in the intelligence enterprise of the Department of Homeland Security.

   Section 503. Role of intelligence components, training, and information sharing

   Section 742 of the House bill delineates several key responsibilities for the head of each intelligence component of the Department regarding support for, and coordination and cooperation with, the Under Secretary for Intelligence and Analysis in the areas of acquisition, analysis, and dissemination of homeland security information; performance appraisals, bonus or award recommendations, pay adjustments, and other forms of commendation; recruitment and selection of intelligence officials of intelligence components detailed to the Office of Intelligence and Analysis; reorganization and restructuring of intelligence components; and program and policy compliance.

   Section 114 of the Senate bill, in turn, establishes information sharing incentives for employees and officers across the Federal Government by providing the President and agency heads with the discretion to consider, when making cash awards for outstanding performance, an employee's or officer's success in sharing information within the scope of the information sharing environment (ISE) described in Section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485). It also requires agency and department heads to adopt best

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practices to educate and motivate employees and officers to participate fully in that environment--through, among other things, promotions, other nonmonetary awards, and recognition for a job well done.

   The Conference substitute combines the House and Senate provisions, with modifications.

   The Conference concurs that creating these additional responsibilities for the heads of the intelligence components will institute a clearer relationship between the Under Secretary for Intelligence and Analysis and the intelligence components of the Department. Successful implementation of this section should result in a strengthened departmental intelligence capability allowing information and intelligence to be seamlessly fused into intelligence products that are truly National. It would integrate information obtained at America's land and maritime borders; from State and local governments; and including intelligence on ports, mass transit facilities, chemical plants, and other critical infrastructure. While the Department has taken many solid steps in this direction since the completion of the Second Stage Review in July 2005, the Conference believes that the Secretary must redouble efforts to better integrate the intelligence components of the Department internally.

   The Conference notes that one of the greatest challenges to establishing the ISE is conveying its importance to employees and officers across the Federal Government who are being asked to do something new and--in many cases--foreign to them. Incentives will motivate many such employees and officers to educate themselves about the guidelines, instructions, policies, procedures, and standards that are applicable to the ISE and how their particular agency or department is incorporating them into its culture. The Conference observes, however, that nothing in this section should be construed to prohibit an agency or department head, in consultation with the program manager of the ISE under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485) (``ISE Program Manager''), from prescribing appropriate penalties for failing to participate fully in the ISE.

   Section 504. Information sharing

   There is no comparable House provision.

   Section 112 of the Senate bill amends section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 by broadening the definition of ``terrorism information'' to include both homeland security information and weapons of mass destruction information and by defining ``weapons of mass destruction information.'' Senate Section 112 likewise eliminates the temporary terms of both the ISE Program Manager and the Information Sharing Council, set to expire in April 2007, and makes them permanent. Additionally, it enhances the ISE Program Manager's government-wide authority not only by clarifying the Program Manager's existing authority over the information sharing activities of Federal agencies but also by establishing new authorities to (1) issue government-wide information sharing standards; (2) identify and resolve information sharing disputes; and (3) identify to the Director of National Intelligence appropriate personnel from agencies represented on the Information Sharing Council for detail assignments to the Program Manager to support staffing needs. Senate Section 112 also authorizes up to 40 FTEs and $30,000,000 in each of the next two fiscal years to support the Program Manager. Finally, it requires the government to report on the feasibility of eliminating Originator Control markings, adopting an authorized use standard for information sharing, and using anonymized data to promote information sharing.

   The Conference substitute adopts the Senate provision, with modifications. Among other things, it excludes ``homeland security information'', as defined in Section 892(f) of the Homeland Security Act of 2002, from the definition of ``terrorism information''. The specialized missions of the Department create for it a unique role within the larger Intelligence Community that requires, among other things, specific information for preventing, interdicting, and disrupting terrorist activity and securing the homeland in the aftermath of a terrorist attack. Accordingly, the Conferees concur that ``homeland security information'' is sufficiently distinct from the more broadly defined ``terrorism information'' to merit keeping the definitions separate.

   Section 511. Department of Homeland Security State, Local, and Regional Fusion Center initiative

   Section 732 of the House bill directs the Secretary to establish a DHS State, Local, and Regional Fusion Center Initiative to coordinate the Department's intelligence efforts with State, local, and regional fusion centers; assist fusion centers with carrying out their homeland security duties; facilitate information sharing efforts between fusion centers and the Department; encourage nationwide and integrated information sharing among fusion centers themselves; and incorporate robust privacy and civil liberties safeguards and training into fusion center operations.

   Section 121 of the Senate bill contains comparable language.

   The Conference concurs that the DHS State, Local, and Regional Fusion Center Initiative is key to Federal information sharing efforts and must succeed in order for the Department to remain relevant in the blossoming State and local intelligence community. State, local, and regional fusion centers are being successfully established across the country by State and local law enforcement and intelligence agencies. The Conference agrees that the Department's Office of Intelligence and Analysis, which has a primary responsibility for sharing information with State, local, and regional officials, needs to play a stronger, more constructive role in assisting these centers and are pleased to see that the Department has begun doing so. However, the Department must act quickly, thoroughly, and cooperatively in order to provide the maximum amount of support for these centers.

   The Conference applauds the State, local, and regional efforts to make fusion centers a reality and the dedication of those who staff those centers. The Conference notes, however, that although fusion centers are led, operated, and otherwise run by States and localities, there is a need for a common baseline of operations at fusion centers in order to attain not only their full potential but also the full potential of the various initiatives undertaken in the Conference agreement. The Conference expects that the grant process established in the Conference substitute, the qualifying criteria for fusion centers wishing to participate in the DHS State, Local, and Regional Fusion Center Initiative, and the guidelines for fusion centers included in the Conference substitute will all help create a common baseline of operations for fusion centers that will ensure their success into the future.

   The Conference substitute adopts Section 121 of the Senate bill, with modifications, to reflect the key functionalities and priorities of the Border Intelligence Fusion Center Program established in Section 712 of the House bill. That Program was designed to provide the Department with a more robust ``border intelligence'' capability--a capability essential to improving the Department's ability to interdict terrorists, weapons of mass destruction, and related contraband at America's land and maritime borders. The Conference concurs that the Department can make better use of its resources, and obtain better situational awareness of terrorist threats at or involving those borders, by partnering more effectively with State, local, and tribal law enforcement officers in relevant jurisdictions. With better information sharing, those officers can act as ``force multipliers'' that may very well help prevent the next terrorist attack from abroad.

   The Conference believes that by deploying officers and intelligence analysts from United States Customs and Border Protection (CBP), United States Immigration and Customs Enforcement (ICE), and the Coast Guard to fusion centers participating in the Program, the Department can increase its capacity to create accurate, actionable, and timely border intelligence products aimed at this threat. In order to maximize their effectiveness, CBP, ICE, and Coast Guard officers and analysts creating border intelligence products should not only include the input of police and sheriffs' officers as part of their process, but also should ensure that those products actually respond to the needs of officers in the field as expressed by those officers. The Conference accordingly believes that the Department personnel assigned to fusion centers under this section should communicate with State, local, and tribal law enforcement officers not only at fusion centers but also in their actual communities where they are headquartered.

   While the Conference believes that the Department's effort at State, local, and regional fusion centers is a critical one that should be encouraged, they note that it is not the only such effort. The Federal Bureau of Investigation (FBI), for example, has had long-standing relationships with State, local, and tribal law enforcement and other emergency response providers through Joint Terrorism Task Forces (JTTFs) across the country and has established Field Intelligence Groups (FIGs) that are, in many case, colocated with the fusion centers. Those relationships have continued through the JTTFs, FIGs, and an established and growing FBI presence at many fusion centers. Nothing in this section should be construed to subordinate the role of the FBI to the Department's own efforts with the JTTFs and at fusion centers. On the contrary, it is the Conferees hope that the Department, the FBI, and other Federal agencies will coordinate as equal players at State, local, and regional fusion centers in order to form a united Federal partnership with their State and local counterparts on the front lines of the nation's homeland security efforts.

   Further, the Conference recognizes that the Coast Guard is establishing Interagency Operations Command Centers (IOCC's) pursuant to the SAFE Port Act and authorized under Section 70107A of title 46, United States Code. IOCC's are being developed as model Federal centers to improve interagency cooperation, unity of command, and the sharing of intelligence information in a common mission to provide greater protection for port and intermodal transportation systems against acts of terrorism in the maritime domain. Nothing in this section should be construed to subordinate the role of the Coast Guard's efforts with the IOCC's.

   Finally, the Conference recognizes, consistent with the Fusion Center Guidelines produced jointly by the Department of Justice and DHS, the important role of the public safety component in the fusion process.

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Emergency response providers are able to provide valuable information to the overall intelligence picture; likewise, the fusion process may provide advance information that enables essential preparation measures to enable a more effective response. Therefore, while the Conference stresses that State and local governments must ultimately determine the mission, composition, operating procedures, and communication channels of fusion centers and the fusion process, they emphasize the inherent value in including emergency response providers within the governance structure making these determinations. Nothing in this section is intended to mandate that representatives of the emergency response provider community should be physically located in all fusion centers or that their mission should shift emphasis from the missions of the intelligence and law enforcement communities. Rather, the Conference intends that fusion center governing boards and the fusion process should be structured so as to enable the consideration of nontraditional information from emergency response providers in a collaborative environment.

   Section 512. Homeland Security Information Sharing Fellows Program

   Section 733 of the House bill directs the Secretary, through the Under Secretary for Intelligence and Analysis, to establish a fellowship program for State, local, and tribal officials to rotate into the Office of Intelligence and Analysis in order to identify for Department intelligence analysts the kinds of homeland security information that are of interest to State, local, and tribal law enforcement and other emergency response providers; assist Department intelligence analysts in writing intelligence reports in a shareable format that provides end users with accurate, actionable, and timely information without disclosing sensitive sources and methods; serve as a point of contact for State, local, and tribal law enforcement officers and other emergency response providers in the field who want to share information with the Department; and assist in the dissemination of homeland security information to appropriate end users.

   Section 122 of the Senate bill contains nearly identical language.

   The Conference substitute adopts the Senate's provision, as modified. The Conference concurs that implementation of this section will help break down the cultural barriers to information sharing by teaming State, local, and tribal homeland security and law enforcement officers with the Department intelligence analysts tasked with creating intelligence products for them. The Conference notes that this section will complement the DHS State, Local, and Regional Fusion Center Initiative by providing State, local, and tribal officials with better insight and input into the Department's information sharing operations and allowing them to play a greater role in the Department's information sharing effort.

   Section 513. Rural Policing Institute

   There is no comparable House provision.

   Section 123 of the Senate bill creates a ``Rural Policing Institute'' that is to be administered by the Federal Law Enforcement Training Center. The Institute would provide training for local and tribal law enforcement officers located in rural areas--defined as those areas not located within metropolitan statistical areas, as defined by the Office of Management and Budget--and would be tailored to law enforcement requirements that are unique to those areas. Section 123 would require the inclusion of several law enforcement topics in the curriculum, including methamphetamine addiction and distribution, domestic violence, and law enforcement response to school shootings. It likewise requires an assessment of these and other requirements and the development of a curriculum to address those requirements. Section 123 authorizes $10 million for Fiscal Year 2008 for the administration of the program and $5 million for each of Fiscal Years 2009 through 2013.

   The Conference substitute adopts the Senate provision, with modifications. It broadens the Institute's focus to encompass not only law enforcement agencies but also other emergency response providers located in rural areas. Moreover, it deletes the references to training related to specific criminal offenses, and replaces them with training programs with a greater focus on homeland security in the areas of intelligence-led policing and protections for privacy, civil right, and civil liberties.

   Section 521. Interagency Threat Assessment and Coordination Group

   There is no comparable House provision.

   Section 131 of the Senate bill directs the Information Sharing Environment (ISE) Program Manager to oversee and coordinate the creation of an Interagency Threat Assessment and Coordination Group (ITACG) that has as its primary mission the production of Federally coordinated products derived from information within the scope of the ISE for distribution to State, local, and tribal government officials and the private sector. Section 131 of the Senate bill locates the ITACG at the National Counterterrorism Center (NCTC) and directs the Secretary to assign a senior level officer to manage and direct the administration of the ITACG; to determine how specific products should be distributed to end users; and to establish standards for the admission of law enforcement and intelligence officials from State, local, or tribal governments into the ITACG. Section 131 of the Senate bill further prescribes the membership of the ITACG--including State, local, and tribal law enforcement and intelligence officials--and directs the ISE Program Manager to establish criteria for the selection of those officials and for the proper handling and safeguarding of information related to terrorism.

   The Conference substitute adopts the Senate provision, with modifications. The Conference notes that the ITACG has roots in, among other places, the ISE Implementation Plan (the Plan) prepared by the ISE Program Manager in November 2006 to ensure the timely and effective production, integration, vetting, sanitization, and communication of terrorism information to the Federal Government's State, local, and tribal partners. The Plan explained that a ``primary purpose of the ITACG will be to ensure that classified and unclassified intelligence produced by Federal organizations within the intelligence, law enforcement, and homeland security communities is fused, validated, deconflicted, and approved for dissemination in a concise and, where possible, unclassified format'' to State, local, and tribal officials. The ISE Program Manager envisioned having the ITACG based at the NCTC and managed on a day-to-day basis by a senior Department official. The ISE Program Manager likewise envisioned that the Department and the Department of Justice would share the decision-making authority regarding how to disseminate various types of information to State, local, and tribal officials and the private sector.

   The Conference substitute bifurcates the ITACG into two distinct entities. The first entity, an ITACG Advisory Council chaired by the Secretary or the Secretary's designee, shall set policy and develop processes for the integration, analysis, and dissemination of Federally-coordinated information within the scope of the ISE, including homeland security information, terrorism information, and weapons of mass destruction information. The second entity, an ITACG Detail created by the Secretary and managed by a senior Department intelligence official, shall be comprised of State, local, and tribal homeland security and law enforcement officers detailed to work in the NCTC with NCTC and other Federal intelligence analysts. Participants in the ITACG Detail shall integrate, analyze, and assist the dissemination of the aforementioned information to appropriate State, local, tribal, and private sector end users.

   The Conference strongly believes that the ITACG presents the Department with a unique opportunity to realize its mission as the primary source of accurate, actionable, and timely homeland security information for its State, local, tribal and private sector partners that Congress had originally envisioned in the Homeland Security Act of 2002 (6 U.S.C. 101). The Department should seize the moment. The ITACG will provide the Department and the wider Intelligence Community with an unmatched ability to identify information that is of interest and utility to those partners; produce reports which can be disseminated to them in an unclassified format or at the lowest possible classification level; and assist in the targeted dissemination of particular intelligence products to appropriate end users. By building upon the Department's customer service approach to information sharing, Department leadership of the ITACG will help the Department and other Federal agencies co-located at the NCTC to leverage their existing ties with their State, local, tribal, and private sector counterparts and ultimately invigorate the two-way flow of information with them that the 9/11 Commission identified as critical to making the homeland more secure.

   While the Secretary will play the primary role in establishing and maintaining the ITACG Detail and shall detail a senior intelligence official from the Department to manage its day-to-day activities, the Department is reminded that it is a guest in the NCTC. As direct reports to the Director of the NCTC, the senior intelligence official from the Department and the ITACG detailees themselves must comply with all policies, procedures, and rules applicable to other staff working in the NCTC--including any mandatory polygraph examination for NCTC staff. Neither the ITACG Advisory Council nor the ITACG Detail are in any way intended to impede, replicate, or supplant the analytic and/or production efforts of the NCTC, nor are they intended to duplicate, impede, or otherwise interfere with existing and established counterterrorism roles and responsibilities.

   With regard to the preparation, review, and dissemination of products from the ITACG Detail, it is the Conference's intent that those products be subject to the same policies, procedures, and rules applicable to NCTC products. Pursuant to 102A(f)(1)(B)(iii) and 119(f)(E) of the National Security Act of 1947 (50 U.S.C. 402 et seq.), it is the Conference's further intent that the Director should act as a gatekeeper when providing products prepared by the ITACG Detail to the Department, the Department of Justice, and other appropriate agencies for dissemination to State, local, tribal, and private sector end users. Nothing in this section should be construed to mean that the Director may distribute products prepared by the ITACG Detail directly to those end users.

   Finally, the Conference agrees that the privacy and civil liberties impact assessment required under this section shall specifically address how the ITACG will incorporate the Guidelines to Implement Information Privacy Rights and other Legal Protections in

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the Development and Use of the Information Sharing Environment released by the President on November 22, 2006 (Presidential Guidelines) to protect privacy rights and civil liberties.

   Section 531. Office of Intelligence and Analysis and Office of Infrastructure Protection

   The Homeland Security Act of 2002 (6 U.S.C. 101) created an Under Secretary for Information Analysis, assisted by an Assistant Secretary for Information and Analysis and an Assistant Secretary for Infrastructure Protection, and specified the Under Secretary's primary responsibilities. These include: (1) receiving and analyzing law enforcement information, intelligence, and other lawfully obtained information in order to understand the nature and scope of the terrorist threat to the United States homeland; (2) integrating relevant information to produce and disseminate infrastructure vulnerabilities assessments; (3) analyzing that information to identify and prioritize the types of protective measures to be taken; (4) making recommendations for information sharing and developing a national plan that would outline recommendations to improve the security of key resources; (5) administering the Homeland Security Advisory System; (6) exercising primary responsibility for public threat advisory and providing specific warning information to State and local governments and the private sector, as well as advice about appropriate protective actions and countermeasures; (7) making recommendations for improvements in the policies and procedures governing the sharing of law enforcement, intelligence, and other information relating to homeland security within the Federal government and between the Federal government and State and local governments.

   Following the completion of the Department's Second Stage Review in July of 2005, the Secretary renamed the Office of Information Analysis the ``Office of Intelligence and Analysis'' and gave it responsibilities in addition to those outlined in the Homeland Security Act. In addition to its statutory duties, one of the major responsibilities for the new Office of Intelligence and Analysis is to serve as the Chief Intelligence Office of the Department--taking responsibility for leading the intelligence components of the Department.

   Sections 741 and 743 of the House bill reflect these changes by statutorily reorganizing the Directorate for Information Analysis and Infrastructure Protection by doing away with the Directorate and the Under Secretary for Information Analysis and Infrastructure Protection position and officially establishing in its place a separate Office of Intelligence and Analysis, elevating the Assistant Secretary for Information and Analysis to an Under Secretary for Intelligence and Analysis as its head; and a separate Office of Infrastructure Protection, headed by the Assistant Secretary for Infrastructure Protection. Sections 741 and 743 of the House bill likewise divide the responsibilities of the former Under Secretary for Information Analysis and Infrastructure Protection outlined in Section 201(d) of the Homeland Security Act between the new Under Secretary for Intelligence and Analysis and new Assistant Secretary for Infrastructure Protection. Section 741 in the House bill also adds several new responsibilities for the Under Secretary for Intelligence and Analysis.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provisions, with substantial modifications. While the Conference agrees with the Department's consolidation of the duties of the Office of Intelligence and Analysis, they also believe that the powers of the Department's Chief Intelligence Officer can only be effectively wielded by an Under Secretary. Therefore, this section amends the Homeland Security Act of 2002 (6 U.S.C. 101) to restructure the Department to reflect the changes wrought by the Second Stage Review by elevating the Assistant Secretary for Information Analysis to Under Secretary for Intelligence and Analysis and by officially establishing an Office of Intelligence and Analysis and an Office of Infrastructure Protection.

   The Conference substitute retains those authorities from Section 201(d) of the Homeland Security Act in the Secretary for delegation to the appropriate officials. Those authorities include a new authority in the Conference agreement, to be carried out most likely by the Under Secretary for Intelligence and Analysis: the provision of guidance to the heads of intelligence components on developing budgets, and the presentation of recommendations for a consolidated intelligence budget to the Secretary.

   Finally, the Conference substitute establishes an additional Under Secretary responsible for overseeing critical infrastructure protection, cybersecurity, and other related programs of the Department.

   TITLE VI--CONGRESSIONAL OVERSIGHT OF INTELLIGENCE

   Section 601. Availability to public of certain intelligence funding information

   There is no comparable House provision.

   Section 1201 of the Senate bill requires the President to disclose to the public the aggregate amount of funds requested for the National Intelligence Program for each fiscal year. It also would require Congress to disclose to the public the aggregate amount authorized to be appropriated and the aggregate amount appropriated for the National Intelligence Program. The 9/11 Commission recommended in 2004 that the aggregate amount of funding for national intelligence be declassified, and in 2004 the Senate-passed version of the Intelligence Reform and Terrorism Prevention Act included a similar provision.

   The Conference substitute adopts the Senate provision with modifications. The Conference substitute requires the Director of National Intelligence to disclose to the public the aggregate amount of funds appropriated by Congress for the National Intelligence Program, beginning with Fiscal Year 2007. Beginning with Fiscal Year 2009, it allows the President to waive or postpone this disclosure by submitting to the Select Committee on Intelligence of the Senate and Permanent Select Committee of the House of Representatives an unclassified statement that the disclosure would damage national security, and a statement detailing the reasons for the waiver or postponement, which may be submitted in classified form.

   Section 602. Public Interest Declassification Board

   There is no comparable House provision.

   Section 1203 of the Senate bill authorizes the Public Interest Declassification Board, upon receiving a Congressional request, to conduct a review and make recommendations regardless of whether the review is requested by the President. It further provides that any recommendations submitted by the Board to the President shall also be submitted to the Chairman and Ranking Minority Member of the requesting Committee and extends the authorization of the Board for four years until the end of 2012.

   As described in its report on activities in the 109th Congress (S. Rep. No. 110-57, at p. 26), in September 2006, the Senate Select Committee on Intelligence released two reports on prewar intelligence regarding Iraq. In the introduction to one, the Committee expressed disagreement with the Intelligence Community's decision to classify portions of the report. Members of the Committee wrote to the then recently constituted Public Interest Declassification Board to request that it review the material and make recommendations about its classification. The Board responded that it might not be able to do so without White House authorization. In December 2006, the Board wrote to Congress to request that the statute establishing the Board be clarified to enable it to begin, without White House approval, a declassification review requested by Congress.

   The Conference substitute adopts the Senate provision with minor technical and conforming changes to the Public Interest Declassification Act of 2000 (50 U.S.C. 435 note) to substitute the ``Director of National Intelligence'' for the ``Director of Central Intelligence.''

   Section 603. Sense of the Senate regarding a report on the 9/11 Commission recommendations with respect to intelligence reform and congressional intelligence oversight reform

   There is no comparable House provision.

   Section 1204 of the Senate bill makes findings related to the 9/11 Commission's recommendation on Congressional oversight of intelligence. It expresses the Sense of the Senate that the Committee on Homeland Security and Governmental Affairs and the Select Committee on Intelligence of the Senate should undertake a review of the recommendations made in the final report of the 9/11 Commission with respect to intelligence reform and Congressional intelligence oversight reform, review and consider other suggestions, options, or recommendations for improving intelligence oversight, and not later than December 21, 2007, submit to the Senate a joint report or individual reports that include the recommendations of the Committees, if any, for carrying out such reforms.

   The Conference substitute adopts the Senate provision.

   Section 604. Availability of funds for the Public Interest Declassification Board

   There is no comparable House provision.

   Section 1205 of the Senate bill allows the National Archives and Records Administration to obligate monies to carry out the activities of the Public Interest Declassification Board from the Continuing Appropriations Resolution of 2007, as amended.

   The Conference substitute adopts the Senate provision.

   Section 605. Availability of the executive summary of the Report on Central Intelligence Agency Accountability Regarding the Terrorist Attacks of September 11, 2001

   There is no comparable House provision.

   Section 1206 of the Senate bill provides that not later than 30 days after the enactment of this Act, the CIA Director shall prepare and make available to the public a version of the Executive Summary of a report by the CIA Inspector General that is declassified to the maximum extent possible consistent with national security.

   The underlying document is the Office of Inspector General Report on Central Intelligence Agency Accountability Regarding Findings and Conclusions of the Joint Inquiry Into Intelligence Community Activities Before and After September 11, 2001.

   The CIA Director is to submit to Congress a classified annex that explains why any redacted material in the Executive Summary was withheld from the public. The Senate Select Committee on Intelligence includes a similar provision in its Intelligence Authorization Act for Fiscal Year 2008. The Committee's efforts to obtain this measure of

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public accountability are detailed in its report on the Committee's activities in the 109th Congress, S. Rep. No. 110-57, at pp. 24-26 (2007).

   The Conference substitute adopts the Senate provision.

   TITLE VII--TERRORIST TRAVEL

   Section 701. Report on international collaboration to increase border security, enhance global document security, and exchange terrorist information

   Section 611 of the House bill requires the Department of Homeland Security (the Department or DHS), in conjunction with the Director of National Intelligence and the heads of other relevant Federal agencies, to submit a report to Congress outlining the actions the U.S. government has taken to collaborate with international partners to increase border security, enhance document security, and exchange information about terrorists.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision.

   Section 711. Modernization of the Visa Waiver Program

   There is no comparable House provision.

   Section 501 of the Senate bill enhances the security requirements in the Visa Waiver Program and provides for the program's limited expansion. This section authorizes the development and implementation of an electronic travel authorization system under which each Visa Waiver Program traveler would electronically provide information, in advance of travel, necessary to determine whether the individual is eligible to travel to the United States. The Section also requires the Secretary of Homeland Security (the Secretary) to establish an exit system that records the departure of every alien who entered under the Visa Waiver Program and departed the United States by air. In addition to existing program requirements, all Visa Waiver Program countries are required to enter into agreements with the United States to report information about the theft or loss of passports, accept repatriation of its citizens, and share information about whether a national of that country traveling to the United States represents a threat to U.S. security.

   Section 501 permits the Secretary of Homeland Security, in consultation with the Secretary of State, to waive the existing 3 percent nonimmigrant visa refusal rate requirement, up to 10 percent, for admission into the Visa Waiver Program. Alternatively, the Secretary can waive the existing 3 percent nonimmigrant visa refusal rate if a country's nationals do not exceed a rate, set by the Secretary, of overstaying their authorized admission in the United States. This waiver authority is only granted to countries meeting additional security criteria, including cooperating in counterterrorism initiatives, and only when the Secretary determines that security or law enforcement interests of the United States will not be compromised. Before exercising a waiver, the Secretary must also certify to Congress that an air exit system is in place that can verify the departure of not less than 97 percent of foreign nationals who exit by air.

   The Conference adopts the Senate provision, with modifications.

   The Conference recognizes that the Visa Waiver Program, which Congress established in 1986, has benefitted commerce and tourism between the United States and participating Visa Waiver Program countries. The Conference believes that a modernization of the program is long overdue and that a careful and controlled expansion to countries who have not quite met existing program entrance requirements but who have been partners with the U.S. in fighting terrorism is appropriate in order to promote greater international security cooperation. In the wake of the terrorist attacks of September 11, 2001 and subsequent foiled terror plots, the imperative for reform is greater than ever.

   The Conference agrees on the need for significant security enhancements to the entire Visa Waiver Program as set forth in the Senate bill and to the implementation of the electronic travel authorization system prior to permitting the Secretary to admit new countries under his new waiver authority. The Conference mandates that the Secretary develop such an electronic travel authorization system to collect biographical and such other information from each prospective Visa Waiver Program traveler necessary to determine whether the alien is eligible to travel under the program and whether a law enforcement or security risk exists in permitting the alien to travel to the United States. The Conference believes the Secretary should check the information collected in the electronic travel authorization system against all appropriate databases, including lost and stolen passport databases such as that maintained by Interpol. The Conference believes that checking travelers from Visa Waiver Program countries against all appropriate watch lists and databases will greatly enhance the overall security of the Visa Waiver Program.

   In addition, the Conference agrees to permit the Secretary of Homeland Security, in consultation with the Secretary of State, to waive the existing 3 percent nonimmigrant visa refusal rate requirement, up to 10 percent, and to allow the Secretary to establish an overstay rate in lieu of the 3 percent nonimmigrant visa refusal rate for admission into the Visa Waiver Program. The Conference believes this overstay rate should reflect a reasonable expectation that the country can continue to participate in the VWP under existing statutory criteria.

   The Conference further agrees to provide the Secretary this waiver authority upon certification by the Secretary to Congress that there is an air exit system in place to verify the departure of not less than 97 percent of foreign nationals who exit by air, which may or may not be fully biometric. The Conference also agrees that the ultimate goal is to achieve a fully biometric air exit system, as described in subsection (I) of the bill. Therefore, if such a biometric system is not implemented by June 30, 2009, the Secretary's waiver authority that was based upon his certification of 97 percent accuracy of any non-biometric exit system shall be suspended until a biometric exit system is fully operational. Establishment of this biometric system will implement a 9/11 Commission recommendation and will enhance our border security and immigration enforcement by ensuring our ability to track the arrivals and departures of foreign nationals.

   Section 721. Strengthening the capabilities of the Human Smuggling and Trafficking Center

   Section 601 of the House bill directs the Secretary, acting through the Assistant Secretary of Homeland Security for Immigration and Customs Enforcement (ICE), to: provide administrative support and funding to the Human Smuggling and Trafficking Center (the Center); ensure the Center is staffed with not fewer than 30 full-time equivalent personnel; and seek reimbursement from the Attorney General and the Secretary of State for costs associated with the participation of their respective departments in the operation of the Center. The section also directs the Office of Intelligence and Analysis (renamed under section 741), in coordination with the Center, to submit to law enforcement and relevant agencies periodic reports regarding terrorist threats related to such smuggling, trafficking, and travel.

   Section 502 of the Senate bill is a comparable section but amends Section 7202 of the Intelligence Reform and Terrorism Prevention Act of 2004 (8 U.S.C. 1777) to direct the Secretary to nominate a U.S. government official to serve as the Director of the Human Smuggling and Trafficking Center, in accordance with the Center's Memorandum of Understanding entitled ``Human Smuggling and Trafficking Center Charter.'' This section also clarifies the role of the Center as the focal point for interagency efforts to integrate and disseminate intelligence and information related to terrorist travel. The section requires that the Center be staffed with at least 40 full time employees and directs the Secretary to work with various DHS agencies and other Federal Departments to provide detailees with appropriate areas of expertise. The section also authorizes $20 million to allow the Center to carry out its existing responsibilities, fund the administrative costs and management of the Center, increase staffing levels and reimburse other Federal Departments for personnel.

   The Conference substitute adopts the Senate provision, with modifications. The Conference agrees that the Center should be staffed with intelligence analysts or special agents with demonstrated experience related to human smuggling, trafficking in persons, or terrorist travel, in addition to individuals with other expertise including consular affairs, counterterrorism, and criminal law enforcement from throughout the government.

   The Conference also agrees that the Secretary and the heads of other relevant agencies should provide incentives for service at the Center, particularly for personnel who serve terms of at least two years. Staff detailed to the Center, except for those subject to the provisions of the Foreign Service Act of 1980, shall be considered for promotion at rates equivalent to or better than similarly situated personnel not so assigned.

   The Conference agrees to adopt section 601(f) from the House provision, but delete the requirement that the Office of Intelligence and Analysis submit reports to ``Federal'' law enforcement agencies and ``other relevant agencies,'' as this would be a function performed by the Center. The Conference clarifies that subsection (d) in no way impedes the authority of the Secretary of State to participate in the selection of the Director of the Center, a role that is described in the Center's memorandum of understanding entitled ``Human Smuggling and Trafficking Center Charter,'' as amended as of October 1, 2006. That Memorandum of Understanding establishes that the Director will be confirmed by the Department, the Department of Justice, and the State Department. Finally, the Conferees agree to fund 40 full-time equivalent staff and to authorize $20 million for the Center for Fiscal Year 2008.

   Section 722. Enhancements to the Terrorist Travel Program

   There is no comparable House provision.

   The Department never created the terrorist travel program mandated by section 7215 of Public Law 108-458. Section 503 of the Senate bill requires the Secretary to establish the program within 90 days of enactment and to report to Congress within 180 days on the implementation of the program. The section requires that the Assistant Secretary for Policy at the Department, or another official that reports directly to the Secretary,

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be designated as head of the terrorist travel program and outlines specific duties to be carried out by the head of the program. Those duties include: developing strategies and policies for the Department to combat terrorist travel; reviewing the effectiveness of existing programs to combat terrorist travel across DHS; making budget recommendations that will improve DHS's ability to combat terrorist travel; and ensuring effective coordination among DHS agencies with missions related to intercepting and apprehending terrorists. This section also designates the head of the program as the point of contact for DHS with the National Counterterrorism Center and requires that the Secretary submit a report to Congress on the implementation of the section.

   The Conference substitute adopts the Senate provision.

   Section 723. Enhanced driver's license

   There is no comparable House provision.

   Section 504 of the Senate bill would require the Secretary to enter into a memorandum of agreement with at least one State to pilot the use of enhanced driver's licenses that would be valid for a U.S. citizen's admission into the United States from Canada and require a report to Congress on the pilot.

   The Conference substitute adopts the Senate provision, as modified to permit a pilot of U.S. citizens entering the country from either Canada or Mexico.

   Section 724. Western Hemisphere Travel Initiative

   There is no comparable House provision.

   Section 505 of the Senate bill would require the Secretary to complete a cost-benefit analysis of the Western Hemisphere Travel Initiative (WHTI) and a study of ways to reduce the fees associated with passport cards prior to publishing a final rule for WHTI.

   The Conference substitute adopts the Senate provision, as modified to specify that the Secretary of State shall develop proposals for reducing passport card fees, including through mobile application teams who could accept applications for the passport card in communities particularly affected by WHTI. The Conference believes that the cost/benefit analysis should include the cost to the State Department and resources required to meet the increased volume of passports requests.

   Section 725. Model ports-of-entry

   There is no comparable House provision.

   Section 506 of the Senate bill would require the Secretary to establish a model ports of entry program aimed at improving security and streamlining the current arrival process for incoming travelers at the 20 busiest international airports in the United States. It requires the Department to hire at least 200 additional Customs and Border Protection officers to address staff shortages at these airports, and it would also require measures that would ensure a more efficient international arrival process.

   The Conference substitute adopts the Senate provision, as modified.

   Section 731. Report regarding border security.

   There is no comparable House provision.

   Section 1604 of the Senate bill directs the Secretary to report to Congress regarding ongoing DHS initiatives to improve security along the U.S. northern border. The section also requires the Comptroller General to report to Congress with a review and comments on that report and recommendations regarding any necessary additional actions to protect that border.

   The Conference substitute adopts the Senate provision, as modified.

   TITLE VIII--PRIVACY AND CIVIL LIBERTIES

   Section 801.Modification of Authorities Relating to privacy and civil liberties oversight board

   Sections 802, 803, 804, 805, and 806(a) of the House bill amend Section 1061 of the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458) by modifying the structure and operations of the Privacy and Civil Liberties Oversight Board (the Board). This section removes the Board from the Executive Office of the President and makes the Board an independent agency. It also requires each of the Board's five members to be confirmed by the U.S. Senate. The House language also provides the Board with subpoena powers that will be enforced by the U.S. District Court in the judicial district where the subpoenaed person resides. The Board is required to submit not less than two reports each year to the appropriate Committees of Congress that shall include a description of the Board's activities, information on its findings, conclusions, minority views, and recommendations resulting from its advice and oversight functions.

   Section 601 of the Senate bill is a comparable provision; however, it strengthens the Board's authority without removing it from the Executive Office of the President. Additionally, the Senate provision also grants subpoena power to the Board; however, it differs from the House provision in that the subpoena must be issued by the Attorney General who shall either issue the subpoena as requested or provide the Board with an explanation if the subpoena request is modified or denied. If the request is modified or denied, Congress shall be notified of this action within thirty days.

   The Conference substitute adopts the House provision regarding the removal of the Board from the Executive Office of the President and adopts the Senate provision regarding the Board's subpoena power. All other comparable provisions were integrated.

   Section 802. Department Privacy Officer

   Section 812 of the House bill adopts the language contained in the Privacy Officer with Enhanced Rights Act of 2007, as introduced. In particular, this section expands the Department of Homeland Security's (the Department or DHS) Chief Privacy Officer's (CPO) access to any and all material available to the Department that fall under the CPO's purview. The CPO is also given authority to administer oaths and issue subpoenas to facilitate investigations and reporting requirements. The CPO's term of office would last for a period of 5 years and the individual appointed would be required to submit reports to Congress, without any prior comment by the Secretary, Deputy Secretary or any other officer of the Department, regarding the performance and responsibilities of the Privacy Office.

   Section 603 of the Senate bill is a comparable provision, except that it does not include the 5-year term of office as mandated by the House provision, and it directs that the CPO's subpoena authority be exercised with the approval of the Secretary of Homeland Security (the Secretary).

   The Conference substitute adopts the House language with changes, including the removal of the five year term of office and specifying that the subpoena authority be exercised through the Secretary. It also clarifies the relationship between the CPO and the Office of the Inspector General.

   Section 803. Privacy and Civil Liberties Officers

   Section 602 of the Senate bill establishes a network of Privacy and Civil Liberties officers in Executive Branch Agencies, in some cases strengthening the powers of existing officers. It provides that the Departments of Justice, Defense, State, Treasury, Health and Human Services, and Homeland Security, the Director of National Intelligence and the Central Intelligence Agency, and other agencies designated by the Privacy and Civil Liberties Oversight Board, are required to designate at least one senior official to serve as an internal privacy and civil liberties officer, to function as a source of advice and oversight on privacy and civil liberties matters to the agency. Departments and agencies may designate an existing privacy or civil liberties officer for this role, and the legislation specifies that where a Department or agency has a statutory privacy or civil liberties officer, that officer shall perform the relevant functions required by this section. These officers are directed to make regular reports to their respective department or agency heads, Congress, the Privacy and Civil Liberties Oversight Board, and the public.

   Section 806(b) of the House bill is a comparable provision.

   The Conference substitute adopts the Senate provision.

   Section 804. Federal Agency Data Mining Reporting Act of 2007

   There is no comparable House provision.

   Section 604 of the Senate bill requires all Federal agencies to report to Congress within 180 days and every year thereafter on data mining programs developed or used to find a pattern or anomaly indicating terrorist or other criminal activity on the part of individuals, and how these programs implicate the civil liberties and privacy of all Americans. If necessary, specific information in the various reports could be classified.

   The Conference substitute adopts the Senate language.

   TITLE IX--PRIVATE SECTOR PREPAREDNESS

   Section 901. Private Sector Preparedness.

   Section 1101 of the House bill requires the Secretary of Homeland Security (the Secretary) to establish a program to enhance private sector preparedness for acts of terrorism and other emergencies and disasters. The language also requires the Secretary to support the development and promulgation of preparedness standards, including the National Fire Protection Association 1600 Standard.

   Section 803 of the Senate bill establishes a voluntary certification program to assess whether a private sector entity meets voluntary preparedness standards. In consultation with private sector organizations listed in the section, the Secretary would support the development of voluntary preparedness standards and develop guidelines for the accreditation and certification program. The accreditation and certification process would be implemented and managed by one or more qualified nongovernmental entities selected by the Secretary. Under the program, companies wishing to be certified would have their applications reviewed by third parties accredited by the entity or entities managing the program, which would determine if certification was warranted.

   The Conference substitute adopts the Senate provision, as well as aspects of section 1101 of the House bill, with modifications. The Conference substitute permits the development of guidance and recommendations, and identification of best practices, to assist or foster private sector preparedness. If such guidance and recommendations are developed, the Administrator of Federal Emergency Management Agency (FEMA) and the Assistant Secretary for Infrastructure Protection will work to develop the guidance and recommendations, and the Administrator of FEMA will issue them. The Conference substitute requires the establishment of a voluntary certification program which will be developed by a designated officer within DHS, to be selected by the Secretary from among the Administrator of FEMA, the Assistant Secretary of Infrastructure Protection, and the Under Secretary for Science and Technology, in consultation with appropriate private sector parties designated in the legislation.

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   As recommended by the 9/11 Commission, through this section, the Department of Homeland Security will be promoting private-sector preparedness of which the 9/11 Commission said: ``Private sector preparedness is not a luxury; it is a cost of doing business in the post-9/11 world.''

   Section 902. Responsibilities of the Private Sector Office of the Department

   There is no comparable House provision.

   Section 802 of the Senate bill amends section 102(f) of the Homeland Security Act to add promoting to the private sector the adoption of voluntary national preparedness standards to the responsibilities of the Special Assistant to the Secretary. It also establishes a new responsibility for the private sector advisory councils: advising the Secretary on private sector preparedness issues.

   The Conference substitute adopts the Senate provision with minor modifications.

   TITLE X--CRITICAL INFRASTRUCTURE PROTECTION

   Section 1001. National Asset Database

   Section 902 of the House bill requires the Secretary of the Department of Homeland Security (the Department or DHS) to maintain two databases addressing critical infrastructure: the National Asset Database and, as a subset, the National At-Risk Database. To develop the National Asset Database and the At-Risk Database, the Secretary will meet with a consortium of national laboratories and experts. The Secretary is required to annually update both databases and remove assets and resources that are not verifiable or do not comply with the database requirements. The Secretary will also meet with the States and advise them as to the format for submitting assets for the lists and notifying them as to deficiencies before removing or omitting assets from the lists. This provision also requires the Secretary to consult the Databases for purposes of allocating various Department grant programs and to provide an annual report to Congress on the contents of the Databases.

   Section 1101 of the Senate bill requires the Secretary to establish a risk-based prioritized list of critical infrastructure and key resources that, if successfully destroyed or disrupted through a terrorist attack or natural catastrophe, would cause catastrophic national or regional impacts. The list must be reviewed and updated at least annually. The provision also requires an annual report summarizing the construction and contents of the list. The report may include a classified annex.

   The Conference substitute adopts the House provision with certain modifications. The Conferees determined that there is a uniform manner by which to compile the country's vital assets and to prioritize those assets, as called for in Homeland Security Presidential Directive-7. This process will enable a more effective cooperation with State and local governments and provide a means by which the appropriate Congressional Committees may annually review the prioritized list as well as receive a report about the database and list.

   The Conference substitute modifies the House provision to require the Secretary to maintain a prioritized critical infrastructure list, as called for in the Senate bill, instead of the National At-Risk Database. Furthermore, the Conference substitute authorizes the Secretary to form an optional consortium to advise on the Database, but did not make the formation of such a consortium mandatory.

   Section 1002. Risk assessments and report

   Section 901 of the House bill requires the Secretary to prepare a vulnerability assessment of the critical infrastructure information available to the Secretary with respect to that fiscal year, unless a vulnerability assessment is required under another provision of law. The Secretary must provide annual comprehensive reports on vulnerability assessments for all critical infrastructure sectors established in Homeland Security Presidential Directive-7. This provision requires the Secretary to provide the appropriate Congressional Committees with a summary vulnerability report and a classified annex for each industry sector. This provision also requires the Department to provide a summary report from the preceding two years to compare with the current report to show any changes in vulnerabilities and provide explanations and comments on greatest risks to critical infrastructure for each sector and any recommendations for mitigating these risks.

   Section 1102 of the Senate bill requires the Secretary, for each fiscal year, to prepare a risk assessment of the critical infrastructure and key resources of the United States. It requires that the risk assessment be organized by sector and that it contain any actions or countermeasures proposed, recommended, or directed by the Secretary to address security concerns covered in the assessment. It enables the Secretary to rely upon other assessments prepared by another Federal agency that the Department determines are prepared in coordination with other initiatives of the Department relating to critical infrastructure or key resource protection. It also requires the Secretary to submit an annual report to the relevant Congressional Committees that contains a summary and review of the risk assessments prepared by the Secretary for that year. The report will be organized by sector and will include the Secretary's recommendations for mitigating risks identified by the assessments.

   The Conference substitute adopts a compromise provision by eliminating the requirement for the Secretary to conduct risk assessments under this section because those same assessments are required to be conducted under the Homeland Security Act. The Conference substitute requires the Secretary to provide a report on the comprehensive risk assessments on critical infrastructure that the Department is already required to conduct under the Homeland Security Act.

   Further, the Conference desires that, if appropriate, the report or reports be furnished in a public form with a classified annex. Furthermore, the Conference intends that the classification of information required to be provided to Congress or shared between the Department and any other sector-specific department or agency pursuant to this new paragraph, including the assignment of a level of classification of such information, shall be binding on Congress, the Department, and any other Federal Department or Agency. With regard to these assessments, the Homeland Security Act requires the Secretary to conduct the assessments with respect to the nation's critical infrastructure and key resources. The Conference intends for the Secretary to exercise his responsibilities under the Homeland Security Act and make a timely report to Congress. Through this section, the Conference does not intend to make any changes to the Secretary's authority under section 201 of the Homeland Security Act. The section requires the Secretary to submit a set of reports to the Senate Committee on Homeland Security and Governmental Affairs and the House of Representatives Committee on Homeland Security as well as other appropriate Congressional Committees containing a summary and review of the assessments prepared by the Secretary, as already required by the Homeland Security Act.

   Section 1003. Sense of Congress regarding the inclusion of levees in the National Infrastructure Protection Plan

   There is no comparable House provision.

   Section 1101 of the Senate bill requires the Secretary to include levees in the Department's list of critical infrastructure sectors.

   The Conference substitute adopts the Senate provision, while modifying it so that it is the sense of Congress that the Secretary should ensure that levees are included in one of the critical infrastructure and key resource sectors identified in the National Infrastructure Protection Plan.

   TITLE XI--BIOLOGICAL AND NUCLEAR DETECTION

   Section 1101. National Biosurveillance Integration Center

   There is no comparable House provision. However, the House passed, on a bipartisan basis, a very similar provision as part of H.R. 1684, ``the Department of Homeland Security Authorization Act for Fiscal Year 2008.''

   Section 701 of the Senate bill provides for the authorization of a National Biosurveillance Integration Center (NBIC) within the Department of Homeland Security (the Department or DHS). The primary mission of the NBIC is to enhance the situational awareness of the Federal Government of intentional and naturally occurring biological incidents of national concern, and to rapidly alert Federal, State and local entities of such incidents.

   The Conference substitute adopts the Senate provision, with technical modifications.

   In order to best achieve its mission, the Conference directs that NBIC Member Agencies to send all information that could indicate a biological incident of national concern, including protected health information from member agencies which are Public Health Authorities as defined by the Health Insurance Portability and Accountability Act of 1996, Public Law 104-191, to the NBIC.

   Section 1102. Biosurveillance efforts

   There is no comparable House provision.

   Section 702 of the Senate bill requires the Comptroller General of the United States to report to Congress on Federal, State, and local biosurveillance efforts, any duplication of such efforts, and recommendations on integration of systems and effective use of resources and professional expertise.

   The Conference substitute adopts the Senate provision, with technical modifications.

   Section 1103. Interagency coordination to enhance defenses against nuclear and radiological weapons of mass destruction

   There is no comparable House provision.

   Section 703 of the Senate bill requires the Secretaries of Homeland Security, State, Defense, Energy, the Attorney General and the Director of National Intelligence to jointly ensure interagency coordination on the development and implementation of the global nuclear detection architecture by completing a joint annual interagency review of matters relating to the global nuclear detection architecture, which shall be submitted to the President and the appropriate Congressional Committees.

   The Conference substitute adopts the Senate provision, with technical modifications.

   Section 1104. Integration of detection equipment and technologies

   There is no comparable House provision.

   Section 1607 of the Senate bill requires the Secretary of Homeland Security to ensure that chemical, biological, radiological, and nuclear detection equipment and technologies are integrated as appropriate with other border security systems and detection technologies, and requires the Secretary to develop a departmental technology assessment process and report the process to Congress within 6 months of enactment.

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   The Conference substitute adopts the Senate provision, as engrossed by the Senate.

   TITLE XII--TRANSPORTATION SECURITY PLANNING AND INFORMATION SHARING

   Section 1201. Definitions

   The Conference substitute includes a provision which defines the terms ``Department'' and ``Secretary'' for the purposes of this title.

   Section 1202. Transportation security strategic planning

   Section 1002 of the House bill requires the Department of Homeland Security (the Department or DHS) to include additional information in subsequent submissions of the National Strategy for Transportation Security. It requires DHS to tie the risk-based priorities identified in the Strategy to the risk assessments conducted by DHS; to coordinate the development of the Strategy with Federal, State, regional, local and tribal authorities and transportation system employees; and to tie the budget and research and development to the priorities in the Strategy. It also requires DHS to build into the Strategy a more intermodal perspective for transportation security.

   Section 901 of the Senate bill is a comparable provision.

   The Conference substitute adopts modified language from both bills. The Conference would like to clarify that the information required by the periodic progress reports, on the turnover among senior staff of the Department (and any component agencies) working on transportation security issues, includes program managers responsible for transportation security programs, at the GS-13 level or its equivalent, as well as their immediate supervisors and other superiors, up to and including Assistant Secretaries or Under Secretaries.

   Section 1203. Transportation security information sharing

   Section 1001 of the House bill improves transportation security information between the public and private sectors by requiring the establishment of a Transportation Security Information Sharing Plan. It also requires the Department to provide a semiannual report to Congress identifying the persons who receive transportation security information.

   Section 902 of the Senate bill is a comparable provision, which also requires the plan be developed in consultation with the program manager of the Information Sharing Environment established under the Intelligence Reform and Terrorism Prevention Act of 2004. This section further requires that DHS establish a point or points of contact within the Department for distributing transportation security information to public and private stakeholders.

   The Conference substitute adopts the Senate provision, as modified.

   Section 1204. National Domestic Preparedness Consortium

   There is no comparable House provision.

   Section 1429 of the Senate bill requires the Secretary of Homeland Security (the Secretary) to develop guidance for a rail worker security training program. Section 1505 of the Senate bill requires the Secretary to issue regulations for a public transportation worker training program. Section 202 of the Senate bill authorizes the Secretary to establish a State Homeland Security Grant Program and an Urban Area Security Initiative grant program which allows States and localities to apply for grants from DHS for the purpose of training first responders.

   The Conference substitute authorizes the establishment of the National Domestic Preparedness Consortium, which has been responsible for identifying, developing, testing and delivering training to State, local, and tribal emergency response providers. The Conference substitute further authorizes an expansion of the Consortium to include the National Disaster Preparedness Training Center and the Transportation Technology Center, Incorporated, to assist with providing security training to emergency responders and transportation workers.

   In addition, the Conference substitute authorizes specific funding levels for the individual members of the Consortium that are intended to provide a baseline to determine future funding needs. However, the Conference does not believe that these authorized amounts should serve as artificial barriers to increased funding levels should greater increases be necessary and possible. The Conference recognizes the importance of the ongoing training at the National Domestic Preparedness Consortium, expects that the two new members will be able to provide unique training opportunities, and that by authorizing and expanding the Consortium the Department will be able to train even more of our Nation's emergency responders and transportation workers.

   Section 1205. National Transportation Security Center of Excellence

   There is no comparable House provision.

   Section 1425 of the Senate bill requires the Secretary to carry out a research and development program for the purpose of improving freight rail and intercity passenger rail security. Section 1507 of the Senate bill requires the Secretary to award grants or contracts for research and development of technologies and methods to improve security for public transportation systems. Section 1467 of the Senate bill extends the authorization for the Secretary to carry out research and development for aviation security, until 2009.

   The Conference substitute authorizes the establishment of a National Transportation Security Center of Excellence to conduct research and development and education activities, and develop or provide training to transportation employees or professionals.

   Section 1206. Civil immunity for reporting suspicious activity

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference recognizes that the general public often provides critical assistance to law enforcement in its efforts to disrupt terrorist activity against the homeland. The Conference substitute adopts this section to address the potential chilling effect of lawsuits filed against members of the public who reported what they reasonably considered to be suspicious activity to appropriate personnel.

   The Conference substitute adopts language granting civil immunity to those who, in good faith and based on objectively reasonable suspicion, report ``covered activity'' to an ``authorized official.'' The term ``covered activity'' is defined as suspicious activity indicating that a person is preparing to or may be violating the law in a way that threatens a passenger transportation system, passenger safety, or passenger security or that involves an act of terrorism. The suspicious activity must involve or be directed against a passenger transportation system. An authorized official is defined as any employee or agent of a passenger transportation system or other persons with responsibilities relating to the security of such systems. It also includes anyone working for or on behalf of the Departments of Homeland Security, Transportation or Justice who have responsibilities relating to the security of passenger transportation systems as well as any Federal, State, or local law enforcement officer. Persons who make false reports or who make a report with reckless disregard for the truth are not entitled to civil immunity under this section.

   The Conference substitute also grants qualified civil immunity to any authorized official who takes reasonable action to respond to a report of covered activity. An authorized official not entitled to assert the defense of qualified immunity is nevertheless immune from civil liability under Federal,

   State or local law. The Conference intends to provide civil immunity to anyone within the chain of reporting who reasonably responds in good faith to the covered activity. However, the Conference does not intend to amend, limit, or reduce existing qualified immunity or other defenses pursuant to Federal, State, or local law that may otherwise be available to authorized officials as defined by this section. To address this concern the Conference substitute includes a savings clause that states that nothing in the section shall affect the ability of any authorized official to assert any defense, privilege, or immunity that would otherwise be available. The savings clause also reiterates that this section is not intended to affect any such defense, privilege or immunity.

   The Conference substitute also allows any person or authorized official who is found to be immune from civil liability under this section to recover reasonable costs and attorneys fees should they be named as a defendant in a civil suit. It defines a ``passenger transportation system'' as public transportation, over-the-road bus transportation, including school bus transportation, intercity rail transportation, passenger vessels, including passenger and automobile ferries, and air transportation. Finally, the Conference substitute states that this section takes effect as of October 1, 2006 and shall apply to all activities and claims arising on or after that date.

   TITLE XIII--TRANSPORTATION SECURITY ENHANCEMENTS

   Section 1301. Definitions

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute defines several terms used within this title.

   Section 1302. Enforcement authority

   There is no comparable House provision.

   Section 1432 of the Senate bill expands the Transportation Security Administration's (TSA) existing administrative civil penalty authority to authorize civil penalties and enforcement of regulations and orders of the Secretary of Homeland Security (the Secretary) relating to non-aviation security. Under this section, the Secretary must give written notice of the finding of a violation and the penalty, and the penalized person has the opportunity to request a hearing on the matter. This section also provides that, in a civil action to collect such a penalty, the issues of liability and the amount of the penalty may not be reexamined; it places exclusive jurisdiction for these actions in the Federal district courts in certain instances; and it establishes ceilings for the penalty amounts the Secretary may administratively impose.

   The Conference substitute adopts the Senate provision with minor changes, including a provision that requires the Secretary to make publicly available summaries of enforcement actions taken and a report on the Department's enforcement process. The Conference substitute limits this administrative enforcement authority as it relates to fines and civil penalties against public transportation agencies and violations of administrative and procedural requirements related to the transportation security grant programs of this Act through section 1304 of the Conference substitute.

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   Section 1303. Visible Intermodal Prevention and Response Teams

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute authorizes the existing Transportation Security Administration (TSA) practice of deploying security teams, known as Visible Intermodal Prevention and Response teams (VIPR), to augment the security of any mode of transportation. This provision authorizes the Secretary to determine, consistent with ongoing security threats, when a VIPR team should be deployed and for what duration, in coordination with local law enforcement. The provision also allows the Secretary to use any asset of the Department, including Federal Air Marshals, Surface Transportation Security Inspectors, canine detection teams, and advanced screening technology as part of VIPR teams. Under this section, the Secretary would be required to consult with local law enforcement and security officials and transportation entities directly affected by VIPR deployments, prior to and during deployments of VIPR teams to ensure coordination and operation protocols. This section authorizes such sums as necessary annually from FY 2008-2011 to cover costs associated with the VIPR program.

   Section 1304. Surface Transportation Security Inspectors

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute authorizes the existing Transportation Security Administration (TSA) Surface Transportation Security Inspectors (STSIs) program and includes language addressing the mission and authorities of the inspectors, requiring coordination and consultation with the Department of Transportation (DOT) and affected entities, and providing limitations regarding the issuance of fines and civil penalties against public transportation agencies and for violations of administrative and procedural requirements of the Act. Additionally, the Conference substitute requires the Secretary to increase the number of STSIs employed by TSA, up to a level of 200 STSIs in FY 2010 and FY 2011, and requires the DHS Inspector General to issue a report to the appropriate Congressional Committees regarding the performance and effectiveness of STSIs, the need for additional inspectors, and other recommendations. The provision also authorizes the following amounts for the STSI program: $11.4 million for FY 2007, $17.1 million for FY 2008, $19.95 million for FY 2009 and $22.8 million for FY 2010 and 2011, respectively.

   The Secretary and the STSIs should use fines and civil penalties as a last recourse to achieve public transportation agency compliance with DHS security regulations only when other reasonable methods of gaining compliance have not produced adequate results. If a public transportation agency fails to correct a violation or to propose an alternative means of compliance acceptable to the Secretary, then the Secretary may issue fines or civil penalties under section 1302 of the Conference substitute. Additionally, the provision restricts the Secretary or STSIs from issuing fines and civil penalties for violations of administrative and procedural requirements related to the application and use of funds awarded under the transportation security grant programs in this Act. However, the Conference does not consider fraud, gross misuse of grant funds, or any criminal conduct related to the application for or use of grant funds awarded under this Act to be administrative requirements and, therefore, those acts will not be shielded from fines or civil penalties issued by the Secretary.

   Section 1305. Surface transportation security technology information sharing

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute adopts a new provision that would require the Secretary, in consultation with the Secretary of Transportation, to establish a program to provide appropriate information that the Department has gathered or developed on the performance, use, and testing of technologies that may be used to enhance railroad, public transportation, and surface transportation security to surface transportation entities and State, local, and tribal governments that provide security assistance to such entities. The purpose of the program is to assist eligible grant recipients under this Act and others, as appropriate, to purchase and use the best technology and equipment available to meet the security needs of the Nation's surface transportation system.

   The provisions allow the Secretary to include in such information whether the technology is designated as a qualified antiterrorism technology under the SAFETY Act, as appropriate, and requires the Secretary to ensure that the program established under this section makes use of and is consistent with other Department technology testing, information sharing, evaluation, and standards-setting programs, as appropriate.

   Section 1306. TSA personnel limitations

   There is no comparable House provision.

   Section 1451 of the Senate bill provides that any statutory limitation on the number of Transportation Security Administration employees shall not apply to employees carrying out this title.

   The Conference substitute adopts the Senate provision as it applies to this title and titles XII, XIV, and XV of the Conference substitute.

   Section 1307. National Explosives Detection Canine Team Training Program

   There is no comparable House provision.

   Section 1476 of the Senate bill directs the Secretary to enhance the National Explosive Detection Canine Team Program and maximize canine training capacity so that up to 200 additional dogs can be certified each year, starting at the end of calendar year 2008. The Secretary would be given flexibility across transportation modes to use as needed and deemed necessary. The provision encourages the Secretary to review potential benefits of establishing new canine training partnerships throughout the United States.

   The Conference substitute adopts the Senate provision as modified. The modified provision requires the Secretary to increase the number of explosives detection canine teams certified by the TSA for the purposes of transportation-related security by up to 200 canine teams annually by the end of 2010 and encourage State, local, and tribal governments and private owners of high-risk transportation facilities to strengthen security through the use of highly trained explosives detection canine teams.

   To increase the number of explosives detection canine teams, the Secretary shall use a combination of methods including the use and expansion of TSA's National Explosives Detection Canine Team Training Center; partnering with other Federal, State, or local agencies, nonprofit organizations, universities, or the private sector; and procuring explosives detection canines trained by nonprofit organizations, universities, or the private sector, provided they are trained in a manner consistent with the standards and requirements developed pursuant to this section or other criteria developed by the Secretary.

   The Secretary is also required to establish criteria that include canine training curricula, performance standards, and other requirements approved by TSA as necessary to ensure that explosives detection canine teams trained by nonprofit organizations, universities, and private sector entities are adequately trained and maintained. In developing and implementing such curricula, performance standards, and other requirements, the Secretary would be required to coordinate with key stakeholders to develop best practice guidelines for such a standardized program; ensure that explosives detection canine teams trained by nonprofit organizations, universities, or private sector entities that are used or made available by the Secretary be trained consistent with specific training criteria developed by the Secretary; and review the status of the private sector programs on at least an annual basis to ensure compliance with training curricula, performance standards, and other requirements.

   The Conference substitute also requires the Secretary to use the additional explosives detection canine teams as part of the Department's efforts to strengthen security across the Nation's transportation network. The Secretary may use the canine teams on a more limited basis to support other homeland security missions, as determined appropriate. The Secretary is also required to make available explosives detection canine teams to all modes of transportation, for high-risk areas or to address specific threats, on an as-needed basis and as otherwise determined appropriate by the Secretary and shall encourage, but not require, transportation facilities or systems to deploy TSA-certified explosives detection canine teams.

   The Conference substitute requires the Secretary, acting through the TSA Administrator, to ensure that explosives detection canine teams are procured as efficiently as possible and at the best price using available procurement methods and increased domestic breeding, if appropriate. Additionally, the Comptroller General is required to report to the appropriate Congressional Committees on the utilization of explosives detection canine teams to strengthen security and the capacity of the national explosive detection canine team program. Finally, the Conference substitute authorizes such sums as may be necessary to carry out this section for Fiscal Years 2007 through 2011.

   The Conferees note that the definition of ``explosives detection canine team'' as a ``canine and a canine handler that are trained to detect explosives, radiological materials, chemical, nuclear or biological weapons, or other threats as defined by the Secretary'' is intended to ensure that individual canine teams that are trained to detect any of these specific materials listed are eligible under this section. The Conferees recognize that explosives detection canines are not trained to additionally detect chemical, nuclear or biological weapons and that, at present, such teams cannot detect radiological materials. Further, the Conferees recognize that canines are trained to detect specific threats and cannot, at this time, effectively be crossed-trained to identify multiple threats. In requiring the TSA to develop canine training curriculum and performance standards under this section, the Conferees expect TSA to do so for those threats within the definition that are currently applicable to canine team detection. However, the Conferees trust that TSA will explore opportunities to train and/or acquire canines that are able to detect new and emerging threats, such as chemical, radiological, nuclear and biological weapons. To that end, the Conferees expect that prior to developing and distributing canine training curriculum and performance standards under this section,

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TSA will fully vet any ongoing training, whether domestic or international, that has a proven method to successfully detect those additional threats that may not currently be applicable to TSA-trained canines.

   Section 1308. Maritime and surface transportation security user fee study

   There is no comparable House provision.

   Section 1452 of the Senate bill requires the Secretary to study the need for, and feasibility of, establishing a system of maritime and surface transportation-related user fees that may be imposed and collected to fund maritime and surface transportation security improvements. In developing the study, the Secretary would be directed to consult with maritime and surface transportation carriers, shippers, passengers, facility owners and operators, and other persons. The study would include an assessment of current security-related fees in the United States, Canada, and Mexico; an analysis of the impact of fees on transportation carriers and shippers; and an evaluation of current private and public sector expenditures on maritime and surface transportation security. Within 1 year after the date of enactment, the Secretary would be required to transmit a report to Congress on the results of the study.

   The Conference substitute adopts the Senate provision with minor modifications.

   Section 1309. Transportation Worker Identification Credential (TWIC)

   There is no comparable House provision.

   Sections 1454 and 1455 of the Senate bill codify the existing regulatory prohibitions against the issuance of transportation security cards to certain convicted felons.

   The Conference substitute adopts the Senate provision, with minor modifications, codifying the existing regulatory prohibitions against the issuance of transportation security cards to certain convicted felons. Nothing in this section is intended to change the waiver and appeal rights afforded to workers in 70105 of title 46. In fact, the Conferees expect that as the Secretary moves to implement the TWIC program, workers will have their waiver and appeal cases decided expeditiously and that a sufficient number of administrative law judges will be available to adjudicate these cases.

   Section 1310. Roles of the Department of Homeland Security and the Department of Transportation

   There is no comparable House provision.

   Sections 1421, 1425, 1435, 1441, 1442, 1444, 1448, 1449, 1445, 1503 and 1506 of the Senate bill require the Secretary of Homeland Security to consult, coordinate, or work with the Secretary of Transportation in the implementation of the requirements of the sections. Section 1443 of the Senate bill further requires the Department of Homeland Security and the Department of Transportation to execute and develop an annex to the Memorandum of Understanding between the Departments signed on September 28, 2004, governing the specific roles, delineations of responsibilities, resources and commitments of the Department of Transportation and the Department of Homeland Security, respectively, in addressing motor carrier transportation security matters.

   The Conference substitute includes a provision which affirms and clarifies the current delineation of the roles and responsibilities of Department of Homeland Security and the Department of Transportation related to carrying out the provisions of this Act related to transportation security.

   TITLE XIV--PUBLIC TRANSPORTATION SECURITY

   Section 1401. Short title

   There is no comparable House provision.

   Section 1501 of the Senate bill cited the short title as ``The Public Transportation Terrorism Prevention Act of 2007.''

   The Conference Substitute adopts a compromise provision, providing that this title may be cited as ``The National Transit Systems Security Act of 2007.''

   Section 1402. Definitions

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute adopts a definition section in an effort to clarify terms used in Title XIV of the bill.

   Section 1403. Findings

   There is no comparable House provision.

   Senate Section 1502 finds that public transit is a top target of terrorism worldwide, that the Federal Government has invested significant sums in creating and maintaining the nation's transit infrastructure, that transit is heavily used and that the current Federal investment in security has been insufficient and greater investment is warranted.

   The Conference substitute adopts the Senate findings as modified.

   Section 1404. National strategy for public transportation security

   There is no comparable House provision.

   The Senate bill does not require an additional strategy for transit beyond the modal requirements in Title XII.

   The Conference substitute adopts the Senate provision with modifications. The purpose of the strategy is to minimize security threats and maximize the abilities of public transportation systems to mitigate damage that may result from terrorist attacks. The Secretary of Homeland Security (the Secretary) is required to use established and ongoing public transportation security assessments and consult with all relevant stakeholders that are specified in the legislation in developing a national strategy.

   Section 1405. Security assessments and plans

   There is no comparable House provision.

   Section 1503 of the Senate bill requires the Federal Transit Administration of the Department of Transportation to submit all public transportation security assessments and other relevant information to the Secretary 30 days after the date of enactment. The Secretary is also required to use the security assessments received as the basis for allocating grant funds, unless the Secretary notified the Senate Committee on Banking, Housing, and Urban Affairs that the Secretary determined an adjustment is necessary to respond to an urgent threat or other significant factors.

   The Senate provision requires the Secretary to conduct both annual updates to the existing assessments and new security assessments of all public transportation agencies considered to be at greatest risk of a terrorist attack. In addition, the Secretary is required to establish a process for developing security guidelines for public transportation security and to design a security improvement strategy that minimizes terrorist threats to public transportation systems, and maximizes the efforts of public transportation systems to mitigate damage from terrorist attacks. It also requires the Secretary to conduct security assessments, appropriate to the size and nature of each system, to determine the specific needs of bus-only and rural transit systems.

   The Conference substitute adopts the requirements included in the Senate bill with modification. It requires the Federal Transit Administration and the Department of Transportation to transfer all existing security assessments as well as any other relevant information to the Department of Homeland Security (the Department or DHS). It also requires the Secretary to review and augment the assessments and to conduct additional assessments as necessary to ensure that, at a minimum, all high-risk public transportation agencies will have a completed security assessment. The Conference substitute further specifies that each completed assessment should include, at a minimum, an identification of critical assets, infrastructure and systems and their vulnerabilities and an identification of any other security weaknesses, including weaknesses in emergency response planning and employee training. The Conference substitute adopts the Senate's provisions addressing bus-only and rural transit systems with a clarification that these assessments are meant to be representative of the needs of these systems and shall be made available for use by similarly situated systems.

   The Conference substitute adopts provisions related to mandatory security plans. All high-risk systems will be required to have a security plan provided they receive grant funding. However, the Conference agreed to provide the Secretary a waiver of that provision in order that he may require a security plan for a high-risk system that has not received grant funding, provided that upon issuance of that waiver, the Secretary, not less than three days after making that determination, provides Congress and the public transportation system written notice detailing the need for the security plan, the reason grant funding has not been made available and the reason the agency has been designated high-risk. The Secretary is required to provide guidance on developing, preparing and implementing these plans. Developing security plans is an eligible expense for funds received under this Title. The security plans must be consistent with the security assessments developed by the Department and the National Strategy for Public Transportation Security. The Secretary is authorized to establish a program to develop security plans for systems that are not designated at high-risk, provided that no such system may be required to develop a plan. Security plans are required to be updated annually, as appropriate.

   The Conference substitute also includes language on nondisclosure of information, encouraging coordination among different modes of transportation to the extent they share facilities, and allowing public transportation agencies to petition the Secretary to recognize existing protocols, procedures and standards as meeting all or part of the requirements for security assessments or plans.

   Section 1406. Public transportation security assistance

   There is no comparable House provision.

   Section 1504 of the Senate bill created two separate grant programs, one for capital expenses and another for operating expenses. The Senate bill required coordination with State homeland security plans and appropriate consideration of multi-State transportation systems, along with Congressional notification prior to grant awards and the requirement that transit agencies return any misspent grant funds.

   The Conference substitute adopts the Senate provision with modifications. The Conference substitute establishes a single grant program that awards grants directly to eligible public transportation agencies for security improvements. A public transportation agency is eligible if the Secretary has performed a security assessment or the agency has developed a security plan. Grant funds provided under this program may only be awarded for permissible uses described in this section that address items in a security assessment or further the agency's security plan.

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   The Conference agrees that the grants should be awarded pursuant to an agreement between the Departments of Homeland Security and Transportation. These two Departments are required to make their determination on the basis of what is the most efficient and effective method to deliver these grants directly to the transit agencies. The Conference expects that the delivery system chosen will reflect the system that meets these criteria. We note that there have been some concerns with the efficiency, efficacy and timeliness of the disbursal of these grants and believe that it is critical that the Secretaries reach a decision that will provide for these grants to be distributed as efficiently, effectively and quickly as possible. The Conference substitute in Section 1406(e) declares that all requirements of Section 5307 of Title 49 shall be applied to the recipients of these grant funds. Whichever Department distributes and awards the grants will have to be responsible for ensuring that those requirements are met.

   The Conference substitute also includes a list of eligible capital expenses and separately, a list of eligible operating expenses for the distribution of grant funds, and retains Senate language addressing coordination with State homeland security plans, multi-state transportation systems, Congressional notification and the requirement that transit systems return any misspent grant funds.

   The Conference substitute includes authorization levels for each year, although the overall amount of $3.5 billion was similar to the Senate bill. In addition, the Conference substitute includes a structure that caps the amount of funds that can be used for operational expenses each year of the authorization, declining from 50 percent in Fiscal Year 2008 to 10 percent in 2011. The Conference expects that training costs will be the predominant use of operating funds in the first two years of the program which led to the decreasing limitation on operating funds over the life of the bill. The Conference substitute provides the Secretary with a waiver of the limitation on operating expenses, provided such waiver is used only in the interest of national security. Use of the waiver requires Congressional notification, prior to any such action. The Conference substitute also requires any funds distributed under Public Law 110-28 to be allocated based on risk and distributed solely to address security issues that have already been identified in security assessments.

   Section 1407. Security exercises

   There is no comparable House provision.

   The Senate bill did not include a separate exercise provision, although security exercises were an eligible expense under the program, as shown in Section 1504(b).

   The Conference substitute adopts more specific language and requirements for the Secretary to establish a program for conducting security exercises. The program shall cover public transportation agencies, Federal, State and local governments, including emergency response providers and law enforcement as well as any other organizations that the Secretary determines are appropriate to include.

   Section 1408. Public transportation security training program

   There is no comparable House provision.

   Section 1505 of the Senate bill contains a transit security training program detailing how the Secretary, in consultation with appropriate officials, is required to develop and issue detailed regulations for a public transportation worker security training program. Public transportation agencies who receive security funding must develop a comprehensive worker training program and submit it to the Secretary for approval. The Secretary must review the program and make necessary revisions. No later than one year after the plan has been established and reviewed, the public transportation agency must complete the training of all workers. The Secretary is required to report to Congress on the training program and update it as necessary.

   The Conference substitute adopts the security training program with modification. The Conference substitute requires all public transportation systems that receive security grants under this Title to train all frontline public transportation employees and other workers, as appropriate. The training requirement is for both initial and ongoing training for any agency that receives a security grant. The Conference substitute requires the Secretary to issue regulations, including interim final regulations, to implement the training requirement. In developing these regulations the Secretary must consult with appropriate law enforcement, fire service security, terrorism experts, representatives of public transportation systems and nonprofit employee labor organizations representing public transportation workers or emergency response personnel. Public transportation agencies that receive security funding must develop a comprehensive employee training program and submit it to the Secretary for approval. The Secretary must review the program and make necessary revisions. Not later than one year after each public transportation agency's training program has been established and reviewed, the public transportation agency must complete the training of all workers covered under the program. The Conference substitute also includes a study to be conducted by the Comptroller General on the implementation of the training program, requiring a survey of transit agencies and employees.

   Section 1409. Public transportation research and development.

   There is no comparable House provision.

   Section 1507 of the Senate bill includes a transportation research and development section to establish, through the Homeland Security Advanced Research Projects Agency, and in consultation with the Federal Transit Administration, a program to distribute grants or contracts to public and private entities to conduct appropriate research into technologies or methods of deterring and mitigating the effects of terrorist attacks. The Secretary must report to the Congress on the use of these funds and if the Secretary determines that grant funds were misspent, the grantee shall return grant funds to the Treasury of the United States.

   The Conference substitute adopts the Senate provision with a modification to establish a research and development program related to public transportation. The program will be established through the Homeland Security Advanced Research Projects Agency in the Science and Technology Directorate and will consult with the Federal Transit Administration. Grants and/or contracts will be awarded to public or private entities to conduct research or demonstrate technologies and methods to reduce and deter terrorist threats or to mitigate damage resulting from an attack. The Conference substitute also adopts language regarding privacy and civil rights and the Senate language on reporting and misspent grant funds and requires coordination with the priorities included in the National Strategy for Public Transportation Security. The Conference substitute authorizes $25,000,000 per year for this program.

   Section 1410. Intelligence sharing

   There is no comparable House provision.

   The Senate bill, Section 1506, required the Secretary to provide sufficient financial assistance for the reasonable costs of the Information Sharing and Analysis Center for Public Transportation (ISAC). All transit agencies would be encouraged to participate in the ISAC and those that the Secretary deemed to be at significant risk would be required to participate. The imposition of fees was prohibited.

   The Conference substitute adopts the Senate proposal with modification. It includes a report to be conducted by the Comptroller General to examine the value and efficacy of the ISAC along with any other public transportation information sharing programs ongoing at the Department of Homeland Security, including the Homeland Security Information Network (HSIN) system. The Conference substitute also authorizes specific dollar amounts for the ISAC for Fiscal Years 2008-2010 and such sums as necessary for 2011 provided the Comptroller's report has been submitted to Congress.

   Section 1411. Threat assessments

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute requires the Secretary to complete a name-based security background check of public transportation front-line employees against the consolidated terrorist watch list and an immigration status check, within one year after the date of enactment, similar to the threat assessment conducted by the U.S. Coast Guard with regard to facility employees and longshoremen.

   Section 1412. Reporting requirements

   There is no comparable House provision.

   Section 1508 of the Senate bill includes a reporting section that required the Secretary to submit a semi-annual report to the Committee on Banking, Housing and Urban Affairs, the Committee on Homeland Security and Governmental Affairs and the Committee on Appropriations, on the implementation of the capital and operational grant programs, the use of funds and the State of public transportation security in the United States. It further requires the Secretary to submit an annual report regarding the amount and use of grant funds to the Governor of each State with a public transportation agency that has received a grant.

   The Conference substitute broadens the reporting requirements included in the Senate bill to ensure that Congress receives substantive, useful information regarding public transportation security from the Department of Homeland Security. To that end, the Conference substitute includes an annual report to Congress, due on March 31st of each year, that includes: a description of the implementation of the provisions of Title XIV; the amount of funds appropriated to carry out the title that have not been spent; the National Strategy for Public Transportation Security; an estimate of the costs to fully implement the National Strategy for Public Transportation Security, to be broken out for each Fiscal Year from 2008 through 2018; and the state of public transportation security in the United States. The Conference substitute maintains the Senate's requirement of an annual report to the Governors.

   Section 1413. Whistleblower protection

   There is no comparable House provision.

   The Senate bill modifies existing whistleblower protections for rail employees.

   The Conference substitute adopts protections for public transportation employee whistleblowers, modeled on the protections available to railroad employees under 49 U.S.C. 20109 as amended by this Act and aviation employees under 49 U.S.C. 42121.

   Section 1414. Security background checks of covered individuals for public transportation

   There is no comparable House provision.

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   There is no comparable Senate provision.

   The Conference substitute adopts a provision to ensure that if the Secretary of Homeland Security requires or recommends security background checks of public transportation employees, adversely affected employees will have an adequate redress process.

   Section 1415. Limitation on fines and civil penalties.

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute prohibits the Secretary and the surface transportation security inspectors (STSI) from issuing fines and civil penalties on public transportation agencies except in certain circumstances.

   The Secretary and the STSIs should use fines and civil penalties as a last recourse to achieve public transportation agency compliance with DHS security regulations only when other reasonable methods of gaining compliance have not produced adequate results. If a public transportation agency fails to correct a violation or to propose an alternative means of compliance acceptable to the Secretary, then the Secretary may issue fines or civil penalties under section 1302 of the Conference substitute. Additionally, the provision restricts the Secretary or STSIs from issuing fines and civil penalties for violations of administrative and procedural requirements related to the application and use of funds awarded under the transportation security grant programs in this Act. However, the Conference does not consider fraud, gross misuse of grant funds, or any criminal conduct related to the application for or use of grant funds awarded under this Act to be administrative requirements and, therefore, those acts will not be shielded from fines or civil penalties issued by the Secretary.

   TITLE XV--SURFACE TRANSPORTATION SECURITY

   Subtitle A--General Provisions

   Section 1501. Definitions

   Section 1001 of the House bill contains several definitions related to transportation security.

   Section 1411 of the Senate bill defines the term ``high hazard materials.''

   The Conference substitute adopts definitions for terms applicable to the title, including a new definition of ``security-sensitive materials,'' which must be defined by the Secretary of Homeland

   Security (the Secretary) through a rule making. The Conference believes that completing the definition of ``security-sensitive materials'' should be a high priority for the Department of Homeland Security (the Department or DHS), since the definition of this term is a pre-requisite for the implementation of several other provisions within this title.

   Section 1502. Oversight and Grant Procedures

   There is no comparable House provision.

   Section 1426 of the Senate bill authorizes the Secretary of Homeland Security to enter into contracts to audit and review grants awarded under the bill. The Secretary is required to prescribe procedures and schedules for the awarding of grants under this title, including application and qualification procedures. In awarding grants, the Secretary may issue letters of intent (LOI) to recipients of grants awarded under this bill, as the Secretary may do now for aviation security funding through the Transportation Security Administration (TSA).

   The Conference substitute adopts the Senate provision as modified. It requires the Secretary to establish procedures, including those for monitoring and auditing to ensure that grants are expended properly and for application and qualification for grants. The provision also provides that for grants awarded to Amtrak under this title, the Secretary shall coordinate with the Secretary of the Department of Transportation (DOT) in establishing necessary grant procedures. Additionally, the provision permits either Department to enter into contracts for additional audits and reviews of such grants to Amtrak.

   The Conference substitute also permits the Secretary of Homeland Security to issue LOI's to grant recipients. The Conference acknowledges that an LOI is not a commitment of future funds by an agency. The Conference substitute requires that grant recipients return any misspent funds and that the Secretary take all necessary action to return such funds. It also requires the Secretary to notify appropriate Congressional Committees of its intent to award a grant. Finally, the Conference substitute requires that the Secretary ensure, to extent practicable, that grant recipients use disadvantaged business concerns as contractors or subcontractors.

   Section 1503. Authorization of Appropriations

   There is no comparable House provision.

   Section 1437 of the Senate bill authorizes appropriations for the Secretary of Homeland Security for Fiscal Years (FY's) 2008-2010 and for the Secretary of Transportation for FY's 2008-2011 to carry out the activities required by the Act.

   The Conference substitute adopts the Senate provision as modified to reflect the authorization levels contained within the sections of this title.

   Section 1504. Public Awareness

   There is no comparable House provision.

   Section 1434 of the Senate bill requires the Secretary of Homeland Security, in consultation with the Secretary of Transportation, within 90 days after the date of enactment of this Act, to develop a national plan for improved public outreach and awareness of measures that the general public, railroad passengers, and railroad employees can take to increase railroad system security. Not later than 9 months after the date of enactment of this Act, the Secretary would be directed to implement this plan.

   The Conference substitute adopts the Senate provision with minor modifications, including adding over-the-road bus security matters to the provision.

   Subtitle B--Railroad Security

   Section 1511. Railroad Transportation Security Risk Assessment and National Strategy

   There is no comparable House provision.

   Section 1421 of the Senate bill requires the Secretary of Homeland Security to establish a task force comprised of the Transportation Security Administration (TSA) and others to complete a risk assessment of freight and passenger rail transportation. It also requires the development of recommendations for improving rail security based on the required risk assessment and the establishment of plans to address such recommendations. This section requires the Secretary to report to the appropriate Congressional Committees on the assessment, recommendation, plans and costs to implement such recommendations. In addition, the Secretary is required to include in the recommendations a plan for the Federal government to provide security support at high threat levels of alert; a plan for coordinating existing and planned rail security initiatives undertaken by public and private entities; and a contingency plan developed in conjunction with intercity and commuter passenger railroads to ensure the continued movement of freight and passengers in the event of a terrorist attack. The provision authorizes $5 million for Fiscal Year 2008 to carry out this section.

   The Conference substitute adopts the Senate provision, as modified. The modified provision requires the Secretary to establish a task force to complete a nationwide railroad security risk assessment, including freight, intercity passenger and commuter railroads. The Secretary may make use of the Government Coordinating Council in the establishing of the task force. Based upon this assessment, the Secretary is required to develop a modal plan for railroad security, entitled the ``National Strategy for Railroad Transportation Security,'' which will serve as the general Federal strategy for improving railroad security.

   In completing the assessment and the strategy required by this section, the Conference does not intend for TSA and the Department of Homeland Security to unnecessarily re-do existing assessment and modal plan work, of sufficient quality and relevance, already completed by the agency or other Federal, private or public stakeholders. However, the Conference expects any existing assessments and existing modal plans used to be synthesized into a comprehensive and coherent total assessment and strategy, not simply compiled into a single document. The Conference substitute authorizes $5 million for FY 2008 to carry out this section.

   The Conference notes its frustration with TSA's inability to complete a comprehensive risk assessment and national strategy for the railroad sector. The Conference believes fulfillment of this section to be an absolute priority, so that the results of the assessment may be used to guide the ongoing rail security efforts and the new programs called for in this Conference substitute.

   Section 1512. Railroad Carrier Assessments and Plans

   There is no comparable House provision.

   Section 1421 of the Senate bill requires the Secretary of Homeland Security to establish a task force to complete a risk assessment of freight and passenger rail transportation, develop recommendations for improving rail security based on the risk assessment, and establish plans to address such recommendations.

   The Conference substitute adopts a provision addressing railroad carrier risk assessments based upon elements of Senate Section 1421. The provision would require that railroad carriers assigned to a high-risk tier by the Secretary complete a vulnerability assessment and develop security plans to be approved by the Secretary. In addition, the Secretary would be authorized to establish a program to provide guidance and assistance for undertaking assessments and security plans and a process by which such voluntary assessments and plans may be approved by the Secretary for railroad carriers not assigned to a high-risk tier.

   Section 1513. Railroad Security Assistance

   There is no comparable House provision.

   Section 1424 of the Senate bill authorizes the Secretary of Homeland Security, in consultation with the TSA and other entities, to make grants to freight railroads, the Alaska Railroad, hazardous materials shippers, owners of rail cars used to transport hazardous materials, institutions of higher education, State and local governments, and Amtrak, for full or partial reimbursement of costs incurred to prevent or respond to acts of terrorism, sabotage, or other risks. The Secretary would be required to adopt necessary procedures to ensure that grants made under this section are expended in accordance with the purposes of the Act. The Secretary awards and distributes all grants under this provision, except for grants to Amtrak which the Secretary can award, but the Secretary of Transportation would distribute using the

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well-established DOT grant process which is used to distribute Federal operating and capital grants Amtrak. This section authorizes $100 million for the Department of Homeland Security for each of Fiscal Years 2008 through 2010 to carry out this section. Grants to Amtrak are limited to $45 million over the authorization period and certain grants related to hazardous materials rail security are limited to $80 million in total over the authorization period.

   The Conference substitute adopts a modified version of the Senate provision. The provision establishes a railroad security grant program for railroads that have completed a vulnerability assessment and security plan under Section 1513 of the Conference substitute for a permissible use identified within the section. However, the Secretary has the discretion during the first three years after the date of enactment of the Act, or up until one year after the regulations are issued under section 1513, to award grants based on vulnerability assessments and security plans developed by railroad carriers that do not meet the requirements of Section 1513 if the Secretary finds such assessments and plans sufficient. Additionally, grants can be awarded under this provision to fully or partially fund the assessments and plans required under Section 1513. The Conference includes these provisions to ensure that eligible entities would be authorized to receive grants funds under this section as soon as possible upon enactment of the Conference substitute and so that eligible entities could use grant funds to develop the assessments and plans required under Section 1513 in a timely fashion.

   The Conference substitute assigns the responsibility of awarding and distributing grants to the Secretary, except for grants to Amtrak which the Secretary can award, but which the Secretary of Transportation would distribute using the well-established Department of Transportation grant process to Amtrak. The Secretary of Homeland Security is also required to report to the appropriate Congressional Committees on the feasibility and appropriateness of requiring non-Federal match for grants awarded under this provision.

   The Conference believes the authorization of this grant program is particularly important because little of the existing DHS rail and transit security grant funds have been available to intercity passenger rail security and no grant funds have been made available for freight railroad security.

   Section 1514. System-Wide Amtrak Security Upgrades

   There is no comparable House provision.

   Section 1422 of the Senate bill authorizes the Secretary of Homeland Security, in consultation with the TSA, to make grants to Amtrak for the purposes of upgrading the security of assets, systems and infrastructure; securing tunnels, trains, and stations; hiring additional police officers; expanding emergency preparedness efforts; and for employee security training. The provision also requires that the Secretary of Transportation disburse the grants to Amtrak for projects contained in its system-wide security plan that it is required to develop. The provision authorizes funds to be appropriated for grants under this section for Fiscal Years 2008 through 2010.

   The Conference substitute adopts the Senate provision as modified. The authorization amounts are increased and extended one Fiscal Year to reflect current and anticipated Amtrak security expenditures.

   Section 1515. Fire and Life Safety Improvements.

   There is no comparable House provision.

   Section 1423 of the Senate bill authorizes the Secretary of Transportation to make grants to Amtrak for the purpose of making fire and life-safety improvements to Amtrak tunnels on the Northeast Corridor. This section authorizes $100 million in funding for the Department of Transportation for each of Fiscal Years 2008 through 2011 to make fire and life-safety improvements to the New York/New Jersey tunnels; $10 million for each of Fiscal Years 2008 through 2011 for improvements of the Baltimore & Potomac and Union tunnels in Baltimore, Maryland; and $8 million for each of Fiscal Years 2008 through 2011 for improvements of the Washington, D.C., Union Station tunnels. The Secretary of Transportation is required to approve plans submitted by Amtrak before distributing grants. In addition, the Secretary of Transportation is authorized to consider the feasibility of seeking a financial contribution from other rail carriers towards the cost of the project. This section also authorizes $3 million in FY 2008 for preliminary design of a new railroad tunnel in Baltimore, Maryland.

   The Conference substitute adopts the Senate provision, but with reduced authorization levels to reflect the completion of portions of phase 1 of Amtrak's tunnel fire and life safety projects since the consideration of S.4 by the Senate, and other changes.

   Section 1516. Railroad Carrier Exercises

   Section 101 of the House bill provides grants to fund exercises to strengthen preparedness against risks of terrorism. Sections 301 and 302 of the House bill strengthen the design of the national exercise program to require it to enhance the use and understanding of the Incident Command System (ICS) by requiring that the national exercise program include model exercises for use by State, local and tribal governments. Section 1101 of the House bill requires the Secretary of Homeland Security to establish a program to enhance private sector preparedness for acts of terrorism and other emergencies and disasters, developing and conducting training and exercises to support and evaluate emergency preparedness and response plans and operational procedures.

   There is no comparable Senate provision.

   The Conference substitute adopts a new provision that requires the Secretary to create a security exercises program to test and evaluate the ability of railroads to prevent, prepare for, mitigate against, respond to, and recover from acts of terrorism. The provision also requires that the exercises conducted be tailored to the needs of particular facilities, including accommodations for individuals with disabilities; live, in the case of the most at-risk facilities to a terrorist attack; and coordinated with appropriate officials. The Conference substitute also requires that the Secretary, together with the Secretary of Transportation, ensure that the program consolidates existing railroad security exercises that are administered by the Departments, unless this requirement is waived by the Secretary of Homeland Security.

   The Conference intends for there to be one primary rail security exercises program within the Federal government administered by TSA, but are including the waiver authority to ensure that any Department of Transportation railroad safety or railroad hazardous materials exercises that have a nexus with security are not automatically consolidated into this program. The Conference expects that the consolidation of exercises that primarily relate to safety would only occur with the concurrence of the Secretary of Transportation and the Secretary of Homeland Security.

   Section 1517. Railroad Security Training Program

   There is no comparable House provision.

   Section 1429 of the Senate bill requires the Secretary of Homeland Security, in consultation with the Secretary of Transportation, not later than 1 year after the date of enactment of this Act, to work with law enforcement officials, as well as terrorism and railroad security experts, to develop and issue detailed guidance for a railroad worker security training program to prepare front-line workers for potential security threat conditions. This section also would require railroad carriers to adopt a worker security training program in accordance with the guidance and submit it to the Secretary of Homeland Security for approval. Within one year after the Secretary completes a review of a railroad carriers' training programs, the railroad carrier would be required to complete the training of all front-line employees consistent with the approved program.

   The Conference substitute adopts the Senate provision with modified language that requires the Secretary, in consultation with appropriate parties, to issue regulations for a railroad training program to prepare frontline employees, as defined in section 1501 of the Conference substitute, for potential security threats and conditions. Not later than 90 days after the Secretary issues regulations, each railroad carrier would be required to submit for review and approval a security training program. Each freight and passenger railroad is required to complete training of all employees not later than one year after the Secretary approves its training program. The Secretary is required to review implementation of the training program.

   Section 1518. Railroad Security Research and Development

   There is no comparable House provision.

   Section 1425 of the Senate bill requires the Secretary of Homeland Security to, in conjunction with the Department of Homeland Security's Undersecretary for Science and Technology and the Administrator for TSA, and in consultation with the Secretary of Transportation, carry out a research and development program for the purpose of improving freight and intercity passenger rail security. In carrying out this section, the Secretary of Homeland Security would be required to coordinate with other research and development initiatives at the Department of Transportation. The Secretary also may award research and development grants to certain entities described in this section. This section authorizes $33 million for the DHS for each of Fiscal Years 2008 through 2011 for the Secretary to carry out this section.

   The Conference substitute adopts the Senate provision as modified to extend the authorizations to Fiscal Year 2011, to ensure coordination with other research and development initiatives, and with a provision included to ensure that any activities carried out under this section that could affect privacy, civil liberties or civil rights would receive privacy impact assessments.

   Section 1519. Railroad Tank Car Security Testing

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute adopts a provision that would assess likely methods of a deliberate attack on a railroad tank car transporting toxic-inhalation-hazard materials and the potential impact of such attacks. It requires the Secretary of Homeland Security to conduct certain physical tests as part of the assessment and to submit a report within 30 days of completing the assessment to the appropriate Congressional Committees. The Conference substitute also requires an air dispersion modeling analysis of a rail tank car carrying toxic-inhalation-hazard materials and specifies factors to be

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considered in that analysis, as well as parties to be consulted in conducting such analysis. Further, the substitute directs the Secretary to share the information developed through the analysis and submit a report to the appropriate Congressional Committees within 30 days of completion of all the modeling exercises. In performing the physical testing required under this section, the Conference expects that the Secretary will take into account other Federal agencies and resources with applicable expertise in such matters.

   Section 1520. Railroad Threat Assessments

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute requires the Secretary of Homeland Security to implement a threat assessment screening program for all relevant transportation employees within one year after the date of enactment, including a name-based check for all employees against the consolidated terrorist watch list and an immigration status check, similar to the threat assessment conducted by the U.S. Coast Guard with regard to port workers.

   Section 1521. Railroad Employee Protections

   There is no comparable House provision.

   Section 1430 of the Senate bill updates the existing railroad employee protections statute to protect railroad employees from adverse employment impacts due to whistleblower activities related to rail security. The provision precludes railroad carriers from discharging, or otherwise discriminating against, a railroad employee because the employee, or the employee's representative: provided, caused to be provided, or is about to provide, to the employer or the Federal government information relating to a reasonably perceived threat to security; provided, caused to be provided, or is about to provide testimony before a Federal or State proceeding; or refused to violate or assist in violation of any law or regulation related to rail security.

   The Conference substitute adopts a modified version of the Senate language. It modifies the railroad carrier employee whistleblower provisions and expand the protected acts of employees, including refusals to authorize the use of safety-related equipment, track or structures that are in a hazardous condition. Additionally, the Conference substitute enhances administrative and civil remedies for employees, similar to those in subsection 42121(b) of title 49, United States Code. The language also provides for de novo review of a complaint in Federal District Court if the Department of Labor does not timely issue an order related to the complaint. The Conference substitute also raises the cap on punitive damages that could be awarded under this provision from $20,000 to $250,000.

   The Conference notes that railroad carrier employees must be protected when reporting a safety or security threat or refusing to work when confronted by a hazardous safety or security condition to enhance the oversight measures that improve transparency and accountability of the railroad carriers. The Conference, through this provision, intends to protect covered employees in the course of their ordinary duties. The intent of this provision is to ensure that employees can report their concerns without the fear of possible retaliation or discrimination from employers.

   Section 1522. Security Background Checks of Covered Individuals

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute adopts a provision that would ensure that if the Secretary of Homeland Security issues a rule, regulation or directive requiring private employers to conduct security background checks for railroad workers, that it include a redress process for such workers similar to that provide under the Transportation Worker Identification Credential (TWIC) final rule, as required by 46 U.S.C. 70105 (c). The Secretary is also required to update private employers conducting background checks regarding guidance that has been issued and ensure that any future guidance issued on the topic is consistent with this provision. The Conference substitute requires the Secretary to issue a regulation prohibiting a railroad carrier or contractor or subcontractor to a railroad carrier from knowingly misrepresenting to an employee or other relevant person, including an arbiter involved in a labor arbitration, the scope, application, or meaning of any rules, regulations, directives, or guidance issued by the Secretary related to security background check requirements for covered individuals when conducting a security background check.

   It is not the intent of the Conference that this provision imply that it favors the Department of Homeland Security (DHS) requiring private employers to undertake security background checks. Rather, the Conference intends for the provision to ensure that if such regulations were ever to be promulgated by DHS, that it would contain due process protections similar to those in the TWICE rule would be available for employees. The Conference intends for private employees to retain all rights and authorities afforded them otherwise as private employers.

   Section 1523. Northern Border Railroad Passenger Report

   There is no comparable House provision.

   Section 1428 of the Senate bill requires the Secretary, in consultation with the Transportation Security Administration (TSA), the Secretary of Transportation, heads of other appropriate Federal Departments and Agencies, and Amtrak, within one year after the date of enactment, to submit a report to Congress that contains: a description of the current system for screening passengers and baggage on rail service between the United States and Canada; an assessment of the current program to provide pre-clearance of airline passengers between the United States and Canada; an assessment of the current program to provide pre-clearance of freight railroad traffic between the United States and Canada; information on progress by the Department and other Federal agencies towards finalizing a bilateral protocol with Canada that would provide for pre-clearance of passengers on trains operating between the United States and Canada; a description of legislative, regulatory, budgetary, or policy barriers to providing pre-screened passenger lists for such passengers; a description of the Canadian position with respect to pre-clearance; a draft of any changes to Federal law necessary to allow for pre-screening; and a feasibility analysis of reinstating in-transit inspections onboard international Amtrak trains.

   The Conference substitute adopts the Senate provision and includes language to ensure that any activities carried out under this section that could affect privacy, civil liberties or civil rights will receive privacy impact assessments. The Conference notes the significant delays that routinely plague Amtrak trains due to screening of passenger at or near the U.S.-Canadian border and that these delays both hamper international rail travel and increase costs for Amtrak, and therefore the Federal government. The Conference expects the Secretary of Homeland Security to work, in cooperation with Amtrak and the Canadian Government, to take steps to minimize such delays, as soon as practicable.

   Section 1524. International Railroad Security Program

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute adopts a provision that would require the Secretary of Homeland Security to develop a system to detect both undeclared passengers and contraband entering the United States by railroad, with a primary focus on the detection of nuclear and radiological materials and to submit a report to Congress on its progress. The Secretary, in consultation with the TSA, the Domestic Nuclear Detection Office, and Customs and Border Protection, may take a number of actions authorized by the provision to develop this system.

   Section 1525. Transmission Line Report

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute adopts a provision that would require that the Comptroller General perform the assessment of the security, safety, economic benefits and risks associated with the placement of high-voltage transmission lines along active railroad and other transportation rights of way.

   Section 1526. Railroad Security Enhancements

   There is no comparable House provision.

   Section 1433 of the Senate bill allows police officers employed by a railroad to be deputized to help a second railroad in carrying out enforcement duties on the second railroad. In addition, the provision would require the Secretary of Transportation to write and distribute to States model railroad police commissioning laws to help prevent the problems posed by so-called ``scam railroads.'' ``Scam railroads'' are companies that are organized as railroads in order to obtain police powers but are not actually engaged in the railroad business.

   The Conference substitute adopts the Senate provision as modified to extend the date by which the Secretary of Transportation would be directed to complete the model state legislation.

   Section 1527. Applicability of District of Columbia Law to Certain Amtrak Contracts

   There is no comparable House provision.

   Senate Section 1438 would require that any lease entered into between the National Railroad Passenger Corporation and the State of Maryland be governed by District of Columbia law.

   The Conference substitute adopts the Senate provision.

   Section 1528. Railroad Preemption Clarification

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute adopts a provision that is would to clarify the intent and interpretations of the existing preemption statute and to rectify the Federal court decisions related to the Minot, North Dakota accident that are in conflict with precedent. The modified language restructures 49 U.S.C. §20106 and changes its title from ``National Uniformity of Regulation'' to ``Preemption'' to indicate that the entire section addresses the preemption of State laws related to railroad safety and security.

   Subpart (a) of the Conference substitute is titled ``National Uniformity of Regulation'' and contains the exact text of 49 U.S.C. §20106 as it existed prior to enactment of this Act. It is restructured for clarification purposes; however, the restructuring is not intended to indicate any substantive change in the meaning of the provision.

   Subpart (b) of the Conference substitute provides further clarification of the intention of 49 U.S.C. §20106, as it was enacted in

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the Federal Railroad Safety Act of 1970, to explain what State law causes of action for personal injury, death or property damage are not preempted. It clarifies that 49 U.S.C. §20106 does not preempt State law causes of action where a party has failed to comply with the Federal standard of care established by a regulation or order issued by the Secretary of Transportation or the Secretary of Homeland Security, its own plan or standard that it created pursuant to a regulation or order issued by either of the Secretaries, or a State law, regulation or order that is not incompatible with 49 U.S.C. §20106(a)(2).

   The modified language also contains a retroactivity provision, which clarifies that 49 U.S.C. §20106 applies to all pending State law causes of action arising from activities or events occurring on or after January 18, 2002, the date of the Minot, North Dakota derailment. Finally, this provision indicates that nothing in 49 U.S.C. §20106 creates a Federal cause of action on behalf of an injured party or confers Federal question jurisdiction for such State law causes of action.

   Subtitle C--Over-the-Road Bus and Trucking Security

   Section 1531. Over-the-Road Bus Security Assessments and Plans

   There is no comparable House provision.

   Section 1447 of the Senate bill requires the Secretary of Homeland Security to establish a program within the Transportation Security Administration (TSA) to make grants to private over-the-road bus operators and over-the-road bus terminal operators for the purposes of improving bus security. The provision stipulates that the Secretary may not make grants to over-the-road operators until the operators have submitted security plans and provided additional information that the Secretary may require. Section 1447 also requires the Secretary to undertake a bus security assessment, that would include an assessment of: the existing over-the-road bus security grant program; actions already taken to address identified security issues by both public and private entities and recommendations on whether additional safety and security enforcement actions are needed; whether additional legislation is needed to provide for the security of Americans traveling on over-the-road buses; the economic impact that security upgrades of buses and bus facilities may have on the over-the-road bus transportation industry and its employees; ongoing research and the need for additional research on over-the-road bus security, including engine shut-off mechanisms, chemical and biological weapon detection technology, and the feasibility of compartmentalization of the driver; industry best practices to enhance security; and school bus security, if the Secretary deems it appropriate.

   The Conference substitute requires the Secretary to issue regulations, not later than 18 months after the date of enactment, to require high-risk over-the-road bus operators to conduct vulnerability assessments and develop, submit and implement approved security plans. It allows the Secretary to establish a security program for over-the-road bus operators not assigned to a high-risk tier, including guidance on vulnerability assessments and security plans, and a review process, as appropriate. The Conference substitute also requires the Secretary to provide technical assistance and guidance on components of vulnerability assessments and security plans, in addition to relevant threat information necessary for preparing such assessments and plans. It requires the Secretary to review the vulnerability assessments and security plans not later than 6 months upon receipt, and approve such assessments and plans meeting the established requirements. The Conference substitute requires the Secretary to assign each over-the-road bus operator to a risk based tier and operators may be reassigned by the Secretary based on changes in risk. Finally, it requires that the over-the-road bus operators evaluate the adequacy of the assessments and plans submitted to the Secretary not later than 3 years after the date on which the assessment or plan was submitted, and at least once every five years thereafter.

   Section 1532. Over-the-Road Bus Security Assistance

   There is no comparable House provision.

   Section 1447 of the Senate bill requires the Secretary of Homeland Security to establish a program within TSA to make grants to private over-the-road bus operators and over-the-road bus terminal operators for the purposes of emergency preparedness drills and exercises, protecting high risk assets, counter-terrorism training and other security-related actions. This provision requires the Secretary, in making grants, to take into consideration security measures that over-the-road bus operators have taken since September 11, 2001. The Secretary may not make grants to private operators until the operators have submitted security plans and provided additional information that the Secretary may require. The provision further stipulates that the Secretary must submit a report to Congress and must consult with industry, labor and other groups. This provision authorizes the following funding: $12 million for FY 2008, $25 million for FY 2009, and $25 million for FY 2010. Section 1447 requires the Secretary to select the grant recipients, award, and distribute grants to eligible recipients.

   The Conference substitute adopts the Senate language, with modifications. It requires the Secretary to establish a grant program and stipulates that the funds may be used for one or more of the following: construction and modifying terminals to increase security; modifying over-the-road buses to increase their security; protecting the driver of an over-the-road bus; acquiring or improving equipment to collect, store and exchange passenger and driver information with ticketing systems and for links with government agencies for security purposes; installing cameras and video surveillance equipment; establishing and improving emergency communications systems; implementing and operating passenger screening programs; developing public awareness campaigns for over-the-road bus security; operating and capital costs associated with over-the-road bus security; detection of chemical, biological, radiological or explosives, including the use of canine patrols; overtime reimbursement for security personnel; live or simulated security exercises; operational costs to hire, train and employ security officers; development of assessments or security plans; and other improvements deemed appropriate by the Secretary. The Conference substitute requires the Secretary to select the grant recipients and award the grants, but would require that, within 90 days following the date of enactment, that the Secretary and the Secretary of Transportation jointly determine the most effective and efficient means to distribute grants awarded under this section to grant recipients. Dependent on the result of this determination, one of the two Secretaries would be authorized to distribute the grants awarded under this section.

   The Conference substitute also stipulates eligibility, limitations on uses of funds, annual reports, and consultation with stakeholders. It authorizes $12 million for FY 2008 and $25 million for each of Fiscal Years 2009 through 2011.

   Section 1533. Over-the-Road Bus Exercises

   Section 101 of the House bill provides for grants to fund exercises to strengthen terrorism preparedness. Sections 301 and 302 of the House bill strengthen the design of the National exercise program to require it to enhance the use and understanding of the Incident Command System (ICS) by requiring that the National Exercise Program include model exercises for use by State, local and tribal governments. Section 1101 of the House bill requires the Secretary of Homeland Security to establish a program to enhance private sector preparedness for acts of terrorism and other emergencies and disasters, including the development and the conducting of training and exercises to support and evaluate emergency preparedness, response plans, and operational procedures.

   There is no comparable Senate provision.

   The Conference substitute adopts a provision based on elements of the House provisions that require the Secretary to establish a program for conducting security exercises for over-the-road bus transportation to prevent, prepare for, mitigate, respond to, and recover from acts of terrorism. The program shall include Federal, State, local agencies and tribal governments; over-the-road bus operators and terminal owners and operators; governmental and nongovernmental emergency response providers and law enforcement agencies; and other applicable entities. The program calls for consolidation of existing security exercises administered by the Department of Homeland Security, TSA and the Department of Transportation, as appropriate, and shall be comprised of live exercises tailored to the needs of the recipients, coordinated with appropriate officials, inclusive of over-the-road bus frontline employees, and consistent with the National Incident Management System, the National Response Plan and other related national initiatives, including the National Exercise Program. The exercises shall be evaluated by the Secretary and the ensuing best practices shall be shared with appropriate stakeholders, and used to develop recommendations of appropriate action.

   The Conference intends for there to be one primary over-the-road bus security exercises program within the Federal government administered by TSA, but are including the waiver authority to ensure that any DOT motor carrier safety exercises that have a nexus with security are not automatically consolidated into this program. The Conference expects that the consolidation of exercises that primarily relate to safety would only occur with the concurrence of the Secretary of Transportation and the Secretary of Homeland Security.

   Section 1534. Over-the-Road Bus Security Training Program

   There is no comparable House provision.

   While there is no comparable Senate provision, Section 1447 of the Senate bill provides grants to over-the-road bus operators and over-the-road bus terminal operators and owners for the purposes of improving bus security, including training employees in recognizing and responding to security risks, evacuation procedures, passenger screening procedures, and baggage inspection and hiring and training security officers.

   The Conference substitute adopts a new provision that would require, not later than 6 months after enactment, the Secretary of Homeland Security and TSA to develop and issue regulations for a bus training program to prepare the over-the-road bus frontline employees, as defined in section 1501 of the Conference substitute, for potential security threats and conditions. In developing the regulation, the Secretary shall consult with the appropriate stakeholders including law

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enforcement, over-the-road bus operators, and nonprofit employee labor organizations. The program shall include security training for determining the following, including: the seriousness of an incident or threat; driver and passenger communication; appropriate responses and training related to terrorist incidents; understanding security procedures; operation and maintenance of security equipment. Not later than 90 days upon issuance of the regulations, the over-the-road bus operators shall develop security training programs, which the Secretary shall review not later than 60 days upon receipt. Not later than 1 year after receiving the Secretary's approval of the program, the over-the-road bus operator shall complete the security training of all over-the-road bus frontline employees. The Secretary shall update the training regulations, as appropriate and shall ensure that the program developed is a component of the National Training Program. Not later than 2 years after the issuance of the regulation, the Secretary shall review the program and report to the appropriate Congressional Committees.

   Section 1535. Over-the-Road Bus Security Research and Development

   There is no comparable House provision.

   While there is no comparable Senate provision, Section 1447 of the Senate bill requires the Secretary of Homeland Security to establish a program within TSA to make grants to private over-the-road bus operators and over-the-road bus terminal operators for the purposes of improving bus security. The section also requires the Secretary to undertake a bus security assessment that would include an assessment of ongoing research and the need for additional research on over-the-road bus security, including engine shut-off mechanisms, chemical and biological weapon detection technology, and the feasibility of compartmentalization of the driver.

   The Conference substitute adopts a provision that requires the Secretary, acting through the Under Secretary for Science and Technology and the Administrator of the Transportation Security Administration, to establish a research and development (R&D) program for over-the-road bus security. Eligible R&D projects include the following: reducing the vulnerability to explosives and hazardous chemical, biological and radioactive substances; testing of new emergency response and recovery techniques; developing improved technologies for emergency response training, and security and redundancy for critical communications. The R&D program shall be consistent with other transportation security R&D programs required by the Act, and shall be coordinated with related activities within the DHS as well as DOT, in addition to R&D conducted by additional entities and agencies. The provision permits R&D projects authorized in this section to be enacted through a reimbursable agreement, if necessary, or memoranda of understanding, contracts, grants, cooperative agreements or other applicable transactions. The Conference substitute also requires the Secretary to consult with the Chief Privacy Officer of the Department, and the Officer for Civil Rights and Civil Liberties, who must conduct privacy impact assessments and reviews, respectively and as appropriate, for R&D initiatives that could have an impact on privacy, civil rights or civil liberties. Finally, the provision authorizes $2 million for each of Fiscal Years 2008 through 2011.

   Section 1536. Motor Carrier Employee Protections

   There is no comparable House provision.

   Section 1430 of the Senate bill updates the existing railroad employee protections statute to protect railroad employees from adverse employment impacts due to whistleblower activities related to rail security.

   The Conference substitute adopts a provision related to the Senate provision which expands whistleblower protections to motor carrier, including over-the-road bus, employees. It amends the current motor carrier employee whistleblower provision for safety to include whistleblower protections and increase employee protections related to security. This provision prohibits motor carriers from discriminating against or discharging any employee who reports a safety or security threat, or who refuses to work when confronted by hazardous safety or security conditions. The Conference substitute also provides employees with additional administrative and civil remedies, including de novo review of a complaint in Federal District Court if the Department of Labor does not issue an order related to the complaint in a timely fashion. It authorizes all relief necessary to make a whistleblower whole, including damages, reinstatement with prior seniority status, special damages, and attorneys' fees. Punitive damages are also made available to employees in an amount not exceed $250,000.

   The Conference believes that motor carrier, including over-the-road bus, employees must be protected when reporting a safety or security threat or refusing to work when confronted by hazardous safety or security condition. The Conference, through this provision, intends to protect covered employees in the course of their ordinary duties. The intent of this provision is to ensure that employees can report their concerns without the fear of possible retaliation or discrimination from employers.

   Section 1537. Unified Carrier Registration System Agreement

   There is no comparable House provision.

   Section 1436 of the Senate bill reinstates the Single State Registration System (SSRS) used by some States to levy motor carrier registration fees. This system was repealed pursuant to the Safe, Accountable, Flexible and Efficient Transportation Equity Act--A Legacy for Users (SAFETEA-LU) in the 109th Congress and a new Unified Carrier Registration (UCR) system was required to be developed. However, the Department of Transportation missed the deadlines to implement the new UCR system, meaning the States no longer have the necessary Federal authority to charge motor carriers registration fees. The Senate provisions reinstate the SSRS system until the UCR is implemented and thus provide authority for the States to collect registration fees.

   The Conference substitute adopts a modified version of the Senate provision which will extend the effect of Section 14504 of title 49, U.S. Code, until January 1, 2008 or the effective date of final regulations issued under this section. The provision establishes a deadline of not later than October 1, 2007 for the Federal Motor Carrier Safety Administration (FMCSA) to issue final regulations to establish the Unified Carrier Registration System and set fees for the calendar year 2008 and subsequent calendar years, as required by law. The provision also amends relevant sections of SAFETEA-LU. By enacting this provision, the Conference does not intend that FMCSA should wait until 2008 to enact the Unified Carrier Registration System, in the event that the necessary regulations and fee structure are finalized in 2007. The Conference believes that FMCSA has the authority to set fees for 2007 pursuant to SAFETEA-LU and urges the expeditious enactment of the UCR plan and agreement and system as soon as possible.

   Section 1538. School Bus Transportation Security

   There is no comparable House provision.

   While there is no comparable Senate provision, Section 1447 of the Senate bill requires the Secretary of Homeland Security to establish a program within TSA to make grants to private over-the-road bus operators and over-the-road bus terminal operators for the purposes of improving bus security. The section also requires the Secretary to undertake a bus security assessment that would include an assessment of school bus security, if the Secretary deems it appropriate.

   The Conference substitute expands upon the Senate provision and directs the Secretary to transmit a report to the appropriate Congressional Committees containing a comprehensive assessment of the risk of a terrorist attack on the Nation's school bus transportation system. The report shall include assessments of the following: the security risks to the Nation's publicly and privately operated school bus systems; actions taken by operators to address security risks; and the need for additional actions and investments to improve the security of passengers traveling on school buses. In conducting these assessments, the Secretary shall consult with relevant stakeholders.

   Section 1539. Technical amendment

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute amends subsection 1992(d)(7) of title 18, United States Code, to clarify that a definition includes intercity bus transportation.

   Section 1540. Truck security assessment

   There is no comparable House provision.

   Section 1445 of the Senate bill requires the Secretary, in coordination with the Secretary of Transportation, to transmit a report to Congress on security issues related to the trucking industry.

   The Conference substitute adopts the Senate provision, as modified. The Conference substitute requires the Secretary of Homeland Security, in coordination with the Secretary of Transportation, to issue a report, in either classified or redacted format, or both, within one year that includes an assessment of the security risks to the trucking industry, an assessment of truck security actions already taken by public and private entities, an assessment of the economic impact that security upgrades might have on the trucking industry, an assessment of ongoing security research, an assessment of industry best practices, and an assessment of the current status of secure truck parking.

   Section 1541. Memorandum of Understanding Annex

   There is no comparable House provision.

   Section 1443 of the Senate bill requires an annex to the existing Memorandum of Understanding between the Department of Transportation and the Department of Homeland Security governing the specific roles, delineations of responsibilities, resources and commitments of the two Departments in addressing motor carrier transportation security.

   The Conference substitute adopts the Senate provision with a minor modification to emphasize that motor carrier transportation includes over-the-road bus transportation.

   Section 1542. DHS Inspector General Report on Trucking Security Grant Program

   There is no comparable House provision.

   Section 1453 of the Senate bill requires the Inspector General of the Department to submit a report to Congress within 90 days of enactment on the Trucking Security Grant Program for Fiscal Years 2004 and 2005.

   The Conference substitute adopts the Senate provision, as amended, to require the Inspector General of the Department of Homeland Security to submit an additional report within one year to Congress that analyzes,

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using all years of available data, the performance, efficiency, and effectiveness of, the need for, and recommendations regarding the future of the Trucking Security Grant Program.

   Subtitle D--Hazardous Material and Pipeline Security

   Section 1551. Railroad Routing of Security-Sensitive Materials

   There is no comparable House provision.

   Section 1431 of the Senate bill directs the Secretary of Homeland Security, in consultation with TSA and the Department of Transportation, to require rail carriers transporting high hazard materials to develop security threat mitigation plans, including alternative routing and temporary shipment suspension options, and to address assessed risks to high consequence targets. These threat mitigation plans are to be implemented when the threat levels of the Homeland Security Advisory System are high or severe or specific intelligence of probable or imminent threat exists toward high-consequence rail targets or infrastructure. Within 60 days of enactment of the Act, a list of routes used to transport high hazard materials must be submitted to the Secretary. Within 180 days after receiving the notice of high consequence targets on such routes by the Secretary, each rail carrier must develop and submit a high hazard materials security threat mitigation plan to the Secretary. Any revisions must be submitted to the Secretary within 30 days of the revisions being made. The Secretary, with the assistance of the Secretary of Transportation, is directed to review and transmit comments on the plans to the railroad carrier. A railroad carrier must respond to those comments within 30 days. The plans would be required to be updated by the railroad carrier every two years. This section also defines the following terms: ``high-consequence target,'' ``catastrophic impact zone,'' and ``rail carrier.''

   The Conference substitute adopts a modified version of the Senate provision that requires the Secretary of Transportation, in consultation with the Secretary of Homeland Security, to publish a final rule for the transportation of hazardous materials that would require railroad carriers to compile commodity data of security sensitive materials and analysis of the safety and security risks for transportation routes of security sensitive materials. It also mandates that the final rule require that rail carriers that ship security-sensitive materials identify alternate routes, analyze the safety and security considerations of such alternative routes, and use such routes with the least safety and security risk when transporting security-sensitive materials. The Conference substitute requires that when railroads consider alternative routes, they consider the use of routes with interchange agreements.

   Section 1552. Railroad Security Sensitive Material Tracking

   There is no comparable House provision.

   Section 1435 of the Senate bill requires the Secretary of Homeland Security, in consultation with TSA, to develop a program to encourage the equipping of rail cars transporting high hazard materials with communications technology that provides information concerning car position, depressurization, and the release of hazardous materials. This section also authorizes $3 million in funding for each of Fiscal Years 2008 through 2010 for the Secretary to carry out this section.

   The Conference substitute adopts the Senate language with minor modifications.

   Section 1553. Hazardous Materials Highway Routing

   There is no comparable House provision.

   Section 1442 of the Senate bill requires the Secretary of Transportation, within one year of enactment of the Act, in consultation with the Secretary of Homeland Security, to: document existing and proposed routes for the transportation of radioactive and non-radioactive hazardous materials by motor carrier and develop a framework by using a Geographic Information System-based approach to characterize routes in the National Hazardous Materials Route Registry; assess and characterize existing and proposed routes for the transportation of radioactive and non-radioactive hazardous materials by motor carrier for the purpose of identifying measurable criteria for selecting routes based on safety and security concerns; analyze current route-related hazardous materials regulations in the US, Canada, and Mexico to identify cross-border differences and conflicting regulations; document the concerns of the public, motor carriers, and State, local, territorial, and tribal governments about the highway routing of hazardous materials for the purpose of identifying and mitigating security risks associated with hazardous material routes; prepare guidance materials for State officials to assist them in identifying and reducing both safety concerns and security risks when designating highway routes for hazardous materials; develop a tool that will enable State officials to examine potential routes for the highway transportation of hazardous materials; transmit to the Senate Committee on Commerce, Science, and Transportation, and the House Committee on Transportation and Infrastructure a report on the actions taken to fulfill all the requirements of this section and any recommended changes to the routing requirements for the highway transportation of hazardous materials.

   Under Section 1442, within 1 year of the date of enactment, the Secretary of Transportation would be required to complete an assessment of the safety and national security benefits achieved under existing requirements for route plans for explosives and radioactive materials and shall submit a report to the appropriate Congressional Committees with the findings and conclusions of the assessment. The Secretary of Transportation is also directed to assess, and potentially require, the addition of certain high-hazardous materials to the list of existing hazardous materials that are required to be transported by motor carriers that use highway routing plans.

   The Conference substitute adopts the Senate language with minor modifications.

   Section 1554. Motor Carrier Security-Sensitive Material Tracking

   There is no comparable House provision.

   Section 1442 of the Senate bill requires the Secretary of Homeland Security, through TSA, and in consultation with the Secretary of Transportation, to develop a program to facilitate the equipping of motor carriers transporting high hazard materials with communications technology that provides frequent or continuous communications, vehicle position and location and tracking capabilities, and an emergency broadcast capability. This section authorizes $7 million to carry out this section for each of Fiscal Years 2008 through 2010, of which $3 million per year may be used for equipment and $1 million per year may be used for operations.

   The Conference substitute adopts the Senate language as modified. This section would require that the Secretary of Homeland Security, through the TSA, and in consultation with the Secretary of Transportation, develop a program to facilitate the deployment and use of tracking technologies for motor carrier shipments of certain security-sensitive hazardous materials. It retains the Senate provision authorization level amounts, but does not include the specific set-aside of a $1 million per year that may be used for operations.

   The Conference expects that this program will help expand the use of technology that allows for continuous communication, position location and tracking, and emergency distress signal broadcasting, when such technologies can improve security without being overly burdensome, and that the provision will expand TSA's analysis of other tracking-related security technologies that could be beneficial to the security of hazardous materials truck shipments through the evaluation required under this section.

   Section 1555. Hazardous Materials Security Inspections and Study

   There is no comparable House provision.

   Section 1444 of the Senate bill requires the Secretary of Homeland Security to establish a program within TSA, in consultation with the Secretary of Transportation, for reviewing hazardous materials security plans within one year after the enactment of this Act. Failure by any covered person to comply with part 172, title 49, Code of Federal Regulations, within 180 days after being notified by the Secretary is punishable by a civil penalty. In reviewing compliance with part 172, the Secretary is required to utilize risk assessment methodologies to prioritize review and enforcement actions to the highest risk hazardous materials transportation operations. This section also requires the Secretary of Transportation, within one year, in coordination with the Secretary of Homeland Security, to study to what extent the insurance, security, and safety costs borne by carriers of hazardous materials are reflected in the rates paid by shippers of such commodities, as compared to those for the transportation of non-hazardous materials. Section 1444 authorizes $2 million each of Fiscal Years 2008 through 2010.

   The Conference substitute adopts the Senate provision as modified. It directs the Secretary of Transportation, in consultation with the Secretary of Homeland Security to limit duplicative reviews of hazardous materials security plans required under part 172, title 49, Code of Federal Regulations. The Conference substitute retains the cost study from the original Senate provision.

   Section 1556. Technical Corrections

   There is no comparable House provision.

   Section 1450 of the Senate bill corrects technical errors to section 5103a of title 49, United States Code, by inserting ``Secretary of Homeland Security'' in place of the term ``Secretary''. This section also clarifies that an individual with a valid transportation worker identification card has satisfied the background records check required under 5103a of title 49, United States Code. This section does not preempt State requirements on background checks required to receive a hazardous materials endorsement.

   The Conference substitute adopts the Senate language with minor modifications to clarify the Department of Transportation and the Department of Homeland Security's roles in carrying out section 5103a of title 49, United States Code.

   Section 1557. Pipeline Security Inspections and Enforcement

   There is no comparable House provision.

   Section 1449 of the Senate bill requires the Secretary of Homeland Security, in consultation with the Secretary of Transportation, to establish a program for reviewing pipeline operator adoption of recommendations in the September 5, 2002, Department of Transportation Research and Special Programs Administration Pipeline Security Information Circular, including the review of

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pipeline security plans and critical facility inspections. Section 1449 also requires the Secretary of Homeland Security and the Secretary of Transportation to develop and implement a plan for reviewing pipeline security plans and an inspection of the critical facilities of the 100 most critical pipeline operators covered by the September 5, 2002 Circular. In reviewing pipeline operators, the Secretary of Homeland Security and the Secretary of Transportation shall use risk assessment methodologies to prioritize risks and to target inspection and enforcement actions to the highest risk pipeline assets. The section also requires the Secretary of Homeland Security and the Secretary of Transportation to develop and transmit to pipeline operators security recommendations for natural gas and hazardous liquid pipelines and pipeline facilities. If the Secretary of Homeland Security determines that regulations are appropriate, the regulations must incorporate the guidance provided to pipeline operators in the September 5, 2002 Circular and contain additional requirements as necessary based upon the results of inspections performed under this section. The regulations must also include the imposition of civil penalties for non-compliance. Finally, the provision authorizes appropriations of $2 million for Fiscal Years 2008 and 2009 for a pipeline security inspection and enforcement program.

   The Conference substitute adopts the Senate provision, with modifications to the dates for program implementation, review, and issuance of regulations, an extension of the authorization to Fiscal Year 2010, and other changes.

   With respect to pipelines, the Conference is aware that a portion of these critical facilities have been inspected, and do not expect re-inspections to be performed needlessly. The Conference expects the Secretary of Homeland Security and the Secretary of Transportation to inspect facilities that have not been inspected for security purposes since September 5, 2002, by either the Department of Transportation or the Department of Homeland Security, and to re-inspect those facilities which the Secretaries deem appropriate.

   Section 1558. Pipeline Security and Incident Recovery Plan

   There is no comparable House provision.

   Section 1448 of the Senate bill requires the Secretary of Homeland Security, in consultation with the Secretary of Transportation and the Pipeline and Hazardous Materials Safety Administration (PHMSA), to develop a pipeline security and incident recovery protocols plan. The plan must be developed in accordance with the Memorandum of Understanding Annex executed on August 9, 2006 and take into account actions taken or planned by both private and public entities to address identified pipeline security issues and assess the effective integration of such actions. It also requires the Secretary of Homeland Security to transmit to Congress a report containing the plan, along with an estimate of the private and public sector costs to implement any recommendations.

   The Conference substitute adopts the Senate provision with modifications, including the requirement that the incident recovery protocols plan be developed in accordance with the National Strategy for Transportation Security and Homeland Security Presidential Directive-7, in addition to the pipeline security annex to the Department of Homeland Security-Department of Transportation Memorandum of Understanding. Language was also added to require that the incident recovery protocol plan address the restoration of essential services supporting pipelines, such as electrical service.

   TITLE XVI--AVIATION SECURITY

   Section 1601. Airport Checkpoint Screening Fund

   Section 403 of the House bill establishes an airport checkpoint screening fund to be funded in Fiscal Year 2008 with $250 million and expanded until exhausted for the procurement of explosives detection equipment at security checkpoints. These funds would be derived from the current Transportation Security Administration (TSA) security fee.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified. It provides the TSA Administrator with the authority to expend funds in FY 2008 for the purchase, deployment, installation, research, and development of equipment to improve security screening for explosives at commercial airport checkpoints.

   The National Commission on Terrorist Attacks Upon the United States (the 9/11 Commission) asserted that while more advanced screening technology is being developed, Congress should provide funding for, and TSA should move as expeditiously as possible to support, the installation of explosives detection trace portals or other applicable technologies at more of the nation's commercial airports. Advanced technologies, such as the use of non-intrusive imaging, have been evaluated by TSA over the last few years and have demonstrated that they can provide significant improvements in threat detection at airport passenger screening checkpoints for both carry-on baggage and the screening of passengers.

   The Conference urges TSA to deploy such technologies quickly and broadly to address security shortcomings at passenger screening checkpoints. The Conference believes the best way to provide for the research and development of technologies and techniques that would prevent explosives from being placed onto passenger aircraft is to pilot these technologies at a diverse group of airports. The Conference directs the Secretary of Homeland Security (the Secretary) to give priority for these pilot projects to airports that have demonstrated their expertise as pilot sites and that have been selected by the TSA as ``model airports'' for the deployment of technology to detect explosives.

   Section 1602. Screening of Cargo Carried Aboard Passenger Aircraft

   Section 406 of the House bill requires 100 percent of cargo carried on passenger aircraft to be inspected no later than 3 years after the date of enactment. At a minimum, the inspection of such cargo should provide a level of security equivalent to the inspection of passenger checked baggage. The provision requires that the percent of such cargo that should meet these screening standards should be 35 percent by the end of Fiscal Year 2007, 65 percent by the end of Fiscal Year 2008, and 100 percent by the end of Fiscal Year 2009. The Secretary may issue an interim final rule (IFR) but must issue a final rule not later than one year after the IFR. After the system becomes operational, TSA is required to report to Congress, within 1 year, detailing the operations; and within 120 days, report on exemptions permitted under the system. The report on exemptions must also be provided to the Government Accountability Office (GAO) which must provide an assessment of such exemptions to Congress within 120 days of receiving the report.

   Section 1462 of the Senate bill requires TSA to develop and implement a system, within 3 years of the date of enactment, to provide for the screening of all cargo being carried on passenger aircraft. The Secretary may issue an interim final rule (IFR) but must issue a final rule not later than one year after the IFR. After the system becomes operational, the TSA is required to report to Congress, within 1 year, detailing the operations and, within 180 days, assessing exemptions permitted under the system. The report on exemptions must also be provided to GAO which must provide an assessment of such exemptions to Congress within 120 days of receiving the report.

   The Conference substitute adopts a combination of the House and Senate provisions, as modified. It requires minimum standards for the screening of cargo on commercial passenger aircraft that must be commensurate with the level of screening for passenger checked baggage. The Conference substitute includes one benchmark; 50 percent of cargo on commercial passenger aircraft must be screened in 18 months and 100 percent screening achieved in the three years following the date enactment of the legislation. The Conference considers that if TSA were unable to meet the first benchmark, TSA would be required to give classified briefings, on a periodic and to be determined frequency, to the Senate Committee on Commerce, Science and Transportation and to the House Committee on Homeland Security, to explain the status of TSA's ability to maximize the screening of cargo on commercial personal aircraft without causing negative repercussions on the flow of commerce.

   The Conference substitute also defines the term ``screening'' in order to clarify the requirements of the section and the methods of screening the TSA Administrator is permitted to use to screen cargo on commercial aircraft. The Conference notes that the use of the phrase ``physical search together with manifest verification'' denotes one method of screening, separate and apart from the other methods listed in this subsection, such as X-ray systems, etc. The Conference is also concerned about TSA using data checks of cargo or shippers, including a review of information about the contents of the cargo or verifying the identity of a shipper through a database, such as the Known Shipper database, as a single factor in determining whether cargo poses a threat to transportation security. The Conference substitute, therefore, requires that if such data checks are used, they must be paired with an additional physical or non-intrusive screening method approved by TSA that examines the cargo's contents.

   If TSA does not submit a final rule to implement this program within one year after an interim final rule becomes effective, the Department of Homeland Security (the Department or DHS) will be required to submit status reports to the relevant Congressional Committees every 30 days until a final rule is issued. After the system becomes operational, TSA is required to report to Congress, within 1 year, detailing the operations and, within 120 days, report on exemptions permitted under the system. The report on exemptions must also be provided to GAO which must provide an assessment of such exemptions to Congress within 120 days of receiving the report.

   The Conference believes that TSA should consider establishing a system whereby aviation ground service providers that perform cargo security screening services for passenger aircraft, are compensated for costs incurred as a result of increased cargo security requirements.

   Section 1603. In-Line Baggage Screening

   Section 401 of the House bill requires the submission of an overdue cost-sharing study on in-line explosive detection systems (EDS) installation within 30 days of enactment, along with the Secretary's analysis of the study, a list of provisions the Secretary intends to implement, and a plan and schedule for implementation.

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   Section 1465 of the Senate bill authorizes $450 million in discretionary funds for Fiscal Years 2008 through 2011 to fund the installation of in-line EDS at U.S. airports at a level approximate to the TSA's strategic plan for the deployment of such systems. It also requires the submission of an overdue cost-sharing study on in-line EDS installation within 30 days of enactment.

   The Conference substitute adopts a combination of the House and Senate provisions, as modified. It authorizes funding through Fiscal Year 2028. It further requires the submission of a cost sharing study and an analysis of the study by the DHS Secretary within 60 days of enactment of the legislation.

   Section 1604. In-Line Baggage System Deployment

   There is no comparable House provision.

   Section 1466 of the Senate bill mandates, through Fiscal Year 2028, the annual dedication of $250 million of the amounts currently collected in aviation security fees to the Aviation Security Capital Fund for the installation of in-line electronic screening systems for the enhanced screening of checked baggage at airports. The provision also bolsters the existing Letter of Intent (LOI) program, through changes in funding allocation requirements and requiring the creation of a prioritization schedule for planned projects.

   The Conference substitute adopts the Senate provision, as modified to require annual dedication, through Fiscal Year 2028, of $250 million of the amounts currently collected in aviation security fees to the Aviation Security Capital Fund for the installation of in-line electronic screening systems for the enhanced screening of checked baggage at airports. Four-fifths of the annual allotment--not less than $200 million--must be committed to the completion of LOIs, while the remaining funds may be distributed in a discretionary manner to fund such projects, in a priority manner, at small and non-hub airports. It also promotes leveraged funding for such projects, and to permit airports that have incurred eligible costs to improve baggage screening at their facilities to pursue reimbursement of such costs from TSA.

   The Conference strongly believes that this program should be managed as outlined in the legislation and that TSA and the Administration must have a 20-year horizon for the LOIs, rather than a limited short-term view which would have detrimental effects on the ability of airports to obtain requisite funding from the financial bond markets. The Conference believes that airports may not renegotiate previously agreed-upon Government contributions, through LOIs, or any other applicable arrangement, for in-line EDS systems.

   Section 1605. Strategic Plan to Test and Implement Advanced Passenger Prescreening System

   Section 409 of the House bill requires the Department, within 90 days of enactment, to submit a strategic plan to Congress that describes the system to be utilized for comparing passenger information to watch lists; explain the integration with international flights; and provide a projected timeline for testing and implementation its advanced passenger prescreening system.

   Section 1472 of the Senate bill requires the Department, within 180 days of enactment, to submit a strategic plan to Congress that describes the system to be utilized for comparing passenger information to watch lists; explains the integration with international flights; and provides a projected timeline for testing and implementation its advanced passenger prescreening system. In addition, the provision requires that a report by the GAO be issued to Congress within 90 days of enactment. This report must describe progress made in implementing Secure Flight; the effectiveness of the appeals process; integration with the international flight pre-screening program operated by Customs and Border Protection (CBP); and other relevant observations.

   The Conference substitute adopts the House and Senate provisions, as modified. The provision would require the Department, in consultation with TSA, to submit a strategic plan to Congress, within 120 days of enactment of the legislation, that includes timelines for testing and implementation of its advanced passenger prescreening system. In addition, a GAO report must be issued to Congress within 180 days to review, inter alia, the implementation of Secure Flight by the Department; the effectiveness of the appeals process; integration with the international flight pre- screening program operated by the CBP.

   Section 1606. Appeal and Redress Process for Passengers Wrongly Delayed or Prohibited from Boarding a Flight

   Section 407 of the House bill directs DHS to create an Office of Appeals and Redress to establish and administer a timely and fair process for airline passengers who believe they have been delayed or prohibited from boarding a passenger flight because they have been misidentified against the ``No-Fly'' or ``Selectee'' watch lists. The Office of Appeals and Redress must establish a presence at each airport to begin the appeals process for those passengers wrongly identified against watch lists.

   Section 1471 of the Senate bill directs DHS to create an Office of Appeals and Redress to establish and administer a timely and fair process for airline passengers who believe they have been delayed or prohibited from boarding a passenger flight because they have been misidentified against the ``No-Fly'' or ``Selectee'' watch lists.

   The Conference substitute combines the House and Senate provisions, as modified. It creates the Office in DHS to ensure an adequate appeal and redress process in place for passenger wrongly identified against watch lists, and to increase privacy protections for individuals. The provision requires Federal employees within DHS handling personally identifiable information (PII) of passengers to complete mandatory privacy and security training. In addition, the provision requires that DHS ensure that airline passengers are able to initiate the redress process at airports with a significant TSA presence.

   Section 1607. Strengthening Explosives Detection at Passenger Screening Checkpoints

   Section 404 of the House bill directs TSA to issue, within 7 days, a strategic plan, as required by the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458), for the deployment of explosives detection equipment at airport checkpoints.

   Section 1470 of the Senate bill directs DHS to issue, within 90 days after enactment, a strategic plan, as required by the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458), for the deployment of explosives detection equipment at airport checkpoints. It also requires TSA to begin full implementation of the strategic plan within 1 year of its submission.

   The Conference substitute adopts a combination of the House and Senate provisions, as modified. It directs DHS, in consultation with TSA, to issue a strategic plan for the deployment of explosives detection equipment at airport checkpoints within 30 days of enactment, and requires the TSA to begin implementation of the plan within 1 year of its submission.

   Section 1608. Research and Development of Aviation Transportation Security Technology

   There is no comparable House provision.

   Section 1467 of the Senate bill extends an authorization for research and development spending for aviation security technology at a level of $50 million through Fiscal Year 2009.

   The Conference substitute adopts the Senate provision, as modified to authorize research and development funding for aviation security technology at a level of $50 million through Fiscal Year 2011.

   Section 1609. Blast-Resistant Cargo Containers

   There is no comparable House provision.

   Section 1463 of the Senate bill requires TSA to develop a system by which the Administrator provides blast-resistant cargo containers to commercial passenger air carriers for use, on a random or risk-assessed basis, as determined by the agency. The cargo containers must be acquired by TSA within 90 days of the agency's completion of development of the system.

   The Conference substitute adopts the Senate provision, as modified. It requires TSA to evaluate and distribute a report to Congress and the air carrier industry that includes the results of its blast resistant cargo container pilot program. After reporting, TSA must develop and implement a program consistent with the results of the evaluation to acquire the necessary blast resistant cargo containers and make them available to air carriers on a risk-assessed basis, as determined appropriate by the Administrator.

   Section 1610. Protection of Passenger Planes from Explosives

   There is no comparable House provision.

   Section 1464 of the Senate bill directs DHS to expedite research and development pilot projects that advance technology to protect passenger planes from the threat of explosive devices. It also requires the establishment of a grant program to fund projects the agency develops through this process, with an authorization for such sums as necessary for Fiscal Year 2008.

   The Conference substitute adopts the Senate provision, as modified. It requires DHS, in consultation with TSA, to develop pilot projects that advance technology for protecting passenger planes from the threat of explosive devices and to establish a grant program to fund projects developed under the program with an authorization for fiscal year 2008.

   Section 1611. Specialized Training

   There is no comparable House provision.

   Section 1469 of the Senate bill requires TSA to provide specialized training to Transportation Security Officers for the development of advanced security skills, including behavior observation, explosives detection and document verification.

   The Conference substitute adopts the Senate provision. It requires TSA to provide specialized training to Transportation Security Officers for the development of advanced security skills, including behavior observation, explosives detection and document verification, to enhance the effectiveness of layered transportation security measures.

   Section 1612. Certain TSA Personnel Limitation not to Apply

   There is no comparable House provision.

   To ensure that the agency is properly staffed at a level necessary to screen travelers as air passenger traffic numbers continue to increase, Section 1468 of the Senate bill removes the arbitrary hiring cap on Transportation Security Officers of 45,000 full-time equivalent (FTE) employees that is currently imposed on the TSA's screener workforce.

   The Conference substitute adopts the Senate provision. It removes the arbitrary screener cap of 45,000 full-time equivalent (FTE) employees that is currently imposed

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on the TSA's screener workforce so that the agency will be properly staffed at a level necessary to screen travelers as air passenger traffic numbers continue to increase.

   Section 1613. Pilot Project to Test Different Technologies at Airport Exit Lanes

   There is no comparable House provision. Section 1479 of the Senate bill establishes a pilot program to test new technologies for reducing the number of TSA employees at airport exit lanes, and requires the TSA Administrator to brief Congressional Committees, within 180 days, on the program, and provide a final report within 1 year.

   The Conference substitute adopts the Senate provision, as modified. It directs TSA to conduct a pilot project, at no more than two airports, to identify technologies to improve security at airport exit lanes. The pilot program must ensure that the level of safety remains at, or above, the existing level of security at airports where the pilot program is initiated. TSA must brief appropriate Congressional Committees on the pilot program within 180 days of enactment on the pilot program, and provide a report on the program to those Committees within 18 months of the program's implementation. The provision also stipulates that this section shall be executed using existing funds.

   Section 1614. Security Credentials for Airline Crews

   There is no comparable House provision.

   Section 1475 of the Senate bill mandates a report to Congress, within 180 days of enactment, on the status of efforts to institute a sterile area access system that will grant flight deck and cabin crews expedited access to secure areas through screening checkpoints. The report must include recommendations to implement the program for the domestic aviation industry within 1 year after the report is submitted, and fully deploy the system within 1 year of the report's submission.

   The Conference substitute adopts the Senate provision, as modified. It requires a report to Congress, within 180 days of enactment of the Act, on the status of efforts to institute a sterile area access system that will grant flight deck and cabin crews expedited access to secure areas through screening checkpoints. The report must include recommendations to implement the program for the domestic aviation industry within one year after the report is submitted, and fully deploy the system within one year of the report's submission. In addition, the provision lists the appropriate Committees of jurisdiction in the provision's reporting requirements.

   Section 1615. Law Enforcement Officer Biometric Credential

   There is no comparable House provision.

   Section 1477 of the Senate bill requires a credential or system that incorporates biometric and other applicable technologies to verify the identity of law enforcement officers seeking to carry a weapon on board an aircraft.

   The Conference substitute adopts the Senate provision, as modified. It establishes, within 18 months of enactment, of a Federally managed, national registered armed law enforcement program for armed law enforcement officers traveling by commercial aircraft. It also requires that a report be submitted to Congress within 180 days of the program's implementation or a report explaining to Congress why the program has not been implemented with a further report every 90 days until the program becomes operational.

   Section 1616. Repair Station Security

   There is no comparable House provision.

   Section 1473 of the Senate bill mandates that security rules be put in place at foreign aviation repair stations, within 90 days of passage of the Act, and that once security rules are established, each repair station be reviewed and audited within a 6-month period. If no action is taken within 90 days, the Administration will be prohibited from certifying any further foreign repair stations until such regulations are in place.

   The Conference substitute adopts the Senate provision, as modified. It requires that security rules be put in place at foreign aviation repair stations within 1 year of passage and that any security rules established be reviewed and audited within a 6 month period. If no action is taken within 1 year, the Administration will be prohibited from certifying any foreign repair stations that are not presently certified or in the process of certification until such regulations are in place.

   Section 1617. General Aviation Security

   There is no comparable House provision.

   Section 1474 of the Senate bill requires TSA to develop a standardized threat and vulnerability assessment program for general aviation (GA) airports within 1 year, and create a program to perform such assessments at GA airports in the United States on a risk-assessed basis. TSA must also study the feasibility of a grant program for GA airport operators to fund key projects to upgrade security at such facilities, and establish that program if feasible. It further requires TSA to develop a program, within 6 months, under which foreign registered GA aircraft must submit passenger information to TSA to be checked against appropriate watch list databases prior to entering the United States.

   The Conference substitute adopts the Senate provision. It requires TSA to develop a standardized threat and vulnerability assessment program for GA airports within one year, and create a program to perform such assessments at GA airports in the United States on a risk-assessed basis.

   TSA must also study the feasibility of a grant program for GA airport operators to fund key projects to upgrade security at such facilities, and establish that program if feasible. The provision requires TSA to develop a program, within six months, under which GA aircraft originating from a foreign location must submit passenger information to TSA to be checked against appropriate watch list databases prior to entering the United States.

   Section 1618. Extension of Authorization for Aviation Security Funding.

   Section 405 of the House bill provides an extension for aviation security funding through Fiscal Year 2011.

   Section 1461 of the Senate bill provides an extension for aviation security funding through Fiscal Year 2009.

   The Conference substitute combines the House and Senate provisions, as modified to extend aviation security funding through Fiscal Year 2011, corresponding to the time limits and other authorizations within the bill.

   TITLE XVII--MARITIME CARGO

   Section 1701. Container Scanning and Seals

   Section 501 of the House bill prohibits a container from entering the United States unless the container is scanned and secured with a seal that uses the best available technology, including technology to detect any breach of the container and record the time of that breach. The Secretary of Homeland Security (the Secretary) must establish standards for scanning and sealing containers, and must review and revise those standards at least once every two years. This section requires all countries (those exporting 75,000 or more twenty-foot equivalent units (TEU)) scan and seal containers within three years of the date of enactment. All other countries must scan and seal container within five years. The Secretary may extend the deadline for a port by one year.

   Section 905 of the Senate bill amends Section 232 of the SAFE Port Act of 2006 to require the Secretary develop a plan, which includes benchmarks, for scanning 100 percent of the containers destined for the United States using integrated scanning systems developed in the pilot program authorized in that section. It also requires that the plan incorporate existing programs, such as the Container Security Initiative and the Customs-Trade Partnership Against Terrorism.

   The Conference substitute adopts the House provision, as modified. This provision amends Section 232 of the SAFE Port Act of 2006 to require full-scale implementation of the 100 percent scanning system pilot program required by that section no later than July 1, 2012. However, the Secretary is authorized to extend the deadline by two years, and may renew the extension in additional two-year increments, if the Secretary certifies to Congress that particular conditions can not be met. The provision provides a waiver for U.S. and foreign military cargo. It also requires the Secretary consult with other appropriate Federal agencies to ensure that actions taken under this section do not violate international trade obligations.

   This substitute also amends section 204(a)(4) of the SAFE Port Act by requiring the Secretary to issue an interim rule to establish minimum standards and procedures for securing containers in transit to the United States not later than April 1, 2008. If the Secretary fails to meet that deadline, this section requires that effective October 15, 2008, and until such interim rule is issued, all containers in transit to the United States shall be required to meet the requirements of International Organization for Standardization Publicly Available Specification 17712 standard for sealing containers.

   The Conference expects the Secretary to work with the Secretary of State, the United States Trade Representative, and other appropriate Federal officials to work with our international partners and international organizations such as the World Customs Organization to establish an international framework for scanning and securing containers.

   The Conference is aware that the Department of Energy (DOE) has inherent capabilities to assess, through its cooperative agreements with numerous countries and port authorities, the adequacy of technical and operating procedures for cargo container scanning. To ensure smooth continuation of DOE's cooperative relationships with numerous countries and the further expansion of the Megavolts Second Line of Defense (SLEDDED) programs, the Conference expects that DHS and DOE shall closely coordinate their activities and consult prior to the establishment of technological or operational standards by the Secretary of Homeland Security. As part of the coordination requirement in this section, the Conference expects that where the scanning technology standards affect the DOE's Megavolts and SLEDDED programs, the Secretary shall invite the DOE to participate in the development and final review of such standards, and the Secretary of Homeland Security shall seek the concurrence of the Secretary of Energy.

   TITLE XVIII--PREVENTING WEAPONS OF MASS DESTRUCTION PROLIFERATION AND TERRORISM

   Section 1801. Findings

   Section 1201 of the House bill contains findings and recommendations of the 9/11 Commission.

   There is no comparable Senate provision.

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   The Conference substitute adopts the House provision with respect to the recommendations of the 9/11 Commission.

   The Conference notes that in late 2005 the members of the 9/11 Commission also made the following determinations: (1) The United States Government has made insufficient progress, and deserves a grade ``D'', on efforts to prevent weapons of mass destruction (W.D.) proliferation and terrorism. (2) The Cooperative Threat Reduction (CAR) Program has made significant accomplishments but much remains to be done to secure weapons-grade nuclear materials. The size of the problem still dwarfs the policy response. Nuclear materials in the Former Soviet Union still lack effective security protection, and sites throughout the world contain enough highly-enriched uranium to fashion a nuclear device but lack even basic security features. (3) Preventing the proliferation of W.D. and acquisition of such weapons by terrorists warrants a maximum effort, by strengthening counter-proliferation efforts, expanding the Proliferation Security Initiative (PSI), and supporting the CAR Program. (4) Preventing terrorists from gaining access to W.D. must be an urgent national security priority because of the threat such access poses to the American people. The President should develop a comprehensive plan to dramatically accelerate the timetable for securing all nuclear weapons-usable material around the world and request the necessary resources to complete this task. The President should publicly make this goal his top national security priority and ensure its fulfillment. (5) Congress should provide the resources needed to secure vulnerable materials as quickly as possible.

   Section 1802. Definitions

   Section 1202 of the House bill defines terms used throughout Title XII of the House bill.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, with an amendment to clarify the term ``items of proliferation concern'' and makes a further clarifying change.

   Section 1811. Repeal and Modifications of Limitations on Assistance for Prevention of Weapons of Mass Destruction Proliferation and Terrorism

   Section 1211 of the House bill repeals and modifies various conditions on assistance to former Soviet States under the Department of Defense Cooperative Threat Reduction (CAR) Program and the Department of Energy Defense Nuclear Nonproliferation programs. Section 1211 would also repeal the cap on Department of Defense CAR program assistance outside the former Soviet Union, with respect to prior year funds, as well as Department of Energy nonproliferation program assistance outside the former Soviet Union, while increasing oversight of such programs.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, with an amendment that removes the repeal and modification of various conditions on assistance to States outside the former Soviet Union under the Department of Energy nonproliferation programs; removes the repeal of the funding cap on Department of Defense CAR assistance outside the former Soviet Union; and makes a clarifying change.

   The Conference notes that substitute is consistent with the recommendations of the 9/11 Commission regarding the need to expand, improve, and otherwise fully support the Department of Defense CAR Program and other efforts to prevent weapons of mass destruction proliferation and terrorism.

   The Conference further notes that the National Defense Authorization Act for Fiscal Year 2008, as passed by the House of Representatives (Report 110-146, May 11, 2007) and the National Defense Authorization Act for Fiscal Year 2008, as reported by the Senate Armed Services Committee (Report 110-77, June 5, 2007) both address the matters contained in this provision, including the funding cap on Department of Defense CAR assistance outside the former Soviet Union, and the Conferees expect that any final national defense authorization act for Fiscal Year 2008, as enacted, will further address these matters.

   Section 1821. Proliferation Security Initiative Improvements and Authorities

   Section 1221 of the House bill expresses the sense of Congress that, consistent with the recommendations of the 9/11 Commission, the President should strive to expand and strengthen the Proliferation Security Initiative (PSI). Section 1221 also requires the Secretary of Defense, in coordination with the Secretary of State and the head of any other Federal Department or Agency involved with PSI-related activities, to submit to the Congressional defense Committees a defined budget for the PSI, beginning with the Department of Defense budget submission for fiscal year 2009. Section 1221 further requires the President to submit to the relevant Congressional Committees, not later than 180 days after the enactment of H.R.1, as passed by the House of Representatives (H.R.1 EH, January 9, 2007), a report on the implementation of section 1221, including steps taken to implement the recommendations of the Government Accountability Office (GAO) in the September 2006 Report titled ``Better Controls Needed to Plan and Manage Proliferation Security Initiative Activities''. Section 1221 also directs GAO to submit to Congress, beginning in fiscal year 2008, an annual report on its assessment of the progress and effectiveness of the PSI.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, with an amendment that narrows the scope of the sense of Congress; clarifies the annual budget submission; requires each budget submission to be accompanied by a report on PSI funding and activities; changes the GAO report to a biannual report for 2007, 2009 and 2011; and makes clarifying and technical changes.

   The Conference recognizes that the annual budget request and the accompanying report for the PSI, required by the substitute, may not be fully inclusive of all funding required for PSI-related activities during the fiscal year for the budget request given unknown PSI-related activities that may arise throughout the fiscal year. However, the Conference expects the budget request and accompanying report to include all reasonably known obligations, costs and expenditures for PSI-related activities for the fiscal year of the budget request.

   The Conference believes that in order to effectively expand and strengthen the PSI, the United States should work with the international community to strengthen the PSI under international law and other international legal authorities. It is important for the United States and other PSI partners to seek greater international recognition of the need to conduct PSI-related activities within certain international areas, so that international waters and airspace do not become ``transit sanctuaries'' for countries, terrorist organizations, and unscrupulous businesses and individuals seeking to transfer items of proliferation concern. One promising avenue could be to encourage the U.N.'s ``1540 Committee,'' which is charged with monitoring international compliance with United Nations Security Council Resolution 1540 promoting nonproliferation, to recognize and endorse the need and ability of PSI partners to monitor and, in appropriate circumstances, interdict such shipments.

   Section 1822. Authority to Provide Assistance to Cooperative Countries

   Section 1222 of the House bill authorizes the President to, notwithstanding any other provision of law, provide Foreign Military Financing, International Military Education and Training, and draw down of excess defense articles and services to any country, for a maximum of three years, that cooperates with the United States and with other countries allied with the United States to prevent the transport and transshipment of items of proliferation concern in its national territory or airspace or in vessels under its control or registry. Such assistance would be provided to enhance the capability of the recipient country to prevent the transport and transshipment of items of proliferation concern in its national territory or airspace, or in vessels under its control or registry, including through the development of a legal framework in that country, consistent with any international laws or legal authorities governing the PSI, to enhance such capability by criminalizing proliferation, enacting strict export controls, and securing sensitive materials within its borders, and to enhance the ability of the recipient country to cooperate in operations conducted with other participating countries. Such assistance could only be provided in accordance with existing procedures regarding reprogramming notifications under section 634A(a) of the Foreign Assistance Act of 1961. Finally, this section prohibits the transfer of any excess defense vessel or aircraft to a country until reprogramming notice is made, if that country has not agreed that it will support and assist efforts by the United States to interdict items of proliferation concern.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, with an amendment that narrows the authority and adds an exemption to the limitation on an excess vessel or aircraft transfer if such transfer does not involve significant military equipment and the primary use of the vessel or aircraft will be for counter-narcotics, counter-terrorism or counter-proliferation purposes.

   The Conference intends that assistance provided pursuant to this section shall remain subject to all existing law regarding the authorities listed in subsection (b) of this section. Thus, for example, the normal Congressional notification and review procedures will apply, as well as limitations related to human rights or military coups.

   Section 1831. Findings; Statement of Policy

   Section 1231 of the House bill contains findings and a statement of policy regarding assistance to accelerate programs to prevent weapons of mass destruction proliferation and terrorism. Section 1231 emphasizes that it shall be the policy of the United States, consistent with the 9/11 Commission's recommendations, to eliminate any obstacles to timely obligating and executing the full amount of any appropriated funds for threat reduction and nonproliferation programs in order to accelerate and strengthen progress on preventing weapons of mass destruction proliferation and terrorism, and that such policy shall be implemented with concrete measures such as those described in Title XII of H.R. 1, as passed by the House of Representatives (H.R.1 EH, January 9, 2007).

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision with respect to the policy of the United States to eliminate any obstacles to timely obligating and executing the full amount of any appropriated funds for threat reduction and nonproliferation programs,

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and the implementation of such policy with concrete measures.

   The Conference notes that certain U.S. threat reduction and nonproliferation programs have in past years encountered obstacles to timely obligating and executing the full amount of appropriated funds, and have therefore maintained unobligated and uncosted balances. Such obstacles have included lack of effective policy guidance, limits on program scope, practical inefficiencies, lack of cooperation with other countries, and lack of effective leadership to overcome such obstacles. The Conference also notes that although currently most Department of Defense Cooperative Threat Reduction and Department of Energy National Nuclear Security Administration nonproliferation programs are timely obligating and executing appropriated funds, the Department of Defense and the Department of Energy should ensure that this practice continues as such threat reduction and nonproliferation programs are accelerated, expanded and strengthened.

   Section 1832. Authorization of Appropriations for the Department of Defense Cooperative Threat Reduction Program

   Section 1232 of the House bill authorizes to be appropriated to the Department of Defense Cooperative Threat Reduction (CAR) Program such sums as may be necessary for Fiscal Year 2007 for biological weapons proliferation prevention; chemical weapons destruction at Shchuch'ye; and to accelerate, expand and strengthen CAR Program activities.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, with an amendment that changes the fiscal year of the authorization of appropriations to the Department of Defense CAR Program to Fiscal Year 2008; and clarifies that any sums appropriated pursuant to such authorization may not exceed the amounts authorized to be appropriated for such purposes by any national defense authorization act for Fiscal Year 2008.

   The Conference expects that any national defense authorization act for 2008 will authorize specific amounts to be appropriated for the Department of Defense CAR Program for Fiscal Year 2008.

   Section 1833. Authorization of Appropriations for the Department of Energy Programs to Prevent Weapons of Mass Destruction Proliferation and Terrorism

   Section 1233 of the House bill authorizes to be appropriated to the Department of Energy National Nuclear Security Administration such sums as may be necessary for Fiscal Year 2007 nonproliferation programs.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, with an amendment that changes the fiscal year of the authorization of appropriations to Department of Energy National Nuclear Security Administration nonproliferation programs to Fiscal Year 2008; addresses specific purposes for any such authorization of appropriations in report language below; and clarifies that any sums appropriated pursuant to such authorization may not exceed the amounts authorized to be appropriated for such purposes by any national defense authorization act for Fiscal Year 2008.

   The Conference expects that any national defense authorization act for 2008 will authorize specific amounts to be appropriated for Department of Energy National Nuclear Security Administration nonproliferation programs for Fiscal Year 2008.

   The Conference notes that high priority Department of Energy National Nuclear Security Administration nonproliferation programs that could use additional funding include:

   (1) The Global Threat Reduction Initiative (GTRI), for (A) the Russian research reactor fuel return program; (B) conversion of research and test reactors from the use of highly enriched uranium to low-enriched uranium; (C) development of alternative low-enriched uranium fuels; (D) international radiological threat reduction, including security of vulnerable radiological sites, recovery and removal of unsecured radiological sources, and activities to address concerns and recommendations of the Government Accountability Office, in its report of March 13, 2007 titled ``Focusing on the Highest Priority Radiological Sources Could Improve DOE's Efforts to Secure Sources in Foreign Countries''; (E) emerging threats and sensitive nuclear materials not covered by other GTRI programs (``gap material''), including removal and disposal of highly-enriched uranium and plutonium, and development of mobile equipment that enables rapid-response teams to quickly secure and remove nuclear materials and denuclearize comprehensive nuclear weapons programs; and (F) United States radiological threat reduction, including development of alternative materials for radiological sources that could be used in a radiological dispersion device, known as a ``dirty bomb'', and securing and storing excess and unwanted domestic radiological sources within United States borders.

   (2) Nonproliferation and International Security, to be used for (A) technical support to the six-party process on the denuclearization of the Democratic People's Republic of Korea; (B) application and deployment of technologies to detect weapons of mass destruction (W.D.) proliferation and verify W.D. dismantlement; (C) efforts to strengthen nuclear safeguards, including improved safeguards analysis capabilities for the International Atomic Energy Agency and research and development on the next generation of nuclear safeguards, and W.D. export control systems in foreign countries, including technical and other support to the International Atomic Energy Agency's efforts to build the capacity of countries to implement United Nations Security Council Resolution 1540; (D) training of border, customs and other officials in foreign countries to detect and prevent theft or other illicit transfer of W.D. or W.D.-related materials; (E) re-direction of displaced scientists and other personnel with expertise relating to W.D. research and development to sustained civil employment, including in Iraq, Libya and Russia; and (F) activities relating to the Proliferation Security Initiative (PSI) and other W.D. interdiction programs.

   (3) International Materials Protection and Cooperation, to be used for (A) implementation of physical protection and material control and accounting upgrades at sites; (B) national programs and sustainability activities in Russia, including activities to address concerns and recommendations of the Government Accountability Office in its report of February 2007 titled ``Progress Made in Improving Security at Russian Nuclear Sites, but the Long-Term Sustainability of U.S. Funded Security Upgrades is Uncertain''; (C) material consolidation and conversion (including consolidation of excess highly-enriched uranium and plutonium into fewer more secure locations in Russia, and conversion of highly-enriched uranium to low-enriched uranium in Russia); and (D) deployment and support of radiation detection equipment at key ports of transit, and implementation of Department of Energy actions under the Security and Accountability for Every Port Act of 2006 (also known as the SAFE Port Act; Public Law 109-347), under the Second Line of Defense Megavolts program.

   (4) Nonproliferation and Verification Research and Development, to be used for (A) development of technologies to detect and analyze activities relating to the global proliferation of W.D., including plutonium reprocessing, uranium enrichment, and special nuclear material movement; and (B) nuclear explosion monitoring, including improved nuclear material and debris analysis capabilities and research and development on improved domestic and world-wide nuclear material and debris collection capabilities.

   Section 1841. Office of the United States Coordinator for the Prevention of Weapons of Mass Destruction Proliferation and Terrorism

   Section 1241 of the House bill establishes a Presidential Coordinator to improve the effectiveness of United States strategy and policies on weapons of mass destruction (W.D.) nonproliferation and threat reduction programs. The Coordinator's duties would include serving as the principal advisor to the President, formulating a comprehensive and well-coordinated U.S. strategy for preventing W.D. proliferation and terrorism, and coordinating inter-agency action on these matters. The Coordinator would also conduct oversight and evaluation of relevant programs across the government and develop a comprehensive budget for such programs. Section 1241 would also direct the Coordinator to consult regularly with the Commission on the Prevention of W.D. Proliferation and Terrorism, established under House section 1251, and to submit to Congress, for Fiscal Year 2009 and each fiscal year thereafter, an annual report on the strategic plan required under this section.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, with an amendment that strengthens the role of the Coordinator, by providing that the Coordinator may attend and participate in meetings of the National Security Council and the Homeland Security Council. It also makes clarifying and technical changes.

   Section 1842. Sense of Congress on United States-Russia Cooperation and Coordination on the Prevention of Weapons of Mass Destruction Proliferation and Terrorism

   Section 1242 of the House bill expresses a sense of Congress that the President should request the President of the Russian Federation to designate a Russian official having the authorities and responsibilities for preventing weapons of mass destruction (W.D.) proliferation and terrorism, commensurate with those of the U.S. Coordinator for these matters, established under House section 1241, and with whom the U.S. Coordinator would interact.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, with an amendment that expresses a sense of Congress that the President should engage Russia's President in a discussion of the purposes and goals for the establishment of the Office of the United States Coordinator for the Prevention of Weapons of Mass Destruction and Terrorism; the authorities and responsibilities of the U.S. Coordinator; and the importance of strong cooperation between the U.S. Coordinator and a senior Russian official having authorities and responsibilities for preventing W.D. destruction and terrorism, and with whom the U.S. Coordinator would interact.

   Section 1851. Establishment of Commission on the Prevention of Weapons of Mass Destruction Proliferation and Terrorism

   Section 1251 of the House bill establishes a Congressional--Executive Commission on the Prevention of Weapons of Mass Destruction Proliferation and Terrorism.

   There is no comparable Senate provision.

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   The Conference substitute adopts the House provision.

   Section 1852. Purposes of Commission

   Section 1252 of the House bill specifies that the purposes of the commission established in House section 1251 are to assess current United States and international nonproliferation activities and provide a comprehensive strategy and concrete recommendations for such activities.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision.

   Section 1853. Composition of Commission

   Section 1253 of the House bill specifies the composition of the commission established in House Section 1251, including the appointment of co-chairmen of the commission.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, with an amendment that creates one chairman of the commission, rather than co-chairmen, and makes other changes to membership structure. The substitute also specifies qualifications for commission members; and makes clarifying the technical changes.

   Section 1854. Responsibilities of Commission

   Section 1254 of the House bill specifies the responsibilities of the commission established under section 1251, including assessment of United States inter-agency coordination and commitments to international regimes. House Section 1254 also specifies that the commission shall reassess, and where necessary update and expand on, the conclusions and recommendations of the report titled ``A Report Card on the Department of Energy's Nonproliferation Programs with Russia'' of January 2001 (also known as the ``Baker-Cutler Report'').

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision.

   Section 1855. Powers of Commission

   Section 1255 of the House bill specifies the powers and responsibilities of the commission established under section 1251 of that bill.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, with an amendment that authorizes staff for the commission.

   Section 1856. Nonapplicability of Federal Advisory Committee Act

   Section 1256 of the House bill specifies that the Federal Advisory Committee Act (5 U.S.C. App.) shall not apply to the commission established under section 1251.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision.

   Section 1857. Report

   Section 1257 of the House bill requires, not later than 180 days after the appointment of the commission established under section 1251 of that bill, the commission to submit to the President and Congress a final report containing the commission's findings, conclusions and recommendations.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision.

   Section 1858. Termination

   Section 1258 of the House bill requires all authorities relating to the commission established under section 1251 to terminate 60 days after the date on which the commission's final report under House section 1257 is submitted.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision.

   Section 1859. Funding

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute adopts a provision that specifically authorizes such sums as may be necessary for the purposes of the activities of the Commission under this title.

   TITLE XIX--INTERNATIONAL COOPERATION OF ANTITERRORISM TECHNOLOGIES

   Section 1901. Promoting Antiterrorism Capabilities through International Cooperation

   There is no comparable House provision. However, the House has twice passed legislation to establish a Science and Technology Homeland Security International Cooperative Programs Office (Office). Specifically, the House passed H.R. 4942 during the 109th Congress, and H.R. 884, a slightly modified version of H.R. 4942, during the 110th Congress.

   Section 1301 of the Senate bill directs the Department of Homeland Security's (Department) Under Secretary for Science and Technology (S&T) to establish the Science and Technology Homeland Security International Cooperative Programs Office. The purpose of the Office is to facilitate the planning, development, and implementation of international cooperative activities, such as joint research projects, exchange of scientists and engineers, training of personnel, and conferences, in support of homeland security.

   The Conference substitute adopts the Senate provisions, with minor modifications.

   The Conference substitute directs the Under Secretary for S&T to establish an Office to promote cooperation between entities of the United States and its allies in the global war on terrorism for the purpose of engaging in cooperative endeavors focused on the research, development, and commercialization of high-priority technologies intended to detect, prevent, respond to, recover from, and mitigate against acts of terrorism and other high consequence events and to address the homeland security needs of Federal, State, and local governments. The Office, located within the Department's S&T Directorate, is responsible for: promoting cooperative research between the United States and its allies on homeland security technologies; developing strategic priorities for international cooperative activity and addressing them through agreements with foreign entities; facilitating the matching of U.S. entities engaged in homeland security research with appropriate foreign research partners; ensuring funds and resources expended for international cooperative activity are equitably matched; and coordinating the activities of the Office with other relevant Federal agencies. This provision also requires the Office to submit a report every five years to Congress on the S&T Directorate's international cooperative activities.

   This provision also directs the Department to identify critical knowledge and technology gaps, if any, and establish priorities for international cooperative activities to address such gaps. The Department shall coordinate with other appropriate research agencies in order to avoid creating redundant activities. Specifically, it is understood that this new office must coordinate its activities with the Department of State and shall not infringe on the Department of State's role as the agency with primary responsibility within the Executive Branch for coordination and oversight over all major science or science and technology agreements and activities between the United States and foreign countries, in accord with Title V of the Foreign Relations Authorization Act, Fiscal Year 1979. Further, any international agreements that the Department wishes to negotiate and conclude in support of international cooperative activity relating to homeland security would be subject to the Case-Zablocki Act (1 U.S.C. §112b).

   Section 1902. Transparency of Funds

   There is no comparable House provision.

   Section 1302 of the Senate bill requires the Director of the Office of Management and Budget to ensure that all Federal grants expended by the Office are done so in compliance with the Federal Funding Accountability and Transparency Act of 2006 (Public Law 109-282).

   The Conference substitute adopts the Senate provision.

   TITLE XX--INTERNATIONAL IMPLEMENTATION

   Section 2001. Short Title

   The Conference substitute provides that Title XX of the Act may be cited as the ``9/11 Commission International Implementation Act of 2007.''

   Section 2002. Definitions

   Section 1402 of the House bill contains the definitions applicable to Title XIV.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified.

   Section 2011. Findings; Policy

   Section 1411(a) of the House bill contains Congressional findings.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified. It describes the importance of education that teaches tolerance and respect for different beliefs as a key element in eliminating Islamic terrorism. The findings note that the National Commission on Terrorist Attacks Upon the United States concluded that ensuring education opportunity is essential to U.S. efforts to defeat global terrorism and recommended that the United States join other nations in providing funding for building and operating primary and secondary schools in Muslim countries where the Governments of those Countries commit to sensibly investing financial resources in public education. The findings also note that despite Congressional endorsement in the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458), such a program was not established. They also declare that it is United States policy: to work toward the goal of dramatically increasing the availability of modern basic education through public schools in predominantly Muslim countries; to join with other countries in supporting the International Muslim Youth Opportunity Fund; to offer additional incentives to increase the availability of basic education in Arab and predominantly Muslim countries; and to work to prevent financing of education institutions that support radical Islamic fundamentalism.

   Section 2012. International Muslim Youth Opportunity Fund

   Section 1412 of the House bill amends section 7114 of the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458) by establishing an International Muslim Youth Opportunity Fund.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified. It states the purpose is to strengthen the public educational systems in predominantly Muslim countries by authorizing the establishment of an International Muslim Youth Opportunity Fund and providing resources for the Fund to help strengthen the public educational systems in predominantly Muslim countries. The new section authorizes the establishment of an International Muslim Youth Opportunity Fund as either a separate

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fund in the U.S. Treasury or through an international organization or international financial institution; authorizes the Fund to support specific activities, including assistance to enhance modern educational programs; assistance for training and exchange programs for teachers, administrators, and students; assistance targeting primary and secondary students; assistance for development of youth professionals; and other types of assistance such as the translation of foreign books, newspapers, reference guides, and other reading materials into local languages and the construction and equipping of modern community and university libraries; and authorizes such sums as may be necessary for Fiscal Years 2008, 2009 and 2010 to carry out these activities. This subsection also authorizes the President to carry out programs consistent with these objectives under existing authorities, including the Mutual Educational and Cultural Exchange Act. This subsection requires the President to prepare a report to Congress on the United States efforts to assist in the improvement of education opportunities for Muslim children and youths as well as the progress in establishing the International Muslim Youth Opportunity Fund.

   Section 2013. Annual Report to Congress

   Section 1413(a) of the House bill directs the Secretary of State to prepare an annual report.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified. It directs the Secretary of State to prepare an annual report, not later than June 1 of each year until December 31, 2009, on the efforts of predominantly Muslim countries to increase the availability of modern basic education and to close educational institutions that promote religious extremism and terrorism. It also provides the requirements for the annual report.

   Section 2014. Extension of Program to Provide Grants to American Sponsored Schools in Predominantly Muslim Countries

   Section 1414(a) of the House bill extends a program to provide grants to American sponsored schools in predominantly Muslim Countries.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified. It provides findings regarding the pilot program established by section 7113 of the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458). It also states that this program for outstanding students from lower-income and middle-income families in predominantly Muslim countries is being implemented. It also provides for amendments to that section to extend the program for Fiscal Years 2007 and 2008, authorizes such sums as may be necessary for such years, and requires a report in April 2008 about the progress of the program.

   Section 2021. Middle East Foundation

   Section 1421(a) of the House bill deals with the Middle East Foundation.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified. It states the purpose of this section which is to support in the countries of the broader Middle East region, the expansion of civil society, opportunities for political participation of all citizens, protections for internationally recognized human rights; educational reforms; independent media, policies that promote economic opportunities for citizens; the rule of law; and democratic processes of government. It authorizes the Secretary of State to designate an appropriate private, non-profit United States organization as the Middle East Foundation and to provide funding to the Middle East Foundation through the Middle East Partnership Initiative. It also requires the Middle East Foundation to award grants to persons located in the broader Middle East region or working with local partners based in the region to carry out projects that support the purposes specified in subsection (a); and permits the Foundation to make a grant to a Middle Eastern institution of higher education to create a center for public policy. It also establishes the private nature of the Middle East Foundation. It prevents the funds provided to the Foundation from benefitting any officer or employee of the Foundation, except as salary or reasonable compensation for services. It also provides that the Foundation may hold and retain funds provided in this section in interest-bearing accounts. The Conference substitute requires annual independent private audits, permits audits by the Government Accountability Office, and requires audits of the use of funds under this section by the grant recipient. This subsection also directs the Foundation to prepare an annual report on the Foundation's activities and operations, the grants awarded with funds provided under this section, and the financial condition of the Foundation. It defines the geographic scope of this section. It also repeals section 534(k) of Public Law 109-102.

   Section 2031. Advancing United States Interests Through Public Diplomacy

   Section 1431(a) of the House bill deals with advancing U.S. interests through public diplomacy.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified. It contains a finding that the National Commission on Terrorist Attacks Upon the United States stated that the U.S. government initiated some promising initiatives in television and radio broadcasting to the Arab world, Iran, and Afghanistan and that these efforts are beginning to reach larger audiences. It includes a sense of Congress that the United States needs to improve its communication of ideas and information to people in countries with significant Muslim populations, that public diplomacy should reaffirm the United States commitment to democratic principles, and that a significant expansion of United States international broadcasting would provide a cost-effective means of improving communications with significant Muslim populations. It amends the United States International Broadcasting Act of 1994 to include a provision establishing special authority for surge capacity for U.S. international broadcasting activities to support United States foreign policy objectives during a crisis abroad. The provision also authorizes such sums to carry out the surge capacity authority and directs the Broadcasting Board of Governors to provide information on the use of this authority, as part of an existing annual report to the President and Congress.

   Section 2032. Oversight of International Broadcasting

   There is no comparable House provision.

   Section 1913 of the Senate bill requires the Board of Broadcasting Governors to transcribe into English all broadcasts by Voice of America, Radio Free Europe/Radio Liberty, Radio Free Asia, Radio Farad, Radio Saw, Alhurra, and the Office of Cuba Broadcasting.

   The Conference substitute is a narrower version of the Senate provision. It requires the Broadcasting Board of Governors to initiate a pilot project to transcribe into the English language news and information programming broadcast by Radio Farad, Radio Saw, the Persia Service of the Voice of America, and Alhurra. It also provides that this transcription shall consist of random sampling and that the transcripts shall be made available to Congress and the public. In addition, it contains a reporting requirement and authorizes $2 million in appropriations for this pilot project.

   Section 2033. Expansion of United States Scholarship, Exchange, and Library Programs in Predominantly Muslim Countries

   Section 1433(a) of the House bill directs the Secretary of State to prepare a report every 180 days until December 31, 2009, on the recommendations of the National Commission on Terrorist Attacks Upon the United States,

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified. It directs the Secretary of State to prepare a report every 180 days until December 31, 2009, on the recommendations of the National Commission on Terrorist Attacks Upon the United States for expanding U.S. scholarship, exchange, and library programs in predominantly Muslim countries, including a certification by the Secretary of State that such recommendations have been implemented or if a certification cannot be made, what steps have been taken to implement such recommendations. It provides for the termination of the duty to report when the certification pursuant to subsection (a) has been submitted.

   Section 2034. U.S. Policy Toward Detainees

   Section 1434 of the House bill deals with detainees.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified. It provides findings that the 9/11 Commission recommended that the United States develop a common coalition approach toward detention and humane treatment of captured terrorists, that a number of U.S. allies are conducting investigations related to treatment of detainees and the Secretary of State has launched an initiative to address the differences between the United States and its allies. It expresses the sense of Congress that the Secretary of State should continue to build on the efforts to engage U.S. allies in compliance with Common Article 3 of the Geneva Conventions and other applicable legal principles, toward the detention and humane treatment of individuals detained during Operation Iraqi Freedom, Operation Enduring Freedom, or in connection with United States counterterrorism operations. It also requires that the Secretary keep the appropriate Congressional Committees fully informed of the developments of these discussions and requires a report on the progress made 180 days after enactment of this Act.

   Section 2041. Afghanistan

   Section 1441 of the House bill relates to Afghanistan.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified. It describes Congressional findings, including that a democratic, stable, and prosperous Afghanistan is vital to the national security of the United States and to combating international terrorism; that following the ouster of the Taliban regime in 2001, the Government of Afghanistan has achieved some notable successes; that there continue to be factors that pose a serious and immediate threat to the stability of Afghanistan; and that the United States and the international community must significantly increase political, economic, and military support to Afghanistan to ensure its long-term stability and prosperity, and to deny violent extremist groups such as al Qaeda sanctuary in Afghanistan. It declares that it is the United

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States policy to vigorously support the Government and people of Afghanistan with assistance and training, particularly in strengthening government institutions, as they continue to commit to the path toward a government representing and protecting the rights of all Afghans.

   Moreover, the Conference substitute declares that the United States shall maintain its long-term commitment to the people of Afghanistan by increased assistance and the continued deployment of United States troops in Afghanistan. This section also states that the President shall engage aggressively with the Government of Afghanistan and NATO to explore all additional options for addressing the narcotics crisis in Afghanistan, including considering whether NATO forces should change their rules of engagement regarding counter-narcotics operations. In addition, this subsection declares that the United States shall continue to foster greater understanding and cooperation between the Governments of Afghanistan and Pakistan. This provision makes it a statement of Congress that the Afghanistan Freedom Support Act of 2002 be reauthorized and updated. It also directs the President to make increased effort to improve the capability and effectiveness of police training programs, including, if appropriate, by dramatically increasing the numbers of United States and international police trainers, mentors, and police personnel operating with Afghan civil security forces and shall increase efforts to assist the Government of Afghanistan in addressing corruption; and directs the President to submit a report on the United States efforts to fulfill the requirements in this subsection.

   Section 2042. Pakistan

   Section 1442 of the House bill relates to Pakistan's commitment to fighting terrorism.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified. It contains Congressional findings describing the Government of Pakistan's commitment to combating international terrorism and the critical issues threatening to disrupt the relationship between the United States and Pakistan, undermine international security, and destabilize Pakistan. The findings also describe the publicly stated goals of Pakistan and their close agreement with the national interests of the United States and the opportunity for a shared effort in achieving correlative goals. This provision also declares that it is the policy of the United States to work with the Government of Pakistan to maintain its long-term strategic relationship; to combat international terrorism; to end the use of Pakistan as a safe haven for forces associated with the Taliban; to dramatically increase funding for programs of the U.S. Agency for International Development and the Department of State; to work with the international community to secure additional financial and political support to assist the Government of Pakistan in building a moderate, democratic State; to facilitate greater cooperation between the Governments of Afghanistan and Pakistan; and to work with the Government of Pakistan to prevent the proliferation of nuclear technology.

   The Conference substitute requires the President to submit a report on the long-term strategy of the United States to engage with the Government of Pakistan to address curbing the proliferation of nuclear weapons technology, combating poverty and corruption, building effective government institutions, promoting democracy and the rule of law, addressing the continued presence of the Taliban and other violent extremist forces throughout the country, and effectively dealing with Islamic extremism. This section also prohibits the provision of United States security assistance to Pakistan for Fiscal Year 2008 until the President determines that the Government of Pakistan is committed to eliminating the Taliban from operating in areas under its sovereign control, is undertaking a comprehensive campaign to accomplish this goal, and is making demonstrated, significant, and sustained progress towards eliminating support or safe haven for terrorists, and requires the President to submit a justification for any such determination made.

   Moreover, the Conference substitute provides a sense of Congress that the national security interest of the United States will best be served if the United States develops and implements a long- term strategy to improve the United States relationship with Pakistan and works with Pakistan to stop nuclear proliferation. It also authorizes such sums as may be necessary for assistance for Pakistan in various different accounts. This subsection also states that the determination of the level of funds authorized to be appropriated be determined by the degree to which the Government of Pakistan makes progress in preventing terrorist organizations from operating in Pakistan and in implementing democratic reforms and respecting the independence of the press and the judiciary. In addition, it requires a report to be submitted by the Secretary of State describing the degree to which such progress has been made. It also extends waivers of foreign assistance restrictions with respect to Pakistan through the end of Fiscal Year 2008 and includes a sense of Congress that extensions of these waivers beyond Fiscal Year 2008 should be informed by whether Pakistan makes progress in rule of law and other democratic reforms and whether it holds a successful parliamentary election.

   Section 2043. Saudi Arabia

   Section 1443 of the House bill contains Congressional findings that the Kingdom of Saudi Arabia.

   There is no comparable Senate provision.

   The Conference substitute adopts the House provision, as modified. It contains Congressional findings that the Kingdom of Saudi Arabia's record in the fight against terrorism has been uneven and that the United States has a national security interest in working with the Government of Saudi Arabia to combat international terrorists. This section also expresses a sense of Congress that the Government of Saudi Arabia must undertake a number of political and economic reforms in order to more effectively combat terrorism. In addition, the Conference substitute requires a report on United States long-term strategy to engage with the Saudi Government to facilitate reform, to combat terrorism and to provide an assessment on Saudi progress to becoming a party to the International Convention for the Suppression of the Financing of Terrorism and on the activities and authority of the Saudi Nongovernmental National Commission for Relief and Charity Work Abroad.

   Title XXI--Advancing Democratic Values

   Section 2101. Short Title

   Section 2101 of the Senate bill states that this title may be referred to as the, ``Advance Democratic Values, Address Nondemocratic Countries, and Enhance Democracy Act of 2007,'' or the ``ADVANCE Democracy Act of 2007.''

   There is no comparable House provision.

   The Conference substitute adopts the Senate provision, with an amendment expanding and revising the findings in this section.

   Title XXI, which was title XIX of the Senate bill and has no comparable House provision other than section 1421 of the House bill, comprises the ADVANCE Democracy Act of 2007, which gives statutory standing to the U.S. framework to strengthen and institutionalize U.S. support for the promotion of democratic principles and practices worldwide. Since the President's speech at the National Endowment for Democracy on November 6, 2003, and his second inaugural address on January 20, 2005, the Department of State has been taking steps to strengthen U.S. Government democracy promotion programs. The Conference recognizes that there are already a number of experienced and dedicated career State Department officials who focus their talents and energy on democracy promotion. The Conference believes these efforts could be strengthened by further institutionalizing the focus on the protection of human rights and the promotion of democracy. In this sense, the ADVANCE Democracy Act represents Congressional support for the President's commitment to democracy promotion and the Secretary of State's ongoing efforts to change the State Department through the ``Transformational Diplomacy Initiative.'' The Conference intends that the Act will contribute to making democracy promotion a core element of U.S. foreign policy well beyond the time when the President's term of office has been completed.

   The Conference substitute adopts the Senate provisions, with amendments. The ADVANCE Democracy Act of 2007: (1) establishes new Democratic Liaison Officers and requires the Secretary to identify at least one office responsible for supporting the new officers and providing liaison with both U.S. and foreign non-governmental organizations; (2) endorses long-term strategies for democracy promotion and human rights protection for non-democratic and democratic transition countries; (3) requires the Secretary to continue to enhance training on democracy promotion and human rights protection for members of the Foreign Service and other State Department employees; (4) supports incentives for employees who excel in democracy promotion and human rights protection; (5) encourages Ambassadors and other members of the Foreign Service to reach out to foreign audiences and engage robustly with foreign government officials, media, non-governmental organizations, and students in order to engage in discussions about U.S. foreign policy, in particular democracy and human rights; (6) supports efforts to work on democracy promotion through international institutions, such as the UN Democracy Fund and the Community of Democracies, and in cooperation with other countries.

   The ADVANCE Democracy Act of 2007 represents several years of discussion with outside activists, democracy practitioners, and the Department of State. It seeks to bridge the differences between individuals and non-governmental organizations that focus on the promotion of democracy and those that focus on the protection of human rights. The Conference believes that the work of these two groups of reform advocates is mutually reinforcing.

   Section 2102. Findings

   There is no comparable House provision.

   Section 1902 of the Senate bill contains Congressional findings describing the need to promote democracy throughout the world. The findings note that the development of universal democracy constitutes a long-term challenge that goes through unique phases at different paces in individual countries. It requires reforms that go well beyond the holding of free elections to include, among other institutions, a thriving civil society, a free media, and an independent judiciary. The

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findings state that the development of democracy must be led from within countries themselves. This section also recognizes that democracy and human rights activists are under increasing pressure from authoritarian regimes and, in some cases, the governments of democratic transition countries. While recognizing that individuals, non-governmental organizations, and movements in nondemocratic and democratic transition countries must take the lead in making their own decisions, the findings state that democratic countries have a number of instruments to support such reformers and should cooperate with each other to do so.

   The Conference substitute adopts the Senate provision, with an amendment expanding and revising the findings in this section.

   Section 2103. Statement of Policy

   There is no comparable House provision.

   Section 1903 of the Senate bill declares that it is United States policy: To promote freedom, democracy and human rights as fundamental components of United States foreign policy; to promote democratic institutions, including an independent judiciary, an independent and professional media, strong legislatures and a thriving civil society; to provide appropriate support to individuals, non- governmental organizations, and movements living in nondemocratic countries and democratic transition countries that aspire to live in freedom; to provide political, economic, and other support to foreign countries that are undertaking a transition to democracy; and to strengthen cooperation with other democratic countries in order to better promote and defend shared values and ideals.

   The Conference substitute adopts the Senate provision, with an amendment expanding and revising the statement of policy in this section.

   Section 2104. Definitions

   There is no comparable House provision.

   Section 1904 of the Senate bill provides definitions for use in this title.

   The Conference substitute adopts the Senate provision, with an amendment adding or revising several definitions, particularly by adding a definition of Nondemocratic or Democratic Transition Country.

   Subtitle A--Activities to Enhance the Promotion of Democracy

   Section 2111. Democracy Promotion at the Department of State

   There is no comparable House provision.

   Section 1911 of the Senate bill provides for the establishment of Democracy Liaison Officers. It describes the responsibilities of the Democracy Liaison Officers and indicates that these positions should be in addition to, and not in replacement of, other positions. Section 1911 also provides that nothing in this subsection may be construed as affecting Chief of Mission authority under any provision of law, including the President's direction to Chiefs of Mission in the exercise of the President's constitutional responsibilities.

   The Conference report adopts the Senate provision, with an amendment.

   In addition to the Democracy Liaison Officers described above, the Conference substitute requires that the Secretary of State identify at least one office in the Bureau of Democracy, Human Rights, and Labor (DRL) responsible for working with democratic movements and facilitating the transition of countries to democracy, including having at least one employee in each office specifically responsible for working with such movements. This section provides for the identification of such an office; describes the responsibilities of the Assistant Secretary for DRL in this regard, which may be exercised through this office; and provides that the Assistant Secretary shall identify officers or employees in DRL that shall have expertise in and responsibility for working with non-governmental organizations, individuals and movements that are committed to the peaceful promotion of democracy.

   The Conference substitute also describes actions that Chiefs of Missions should take to promote democracy. It provides for the development of a strategy to promote democracy in nondemocratic or democratic transition countries and to provide support to non-governmental organizations, individuals and movements in such countries that are committed to democratic principles, practices, and values. It also provides for meetings with leaders of nondemocratic and democratic transition countries regarding progress toward a democratic form of governance, encourages chiefs of missions to conduct meetings with civil society, interviews with media and discussions with students and young people regarding democratic governance.

   Moreover, the Conference substitute provides that the Secretary of State should seek to increase the proportion of DRL's nonadministrative employees who are members of the Foreign Service and authorizes such sums as may be necessary to carry out the provision.

   The Conferees believe that the Democracy Liaison Officers provided for in subsection (a) of the Conference substitute should be selected with the concurrence of the Assistant Secretary of Democracy, Human Rights and Labor in order to ensure that appropriate individuals are put in those posts. The Conferees also believe that more senior officials at posts where there are significant human rights abuses should also be selected with input from the Assistant Secretary for DRL.

   The Conferees note that the Department of State, as part of its Transformational Diplomacy Initiative, intends to reduce or eliminate labor officers in posts abroad. While not objecting to normal rotations and assignments designed to meet the Secretary of State's priorities and reflect the changing needs of host countries, the Conferees are concerned that eliminating such positions would signal an abandonment of the core consensus that has existed since the 1980's that the promotion of democracy includes the promotion of the freedoms of association and organization by laborers.

   The Conferees observe that activists in other countries sometimes are not sure whom to contact at the Department of State to discuss local democracy and human rights issues; thus, the Conferees intend that the Secretary of State have discretion to either create a new office for this purpose or to identify one or more existing offices with regional expertise to be the points of contact for such activists. With respect to the officers or employees in DRL that shall have expertise in and responsibility for working with non-governmental organizations, individuals and movements that are committed to the peaceful promotion of democracy, as identified by the Assistant Secretary for DRL, the Conferees expect that such individuals would serve in the office or offices identified pursuant to subpart (b)(1).

   Finally, the Conferees believe that encouraging a greater number of members of the Foreign Service to serve in DRL will enhance democracy promotion.

   Section 2112. Democracy Fellowship Program

   There is no comparable House provision.

   Section 1912 of the Senate bill, requested by the Department of State, provides for a program to obtain an additional perspective on democracy promotion abroad by working with appropriate Congressional offices and Committees and in non-governmental and international organizations involved in democracy promotion.

   The Conference substitute adopts the Senate provision, with an amendment making some minor and conforming changes.

   Section 2113. Investigations of Violations of International Humanitarian Law

   There is no comparable House provision.

   There is no comparable Senate provision.

   The Conference substitute adopts a compromise provision, regarding violations of international humanitarian law by nondemocratic countries. This section requires the President to collect information regarding incidents that may constitute crimes against humanity, genocide and other violations of international humanitarian law. It requires that the President consider what actions he can take to hold governments and responsible individuals accountable.

   Subtitle B--Strategies and Reports on Human Rights and the Promotion of Democracy

   Section 2121. Strategies, Priorities and Annual Report

   Section 1421 of the House bill provides a statement of policy on the importance of promoting democracy human rights and requires country-by-country strategies to address the elements in the statement of policy.

   Section 1921 of the Senate bill changes the title of an existing annual report, ``Supporting Human Rights and Democracy'' (SHRD), which was required by the amendments made by section 665 of the Foreign Relations Authorization Act of 2003, to ``Annual Report on Advancing Freedom and Democracy'' and changes the date on which that report needs to be submitted.

   The Conference substitute adopts the Senate provision, with an amendment adding features of section 1421 of the House bill and expanding the provisions of the Senate amendment. It addresses the need for long-term strategies for the promotion of democracy in nondemocratic and democratic transition countries. This section commends the Secretary of State for the ongoing country-specific strategies to promote democracy and requires the Secretary of State to expand the development of country-specific strategies to all nondemocratic and democratic transition countries. It also provides that the Secretary of State shall keep the appropriate Congressional Committees fully and currently informed as strategies are developed.

   The Conference substitute also provides that the report shall include, as appropriate, United States: (1) priorities for the promotion of democracy and the protection of human rights for each non democratic country and democratic transition country, developed in consultation with relevant parties in such countries; and (2) specific actions and activities of Chiefs of Missions and other U.S. officials to promote democracy and protect human rights. This section also extends the due date of the Annual Report.

   The Conferees believe that the Department of State's process for implementing subpart (a)(2) should incorporate both short-term objectives and a long-term approach to democratization. The Conferees intend for the Department of State to fulfill the requirement of keeping the appropriate Congressional Committees informed by briefing the Committees, upon request, in addition to any hearings that Congress may conduct.

   The Conferees observe that the existing SHRD Report all too often reflects a catalogue of program activities of the U.S. Government over the past year without context or a demonstration of what leadership the

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top U.S. representative is exercising in the area of democracy promotion and human rights protection. Also, the Report contains some country sections where both U.S. priorities for assistance and actions by U.S. officials are included. The Conferees expect that such inconsistencies will be addressed by including both components for each country described in the Report.

   Section 2122. Translation of Human Rights Reports

   There is no comparable House Provision.

   Section 1932 of the Senate bill requires the Secretary of State to continue to expand the translation of various human rights reports.

   The Conference substitute adopts the Senate provision, with an amendment making the translations mandatory and making other minor changes to the Senate language.

   The Conferees believe that the value of these reports will be significantly enhanced if they are available in the language of the country about which they are written. The Conferees do not intend that the entire contents of all reports be translated. Rather, the general overview and the country-specific sections should be translated into the major languages of each country. The Conferees recognize that the Department of State's current focus is on the annual Country Reports on Human Rights Practices required by the Foreign Assistance Act. However, the Conferees believe that translation of the other reports referred to in this section would further expand the impact of the U.S. Government's work on democracy and human rights.

   Subtitle C--Advisory Committee on Democracy Promotion and the Internet Website of the Department of State

   Section 2131. Advisory Committee on Democracy Promotion

   There is no comparable House provision.

   Section 1931 of the Senate bill expresses the sense of Congress commending the Secretary of State for establishing the Advisory Committee on Democracy Promotion and expresses the hope that the Committee will play a significant role in transformational diplomacy by advising the Secretary of State on all aspects of democracy promotion, including improving the capacity of the Department of State and U.S. foreign assistance programs.

   The Conference substitute adopts the Senate provision, with an amendment making minor changes to the Senate language.

   Section 2132. Sense of Congress Regarding the Internet Website of the Department of State

   There is no comparable House provision.

   Section 1932 of the Senate bill expresses the sense of Congress that the Secretary of State should take additional steps to enhance the Internet website for global democracy to facilitate access by individuals and non-governmental organizations in foreign countries to documents and other media regarding democratic principles, practices, and values, and the promotion and strengthening of democracy. This website is intended to be an address where democracy activists from around the world can obtain or be linked to information on conditions in their country, materials on successful democracy movements elsewhere and tactics for peaceful democratic change, and other groups around the world that engage in similar struggles for freedom. The website should also include parts of other relevant human rights reports, including translations where appropriate, such as the annual Country Reports on Human Rights Practices, the annual Religious Freedom Report, and the annual Report on Trafficking in Persons.

   The Conference substitute adopts the Senate provision, with an amendment making minor changes to the Senate language.

   Subtitle D--Training in Democracy and Human Rights; Incentives

   Section 2141. Training in Democracy Promotion and Protection of Human Rights

   There is no comparable House provision.

   Section 1941 of the Senate bill provides that the Secretary of State should continue to enhance training on democracy promotion and the protection of human rights for members of the Foreign Service and that such training should include case studies and practical workshops.

   The Conference substitute adopts the Senate provision, with an amendment. Pursuant to the amendment, the Secretary of State is required to continue to enhance training on democracy promotion and the protection of human rights and provides that the training shall include appropriate instruction and training materials regarding: (1) international documents and U.S. policy regarding electoral democracy and respect for human rights, including trafficking in persons; (2) U.S. policy regarding the promotion and strengthening of democracy around the world, with particular emphasis on the transition to democracy in nondemocratic countries; (3) ways to assist individuals and non-governmental organizations that support democratic principles, practices, and values for any member, Chief of Mission, or deputy Chief of Mission who is to be assigned to a non-democratic or democratic transition country; and (4) the protection of internationally recognized human rights, including the protection of religious freedom and the prevention of slavery and trafficking in persons. Section 1941 also provides that the Secretary of State shall consult as appropriate with non-governmental organizations with respect to the training required in this section, and provides for a one-time report on how this section is being implemented.

   The Conference notes that the Department of State is working with members of the Community of Democracies on a training manual relating to democracy promotion, which may prove useful in the training efforts described in this section. Such instruction may include: techniques for conducting discussions with political leaders of such country regarding United States policy with respect to promoting democracy in foreign countries; treatment of opposition and alternatives to repression; techniques to engage civil society, students and young people regarding U.S. policy on democracy and human rights; methods of nonviolent action and the most effective manner to share such information with individuals and non-governmental organizations; and the collection of information regarding violations of internationally-recognized human rights in coordination with non-governmental human rights organizations, violations of religious freedom, and government-tolerated or condoned trafficking in persons.

   The Conference understands that certain training courses already include some human rights training. However, the Conference expects that the scope and content will be updated and expanded as part of the Secretary of State's Transformational Diplomacy Initiative and that continuous improvements will be made well into the future.

   Section 2142. Sense of Congress Regarding Advance Democracy Award

   There is no comparable House provision.

   Section 1942 of the Senate bill expresses the sense of Congress that the Secretary of State should further strengthen the capacity of the Department of State to carry out results-based democracy promotion efforts through the establishment of awards and other employee incentives, including the establishment of an annual award to be known as the ``Outstanding Achievements in Advancing Democracy Award'', or the ``ADVANCE Democracy Award'', and should establish procedures regarding such awards.

   The Conference substitute adopts the Senate provision.

   Section 2143. Personnel Policies at the Department of State

   There is no comparable House provision.

   Section 1943 of the Senate bill expresses the sense of Congress that precepts for promotion for members of the Foreign Service should include consideration of a candidate's experience or service in the promotion of human rights and democracy.

   The Conference substitute adopts the Senate provision, with an amendment to add suggested mechanisms for creating incentives. It provides that in addition to other awards, such as the award described in section 1942 in that bill, the Secretary of State should increase incentives for members of the Foreign Service and other State Department employees to serve in assignments that have as their primary focus the promotion of democracy and the protection of human rights, including awarding performance pay to members of the Foreign Service, considering whether a member of the Service serving in such assignments as a basis for promotion into the Senior Foreign Service, and providing for Foreign Service Awards.

   Subtitle E--Cooperation with Democratic Countries

   Section 2151. Cooperation with Democratic Countries

   There is no comparable House provision.

   Section 1951 of the Senate bill expresses the sense of Congress that the United States should forge alliances with other democratic countries to promote democracy, protect fundamental freedoms around the world, promote and protect respect for the rule of law, pursue common strategies at international organizations and multilateral institutions and provide support to countries undergoing democratic transitions. Section 1951 of the Senate bill also supports the initiative of the Government of Hungary establishing the International Center for Democratic Transition.

   The Conference substitute adopts the Senate provision, with an amendment making substantive and technical changes. The Conference substitute expresses the sense of Congress that the Community of Democracies should establish a more formal mechanism for carrying out work between ministerial meetings, such as through the creation of a permanent secretariat with an appropriate staff and should establish a headquarters. The Conference substitute authorizes the Secretary of State to detail personnel to such a secretariat or any country that is a member of the Convening Group of the Community of Democracies and provides that the Secretary of State should establish an office of multilateral democracy promotion to address the Community of Democracies, pursue initiatives coming out of the UN Democracy Caucus, and enhance the UN Democracy Fund. The Conference substitute also authorizes an appropriation of $1,000,000 for each of Fiscal Years 2008, 2009, and 2010 to the Secretary of State for a grant to the International Center for Democratic Transition and provides additional guidance as to the purposes of the Centers work, including providing grants or voluntary contributions to develop, adopt, and pursue programs and campaigns to promote the peaceful transition to democracy in non-democratic countries.

   Subtitle F--Funding for Promotion of Democracy

   Section 2161. The United Nations Democracy Fund

   There is no comparable House provision.

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   Section 1961 of the Senate bill expresses the sense of Congress that the United States should continue to contribute to and work with other countries to enhance the goals and work of the UN Democracy Fund.

   The Conference substitute adopts the Senate provision, with an amendment adding an authorization for the UN Democracy Fund. It authorizes $14,000,000 for a United States contribution to the Fund for each of the Fiscal Years 2008 and 2009, as requested by the President.

   Section 2162. United States Democracy Assistance Programs

   There is no comparable House provision.

   Section 1962 of the Senate bill states the sense of Congress that the purpose of the Human Rights and Democracy Fund should be to support innovative programming, media, and materials designed to uphold democratic principles, support and strengthen democratic institutions, promote human rights and the rule of law, and build civil societies in countries around the world. Section 1962 of the Senate bill provides findings reflecting that democracy assistance has many different forms and there is a need for greater clarity on the coordination and delivery mechanisms for U.S. democracy assistance. It also provides that the Secretary of State and the Administrator of the U.S. Agency for International Development (USAID) should develop guidelines, in consultation with the appropriate Committees of Congress, to clarify for U.S. diplomatic and consular missions abroad the need for coordination and the appropriate mix of delivery mechanisms for democracy assistance.

   The Conference substitute adopts the Senate provision, with an amendment including minor and technical amendments and adding a sense of Congress regarding mechanisms for delivering assistance. The Conference substitute provides that United States support for democracy is strengthened by using a variety of different instrumentalities, such as the National Endowment for Democracy, the United States Agency for International Development, and the Department of State, and expresses the view that the Human Rights and Democracy Fund (HRDF), established pursuant to the Freedom Investment Act of 2002, should continue to be used for innovative approaches to promoting democracy and human rights. It also addresses the different mechanisms that are used to define the relationship between the U.S. Government and organizations that deliver services or materials to foreign individuals or communities.

   The Conference believes that the HRDF should remain a flexible instrument to exploit emerging opportunities while at the same time be managed in a cost-effective way and coordinated at the country-level to complement the mix of other democracy assistance being provided.

   The U.S. Government works with a variety of organizations, including non-profit groups such as non-governmental organizations and private and voluntary organizations, and provides them with government funding to carry out U.S. foreign assistance goals. The government also hires for-profit private sector companies to implement foreign assistance programs. The use of such companies has been growing over the last 15 years. In general, as in other areas of government procurement, the use of contracts, cooperative agreements, and grants are the three main acquisition mechanisms through which agreement is reached on appropriate benchmarks for success, the level of U.S. government funding that will be spent, and the specific programs and projects to be undertaken.

   In the democracy field, there are a number of U.S. Government entities that manage programs. The Democracy, Human Rights and Labor Bureau at the State Department oversees a large number of programs. The Coordinator's office for the Independent States of the Former Soviet Union oversees programs carried out through the Freedom Support Act. The Middle East Partnership Initiative, also managed by the State Department, promotes democracy and other development priorities in the Middle East. For its part, USAID has a specialized unit focused on providing democracy and governance assistance worldwide. Because of a constrained operating budget that limits permanent staff, USAID has increasingly relied on contract mechanisms, although it continues to use grants and cooperative agreements. The National Endowment for Democracy also provides extensive assistance worldwide. More recently, a Millennium Challenge Corporation (MCC) threshold program is providing electoral reform assistance in Jordan.

   Non-profit organizations sometimes apply for and receive funding from several or all of these U.S. Government entities, most often through grants and cooperative agreements and sometimes through contracts. Private sector companies work almost exclusively through contracts. Both private sector and non-profit organizations bring unique strengths to the effort. Private sector companies have the ability to hire employees with specialized skills to provide technical assistance on a short-notice basis. Non-profit organizations often develop longer-term contacts in the field, country expertise, and have revenue sources other than U.S. Government funding that allows for a more sustained approach to underlying problems. With this multitude of actors, mechanisms, and foreign assistance ``spigots,'' and given the characteristics of such actors, the Conference requests that the Secretary of State and the Administrator of USAID develop appropriate guidelines to assist U.S. missions in their efforts to coordinate democracy assistance in-country and select appropriate mechanisms for its effective implementation.

   TITLE XXII--INTEROPERABLE EMERGENCY COMMUNICATIONS

   Section 2201. Interoperable Emergency Communications

   There is no comparable House provision.

   Section 1481(a) of the Senate bill generally amends Section 3006 of the Deficit Reduction Act of 2005 (Public Law 109-171) (DRA) by deleting statutory language that currently limits funding to systems that either use, or interoperate with systems that use, public safety spectrum in the 700 megahertz band (specifically, 764-776 megahertz and 794-806 megahertz), and inserting new subsections providing Congressional direction with respect to eligible activities under NTIA's administration of the $1 billion public safety grant program.

   New 3006(a) of the DRA establishes the scope of the permissible grants under the program and permits NTIA to allocate up to $100 million for the establishment of strategic technology reserves that will provide communications capability and equipment for first responders and other emergency personnel in the event of an emergency or a major disaster. In addition to strategic technology reserves, this subsection describes a broad range of topics related to improving communications interoperability that will be eligible for assistance under the grant program including, Statewide or regional planning and coordination, design and engineering support, technical assistance and training, and the acquisition or deployment of interoperable communications equipment, software, or systems.

   New 3006(b) of the DRA reiterates the requirement imposed under section 4 of the Call Home Act of 2006, which, subject to the receipt of qualified applications as determined by the Assistant Secretary, would require that not less that $1 billion be awarded no later than September 30, 2007.

   New 3006(C) of the DRA requires that funding distributions be made among the several States consistent with section 1014(C)(3) of the USA PATRIOT Act (0.75 percent to each State) to ensure a fair distribution of funds. It also requires that the calculation of risk factors be based upon an ``all-hazards'' approach that recognizes the critical need for effective emergency communications in response not only to terrorist attacks, but also to a variety of natural disasters.

   New section 3006(d) of the DRA establishes requirements for grant applicants, including an explanation of how assistance would improve interoperability and a description of how any equipment or system request would be compatible or consistent with certain relevant sections of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C.§194(a)(1)).

   New section 3006(e) of the DRA directs NTIA to rely on the most current grant guidance issued under the Department of Homeland Security (the Department or DHS) SAFECOM program to promote greater consistency in the criteria used to evaluate interoperability grant applications.

   New section 3006(f) of the DRA establishes criteria for grants of equipment, supplies, systems and related communications service related to support for strategic technology reserve initiatives. This section also requires that funding for strategic reserves be divided between block grants to States in support of state reserves and grants in support of Federal reserves at each Federal Emergency Management Agency (FEMA) regional office and in each of the noncontiguous States.

   New section 3006(g) of the DRA permits the Assistant Secretary to encourage the development of voluntary consensus standards for interoperable communications systems, but precludes the Assistant Secretary from requiring any such standard.

   New section 3006(h) of the DRA permits NTIA to seek assistance from other Federal agencies where appropriate in the administration of the grant program.

   New section 3006(I) of the DRA requires the Inspector General of the Department of Commerce annually to assess the management of NTIA's interoperability grant program.

   New section 3006(j) of the DRA requires NTIA, in consultation with the DHS and the FCC, to promulgate final program rules for implementation within 90 days of enactment.

   New section 3006(k) of the DRA creates a rule of construction clarifying that nothing in this section precludes funding for interim or long-term Internet Protocol-based solutions, notwithstanding compliance with the Project 25 standard.

   Section 1481(b) of the Senate bill requires the FCC, in coordination with the Assistant Secretary of Commerce for Communications and Information and the Secretary of DHS, to report on the feasibility of a redundant system for emergency communications no later than one year after enactment.

   Section 1481(c) of the Senate bill directs the Assistant Secretary of Commerce for Communications and Information, in consultation with the Secretary of DHS and the Secretary of Health and Human Services, to create a joint advisory committee to examine the communications capabilities and needs of emergency medical care facilities. The joint advisory committee will assess current communications capabilities at emergency care facilities, options to accommodate the growth of communications services used by emergency medical care facilities, and options to better integrate emergency medical care communications systems

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with other emergency communications networks. The joint advisory committee would be required to report its findings to the Senate Committee on Commerce, Science, and Transportation and the House of Representatives Committee on Energy and Commerce, within six months after the date of enactment.

   Section 1481(d) of the Senate bill provides authorization for not more than 10 pilot projects to improve the capabilities of emergency communications systems in emergency medical care facilities. Grants would be administered by the Assistant Secretary of Commerce for Communications and Information, would require a fifty percent match, would not exceed $2 million per grant, and would be geographically distributed to the maximum extent possible.

   The Conference substitute adopts the Senate provision, with modifications. Most notably, it authorizes NTIA, in consultation with DHS, to permit up to $75 million of the Public Safety Interoperability Communications grant to be used by States to contribute to a strategic technology reserve. The substitute permits waivers to States that have already implemented a strategic technology reserve or can demonstrate higher priority public safety communications needs. The Conference substitute adopts the Senate's provisions relating to the FCC's vulnerability assessment and report on emergency communications back-up system. The Conference agreed to set a deadline of 180 days for FCC to deliver its findings to Congress. The Conference substitute also adopts the Senate's provision that directs the Assistant Secretary of Commerce for Communications and Information, in consultation with the Secretary of Homeland Security (the Secretary) and the Secretary of Health and Human Services, to establish a joint advisory committee that will assess current communications capabilities at emergency care facilities.

   The Conference substitute provides for reports and audits by the Inspector General of the Department of Commerce. With respect to grants under this title, these provisions strengthen oversight over this program and clarify the intent of the conferees that the provisions in Sec. 2022 of the Homeland Security Act (added by Title I) do not apply to this grant program.

   Section 2202. Clarification of Congressional Intent

   There is no comparable House provision.

   Section 1482(a) of the Senate bill would amend Title VI of the Post-Katrina Emergency Management Reform Act of 2006 (Public Law 109-295) by including a savings clause clarifying the concurrent authorities of the Department of Commerce and the Federal Communications Commission (FCC), with respect to their existing authorities related public safety and promoting the safety of life and property through the use of communications. Section 1482(b) of the Senate bill makes the effective date of this savings clause as if enacted with the Department of Homeland Security Appropriations for FY 2007 (Public Law 109-295).

   The Conference substitute modifies the Senate language to clarify that it is Congress' intent that Federal Departments and Agencies work cooperatively in a manner that does not impede the implementation of the requirements of Title III and Title XXII of this Act and Title VI of Public Law 109-295.

   The Conference observes that Federal Departments and Agencies should not be precluded or obstructed from carrying out their other authorities relating to other emergency communications matters.

   Section 2203. Cross Border Interoperability Reports

   There is no comparable House provision.

   Section 1483 of the Senate bill would require the FCC, in conjunction with the DHS, the Office of Management and Budget, and the Department of State to report, not later than 90 days after enactment on the status of efforts to coordinate cross border interoperability issues and the re-banding of 800 megahertz radios with Canada and Mexico. The FCC would further be required to report on any communications between the FCC and the Department of State regarding possible amendments to legal agreements and protocols governing the coordination process for license applications seeking to use channels and frequencies above Line A, to submit information about the annual rejection rate over the last 5 years by the United States for new channels and frequencies above Line A, and to suggest additional procedures and mechanisms that could be taken to reduce the rejection rate for such applications. The FCC would be required to provide regular updates of the report to the Senate Committee on Commerce, Science, and Transportation and the House of Representatives Committee on Energy and Commerce of treaty negotiations related to the re-banding of 800 megahertz radios until the appropriate treaty has been revised with Canada and Mexico.

   The Conference Report adopts the Senate provision.

   Section 2204. Extension of Short Quorum.

   There is no comparable House provision.

   Section 1484 of the Senate bill permits two members of the Consumer Product Safety Commission to constitute a quorum for six months following enactment of this Act.

   The Conference substitute adopts the Senate provision.

   Section 2205. Requiring Reports to Be Submitted to Certain Committees.

   Section 1485 of the Senate bill requires under provisions of this Act to be shared with other relevant Congressional Committees.

   The Conference substitute modifies the Senate reporting provision and agrees that in addition to the Committees specifically enumerated to receive the reports under this Title, any report transmitted under the provisions of this Title shall also be transmitted to the appropriate Congressional Committees as provided for by under section 2(2) of the Homeland Security Act (6 U.S.C.§101).

   TITLE XXIII--911 MODERNIZATION

   Section 2301. Short Title

   The Conference substitute provides that Title XXIII may be cited as the ``911 Modernization Act.''

   Section 2302. Funding for Program

   There is no comparable House provision.

   Section 1702 of the Senate bill amends Section 3011 of Public Law 109-171 (47 U.S.C. §309) to give borrowing authority to the Assistant Secretary of the National Telecommunications and Information Administration (NTIA) for not more than $43,500,000 to implement the Enhance 911 Act of 2004 (Public Law 108-494). The Assistant Secretary must reimburse the Treasury without interest once funds are deposited into the Digital Television Transition and Public Safety Fund.

   The Conference substitute adopts the Senate provision.

   Section 2303. NTIA Coordination of E-911 Implementation

   There is no comparable House provision.

   Section 1703 of the Senate bill amends Section 158(b)(4) of the National Telecommunications and Information Administration Organization Act (47 U.S.C. § 942(b)(4)) to require the Assistant Secretary and the Administrator of the National Highway Safety Administration to issue regulations that allow a portion of the Phase II ÐE-911 Implementation Grants to be prioritized for Public Safety Answering Points (PSAPs) that were not capable of receiving 911 calls on the date of the enactment of the Enhanced 911 Act of 2004 (Public Law 108-494). These grants will be used for the incremental cost of upgrading from Phase I to Phase II compliance. Such grants are subject to all the other requirements of this section, such as the fifty percent matching funds requirement and the requirement to certify that no portion of any E-911 charges imposed by an applicant's State or taxing jurisdiction are being obligated or expended for any purpose other than for which such charges were designated.

   The Conference substitute adopts the Senate provision.

   TITLE XXIV--MISCELLANEOUS PROVISIONS

   Section 2401. Quadrennial Homeland Security Review

   There is no comparable House provision. However, the House passed a similar provision in H.R. 1684, the Department of Homeland Security Authorization Act for Fiscal Year 2008, which called for a Comprehensive Homeland Security Review at the beginning of each new Presidential Administration.

   Section 1606 of the Senate bill included a provision to conduct a Quadrennial Homeland Security Review, requiring the Department of Homeland Security (the Department or DHS) to conduct a comprehensive examination of the national homeland security strategy.

   The Conference substitute adopts a compromise provision which in several places clarifies the scope of the Review. It requires the Secretary of Homeland Security (the Secretary) to carry out the first Quadrennial Homeland Security Review in Fiscal Year 2009, and every four years thereafter. The Conferees believe that this review should take place in the first year after a Presidential election, so that a new Administration can act upon the results of the review or a re-elected Administration can review its policies and emerging threats and revise the review accordingly. This also recognizes the time span during which a new President will appoint and the Senate will confirm senior departmental officials who will be responsible for this review. The provision also requires the Secretary to consult with other Federal agencies, key officials of the Department, and other relevant governmental and non-governmental entities in carrying out the review.

   The Conference substitute also describes the required content of the review, including an update of the national homeland security strategy, a prioritization of homeland security mission areas, and the identification of a budget plan for executing these missions. These review activities are intended to strengthen the linkages between strategy and execution at the Department of Homeland Security. The Conference substitute requires the Secretary to submit to Congress a report regarding the results of the Quadrennial Homeland Security Review no later than December 31 of the year in which a review is conducted, and also to make that report public consistent with the protection of national security and other sensitive matters. It also requires the Department to begin in Fiscal Year 2007 and Fiscal Year 2008 to prepare to carry out this review, and to report to Congress on these preparations.

   The Conference understands that the Administration already has begun this process by including a request for designated funding

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in the President's Fiscal Year 2008 request for the Office of Policy to lead this initiative.

   Section 2402. Sense of the Congress Regarding the Prevention of Radicalization Leading to Ideologically-Based Violence

   There is no comparable House provision.

   Section 1602 of the Senate bill includes extensive findings concerning the threat of radicalization in the United States as a component of the struggle against the transnational ideological movement of Islamist extremism. This provision also makes recommendations to the Secretary regarding measures that can be taken to prevent radicalization and concludes that the Secretary should work across the Federal government and with State and local officials to make countering radicalization a priority.

   The Conference substitute adopts the Senate provision with changes. The changes include modifying the terms used to describe radicalization so that it is clear that protected behavior is not included. As a result, radicalization is referred to as radicalization that leads to ideologically-based violence. Additionally, while the language is intended to address the global struggle against violent extremism, the language is broadened to include ideologically-based violence from all sources.

   Section 2403. Requiring Reports to Be Submitted to Certain Committees

   There is no comparable House provision.

   Section 1485 of the Senate bill contained a provision to provide certain Senate Committees with reports required elsewhere in the bill.

   The Conference substitute adopts part of the Senate provision with updated references to certain reports.

   Section 2404. Demonstration Project

   There is no comparable House provision.

   Section 805 of the Senate bill requires the Secretary to establish a demonstration project to conduct demonstrations of security management systems.

   The Conference substitute adopts the Senate provision, while modifying it so that it defines ``security management system'' as a set of guidelines that address the security assessment needs of critical infrastructure and key resources that are consistent with a set of generally accepted management standards ratified and adopted by a standards making body.

   Section 2405. Under Secretary for Management of the Department of Homeland Security

   There is no comparable House provision, as Members believe that this issue would be best addressed as part of a comprehensive homeland security authorization bill.

   Section 1601 of the Senate bill elevates the position of Under Secretary for Management to a Deputy Secretary, adds qualifications for the position, and gives this newly created position a five-year term with removal only for performance reasons.

   The Conference substitute adopts a modified version of the Senate provision by enhancing the Under Secretary's authority while maintaining the position at the Under Secretary level without a fixed term. Specifically, the substitute designates the Under Secretary for Management as the Chief Management Officer and the Secretary's principal advisor on management-related matters. It also requires the Under Secretary to facilitate strategic management planning, integration, transformation, and transition and succession for the Department.

   The Conference substitute requires the Under Secretary to develop a transition and succession plan, and authorizes the incumbent Under Secretary to remain in the position, after a Presidential election, until a successor is confirmed in the subsequent Administration. It also expresses the Sense of the Congress that a newly-elected President should encourage the incumbent Under Secretary to remain until a successor is confirmed, to provide continuity during the transition. The legislation also requires that the Under Secretary be accountable for his or her performance--each year, the Under Secretary must enter into a performance agreement with the Secretary and be subject to an evaluation based on the same. The substitute also enhances the President's ability to attract qualified candidates, as it elevates the Under Secretary for Management to Level II of the Executive Schedule.

   Because the Department is newly formed, and in light of the integration and management challenges it has faced to date, the Conference is concerned about the impending transition between Administrations and believes this transition should be well-planned and smoothly implemented. The Conference believes that this position requires a person with strong management skills and a proven track record of success, and this legislation requires the selection of a person with such experience.

   Earmarks

   Pursuant to House Rule XXI, clause 9(a)(4), the Committee of Conference attaches a list of earmarks included in the Conference Report to accompany H.R. 1, including a list of Congressional earmarks, limited tax benefits, and limited tariff benefits in the conference report or joint statement (and the name of any Member, Delegate, Resident Commissioner, or Senator who submitted a request to the House or Senate Committees of jurisdiction for each respective item included in such list) or a statement that the proposition contains no Congressional earmarks, limited tax benefits, or limited tariff benefits, as follows:

       
Section   Earmark   Member  
Section 1204   National Disaster Preparedness Training Center, University of Hawaii   Sen. Daniel K. Inouye  
  Transportation Technology Center, Inc.   Sen. Wayne Allard Sen. Ken Salazar Rep. John T. Salazar Rep. Ed Perlmutter  
Section 1205   Connecticut Transportation Institute, University of Connecticut   Sen. Christopher J. Dodd Sen. Joseph I. Lieberman  
  National Transit Institute, Rutgers, the State University of New Jersey   Sen. Robert Menendez Sen. Frank R. Lautenberg  
  Mack-Blackwell National Rural Transportation Study Center at the University of Arkansas   Sen. Mark L. Pryor  
  Homeland Security Management Institute, Long Island University   Sen. Charles E. Shumer Rep. Peter T. King  
  Texas Southern University in Houston, Texas   Rep. Al Green  
  Tougaloo College   Rep. Bennie G. Thompson

   

Bennie G. Thompson,

   

Loretta Sánchez,

   

Norman Dicks,

   

Jane Harman,

   

Nita M. Lowey,

   

Sheila Jackson-Lee,

   

Donna M. Christensen,

   

Bob Etheridge,

   

James R. Langevin,

   

Henry Cuellar,

   

Al Green,

   

Ed Perlmutter,

   

Peter T. King,

   

Mark Souder,

   

Tom Davis,

   

Daniel E. Lungren,

   

Michael T. McCaul,

   

Charles W. Dent,

   

Ike Skelton,

   

John M. Spratt, Jr.,

   

Jim Saxton,

   

John D. Dingell,

   

Edward J. Markey,

   

Tom Lantos,

   

Gary Ackerman,

   

Ileana Ros-Lehtinen,

   

John Conyers,

   

Zoe Lofgren,

   

Henry A. Waxman,

   

Wm. Lacy Clay,

   

Silvestre Reyes,

   

Bud Cramer,

   

Bart Gordon,

   

David Wu,

   

Peter A. DeFazio,

   

John B. Larson,


Managers on the Part of the House.

   

Joe Lieberman,

   

Carl Levin,

   

Daniel K. Akaka,

   

Tom Carper,

   

Mark Pryor,

   

Chris Dodd,

   

Daniel K. Inouye,

   

Joe Biden,


Managers on the Part of the Senate.

END


S 4 ES

110th CONGRESS

1st Session

S. 4


AN ACT

To make the United States more secure by implementing unfinished recommendations of the 9/11 Commission to fight the war on terror more effectively, to improve homeland security, and for other purposes.

  • Be it enacted by the Senate and House of Representatives of the United States of America in Congress assembled,

SECTION 1. SHORT TITLE.

  • This Act may be cited as the `Improving America's Security Act of 2007'.

SEC. 2. DEFINITIONS.

  • In this Act:

    • (1) DEPARTMENT- The term `Department' means the Department of Homeland Security.

    • (2) SECRETARY- The term `Secretary' means the Secretary of Homeland Security.

SEC. 3. TABLE OF CONTENTS.

  • The table of contents for this Act is as follows:

    • Sec. 1. Short title.

    • Sec. 2. Definitions.

    • Sec. 3. Table of contents.

TITLE I--IMPROVING INTELLIGENCE AND INFORMATION SHARING WITHIN THE FEDERAL GOVERNMENT AND WITH STATE, LOCAL, AND TRIBAL GOVERNMENTS

Subtitle A--Homeland Security Information Sharing Enhancement

    • Sec. 111. Homeland Security Advisory System and information sharing.

    • Sec. 112. Information sharing.

    • Sec. 113. Intelligence training development for State and local government officials.

    • Sec. 114. Information sharing incentives.

Subtitle B--Homeland Security Information Sharing Partnerships

    • Sec. 121. State, Local, and Regional Fusion Center Initiative.

    • Sec. 122. Homeland Security Information Sharing Fellows Program.

    • Sec. 123. Rural Policing Institute.

Subtitle C--Interagency Threat Assessment and Coordination Group

    • Sec. 131. Interagency Threat Assessment and Coordination Group.

TITLE II--HOMELAND SECURITY GRANTS

    • Sec. 201. Short title.

    • Sec. 202. Homeland Security Grant Program.

    • Sec. 203. Equipment technical assistance training.

    • Sec. 204. Technical and conforming amendments.

TITLE III--COMMUNICATIONS OPERABILITY AND INTEROPERABILITY

    • Sec. 301. Dedicated funding to achieve emergency communications operability and interoperable communications.

    • Sec. 302. Border Interoperability Demonstration Project.

TITLE IV--EMERGENCY MANAGEMENT PERFORMANCE GRANTS PROGRAM

    • Sec. 401. Emergency Management Performance Grants Program.

TITLE V--ENHANCING SECURITY OF INTERNATIONAL TRAVEL

    • Sec. 501. Modernization of the visa waiver program.

    • Sec. 502. Strengthening the capabilities of the Human Smuggling and Trafficking Center.

    • Sec. 503. Enhancements to the Terrorist Travel Program.

    • Sec. 504. Enhanced driver's license.

    • Sec. 505. Western Hemisphere Travel Initiative.

    • Sec. 506. Model ports-of-entry.

TITLE VI--PRIVACY AND CIVIL LIBERTIES MATTERS

    • Sec. 601. Modification of authorities relating to Privacy and Civil Liberties Oversight Board.

    • Sec. 602. Privacy and civil liberties officers.

    • Sec. 603. Department Privacy Officer.

    • Sec. 604. Federal Agency Data Mining Reporting Act of 2007.

TITLE VII--ENHANCED DEFENSES AGAINST WEAPONS OF MASS DESTRUCTION

    • Sec. 701. National Biosurveillance Integration Center.

    • Sec. 702. Biosurveillance efforts.

    • Sec. 703. Interagency coordination to enhance defenses against nuclear and radiological weapons of mass destruction.

TITLE VIII--PRIVATE SECTOR PREPAREDNESS

    • Sec. 801. Definitions.

    • Sec. 802. Responsibilities of the private sector office of the department.

    • Sec. 803. Voluntary national preparedness standards compliance; accreditation and certification program for the private sector.

    • Sec. 804. Sense of Congress regarding promoting an international standard for private sector preparedness.

    • Sec. 805. Demonstration project.

    • Sec. 806. Report to Congress.

    • Sec. 807. Rule of construction.

TITLE IX--TRANSPORTATION SECURITY PLANNING AND INFORMATION SHARING

    • Sec. 901. Transportation security strategic planning.

    • Sec. 902. Transportation security information sharing.

    • Sec. 903. Transportation Security Administration personnel management.

    • Sec. 904. Appeal rights and employee engagement mechanism for passenger and property screeners.

    • Sec. 905. Plan for 100 percent scanning of cargo containers.

TITLE X--INCIDENT COMMAND SYSTEM

    • Sec. 1001. Preidentifying and evaluating multijurisdictional facilities to strengthen incident command; private sector preparedness.

    • Sec. 1002. Credentialing and typing to strengthen incident command.

TITLE XI--CRITICAL INFRASTRUCTURE PROTECTION

    • Sec. 1101. Critical infrastructure protection.

    • Sec. 1102. Risk assessment and report.

    • Sec. 1103. Use of existing capabilities.

    • Sec. 1104. Priorities and allocations.

TITLE XII--CONGRESSIONAL OVERSIGHT OF INTELLIGENCE

    • Sec. 1201. Availability to public of certain intelligence funding information.

    • Sec. 1202. Response of intelligence community to requests from Congress.

    • Sec. 1203. Public Interest Declassification Board.

    • Sec. 1204. Sense of the Senate regarding a report on the 9/11 Commission recommendations with respect to intelligence reform and congressional intelligence oversight reform.

    • Sec. 1205. Availability of funds for the Public Interest Declassification Board.

    • Sec. 1206. Availability of the Executive Summary of the Report on Central Intelligence Agency Accountability Regarding the Terrorist Attacks of September 11, 2001.

TITLE XIII--INTERNATIONAL COOPERATION ON ANTITERRORISM TECHNOLOGIES

    • Sec. 1301. Promoting antiterrorism capabilities through international cooperation.

    • Sec. 1302. Transparency of funds.

TITLE XIV--TRANSPORTATION AND INTEROPERABLE COMMUNICATION CAPABILITIES

    • Sec. 1401. Short title.

Subtitle A--Surface Transportation and Rail Security

    • Sec. 1411. Definition.

PART I--Improved Rail Security

    • Sec. 1421. Rail transportation security risk assessment.

    • Sec. 1422. Systemwide Amtrak security upgrades.

    • Sec. 1423. Fire and life-safety improvements.

    • Sec. 1424. Freight and passenger rail security upgrades.

    • Sec. 1425. Rail security research and development.

    • Sec. 1426. Oversight and grant procedures.

    • Sec. 1427. Amtrak plan to assist families of passengers involved in rail passenger accidents.

    • Sec. 1428. Northern border rail passenger report.

    • Sec. 1429. Rail worker security training program.

    • Sec. 1430. Whistleblower protection program.

    • Sec. 1431. High hazard material security risk mitigation plans.

    • Sec. 1432. Enforcement authority.

    • Sec. 1433. Rail security enhancements.

    • Sec. 1434. Public awareness.

    • Sec. 1435. Railroad high hazard material tracking.

    • Sec. 1436. Unified carrier registration system plan agreement.

    • Sec. 1437. Authorization of appropriations.

    • Sec. 1438. Applicability of District of Columbia law to certain Amtrak contracts.

PART II--Improved Motor Carrier, Bus, and Hazardous Material Security

    • Sec. 1441. Hazardous materials highway routing.

    • Sec. 1442. Motor carrier high hazard material tracking.

    • Sec. 1443. Memorandum of agreement.

    • Sec. 1444. Hazardous materials security inspections and enforcement.

    • Sec. 1445. Truck security assessment.

    • Sec. 1446. National public sector response system.

    • Sec. 1447. Over-the-road bus security assistance.

    • Sec. 1448. Pipeline security and incident recovery plan.

    • Sec. 1449. Pipeline security inspections and enforcement.

    • Sec. 1450. Technical corrections.

    • Sec. 1451. Certain personnel limitations not to apply.

    • Sec. 1452. Maritime and surface transportation security user fee study.

    • Sec. 1453. DHS Inspector General report on Highway Watch grant program.

    • Sec. 1454. Prohibition of issuance of transportation security cards to convicted felons.

    • Sec. 1455. Prohibition of issuance of transportation security cards to convicted felons.

Subtitle B--Aviation Security Improvement

    • Sec. 1461. Extension of authorization for aviation security funding.

    • Sec. 1462. Passenger aircraft cargo screening.

    • Sec. 1463. Blast-resistant cargo containers.

    • Sec. 1464. Protection of air cargo on passenger planes from explosives.

    • Sec. 1465. In-line baggage screening.

    • Sec. 1466. Enhancement of in-line baggage system deployment.

    • Sec. 1467. Research and development of aviation transportation security technology.

    • Sec. 1468. Certain TSA personnel limitations not to apply.

    • Sec. 1469. Specialized training.

    • Sec. 1470. Explosive detection at passenger screening checkpoints.

    • Sec. 1471. Appeal and redress process for passengers wrongly delayed or prohibited from boarding a flight.

    • Sec. 1472. Strategic plan to test and implement advanced passenger prescreening system.

    • Sec. 1473. Repair station security.

    • Sec. 1474. General aviation security.

    • Sec. 1475. Security credentials for airline crews.

    • Sec. 1476. National explosives detection canine team training center.

    • Sec. 1477. Law enforcement biometric credential.

    • Sec. 1478. Employee retention internship program.

    • Sec. 1479. Pilot project to reduce the number of transportation security officers at airport exit lanes.

Subtitle C--Interoperable Emergency Communications

    • Sec. 1481. Interoperable emergency communications.

    • Sec. 1482. Rule of construction.

    • Sec. 1483. Cross border interoperability reports.

    • Sec. 1484. Extension of short quorum.

    • Sec. 1485. Requiring reports to be submitted to certain committees.

TITLE XV--PUBLIC TRANSPORTATION TERRORISM PREVENTION

    • Sec. 1501. Short title.

    • Sec. 1502. Findings.

    • Sec. 1503. Security assessments.

    • Sec. 1504. Security assistance grants.

    • Sec. 1505. Public transportation security training program.

    • Sec. 1506. Intelligence sharing.

    • Sec. 1507. Research, development, and demonstration grants and contracts.

    • Sec. 1508. Reporting requirements.

    • Sec. 1509. Authorization of appropriations.

    • Sec. 1510. Sunset provision.

TITLE XVI--MISCELLANEOUS PROVISIONS

    • Sec. 1601. Deputy Secretary of Homeland Security for Management.

    • Sec. 1602. Sense of the Senate regarding combating domestic radicalization.

    • Sec. 1603. Sense of the Senate regarding oversight of Homeland Security.

    • Sec. 1604. Report regarding border security.

    • Sec. 1605. Law Enforcement Assistance Force.

    • Sec. 1606. Quadrennial homeland security review.

    • Sec. 1607. Integration of detection equipment and technologies.

TITLE XVII--911 MODERNIZATION

    • Sec. 1701. Short title.

    • Sec. 1702. Funding for program.

    • Sec. 1703. NTIA coordination of E-911 implementation.

TITLE XVIII--MODERNIZATION OF THE AMERICAN NATIONAL RED CROSS

    • Sec. 1801. Short title.

    • Sec. 1802. Findings; Sense of Congress.

    • Sec. 1803. Organization.

    • Sec. 1804. Purposes.

    • Sec. 1805. Membership and chapters.

    • Sec. 1806. Board of governors.

    • Sec. 1807. Powers.

    • Sec. 1808. Annual meeting.

    • Sec. 1809. Endowment fund.

    • Sec. 1810. Annual report and audit.

    • Sec. 1811. Comptroller General of the United States and Office of the Ombudsman.

TITLE XIX--ADVANCEMENT OF DEMOCRATIC VALUES

    • Sec. 1901. Short title.

    • Sec. 1902. Findings.

    • Sec. 1903. Statement of policy.

    • Sec. 1904. Definitions.

Subtitle A--Liaison Officers and Fellowship Program To Enhance the Promotion of Democracy

    • Sec. 1911. Democracy Liaison Officers.

    • Sec. 1912. Democracy Fellowship Program.

    • Sec. 1913. Transparency of United States broadcasting to assist in oversight and ensure promotion of human rights and democracy in international broadcasts.

Subtitle B--Annual Report on Advancing Freedom and Democracy

    • Sec. 1921. Annual report.

    • Sec. 1922. Sense of Congress on translation of human rights reports.

Subtitle C--Advisory Committee on Democracy Promotion and the Internet Website of the Department of State

    • Sec. 1931. Advisory Committee on Democracy Promotion.

    • Sec. 1932. Sense of Congress on the Internet website of the Department of State.

Subtitle D--Training in Democracy and Human Rights; Promotions

    • Sec. 1941. Sense of Congress on training in democracy and human rights.

    • Sec. 1942. Sense of Congress on ADVANCE Democracy Award.

    • Sec. 1943. Promotions.

    • Sec. 1944. Programs by United States missions in foreign countries and activities of chiefs of mission.

Subtitle E--Alliances With Democratic Countries

    • Sec. 1951. Alliances with democratic countries.

Subtitle F--Funding for Promotion of Democracy

    • Sec. 1961. Sense of Congress on the United Nations Democracy Fund.

    • Sec. 1962. The Human Rights and Democracy Fund.

TITLE I--IMPROVING INTELLIGENCE AND INFORMATION SHARING WITHIN THE FEDERAL GOVERNMENT AND WITH STATE, LOCAL, AND TRIBAL GOVERNMENTS

Subtitle A--Homeland Security Information Sharing Enhancement

SEC. 111. HOMELAND SECURITY ADVISORY SYSTEM AND INFORMATION SHARING.

  • (a) Advisory System and Information Sharing-

    • (1) IN GENERAL- Subtitle A of title II of the Homeland Security Act of 2002 (6 U.S.C. 121 et seq.) is amended by adding at the end the following:

`SEC. 203. HOMELAND SECURITY ADVISORY SYSTEM.

  • `(a) Requirement- The Secretary shall administer the Homeland Security Advisory System in accordance with this section to provide warnings regarding the risk of terrorist attacks on the homeland to Federal, State, local, and tribal government authorities and to the people of the United States, as appropriate. The Secretary shall exercise primary responsibility for providing such warnings.

  • `(b) Required Elements- In administering the Homeland Security Advisory System, the Secretary shall--

    • `(1) establish criteria for the issuance and revocation of such warnings;

    • `(2) develop a methodology, relying on the criteria established under paragraph (1), for the issuance and revocation of such warnings;

    • `(3) provide, in each such warning, specific information and advice regarding appropriate protective measures and countermeasures that may be taken in response to that risk, at the maximum level of detail practicable to enable individuals, government entities, emergency response providers, and the private sector to act appropriately; and

    • `(4) whenever possible, limit the scope of each such warning to a specific region, locality, or economic sector believed to be at risk.

`SEC. 204. HOMELAND SECURITY INFORMATION SHARING.

  • `(a) Information Sharing- Consistent with section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485), the Secretary shall integrate and standardize the information of the intelligence components of the Department, except for any internal protocols of such intelligence components, to be administered by the Chief Intelligence Officer.

  • `(b) Information Sharing and Knowledge Management Officers- For each intelligence component of the Department, the Secretary shall designate an information sharing and knowledge management officer who shall report to the Chief Intelligence Officer regarding coordinating the different systems used in the Department to gather and disseminate homeland security information.

  • `(c) State, Local, and Private-Sector Sources of Information-

    • `(1) ESTABLISHMENT OF BUSINESS PROCESSES- The Chief Intelligence Officer shall--

      • `(A) establish Department-wide procedures for the review and analysis of information gathered from sources in State, local, and tribal government and the private sector;

      • `(B) as appropriate, integrate such information into the information gathered by the Department and other departments and agencies of the Federal Government; and

      • `(C) make available such information, as appropriate, within the Department and to other departments and agencies of the Federal Government.

    • `(2) FEEDBACK- The Secretary shall develop mechanisms to provide feedback regarding the analysis and utility of information provided by any entity of State, local, or tribal government or the private sector that gathers information and provides such information to the Department.

  • `(d) Training and Evaluation of Employees-

    • `(1) TRAINING- The Chief Intelligence Officer shall provide to employees of the Department opportunities for training and education to develop an understanding of--

      • `(A) the definition of homeland security information; and

      • `(B) how information available to such employees as part of their duties--

        • `(i) might qualify as homeland security information; and

        • `(ii) might be relevant to the intelligence components of the Department.

    • `(2) EVALUATIONS- The Chief Intelligence Officer shall--

      • `(A) on an ongoing basis, evaluate how employees of the Office of Intelligence and Analysis and the intelligence components of the Department are utilizing homeland security information, sharing information within the Department, as described in this subtitle, and participating in the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485); and

      • `(B) provide a report regarding any evaluation under subparagraph (A) to the appropriate component heads.

`SEC. 205. COORDINATION WITH INFORMATION SHARING ENVIRONMENT.

  • `All activities to comply with sections 203 and 204 shall be--

    • `(1) implemented in coordination with the program manager for the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485); and

    • `(2) consistent with and support the establishment of that environment, and any policies, guidelines, procedures, instructions, or standards established by the President or, as appropriate, the program manager for the implementation and management of that environment.'.

    • (2) TECHNICAL AND CONFORMING AMENDMENTS-

      • (A) IN GENERAL- Section 201(d) of the Homeland Security Act of 2002 (6 U.S.C. 121(d)) is amended--

        • (i) by striking paragraph (7); and

        • (ii) by redesignating paragraphs (8) through (19) as paragraphs (7) through (18), respectively.

      • (B) TABLE OF CONTENTS- The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended by inserting after the item relating to section 202 the following:

    • `Sec. 203. Homeland Security Advisory System.

    • `Sec. 204. Homeland Security Information Sharing.

    • `Sec. 205. Coordination with information sharing environment.'.

  • (b) Intelligence Component Defined-

    • (1) IN GENERAL- Section 2 of the Homeland Security Act of 2002 (6 U.S.C. 101) is amended--

      • (A) by redesignating paragraphs (9) through (16) as paragraphs (10) through (17), respectively; and

      • (B) by inserting after paragraph (8) the following:

    • `(9) The term `intelligence component of the Department' means any directorate, agency, or other element or entity of the Department that gathers, receives, analyzes, produces, or disseminates homeland security information.'.

    • (2) TECHNICAL AND CONFORMING AMENDMENTS-

      • (A) HOMELAND SECURITY ACT OF 2002- Section 501(11) of the Homeland Security Act of 2002 (6 U.S.C. 311(11)) is amended by striking `section 2(10)(B)' and inserting `section 2(11)(B)'.

      • (B) OTHER LAW- Section 712(a) of title 14, United States Code, is amended by striking `section 2(15) of the Homeland Security Act of 2002 (6 U.S.C. 101(15))' and inserting `section 2(16) of the Homeland Security Act of 2002 (6 U.S.C. 101(16))'.

  • (c) Responsibilities of the Under Secretary for Information Analysis and Infrastructure Protection- Section 201(d) of the Homeland Security Act of 2002 (6 U.S.C. 121(d)) is amended--

    • (1) in paragraph (1), by inserting `, in support of the mission responsibilities of the Department and consistent with the functions of the National Counterterrorism Center established under section 119 of the National Security Act of 1947 (50 U.S.C. 50 U.S.C. 404o),' after `and to integrate such information'; and

    • (2) by striking paragraph (7), as redesignated by subsection (a)(2)(A) of this section, and inserting the following:

    • `(7) To review, analyze, and make recommendations for improvements in the policies and procedures governing the sharing of intelligence information, intelligence-related information, and other information relating to homeland security within the Federal Government and among the Federal Government and State, local, and tribal government agencies and authorities, consistent with the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485) and any policies, guidelines, procedures, instructions or standards established by the President or, as appropriate, the program manager for the implementation and management of that environment.'.

SEC. 112. INFORMATION SHARING.

  • Section 1016 of the Intelligence Reform and Terrorist Prevention Act of 2004 (6 U.S.C. 485) is amended--

    • (1) in subsection (a)--

      • (A) by redesignating paragraphs (1) through (4) as paragraphs (2) through (5), respectively;

      • (B) by inserting before paragraph (2), as so redesignated, the following:

    • `(1) HOMELAND SECURITY INFORMATION- The term `homeland security information' has the meaning given that term in section 892 of the Homeland Security Act of 2002 (6 U.S.C. 482).';

      • (C) in paragraph (5), as so redesignated--

        • (i) by redesignating subparagraphs (A) through (D) as clauses (i) through (iv), respectively, and adjusting the margin accordingly;

        • (ii) by striking `terrorism information' means' and inserting the following: `terrorism information'--

      • `(A) means';

        • (iii) in subparagraph (A)(iv), as so redesignated, by striking the period at the end and inserting `; and'; and

        • (iv) by adding at the end the following:

      • `(B) includes homeland security information and weapons of mass destruction information.'; and

      • (D) by adding at the end the following:

    • `(6) WEAPONS OF MASS DESTRUCTION INFORMATION- The term `weapons of mass destruction information' means information that could reasonably be expected to assist in the development, proliferation, or use of a weapon of mass destruction (including chemical, biological, radiological, and nuclear weapons) that could be used by a terrorist or a terrorist organization against the United States, including information about the location of any stockpile of nuclear materials that could be exploited for use in such a weapon that could be used by a terrorist or a terrorist organization against the United States.';

    • (2) in subsection (b)(2)--

      • (A) in subparagraph (H), by striking `and' at the end;

      • (B) in subparagraph (I), by striking the period at the end and inserting a semicolon; and

      • (C) by adding at the end the following:

      • `(J) integrates the information within the scope of the information sharing environment, including any such information in legacy technologies;

      • `(K) integrates technologies, including all legacy technologies, through Internet-based services;

      • `(L) allows the full range of analytic and operational activities without the need to centralize information within the scope of the information sharing environment;

      • `(M) permits analysts to collaborate both independently and in a group (commonly known as `collective and noncollective collaboration'), and across multiple levels of national security information and controlled unclassified information;

      • `(N) provides a resolution process that enables changes by authorized officials regarding rules and policies for the access, use, and retention of information within the scope of the information sharing environment; and

      • `(O) incorporates continuous, real-time, and immutable audit capabilities, to the maximum extent practicable.';

    • (3) in subsection (f)--

      • (A) in paragraph (1)--

        • (i) by striking `during the two-year period beginning on the date of designation under this paragraph unless sooner' and inserting `until'; and

        • (ii) by striking `The program manager shall have and exercise governmentwide authority.' and inserting `Except as otherwise expressly provided by law, the program manager, in consultation with the head of any affected department or agency, shall have and exercise governmentwide authority over the sharing of information within the scope of the information sharing environment by all Federal departments, agencies, and components, irrespective of the Federal department, agency, or component in which the program manager may be administratively located.'; and

      • (B) in paragraph (2)(A)--

        • (i) by redesignating clause (iii) as clause (v); and

        • (ii) by striking clause (ii) and inserting the following:

        • `(ii) assist in the development of policies, as appropriate, to foster the development and proper operation of the ISE;

        • `(iii) issue governmentwide procedures, guidelines, instructions, and functional standards, as appropriate, for the management, development, and proper operation of the ISE;

        • `(iv) identify and resolve information sharing disputes between Federal departments, agencies, and components; and';

    • (4) in subsection (g)--

      • (A) in paragraph (1), by striking `during the two-year period beginning on the date of the initial designation of the program manager by the President under subsection (f)(1), unless sooner' and inserting `until';

      • (B) in paragraph (2)--

        • (i) in subparagraph (F), by striking `and' at the end;

        • (ii) by redesignating subparagraph (G) as subparagraph (I); and

        • (iii) by inserting after subparagraph (F) the following:

      • `(G) assist the program manager in identifying and resolving information sharing disputes between Federal departments, agencies, and components;

      • `(H) identify appropriate personnel for assignment to the program manager to support staffing needs identified by the program manager; and';

      • (C) in paragraph (4), by inserting `(including any subsidiary group of the Information Sharing Council)' before `shall not be subject'; and

      • (D) by adding at the end the following:

    • `(5) DETAILEES- Upon a request by the Director of National Intelligence, the departments and agencies represented on the Information Sharing Council shall detail to the program manager, on a reimbursable basis, appropriate personnel identified under paragraph (2)(H).';

    • (5) in subsection (h)(1), by striking `and annually thereafter' and inserting `and not later than June 30 of each year thereafter'; and

    • (6) by striking subsection (j) and inserting the following:

  • `(j) Report on the Information Sharing Environment-

    • `(1) IN GENERAL- Not later than 180 days after the date of enactment of the Improving America's Security Act of 2007, the President shall report to the Committee on Homeland Security and Governmental Affairs of the Senate, the Select Committee on Intelligence of the Senate, the Committee on Homeland Security of the House of Representatives, and the Permanent Select Committee on Intelligence of the House of Representatives on the feasibility of--

      • `(A) eliminating the use of any marking or process (including `Originator Control') intended to, or having the effect of, restricting the sharing of information within the scope of the information sharing environment between and among participants in the information sharing environment, unless the President has--

        • `(i) specifically exempted categories of information from such elimination; and

        • `(ii) reported that exemption to the committees of Congress described in the matter preceding this subparagraph; and

      • `(B) continuing to use Federal agency standards in effect on such date of enactment for the collection, sharing, and access to information within the scope of the information sharing environment relating to citizens and lawful permanent residents;

      • `(C) replacing the standards described in subparagraph (B) with a standard that would allow mission-based or threat-based permission to access or share information within the scope of the information sharing environment for a particular purpose that the Federal Government, through an appropriate process, has determined to be lawfully permissible for a particular agency, component, or employee (commonly known as an `authorized use' standard); and

      • `(D) the use of anonymized data by Federal departments, agencies, or components collecting, possessing, disseminating, or handling information within the scope of the information sharing environment, in any cases in which--

        • `(i) the use of such information is reasonably expected to produce results materially equivalent to the use of information that is transferred or stored in a non-anonymized form; and

        • `(ii) such use is consistent with any mission of that department, agency, or component (including any mission under a Federal statute or directive of the President) that involves the storage, retention, sharing, or exchange of personally identifiable information.

    • `(2) DEFINITION- In this subsection, the term `anonymized data' means data in which the individual to whom the data pertains is not identifiable with reasonable efforts, including information that has been encrypted or hidden through the use of other technology.

  • `(k) Additional Positions- The program manager is authorized to hire not more than 40 full-time employees to assist the program manager in--

    • `(1) identifying and resolving information sharing disputes between Federal departments, agencies, and components under subsection (f)(2)(A)(iv); and

    • `(2) other activities associated with the implementation of the information sharing environment, including--

      • `(A) implementing the requirements under subsection (b)(2); and

      • `(B) any additional implementation initiatives to enhance and expedite the creation of the information sharing environment.

  • `(l) Authorization of Appropriations- There is authorized to be appropriated to carry out this section $30,000,000 for each of fiscal years 2008 and 2009.'.

SEC. 113. INTELLIGENCE TRAINING DEVELOPMENT FOR STATE AND LOCAL GOVERNMENT OFFICIALS.

  • (a) Curriculum- The Secretary, acting through the Chief Intelligence Officer, shall--

    • (1) develop curriculum for the training of State, local, and tribal government officials relating to the handling, review, and development of intelligence material; and

    • (2) ensure that the curriculum includes executive level training.

  • (b) Training- To the extent possible, the Federal Law Enforcement Training Center and other existing Federal entities with the capacity and expertise to train State, local, and tribal government officials based on the curriculum developed under subsection (a) shall be used to carry out the training programs created under this section. If such entities do not have the capacity, resources, or capabilities to conduct such training, the Secretary may approve another entity to conduct the training.

  • (c) Consultation- In carrying out the duties described in subsection (a), the Chief Intelligence Officer shall consult with the Director of the Federal Law Enforcement Training Center, the Attorney General, the Director of National Intelligence, the Administrator of the Federal Emergency Management Agency, and other appropriate parties, such as private industry, institutions of higher education, nonprofit institutions, and other intelligence agencies of the Federal Government.

  • (d) Authorization of Appropriations- There are authorized to be appropriated such sums as are necessary to carry out this section.

SEC. 114. INFORMATION SHARING INCENTIVES.

  • (a) Awards- In making cash awards under chapter 45 of title 5, United States Code, the President or the head of an agency, in consultation with the program manager designated under section 1016 of the Intelligence Reform and Terrorist Prevention Act of 2004 (6 U.S.C. 485), may consider the success of an employee in sharing information within the scope of the information sharing environment established under that section in a manner consistent with any policies, guidelines, procedures, instructions, or standards established by the President or, as appropriate, the program manager of that environment for the implementation and management of that environment.

  • (b) Other Incentives- The head of each department or agency described in section 1016(i) of the Intelligence Reform and Terrorist Prevention Act of 2004 (6 U.S.C. 485(i)), in consultation with the program manager designated under section 1016 of the Intelligence Reform and Terrorist Prevention Act of 2004 (6 U.S.C. 485), shall adopt best practices regarding effective ways to educate and motivate officers and employees of the Federal Government to engage in the information sharing environment, including--

    • (1) promotions and other nonmonetary awards; and

    • (2) publicizing information sharing accomplishments by individual employees and, where appropriate, the tangible end benefits that resulted.

Subtitle B--Homeland Security Information Sharing Partnerships

SEC. 121. STATE, LOCAL, AND REGIONAL FUSION CENTER INITIATIVE.

  • (a) In General- Subtitle A of title II of the Homeland Security Act of 2002 (6 U.S.C. 121 et seq.), as amended by this Act, is amended by adding at the end the following:

`SEC. 206. STATE, LOCAL, AND REGIONAL FUSION CENTER INITIATIVE.

  • `(a) Definitions- In this section--

    • `(1) the term `Chief Intelligence Officer' means the Chief Intelligence Officer of the Department;

    • `(2) the term `fusion center' means a collaborative effort of 2 or more Federal, State, local, or tribal government agencies that combines resources, expertise, or information with the goal of maximizing the ability of such agencies to detect, prevent, investigate, apprehend, and respond to criminal or terrorist activity;

    • `(3) the term `information sharing environment' means the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485);

    • `(4) the term `intelligence analyst' means an individual who regularly advises, administers, supervises, or performs work in the collection, analysis, evaluation, reporting, production, or dissemination of information on political, economic, social, cultural, physical, geographical, scientific, or military conditions, trends, or forces in foreign or domestic areas that directly or indirectly affect national security;

    • `(5) the term `intelligence-led policing' means the collection and analysis of information to produce an intelligence end product designed to inform law enforcement decision making at the tactical and strategic levels; and

    • `(6) the term `terrorism information' has the meaning given that term in section 1016 of the Intelligence Reform and Terrorist Prevention Act of 2004 (6 U.S.C. 485).

  • `(b) Establishment- The Secretary, in consultation with the program manager of the information sharing environment established under section 1016 of the Intelligence Reform and Terrorist Prevention Act of 2004 (6 U.S.C. 485), the Attorney General, the Privacy Officer of the Department, the Officer for Civil Rights and Civil Liberties of the Department, and the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorist Prevention Act of 2004 (5 U.S.C. 601 note), shall establish a State, Local, and Regional Fusion Center Initiative to establish partnerships with State, local, and regional fusion centers.

  • `(c) Department Support and Coordination- Through the State, Local, and Regional Fusion Center Initiative, the Secretary shall--

    • `(1) coordinate with the principal officer of each State, local, or regional fusion center and the officer designated as the Homeland Security Advisor of the State;

    • `(2) provide operational and intelligence advice and assistance to State, local, and regional fusion centers;

    • `(3) support efforts to include State, local, and regional fusion centers into efforts to establish an information sharing environment;

    • `(4) conduct exercises, including live training exercises, to regularly assess the capability of individual and regional networks of State, local, and regional fusion centers to integrate the efforts of such networks with the efforts of the Department;

    • `(5) coordinate with other relevant Federal entities engaged in homeland security-related activities;

    • `(6) provide analytic and reporting advice and assistance to State, local, and regional fusion centers;

    • `(7) review homeland security information gathered by State, local, and regional fusion centers and incorporate relevant information with homeland security information of the Department;

    • `(8) provide management assistance to State, local, and regional fusion centers;

    • `(9) serve as a point of contact to ensure the dissemination of relevant homeland security information;

    • `(10) facilitate close communication and coordination between State, local, and regional fusion centers and the Department;

    • `(11) provide State, local, and regional fusion centers with expertise on Department resources and operations;

    • `(12) provide training to State, local, and regional fusion centers and encourage such fusion centers to participate in terrorist threat-related exercises conducted by the Department; and

    • `(13) carry out such other duties as the Secretary determines are appropriate.

  • `(d) Personnel Assignment-

    • `(1) IN GENERAL- The Chief Intelligence Officer may, to the maximum extent practicable, assign officers and intelligence analysts from components of the Department to State, local, and regional fusion centers.

    • `(2) PERSONNEL SOURCES- Officers and intelligence analysts assigned to fusion centers under this subsection may be assigned from the following Department components, in consultation with the respective component head:

      • `(A) Office of Intelligence and Analysis, or its successor.

      • `(B) Office of Infrastructure Protection.

      • `(C) Transportation Security Administration.

      • `(D) United States Customs and Border Protection.

      • `(E) United States Immigration and Customs Enforcement.

      • `(F) United States Coast Guard.

      • `(G) Other intelligence components of the Department, as determined by the Secretary.

    • `(3) PARTICIPATION-

      • `(A) IN GENERAL- The Secretary may develop qualifying criteria for a fusion center to participate in the assigning of Department officers or intelligence analysts under this section.

      • `(B) CRITERIA- Any criteria developed under subparagraph (A) may include--

        • `(i) whether the fusion center, through its mission and governance structure, focuses on a broad counterterrorism approach, and whether that broad approach is pervasive through all levels of the organization;

        • `(ii) whether the fusion center has sufficient numbers of adequately trained personnel to support a broad counterterrorism mission;

        • `(iii) whether the fusion center has--

          • `(I) access to relevant law enforcement, emergency response, private sector, open source, and national security data; and

          • `(II) the ability to share and analytically exploit that data for authorized purposes;

        • `(iv) whether the fusion center is adequately funded by the State, local, or regional government to support its counterterrorism mission; and

        • `(v) the relevancy of the mission of the fusion center to the particular source component of Department officers or intelligence analysts.

    • `(4) PREREQUISITE-

      • `(A) INTELLIGENCE ANALYSIS, PRIVACY, AND CIVIL LIBERTIES TRAINING- Before being assigned to a fusion center under this section, an officer or intelligence analyst shall undergo--

        • `(i) appropriate intelligence analysis or information sharing training using an intelligence-led policing curriculum that is consistent with--

          • `(I) standard training and education programs offered to Department law enforcement and intelligence personnel; and

          • `(II) the Criminal Intelligence Systems Operating Policies under part 23 of title 28, Code of Federal Regulations (or any corresponding similar regulation or ruling);

        • `(ii) appropriate privacy and civil liberties training that is developed, supported, or sponsored by the Privacy Officer appointed under section 222 and the Officer for Civil Rights and Civil Liberties of the Department, in partnership with the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorism Prevention Act of 2004 (5 U.S.C. 601 note); and

        • `(iii) such other training prescribed by the Chief Intelligence Officer.

      • `(B) PRIOR WORK EXPERIENCE IN AREA- In determining the eligibility of an officer or intelligence analyst to be assigned to a fusion center under this section, the Chief Intelligence Officer shall consider the familiarity of the officer or intelligence analyst with the State, locality, or region, as determined by such factors as whether the officer or intelligence analyst--

        • `(i) has been previously assigned in the geographic area; or

        • `(ii) has previously worked with intelligence officials or emergency response providers from that State, locality, or region.

    • `(5) EXPEDITED SECURITY CLEARANCE PROCESSING- The Chief Intelligence Officer--

      • `(A) shall ensure that each officer or intelligence analyst assigned to a fusion center under this section has the appropriate clearance to contribute effectively to the mission of the fusion center; and

      • `(B) may request that security clearance processing be expedited for each such officer or intelligence analyst.

    • `(6) FURTHER QUALIFICATIONS- Each officer or intelligence analyst assigned to a fusion center under this section shall satisfy any other qualifications the Chief Intelligence Officer may prescribe.

  • `(e) Responsibilities- An officer or intelligence analyst assigned to a fusion center under this section shall--

    • `(1) assist law enforcement agencies and other emergency response providers of State, local, and tribal governments and fusion center personnel in using Federal homeland security information to develop a comprehensive and accurate threat picture;

    • `(2) review homeland security-relevant information from law enforcement agencies and other emergency response providers of State, local, and tribal government;

    • `(3) create intelligence and other information products derived from such information and other homeland security-relevant information provided by the Department;

    • `(4) assist in the dissemination of such products, under the coordination of the Chief Intelligence Officer, to law enforcement agencies and other emergency response providers of State, local, and tribal government; and

    • `(5) assist in the dissemination of such products to the Chief Intelligence Officer for collection and dissemination to other fusion centers.

  • `(f) Database Access- In order to fulfill the objectives described under subsection (e), each officer or intelligence analyst assigned to a fusion center under this section shall have direct access to all relevant Federal databases and information systems, consistent with any policies, guidelines, procedures, instructions, or standards established by the President or, as appropriate, the program manager of the information sharing environment for the implementation and management of that environment.

  • `(g) Consumer Feedback-

    • `(1) IN GENERAL- The Secretary shall create a mechanism for any State, local, or tribal emergency response provider who is a consumer of the intelligence or other information products described under subsection (e) to voluntarily provide feedback to the Department on the quality and utility of such intelligence products.

    • `(2) RESULTS- The results of the voluntary feedback under paragraph (1) shall be provided electronically to Congress and appropriate personnel of the Department.

  • `(h) Rule of Construction-

    • `(1) IN GENERAL- The authorities granted under this section shall supplement the authorities granted under section 201(d) and nothing in this section shall be construed to abrogate the authorities granted under section 201(d).

    • `(2) PARTICIPATION- Nothing in this section shall be construed to require a State, local, or regional government or entity to accept the assignment of officers or intelligence analysts of the Department into the fusion center of that State, locality, or region.

  • `(i) Guidelines- The Secretary, in consultation with the Attorney General of the United States, shall establish guidelines for fusion centers operated by State and local governments, to include standards that any such fusion center shall--

    • `(1) collaboratively develop a mission statement, identify expectations and goals, measure performance, and determine effectiveness for that fusion center;

    • `(2) create a representative governance structure that includes emergency response providers and, as appropriate, the private sector;

    • `(3) create a collaborative environment for the sharing of information and intelligence among Federal, State, tribal, and local government agencies (including emergency response providers), the private sector, and the public, consistent with any policies, guidelines, procedures, instructions, or standards established by the President or, as appropriate, the program manager of the information sharing environment;

    • `(4) leverage the databases, systems, and networks available from public and private sector entities to maximize information sharing;

    • `(5) develop, publish, and adhere to a privacy and civil liberties policy consistent with Federal, State, and local law;

    • `(6) ensure appropriate security measures are in place for the facility, data, and personnel;

    • `(7) select and train personnel based on the needs, mission, goals, and functions of that fusion center;

    • `(8) offer a variety of intelligence services and products to recipients of fusion center intelligence and information; and

    • `(9) incorporate emergency response providers, and, as appropriate, the private sector, into all relevant phases of the intelligence and fusion process through full time representatives or liaison officers.

  • `(j) Authorization of Appropriations- Except for subsection (i), there are authorized to be appropriated $10,000,000 for each of fiscal years 2008 through 2012, to carry out this section, including for hiring officers and intelligence analysts to replace officers and intelligence analysts who are assigned to fusion centers under this section.'.

  • (b) Technical and Conforming Amendment- The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended by inserting after the item relating to section 205, as added by this Act, the following:

    • `Sec. 206. State, Local, and Regional Information Fusion Center Initiative.'.

  • (c) Reports-

    • (1) CONCEPT OF OPERATIONS- Not later than 90 days after the date of enactment of this Act and before the State, Local, and Regional Fusion Center Initiative under section 206 of the Homeland Security Act of 2002, as added by subsection (a), (in this section referred to as the `program') has been implemented, the Secretary, in consultation with the Privacy Officer of the Department, the Officer for Civil Rights and Civil Liberties of the Department, and the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorist Prevention Act of 2004 (5 U.S.C. 601 note), shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report that contains a concept of operations for the program, which shall--

      • (A) include a clear articulation of the purposes, goals, and specific objectives for which the program is being developed;

      • (B) identify stakeholders in the program and provide an assessment of their needs;

      • (C) contain a developed set of quantitative metrics to measure, to the extent possible, program output;

      • (D) contain a developed set of qualitative instruments (including surveys and expert interviews) to assess the extent to which stakeholders believe their needs are being met; and

      • (E) include a privacy and civil liberties impact assessment.

    • (2) PRIVACY AND CIVIL LIBERTIES- Not later than 1 year after the date on which the program is implemented, the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorist Prevention Act of 2004 (5 U.S.C. 601 note), in consultation with the Privacy Officer of the Department and the Officer for Civil Rights and Civil Liberties of the Department, shall submit to Congress, the Secretary, and the Chief Intelligence Officer of the Department a report on the privacy and civil liberties impact of the program.

SEC. 122. HOMELAND SECURITY INFORMATION SHARING FELLOWS PROGRAM.

  • (a) Establishment of Program- Subtitle A of title II of the Homeland Security Act of 2002 (6 U.S.C. 121 et seq.), as amended by this Act, is amended by adding at the end the following:

`SEC. 207. HOMELAND SECURITY INFORMATION SHARING FELLOWS PROGRAM.

  • `(a) Establishment-

    • `(1) IN GENERAL- The Secretary, acting through the Chief Intelligence Officer, and in consultation with the Chief Human Capital Officer, shall establish a fellowship program in accordance with this section for the purpose of--

      • `(A) detailing State, local, and tribal law enforcement officers and intelligence analysts to the Department in accordance with subchapter VI of chapter 33 of title 5, United States Code, to participate in the work of the Office of Intelligence and Analysis in order to become familiar with--

        • `(i) the relevant missions and capabilities of the Department and other Federal agencies; and

        • `(ii) the role, programs, products, and personnel of the Office of Intelligence and Analysis; and

      • `(B) promoting information sharing between the Department and State, local, and tribal law enforcement officers and intelligence analysts by assigning such officers and analysts to--

        • `(i) serve as a point of contact in the Department to assist in the representation of State, local, and tribal homeland security information needs;

        • `(ii) identify homeland security information of interest to State, local, and tribal law enforcement officers, emergency response providers, and intelligence analysts; and

        • `(iii) assist Department analysts in preparing and disseminating terrorism-related products that are tailored to State, local, and tribal emergency response providers, law enforcement officers, and intelligence analysts and designed to prepare for and thwart terrorist attacks.

    • `(2) PROGRAM NAME- The program under this section shall be known as the `Homeland Security Information Sharing Fellows Program'.

  • `(b) Eligibility-

    • `(1) IN GENERAL- In order to be eligible for selection as an Information Sharing Fellow under the program under this section, an individual shall--

      • `(A) have homeland security-related responsibilities;

      • `(B) be eligible for an appropriate national security clearance;

      • `(C) possess a valid need for access to classified information, as determined by the Chief Intelligence Officer;

      • `(D) be an employee of an eligible entity; and

      • `(E) have undergone appropriate privacy and civil liberties training that is developed, supported, or sponsored by the Privacy Officer and the Officer for Civil Rights and Civil Liberties, in partnership with the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorist Prevention Act of 2004 (5 U.S.C. 601 note).

    • `(2) ELIGIBLE ENTITIES- In this subsection, the term `eligible entity' means--

      • `(A) a State, local, or regional fusion center;

      • `(B) a State or local law enforcement or other government entity that serves a major metropolitan area, suburban area, or rural area, as determined by the Secretary;

      • `(C) a State or local law enforcement or other government entity with port, border, or agricultural responsibilities, as determined by the Secretary;

      • `(D) a tribal law enforcement or other authority; or

      • `(E) such other entity as the Secretary determines is appropriate.

  • `(c) Optional Participation- No State, local, or tribal law enforcement or other government entity shall be required to participate in the Homeland Security Information Sharing Fellows Program.

  • `(d) Procedures for Nomination and Selection-

    • `(1) IN GENERAL- The Chief Intelligence Officer shall establish procedures to provide for the nomination and selection of individuals to participate in the Homeland Security Information Sharing Fellows Program.

    • `(2) LIMITATIONS- The Chief Intelligence Officer shall--

      • `(A) select law enforcement officers and intelligence analysts representing a broad cross-section of State, local, and tribal agencies; and

      • `(B) ensure that the number of Information Sharing Fellows selected does not impede the activities of the Office of Intelligence and Analysis.

  • `(e) Definitions- In this section--

    • `(1) the term `Chief Intelligence Officer' means the Chief Intelligence Officer of the Department; and

    • `(2) the term `Office of Intelligence and Analysis' means the office of the Chief Intelligence Officer.'.

  • (b) Technical and Conforming Amendment- The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended by inserting after the item relating to section 206, as added by this Act, the following:

    • `Sec. 207. Homeland Security Information Sharing Fellows Program.'.

  • (c) Reports-

    • (1) CONCEPT OF OPERATIONS- Not later than 90 days after the date of enactment of this Act, and before the implementation of the Homeland Security Information Sharing Fellows Program under section 207 of the Homeland Security Act of 2002, as added by subsection (a), (in this section referred to as the `Program') the Secretary, in consultation with the Privacy Officer of the Department, the Officer for Civil Rights and Civil Liberties of the Department, and the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorist Prevention Act of 2004 (5 U.S.C. 601 note), shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report that contains a concept of operations for the Program, which shall include a privacy and civil liberties impact assessment.

    • (2) REVIEW OF PRIVACY IMPACT- Not later than 1 year after the date on which the Program is implemented, the Privacy and Civil Liberties Oversight Board established under section 1061 of the Intelligence Reform and Terrorist Prevention Act of 2004 (5 U.S.C. 601 note), in consultation with the Privacy Officer of the Department and the Officer for Civil Rights and Civil Liberties of the Department, shall submit to Congress, the Secretary, and the Chief Intelligence Officer of the Department a report on the privacy and civil liberties impact of the Program.

SEC. 123. RURAL POLICING INSTITUTE.

  • (a) In General- There is established a Rural Policing Institute, which shall be administered by the Office of State and Local Training of the Federal Law Enforcement Training Center (based in Glynco, Georgia), to--

    • (1) evaluate the needs of law enforcement agencies of units of local government and tribal governments located in rural areas;

    • (2) develop expert training programs designed to address the needs of rural law enforcement agencies regarding combating methamphetamine addiction and distribution, domestic violence, law enforcement response related to school shootings, and other topics identified in the evaluation conducted under paragraph (1);

    • (3) provide the training programs described in paragraph (2) to law enforcement agencies of units of local government and tribal governments located in rural areas; and

    • (4) conduct outreach efforts to ensure that training programs under the Rural Policing Institute reach law enforcement officers of units of local government and tribal governments located in rural areas.

  • (b) Curricula- The training at the Rural Policing Institute established under subsection (a) shall be configured in a manner so as to not duplicate or displace any law enforcement program of the Federal Law Enforcement Training Center in existence on the date of enactment of this Act.

  • (c) Definition- In this section, the term `rural' means area that is not located in a metropolitan statistical area, as defined by the Office of Management and Budget.

  • (d) Authorization of Appropriations- There are authorized to be appropriated to carry out this section (including for contracts, staff, and equipment)--

    • (1) $10,000,000 for fiscal year 2008; and

    • (2) $5,000,000 for each of fiscal years 2009 through 2013.

Subtitle C--Interagency Threat Assessment and Coordination Group

SEC. 131. INTERAGENCY THREAT ASSESSMENT AND COORDINATION GROUP.

  • (a) In General- As part of efforts to establish the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485), the program manager shall oversee and coordinate the creation and ongoing operation of an Interagency Threat Assessment and Coordination Group (in this section referred to as the `ITACG').

  • (b) Responsibilities- The ITACG shall facilitate the production of federally coordinated products derived from information within the scope of the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485) and intended for distribution to State, local, and tribal government officials and the private sector.

  • (c) Operations-

    • (1) IN GENERAL- The ITACG shall be located at the facilities of the National Counterterrorism Center of the Office of the Director of National Intelligence.

    • (2) MANAGEMENT-

      • (A) IN GENERAL- The Secretary shall assign a senior level officer to manage and direct the administration of the ITACG.

      • (B) DISTRIBUTION- The Secretary, in consultation with the Attorney General and the heads of other agencies, as appropriate, shall determine how specific products shall be distributed to State, local, and tribal officials and private sector partners under this section.

      • (C) STANDARDS FOR ADMISSION- The Secretary, acting through the Chief Intelligence Officer and in consultation with the Director of National Intelligence, the Attorney General, and the program manager of the information sharing environment established under section 1016 of the Intelligence Reform and Terrorist Prevention Act of 2004 (6 U.S.C. 485), shall establish standards for the admission of law enforcement and intelligence officials from a State, local, or tribal government into the ITACG.

  • (d) Membership-

    • (1) IN GENERAL- The ITACG shall include representatives of--

      • (A) the Department;

      • (B) the Federal Bureau of Investigation;

      • (C) the Department of Defense;

      • (D) the Department of Energy;

      • (E) law enforcement and intelligence officials from State, local, and tribal governments, as appropriate; and

      • (F) other Federal entities as appropriate.

    • (2) CRITERIA- The program manager for the information sharing environment, in consultation with the Secretary of Defense, the Secretary, the Director of National Intelligence, and the Director of the Federal Bureau of Investigation shall develop qualifying criteria and establish procedures for selecting personnel assigned to the ITACG and for the proper handling and safeguarding of information related to terrorism.

  • (e) Inapplicability of the Federal Advisory Committee Act- The ITACG and any subsidiary groups thereof shall not be subject to the requirements of the Federal Advisory Committee Act (5 U.S.C. App.).

TITLE II--HOMELAND SECURITY GRANTS

SEC. 201. SHORT TITLE.

  • This title may be cited as the `Homeland Security Grant Enhancement Act of 2007'.

SEC. 202. HOMELAND SECURITY GRANT PROGRAM.

  • The Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended by adding at the end the following:

`TITLE XX--HOMELAND SECURITY GRANTS

`SEC. 2001. DEFINITIONS.

  • `In this title, the following definitions shall apply:

    • `(1) ADMINISTRATOR- The term `Administrator' means the Administrator of the Federal Emergency Management Agency.

    • `(2) COMBINED STATISTICAL AREA- The term `combined statistical area' means a combined statistical area, as defined by the Office of Management and Budget.

    • `(3) DIRECTLY ELIGIBLE TRIBE- The term `directly eligible tribe' means--

      • `(A) any Indian tribe that--

        • `(i) is located in the continental United States;

        • `(ii) operates a law enforcement or emergency response agency with the capacity to respond to calls for law enforcement or emergency services;

        • `(iii) is located--

          • `(I) on, or within 50 miles of, an international border or a coastline bordering an ocean or international waters;

          • `(II) within 10 miles of critical infrastructure or has critical infrastructure within its territory; or

          • `(III) within or contiguous to 1 of the 50 largest metropolitan statistical areas in the United States; and

        • `(iv) certifies to the Secretary that a State is not making funds distributed under this title available to the Indian tribe or consortium of Indian tribes for the purpose for which the Indian tribe or consortium of Indian tribes is seeking grant funds; and

      • `(B) a consortium of Indian tribes, if each tribe satisfies the requirements of subparagraph (A).

    • `(4) ELIGIBLE METROPOLITAN AREA- The term `eligible metropolitan area' means the following:

      • `(A) IN GENERAL- A combination of 2 or more incorporated municipalities, counties, parishes, or Indian tribes that--

        • `(i) is within--

          • `(I) any of the 100 largest metropolitan statistical areas in the United States; or

          • `(II) any combined statistical area, of which any metropolitan statistical area described in subparagraph (A) is a part; and

        • `(ii) includes the city with the largest population in that metropolitan statistical area.

      • `(B) OTHER COMBINATIONS- Any other combination of contiguous local or tribal governments that are formally certified by the Administrator as an eligible metropolitan area for purposes of this title with the consent of the State or States in which such local or tribal governments are located.

      • `(C) INCLUSION OF ADDITIONAL LOCAL GOVERNMENTS- An eligible metropolitan area may include additional local or tribal governments outside the relevant metropolitan statistical area or combined statistical area that are likely to be affected by, or be called upon to respond to, a terrorist attack within the metropolitan statistical area.

    • `(5) INDIAN TRIBE- The term `Indian tribe' has the meaning given that term in section 4(e) of the Indian Self-Determination Act (25 U.S.C. 450b(e)).

    • `(6) METROPOLITAN STATISTICAL AREA- The term `metropolitan statistical area' means a metropolitan statistical area, as defined by the Office of Management and Budget.

    • `(7) NATIONAL SPECIAL SECURITY EVENT- The term `National Special Security Event' means a designated event that, by virtue of its political, economic, social, or religious significance, may be the target of terrorism or other criminal activity.

    • `(8) POPULATION- The term `population' means population according to the most recent United States census population estimates available at the start of the relevant fiscal year.

    • `(9) POPULATION DENSITY- The term `population density' means population divided by land area in square miles.

    • `(10) TARGET CAPABILITIES- The term `target capabilities' means the target capabilities for Federal, State, local, and tribal government preparedness for which guidelines are required to be established under section 646(a) of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 746(a)).

    • `(11) TRIBAL GOVERNMENT- The term `tribal government' means the government of an Indian tribe.

`SEC. 2002. HOMELAND SECURITY GRANT PROGRAM.

  • `(a) Grants Authorized- The Secretary, through the Administrator, may award grants to State, local, and tribal governments for the purposes of this title.

  • `(b) Programs Not Affected- This title shall not be construed to affect any authority to award grants under any of the following Federal programs:

    • `(1) The firefighter assistance programs authorized under section 33 and 34 of the Federal Fire Prevention and Control Act of 1974 (15 U.S.C. 2229 and 2229a).

    • `(2) The Urban Search and Rescue Grant Program authorized under the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5121 et seq.).

    • `(3) Grants to protect critical infrastructure, including port security grants authorized under section 70107 of title 46, United States Code, and the grants authorized in title XIV and XV of the Improving America's Security Act of 2007.

    • `(4) The Metropolitan Medical Response System authorized under section 635 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 723).

    • `(5) Grant programs other than those administered by the Department.

  • `(c) Relationship to Other Laws-

    • `(1) IN GENERAL- The grant programs authorized under this title shall supercede all grant programs authorized under section 1014 of the USA PATRIOT Act (42 U.S.C. 3714).

    • `(2) PROGRAM INTEGRITY- Each grant program under this title, section 1809 of this Act, or section 662 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 763) shall include, consistent with the Improper Payments Information Act of 2002 (31 U.S.C. 3321 note), policies and procedures for--

      • `(A) identifying activities funded under any such grant program that are susceptible to significant improper payments; and

      • `(B) reporting the incidence of improper payments to the Department.

    • `(3) ALLOCATION- Except as provided under paragraph (2) of this subsection, the allocation of grants authorized under this title shall be governed by the terms of this title and not by any other provision of law.

  • `(d) Minimum Performance Requirements-

    • `(1) IN GENERAL- The Administrator shall--

      • `(A) establish minimum performance requirements for entities that receive homeland security grants;

      • `(B) conduct, in coordination with State, regional, local, and tribal governments receiving grants under this title, section 1809 of this Act, or section 662 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 763), simulations and exercises to test the minimum performance requirements established under subparagraph (A) for--

        • `(i) emergencies (as that term is defined in section 102 of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5122)) and major disasters not less than twice each year; and

        • `(ii) catastrophic incidents (as that term is defined in section 501) not less than once each year; and

      • `(C) ensure that entities that the Administrator determines are failing to demonstrate minimum performance requirements established under subparagraph (A) shall remedy the areas of failure, not later than the end of the second full fiscal year after the date of such determination by--

        • `(i) establishing a plan for the achievement of the minimum performance requirements under subparagraph (A), including--

          • `(I) developing intermediate indicators for the 2 fiscal years following the date of such determination; and

          • `(II) conducting additional simulations and exercises; and

        • `(ii) revising an entity's homeland security plan, if necessary, to achieve the minimum performance requirements under subparagraph (A).

    • `(2) WAIVER- At the discretion of the Administrator, the occurrence of an actual emergency, major disaster, or catastrophic incident in an area may be deemed as a simulation under paragraph (1)(B).

    • `(3) REPORT TO CONGRESS- Not later than the end of the first full fiscal year after the date of enactment of the Improving America's Security Act of 2007, and each fiscal year thereafter, the Administrator shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and to the Committee on Homeland Security of the House of Representatives a report describing--

      • `(A) the performance of grantees under paragraph (1)(A);

      • `(B) lessons learned through the simulations and exercises under paragraph (1)(B); and

      • `(C) efforts being made to remedy failed performance under paragraph (1)(C).

`SEC. 2003. URBAN AREA SECURITY INITIATIVE.

  • `(a) Establishment- There is established an Urban Area Security Initiative to provide grants to assist high-risk metropolitan areas in preventing, preparing for, protecting against, responding to, and recovering from acts of terrorism.

  • `(b) Application-

    • `(1) IN GENERAL- An eligible metropolitan area may apply for grants under this section.

    • `(2) ANNUAL APPLICATIONS- Applicants for grants under this section shall apply or reapply on an annual basis for grants distributed under the program.

    • `(3) INFORMATION- In an application for a grant under this section, an eligible metropolitan area shall submit--

      • `(A) a plan describing the proposed division of responsibilities and distribution of funding among the local and tribal governments in the eligible metropolitan area;

      • `(B) the name of an individual to serve as a metropolitan area liaison with the Department and among the various jurisdictions in the metropolitan area; and

      • `(C) such information in support of the application as the Administrator may reasonably require.

  • `(c) State Review and Transmission-

    • `(1) IN GENERAL- To ensure consistency with State homeland security plans, an eligible metropolitan area applying for a grant under this section shall submit its application to each State within which any part of the eligible metropolitan area is located for review before submission of such application to the Department.

    • `(2) DEADLINE- Not later than 30 days after receiving an application from an eligible metropolitan area under paragraph (1), each such State shall transmit the application to the Department.

    • `(3) STATE DISAGREEMENT- If the Governor of any such State determines that an application of an eligible metropolitan area is inconsistent with the State homeland security plan of that State, or otherwise does not support the application, the Governor shall--

      • `(A) notify the Administrator, in writing, of that fact; and

      • `(B) provide an explanation of the reason for not supporting the application at the time of transmission of the application.

  • `(d) Prioritization- In allocating funds among metropolitan areas applying for grants under this section, the Administrator shall consider--

    • `(1) the relative threat, vulnerability, and consequences faced by the eligible metropolitan area from a terrorist attack, including consideration of--

      • `(A) the population of the eligible metropolitan area, including appropriate consideration of military, tourist, and commuter populations;

      • `(B) the population density of the eligible metropolitan area;

      • `(C) the history of threats faced by the eligible metropolitan area, including--

        • `(i) whether there has been a prior terrorist attack in the eligible metropolitan area; and

        • `(ii) whether any part of the eligible metropolitan area, or any critical infrastructure or key resource within the eligible metropolitan area, has ever experienced a higher threat level under the Homeland Security Advisory System than other parts of the United States;

      • `(D) the degree of threat, vulnerability, and consequences to the eligible metropolitan area related to critical infrastructure or key resources identified by the Secretary or the State homeland security plan, including threats, vulnerabilities, and consequences from critical infrastructure in nearby jurisdictions;

      • `(E) whether the eligible metropolitan area is located at or near an international border;

      • `(F) whether the eligible metropolitan area has a coastline bordering ocean or international waters;

      • `(G) threats, vulnerabilities, and consequences faced by the eligible metropolitan area related to at-risk sites or activities in nearby jurisdictions, including the need to respond to terrorist attacks arising in those jurisdictions;

      • `(H) the most current threat assessments available to the Department;

      • `(I) the extent to which the eligible metropolitan area has unmet target capabilities;

      • `(J) the extent to which the eligible metropolitan area includes--

        • `(i) all incorporated municipalities, counties, parishes, and Indian tribes within the relevant metropolitan statistical area or combined statistical area the inclusion of which will enhance regional efforts to prevent, prepare for, protect against, respond to, and recover from acts of terrorism; and

        • `(ii) other local governments and tribes that are likely to be called upon to respond to a terrorist attack within the eligible metropolitan area; and

      • `(K) such other factors as are specified in writing by the Administrator; and

    • `(2) the anticipated effectiveness of the proposed spending plan for the eligible metropolitan area in increasing the ability of that eligible metropolitan area to prevent, prepare for, protect against, respond to, and recover from terrorism, to meet its target capabilities, and to otherwise reduce the overall risk to the metropolitan area, the State, and the Nation.

  • `(e) Opportunity to Amend- In considering applications for grants under this section, the Administrator shall provide applicants with a reasonable opportunity to correct defects in the application, if any, before making final awards.

  • `(f) Allowable Uses- Grants awarded under this section may be used to achieve target capabilities, consistent with a State homeland security plan and relevant local and regional homeland security plans, through--

    • `(1) developing and enhancing State, local, or regional plans, risk assessments, or mutual aid agreements;

    • `(2) purchasing, upgrading, storing, or maintaining equipment;

    • `(3) designing, conducting, and evaluating training and exercises, including exercises of mass evacuation plans under section 512 and including the payment of overtime and backfill costs in support of such activities;

    • `(4) responding to an increase in the threat level under the Homeland Security Advisory System, or to the needs resulting from a National Special Security Event, including payment of overtime and backfill costs;

    • `(5) establishing, enhancing, and staffing with appropriately qualified personnel State and local fusion centers that comply with the guidelines established under section 206(i);

    • `(6) protecting critical infrastructure and key resources identified in the Critical Infrastructure List established under section 1101 of the Improving America's Security Act of 2007, including the payment of appropriate personnel costs;

    • `(7) any activity permitted under the Fiscal Year 2007 Program Guidance of the Department for the Urban Area Security Initiative or the Law Enforcement Terrorism Prevention Grant Program, including activities permitted under the full-time counterterrorism staffing pilot; and

    • `(8) any other activity relating to achieving target capabilities approved by the Administrator.

  • `(g) Distribution of Awards to Metropolitan Areas-

    • `(1) IN GENERAL- If the Administrator approves the application of an eligible metropolitan area for a grant under this section, the Administrator shall distribute the grant funds to the State or States in which the eligible metropolitan area is located.

    • `(2) STATE DISTRIBUTION OF FUNDS-

      • `(A) IN GENERAL- Each State shall provide the eligible metropolitan area not less than 80 percent of the grant funds. Any funds retained by a State shall be expended on items or services approved by the Administrator that benefit the eligible metropolitan area.

      • `(B) FUNDS RETAINED- A State shall provide each relevant eligible metropolitan area with an accounting of the items or services on which any funds retained by the State under subparagraph (A) were expended.

    • `(3) MULTISTATE REGIONS- If parts of an eligible metropolitan area awarded a grant are located in 2 or more States, the Secretary shall distribute to each such State--

      • `(A) a portion of the grant funds in accordance with the proposed distribution set forth in the application; or

      • `(B) if no agreement on distribution has been reached, a portion of the grant funds in proportion to each State's share of the population of the eligible metropolitan area.

  • `(h) Authorization of Appropriations- There are authorized to be appropriated for grants under this section--

    • `(1) for fiscal year 2007, such sums as are necessary;

    • `(2) for each of fiscal years 2008, 2009, and 2010, $1,278,639,000; and

    • `(3) for fiscal year 2011, and each fiscal year thereafter, such sums as are necessary.

`SEC. 2004. STATE HOMELAND SECURITY GRANT PROGRAM.

  • `(a) Establishment- There is established a State Homeland Security Grant Program to assist State, local, and tribal governments in preventing, preparing for, protecting against, responding to, and recovering from acts of terrorism.

  • `(b) Application-

    • `(1) IN GENERAL- Each State may apply for a grant under this section, and shall submit such information in support of the application as the Administrator may reasonably require.

    • `(2) ANNUAL APPLICATIONS- Applicants for grants under this section shall apply or reapply on an annual basis for grants distributed under the program.

  • `(c) Prioritization- In allocating funds among States applying for grants under this section, the Administrator shall consider--

    • `(1) the relative threat, vulnerability, and consequences faced by a State from a terrorist attack, including consideration of--

      • `(A) the size of the population of the State, including appropriate consideration of military, tourist, and commuter populations;

      • `(B) the population density of the State;

      • `(C) the history of threats faced by the State, including--

        • `(i) whether there has been a prior terrorist attack in an urban area that is wholly or partly in the State, or in the State itself; and

        • `(ii) whether any part of the State, or any critical infrastructure or key resource within the State, has ever experienced a higher threat level under the Homeland Security Advisory System than other parts of the United States;

      • `(D) the degree of threat, vulnerability, and consequences related to critical infrastructure or key resources identified by the Secretary or the State homeland security plan;

      • `(E) whether the State has an international border;

      • `(F) whether the State has a coastline bordering ocean or international waters;

      • `(G) threats, vulnerabilities, and consequences faced by a State related to at-risk sites or activities in adjacent States, including the State's need to respond to terrorist attacks arising in adjacent States;

      • `(H) the most current threat assessments available to the Department;

      • `(I) the extent to which the State has unmet target capabilities; and

      • `(J) such other factors as are specified in writing by the Administrator;

    • `(2) the anticipated effectiveness of the proposed spending plan of the State in increasing the ability of the State to--

      • `(A) prevent, prepare for, protect against, respond to, and recover from terrorism;

      • `(B) meet the target capabilities of the State; and

      • `(C) otherwise reduce the overall risk to the State and the Nation; and

    • `(3) the need to balance the goal of ensuring the target capabilities of the highest risk areas are achieved quickly and the goal of ensuring that basic levels of preparedness, as measured by the attainment of target capabilities, are achieved nationwide.

  • `(d) Minimum Allocation- In allocating funds under subsection (c), the Administrator shall ensure that, for each fiscal year--

    • `(1) except as provided for in paragraph (2), no State receives less than an amount equal to 0.45 percent of the total funds appropriated for the State Homeland Security Grant Program; and

    • `(2) American Samoa, the Commonwealth of the Northern Mariana Islands, Guam, and the Virgin Islands each receive not less than 0.08 percent of the amounts appropriated for the State Homeland Security Grant Program.

  • `(e) Multistate Partnerships-

    • `(1) IN GENERAL- Instead of, or in addition to, any application for funds under subsection (b), 2 or more States may submit an application under this paragraph for multistate efforts to prevent, prepare for, protect against, respond to, or recover from acts of terrorism.

    • `(2) GRANTEES- Multistate grants may be awarded to either--

      • `(A) an individual State acting on behalf of a consortium or partnership of States with the consent of all member States; or

      • `(B) a group of States applying as a consortium or partnership.

    • `(3) ADMINISTRATION OF GRANT- If a group of States apply as a consortium or partnership such States shall submit to the Secretary at the time of application a plan describing--

      • `(A) the division of responsibilities for administering the grant; and

      • `(B) the distribution of funding among the various States and entities that are party to the application.

  • `(f) Funding for Local and Tribal Governments-

    • `(1) IN GENERAL- The Administrator shall require that, not later than 60 days after receiving grant funding, any State receiving a grant under this section shall make available to local and tribal governments and emergency response providers, consistent with the applicable State homeland security plan--

      • `(A) not less than 80 percent of the grant funds;

      • `(B) with the consent of local and tribal governments, the resources purchased with such grant funds having a value equal to not less than 80 percent of the amount of the grant; or

      • `(C) grant funds combined with resources purchased with the grant funds having a value equal to not less than 80 percent of the amount of the grant.

    • `(2) EXTENSION OF PERIOD- The Governor of a State may request in writing that the Administrator extend the period under paragraph (1) for an additional period of time. The Administrator may approve such a request, and may extend such period for an additional period, if the Administrator determines that the resulting delay in providing grant funding to the local and tribal governments and emergency response providers is necessary to promote effective investments to prevent, prepare for, protect against, respond to, and recover from terrorism, or to meet the target capabilities of the State.

    • `(3) INDIAN TRIBES- States shall be responsible for allocating grant funds received under this section to tribal governments in order to help those tribal communities achieve target capabilities. Indian tribes shall be eligible for funding directly from the States, and shall not be required to seek funding from any local government.

    • `(4) EXCEPTION- Paragraph (1) shall not apply to the District of Columbia, the Commonwealth of Puerto Rico, American Samoa, the Commonwealth of the Northern Mariana Islands, Guam, or the Virgin Islands.

  • `(g) Grants to Directly Eligible Tribes-

    • `(1) IN GENERAL- Notwithstanding subsection (b), the Secretary may award grants to directly eligible tribes under this section.

    • `(2) TRIBAL APPLICATIONS- A directly eligible tribe may apply for a grant under this section by submitting an application to the Administrator that includes the information required for an application by a State under subsection (b).

    • `(3) STATE REVIEW-

      • `(A) IN GENERAL- To ensure consistency with State homeland security plans, a directly eligible tribe applying for a grant under this section shall submit its application to each State within which any part of the tribe is located for review before submission of such application to the Department.

      • `(B) DEADLINE- Not later than 30 days after receiving an application from a directly eligible tribe under subparagraph (A), each such State shall transmit the application to the Department.

      • `(C) STATE DISAGREEMENT- If the Governor of any such State determines that the application of a directly eligible tribe is inconsistent with the State homeland security plan of that State, or otherwise does not support the application, the Governor shall--

        • `(i) notify the Administrator, in writing, of that fact; and

        • `(ii) provide an explanation of the reason for not supporting the application at the time of transmission of the application.

    • `(4) DISTRIBUTION OF AWARDS TO DIRECTLY ELIGIBLE TRIBES- If the Administrator awards funds to a directly eligible tribe under this section, the Administrator shall distribute the grant funds directly to the directly eligible tribe. The funds shall not be distributed to the State or States in which the directly eligible tribe is located.

    • `(5) TRIBAL LIAISON- A directly eligible tribe applying for a grant under this section shall designate a specific individual to serve as the tribal liaison who shall--

      • `(A) coordinate with Federal, State, local, regional, and private officials concerning terrorism preparedness;

      • `(B) develop a process for receiving input from Federal, State, local, regional, and private officials to assist in the development of the application of such tribe and to improve the access of such tribe to grants; and

      • `(C) administer, in consultation with State, local, regional, and private officials, grants awarded to such tribe.

    • `(6) TRIBES RECEIVING DIRECT GRANTS- A directly eligible tribe that receives a grant directly under this section is eligible to receive funds for other purposes under a grant from the State or States within the boundaries of which any part of such tribe is located, consistent with the homeland security plan of the State.

    • `(7) RULE OF CONSTRUCTION- Nothing in this section shall be construed to affect the authority of an Indian tribe that receives funds under this section.

  • `(h) Opportunity To Amend- In considering applications for grants under this section, the Administrator shall provide applicants with a reasonable opportunity to correct defects in the application, if any, before making final awards.

  • `(i) Allowable Uses- Grants awarded under this section may be used to achieve target capabilities, consistent with a State homeland security plan, through--

    • `(1) developing and enhancing State, local, tribal, or regional plans, risk assessments, or mutual aid agreements;

    • `(2) purchasing, upgrading, storing, or maintaining equipment;

    • `(3) designing, conducting, and evaluating training and exercises, including exercises of mass evacuation plans under section 512 and including the payment of overtime and backfill costs in support of such activities;

    • `(4) responding to an increase in the threat level under the Homeland Security Advisory System, including payment of overtime and backfill costs;

    • `(5) establishing, enhancing, and staffing with appropriately qualified personnel State and local fusion centers, that comply with the guidelines established under section 206(i);

    • `(6) protecting critical infrastructure and key resources identified in the Critical Infrastructure List established under section 1101 of the Improving America's Security Act of 2007, including the payment of appropriate personnel costs;

    • `(7) any activity permitted under the Fiscal Year 2007 Program Guidance of the Department for the State Homeland Security Grant Program or the Law Enforcement Terrorism Prevention Grant Program, including activities permitted under the full-time counterterrorism staffing pilot; and

    • `(8) any other activity relating to achieving target capabilities approved by the Administrator.

  • `(j) Authorization of Appropriations- There are authorized to be appropriated for grants under this section--

    • `(1) for fiscal year 2007, such sums as are necessary;

    • `(2) for each of fiscal years 2008, 2009, and 2010, $913,180,500; and

    • `(3) for fiscal year 2011, and each fiscal year thereafter, such sums as are necessary.

`SEC. 2005. TERRORISM PREVENTION.

  • `(a) Law Enforcement Terrorism Prevention Program-

    • `(1) IN GENERAL- The Administrator shall designate not less than 25 percent of the combined amount appropriated for grants under sections 2003 and 2004 to be used for law enforcement terrorism prevention activities.

    • `(2) USE OF FUNDS- Grants awarded under this subsection may be used for--

      • `(A) information sharing to preempt terrorist attacks;

      • `(B) target hardening to reduce the vulnerability of selected high value targets;

      • `(C) threat recognition to recognize the potential or development of a threat;

      • `(D) intervention activities to interdict terrorists before they can execute a threat;

      • `(E) overtime expenses related to a State homeland security plan, including overtime costs associated with providing enhanced law enforcement operations in support of Federal agencies for increased border security and border crossing enforcement;

      • `(F) establishing, enhancing, and staffing with appropriately qualified personnel State and local fusion centers that comply with the guidelines established under section 206(i);

      • `(G) any other activity permitted under the Fiscal Year 2007 Program Guidance of the Department for the Law Enforcement Terrorism Prevention Program; and

      • `(H) any other terrorism prevention activity authorized by the Administrator.

  • `(b) Office for the Prevention of Terrorism-

    • `(1) ESTABLISHMENT- There is established in the Department an Office for the Prevention of Terrorism, which shall be headed by a Director.

    • `(2) DIRECTOR-

      • `(A) REPORTING- The Director of the Office for the Prevention of Terrorism shall report directly to the Secretary.

      • `(B) QUALIFICATIONS- The Director of the Office for the Prevention of Terrorism shall have an appropriate background with experience in law enforcement, intelligence, and other antiterrorist functions.

    • `(3) ASSIGNMENT OF PERSONNEL-

      • `(A) IN GENERAL- The Secretary shall assign to the Office for the Prevention of Terrorism permanent staff and other appropriate personnel detailed from other components of the Department to carry out the responsibilities under this section.

      • `(B) LIAISONS- The Secretary shall designate senior employees from each component of the Department that has significant antiterrorism responsibilities to act as liaisons between that component and the Office for the Prevention of Terrorism.

    • `(4) RESPONSIBILITIES- The Director of the Office for the Prevention of Terrorism shall--

      • `(A) coordinate policy and operations between the Department and State, local, and tribal government agencies relating to preventing acts of terrorism within the United States;

      • `(B) serve as a liaison between State, local, and tribal law enforcement agencies and the Department;

      • `(C) in coordination with the Office of Intelligence and Analysis, develop better methods for the sharing of intelligence with State, local, and tribal law enforcement agencies;

      • `(D) work with the Administrator to ensure that homeland security grants to State, local, and tribal government agencies, including grants under this title, the Commercial Equipment Direct Assistance Program, and grants to support fusion centers and other law enforcement-oriented programs are adequately focused on terrorism prevention activities, including through review of budget requests for those programs; and

      • `(E) coordinate with the Federal Emergency Management Agency, the Department of Justice, the National Institute of Justice, law enforcement organizations, and other appropriate entities to support the development, promulgation, and updating, as necessary, of national voluntary consensus standards for training and personal protective equipment to be used in a tactical environment by law enforcement officers.

    • `(5) PILOT PROJECT-

      • `(A) IN GENERAL- The Director of the Office for the Prevention of Terrorism, in coordination with the Administrator, shall establish a pilot project to determine the efficacy and feasibility of establishing law enforcement deployment teams.

      • `(B) FUNCTION- The law enforcement deployment teams participating in the pilot program under this paragraph shall form the basis of a national network of standardized law enforcement resources to assist State, local, and tribal governments in responding to natural disasters, acts of terrorism, or other man-made disaster.

    • `(6) CONSTRUCTION- Nothing in this section may be construed to affect the roles or responsibilities of the Department of Justice.

`SEC. 2006. RESTRICTIONS ON USE OF FUNDS.

  • `(a) Limitations on Use-

    • `(1) CONSTRUCTION-

      • `(A) IN GENERAL- Grants awarded under this title may not be used to acquire land or to construct buildings or other physical facilities.

      • `(B) EXCEPTIONS-

        • `(i) IN GENERAL- Notwithstanding subparagraph (A), nothing in this paragraph shall prohibit the use of grants awarded under this title to achieve target capabilities through--

          • `(I) the construction of facilities described in section 611 of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5196); or

          • `(II) the alteration or remodeling of existing buildings for the purpose of making such buildings secure against terrorist attacks or able to withstand or protect against chemical, radiological, or biological attacks.

        • `(ii) REQUIREMENTS FOR EXCEPTION- No grant awards may be used for the purposes under clause (i) unless--

          • `(I) specifically approved by the Administrator;

          • `(II) the construction occurs under terms and conditions consistent with the requirements under section 611(j)(9) of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5196(j)(9)); and

          • `(III) the amount allocated for purposes under clause (i) does not exceed 20 percent of the grant award.

    • `(2) PERSONNEL-

      • `(A) IN GENERAL- For any grant awarded under section 2003 or 2004--

        • `(i) not more than 25 percent of the amount awarded to a grant recipient may be used to pay overtime and backfill costs; and

        • `(ii) not more than 25 percent of the amount awarded to the grant recipient may be used to pay personnel costs not described in clause (i).

      • `(B) WAIVER- At the request of the recipient of a grant under section 2003 or section 2004, the Administrator may grant a waiver of any limitation under subparagraph (A).

      • `(C) EXCEPTION. The limitations under subparagraph (A) shall not apply to activities permitted under the full-time counterterrorism staffing pilot, as described in the Fiscal Year 2007 Program Guidance of the Department for the Urban Area Security Initiative.

    • `(3) RECREATION- Grants awarded under this title may not be used for recreational or social purposes.

  • `(b) Multiple-Purpose Funds- Nothing in this title shall be construed to prohibit State, local, or tribal governments from using grant funds under sections 2003 and 2004 in a manner that enhances preparedness for disasters unrelated to acts of terrorism, if such use assists such governments in achieving capabilities for terrorism preparedness established by the Administrator.

  • `(c) Equipment Standards- If an applicant for a grant under this title proposes to upgrade or purchase, with assistance provided under that grant, new equipment or systems that do not meet or exceed any applicable national voluntary consensus standards developed under section 647 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 747), the applicant shall include in its application an explanation of why such equipment or systems will serve the needs of the applicant better than equipment or systems that meet or exceed such standards.

  • `(d) Supplement Not Supplant- Amounts appropriated for grants under this title shall be used to supplement and not supplant other State, local, and tribal government public funds obligated for the purposes provided under this title.

`SEC. 2007. ADMINISTRATION AND COORDINATION.

  • `(a) Administrator- The Administrator shall, in consultation with other appropriate offices within the Department, have responsibility for administering all homeland security grant programs administered by the Department and for ensuring coordination among those programs and consistency in the guidance issued to recipients across those programs.

  • `(b) National Advisory Council- To ensure input from and coordination with State, local, and tribal governments and emergency response providers, the Administrator shall regularly consult and work with the National Advisory Council established under section 508 on the administration and assessment of grant programs administered by the Department, including with respect to the development of program guidance and the development and evaluation of risk-assessment methodologies.

  • `(c) Regional Coordination- The Administrator shall ensure that--

    • `(1) all recipients of homeland security grants administered by the Department, as a condition of receiving those grants, coordinate their prevention, preparedness, and protection efforts with neighboring State, local, and tribal governments, as appropriate; and

    • `(2) all metropolitan areas and other recipients of homeland security grants administered by the Department that include or substantially affect parts or all of more than 1 State, coordinate across State boundaries, including, where appropriate, through the use of regional working groups and requirements for regional plans, as a condition of receiving Departmentally administered homeland security grants.

  • `(d) Planning Committees-

    • `(1) IN GENERAL- Any State or metropolitan area receiving grants under section 2003 or 2004 shall establish a planning committee to assist in preparation and revision of the State, regional, or local homeland security plan and to assist in determining effective funding priorities.

    • `(2) COMPOSITION-

      • `(A) IN GENERAL- The planning committee shall include representatives of significant stakeholders, including--

        • `(i) local and tribal government officials; and

        • `(ii) emergency response providers, which shall include representatives of the fire service, law enforcement, emergency medical response, and emergency managers.

      • `(B) GEOGRAPHIC REPRESENTATION- The members of the planning committee shall be a representative group of individuals from the counties, cities, towns, and Indian tribes within the State or metropolitan areas, including, as appropriate, representatives of rural, high-population, and high-threat jurisdictions.

    • `(3) EXISTING PLANNING COMMITTEES- Nothing in this subsection may be construed to require that any State or metropolitan area create a planning committee if that State or metropolitan area has established and uses a multijurisdictional planning committee or commission that meets the requirements of this subsection.

  • `(e) Interagency Coordination- The Secretary, through the Administrator, in coordination with the Attorney General, the Secretary of Health and Human Services, and other agencies providing assistance to State, local, and tribal governments for preventing, preparing for, protecting against, responding to, and recovering from natural disasters, acts of terrorism, and other man-made disasters, and not later than 12 months after the date of enactment of the Improving America's Security Act of 2007, shall--

    • `(1) compile a comprehensive list of Federal programs that provide assistance to State, local, and tribal governments for preventing, preparing for, and responding to, natural disasters, acts of terrorism, and other man-made disasters;

    • `(2) develop a proposal to coordinate, to the greatest extent practicable, the planning, reporting, application, and other requirements and guidance for homeland security assistance programs to--

      • `(A) eliminate redundant and duplicative requirements, including onerous application and ongoing reporting requirements;

      • `(B) ensure accountability of the programs to the intended purposes of such programs;

      • `(C) coordinate allocation of grant funds to avoid duplicative or inconsistent purchases by the recipients; and

      • `(D) make the programs more accessible and user friendly to applicants; and

    • `(3) submit the information and proposals under paragraphs (1) and (2) to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives.

`SEC. 2008. ACCOUNTABILITY.

  • `(a) Reports to Congress-

    • `(1) FUNDING EFFICACY- The Administrator shall submit to Congress, as a component of the annual Federal Preparedness Report required under section 652 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 752), an evaluation of the extent to which grants Administered by the Department, including the grants established by this title--

      • `(A) have contributed to the progress of State, local, and tribal governments in achieving target capabilities; and

      • `(B) have led to the reduction of risk nationally and in State, local, and tribal jurisdictions.

    • `(2) RISK ASSESSMENT-

      • `(A) IN GENERAL- For each fiscal year, the Administrator shall provide to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a detailed and comprehensive explanation of the methodology used to calculate risk and compute the allocation of funds under sections 2003 and 2004 of this title, including--

        • `(i) all variables included in the risk assessment and the weights assigned to each;

        • `(ii) an explanation of how each such variable, as weighted, correlates to risk, and the basis for concluding there is such a correlation; and

        • `(iii) any change in the methodology from the previous fiscal year, including changes in variables considered, weighting of those variables, and computational methods.

      • `(B) CLASSIFIED ANNEX- The information required under subparagraph (A) shall be provided in unclassified form to the greatest extent possible, and may include a classified annex if necessary.

      • `(C) DEADLINE- For each fiscal year, the information required under subparagraph (A) shall be provided on the earlier of--

        • `(i) October 31; or

        • `(ii) 30 days before the issuance of any program guidance for grants under sections 2003 and 2004.

  • `(b) Reviews and Audits-

    • `(1) DEPARTMENT REVIEW- The Administrator shall conduct periodic reviews of grants made under this title to ensure that recipients allocate funds consistent with the guidelines established by the Department.

    • `(2) GOVERNMENT ACCOUNTABILITY OFFICE-

      • `(A) ACCESS TO INFORMATION- Each recipient of a grant under this title and the Department shall provide the Government Accountability Office with full access to information regarding the activities carried out under this title.

      • `(B) AUDITS AND REPORTS-

        • `(i) AUDIT- Not later than 12 months after the date of enactment of the Improving America's Security Act of 2007, and periodically thereafter, the Comptroller General of the United States shall conduct an audit of grants made under this title.

        • `(ii) REPORT- The Comptroller General of the United States shall submit a report to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives on--

          • `(I) the results of any audit conducted under clause (i), including an analysis of the purposes for which the grant funds authorized under this title are being spent; and

          • `(II) whether the grant recipients have allocated funding consistent with the State homeland security plan and the guidelines established by the Department.

    • `(3) AUDIT REQUIREMENT- Grant recipients that expend $500,000 or more in grant funds received under this title during any fiscal year shall submit to the Administrator an organization-wide financial and compliance audit report in conformance with the requirements of chapter 75 of title 31, United States Code.

    • `(4) RECOVERY AUDITS- The Secretary shall conduct a recovery audit (as that term is defined by the Director of the Office of Management and Budget under section 3561 of title 31, United States Code) for any grant administered by the Department with a total value of $1,000,000 or greater.

  • `(c) Remedies for Noncompliance-

    • `(1) IN GENERAL- If the Administrator finds, after reasonable notice and an opportunity for a hearing, that a recipient of a grant under this title has failed to substantially comply with any provision of this title, or with any regulations or guidelines of the Department regarding eligible expenditures, the Administrator shall--

      • `(A) terminate any payment of grant funds to be made to the recipient under this title;

      • `(B) reduce the amount of payment of grant funds to the recipient by an amount equal to the amount of grants funds that were not expended by the recipient in accordance with this title; or

      • `(C) limit the use of grant funds received under this title to programs, projects, or activities not affected by the failure to comply.

    • `(2) DURATION OF PENALTY- The Administrator shall apply an appropriate penalty under paragraph (1) until such time as the Secretary determines that the grant recipient is in full compliance with this title or with applicable guidelines or regulations of the Department.

    • `(3) DIRECT FUNDING- If a State fails to substantially comply with any provision of this title or with applicable guidelines or regulations of the Department, including failing to provide local or tribal governments with grant funds or resources purchased with grant funds in a timely fashion, a local or tribal government entitled to receive such grant funds or resources may petition the Administrator, at such time and in such manner as determined by the Administrator, to request that grant funds or resources be provided directly to the local or tribal government.

`SEC. 2009. AUDITING.

  • `(a) Audits of Grants-

    • `(1) IN GENERAL- Not later than the date described in paragraph (2), and every 2 years thereafter, the Inspector General of the Department shall conduct an audit of each entity that receives a grant under the Urban Area Security Initiative, the State Homeland Security Grant Program, or the Emergency Management Performance Grant Program to evaluate the use of funds under such grant program by such entity.

    • `(2) TIMING- The date described in this paragraph is the later of 2 years after--

      • `(A) the date of enactment of the Improving America's Security Act of 2007; and

      • `(B) the date that an entity first receives a grant under the Urban Area Security Initiative, the State Homeland Security Grant Program, or the Emergency Management Performance Grant Program, as the case may be.

    • `(3) CONTENTS- Each audit under this subsection shall evaluate--

      • `(A) the use of funds under the relevant grant program by an entity during the 2 full fiscal years before the date of that audit;

      • `(B) whether funds under that grant program were used by that entity as required by law; and

      • `(C)(i) for each grant under the Urban Area Security Initiative or the State Homeland Security Grant Program, the extent to which funds under that grant were used to prepare for, protect against, respond to, or recover from acts of terrorism; and

      • `(ii) for each grant under the Emergency Management Performance Grant Program, the extent to which funds under that grant were used to prevent, prepare for, protect against, respond to, recover from, or mitigate against all hazards, including natural disasters, acts of terrorism, and other man-made disasters.

    • `(4) PUBLIC AVAILABILITY ON WEBSITE- The Inspector General of the Department shall make each audit under this subsection available on the website of the Inspector General.

    • `(5) REPORTING-

      • `(A) IN GENERAL- Not later than 2 years and 60 days after the date of enactment of the Improving America's Security Act of 2007, and annually thereafter, the Inspector General of the Department shall submit to Congress a consolidated report regarding the audits conducted under this subsection.

      • `(B) CONTENTS- Each report submitted under this paragraph shall describe--

        • `(i)(I) for the first such report, the audits conducted under this subsection during the 2-year period beginning on the date of enactment of the Improving America's Security Act of 2007; and

        • `(II) for each subsequent such report, the audits conducted under this subsection during the fiscal year before the date of the submission of that report;

        • `(ii) whether funds under each grant audited during the period described in clause (i) that is applicable to such report were used as required by law; and

        • `(iii)(I) for grants under the Urban Area Security Initiative or the State Homeland Security Grant Program audited, the extent to which, during the period described in clause (i) that is applicable to such report, funds under such grants were used to prepare for, protect against, respond to, or recover from acts of terrorism; and

        • `(II) for grants under the Emergency Management Performance Grant Program audited, the extent to which funds under such grants were used during the period described in clause (i) applicable to such report to prevent, prepare for, protect against, respond to, recover from, or mitigate against all hazards, including natural disasters, acts of terrorism, and other man-made disasters.

  • `(b) Audit of Other Preparedness Grants-

    • `(1) IN GENERAL- Not later than the date described in paragraph (2), the Inspector General of the Department shall conduct an audit of each entity that receives a grant under the Urban Area Security Initiative, the State Homeland Security Grant Program, or the Emergency Management Performance Grant Program to evaluate the use by that entity of any grant for preparedness administered by the Department that was awarded before the date of enactment of the Improving America's Security Act of 2007.

    • `(2) TIMING- The date described in this paragraph is the later of 2 years after--

      • `(A) the date of enactment of the Improving America's Security Act of 2007; and

      • `(B) the date that an entity first receives a grant under the Urban Area Security Initiative, the State Homeland Security Grant Program, or the Emergency Management Performance Grant Program, as the case may be.

    • `(3) CONTENTS- Each audit under this subsection shall evaluate--

      • `(A) the use of funds by an entity under any grant for preparedness administered by the Department that was awarded before the date of enactment of the Improving America's Security Act of 2007;

      • `(B) whether funds under each such grant program were used by that entity as required by law; and

      • `(C) the extent to which such funds were used to enhance preparedness.

    • `(4) PUBLIC AVAILABILITY ON WEBSITE- The Inspector General of the Department shall make each audit under this subsection available on the website of the Inspector General.

    • `(5) REPORTING-

      • `(A) IN GENERAL- Not later than 2 years and 60 days after the date of enactment of the Improving America's Security Act of 2007, and annually thereafter, the Inspector General of the Department shall submit to Congress a consolidated report regarding the audits conducted under this subsection.

      • `(B) CONTENTS- Each report submitted under this paragraph shall describe--

        • `(i)(I) for the first such report, the audits conducted under this subsection during the 2-year period beginning on the date of enactment of the Improving America's Security Act of 2007; and

        • `(II) for each subsequent such report, the audits conducted under this subsection during the fiscal year before the date of the submission of that report;

        • `(ii) whether funds under each grant audited were used as required by law; and

        • `(iii) the extent to which funds under each grant audited were used to enhance preparedness.

  • `(c) Funding for Audits-

    • `(1) IN GENERAL- The Administrator shall withhold 1 percent of the total amount of each grant under the Urban Area Security Initiative, the State Homeland Security Grant Program, and the Emergency Management Performance Grant Program for audits under this section.

    • `(2) AVAILABILITY OF FUNDS- The Administrator shall make amounts withheld under this subsection available as follows:

      • `(A) Amounts withheld from grants under the Urban Area Security Initiative shall be made available for audits under this section of entities receiving grants under the Urban Area Security Initiative.

      • `(B) Amounts withheld from grants under the State Homeland Security Grant Program shall be made available for audits under this section of entities receiving grants under the State Homeland Security Grant Program.

      • `(C) Amounts withheld from grants under the Emergency Management Performance Grant Program shall be made available for audits under this section of entities receiving grants under the Emergency Management Performance Grant Program.

  • `(d) Definition- In this section, the term `Emergency Management Performance Grants Program' means the Emergency Management Performance Grants Program under section 662 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 763; Public Law 109-295).

`SEC. 2010. SENSE OF THE SENATE.

  • `It is the sense of the Senate that, in order to ensure that the Nation is most effectively able to prevent, prepare for, protect against, respond to, recovery from, and mitigate against all hazards, including natural disasters, acts of terrorism, and other man-made disasters--

    • `(1) the Department should administer a coherent and coordinated system of both terrorism-focused and all-hazards grants, the essential building blocks of which include--

      • `(A) the Urban Area Security Initiative and State Homeland Security Grant Program established under this title (including funds dedicated to law enforcement terrorism prevention activities);

      • `(B) the Emergency Communications Operability and Interoperable Communications Grants established under section 1809; and

      • `(C) the Emergency Management Performance Grants Program authorized under section 662 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 763); and

    • `(2) to ensure a continuing and appropriate balance between terrorism-focused and all-hazards preparedness, the amounts appropriated for grants under the Urban Area Security Initiative, State Homeland Security Grant Program, and Emergency Management Performance Grants Program in any fiscal year should be in direct proportion to the amounts authorized for those programs for fiscal year 2008 under the amendments made by titles II and IV, as applicable, of the Improving America's Security Act of 2007.'.

SEC. 203. EQUIPMENT TECHNICAL ASSISTANCE TRAINING.

  • (a) Sense of the Senate- It is the sense of the Senate that the Department of Homeland Security shall conduct no fewer than 7,500 trainings annually through the Domestic Preparedness Equipment Technical Assistance Program.

  • (b) Report- The Secretary of Homeland Security shall report no later than September 30 annually to the Senate Homeland Security and Governmental Affairs Committee, the House Homeland Security Committee, Senate Appropriations Subcommittee on Homeland Security, and the House Appropriations Subcommittee on Homeland Security--

  • (a) on the number of trainings conducted that year through the Domestic Preparedness Equipment Technical Assistance Program; and

  • (b) if the number of trainings conducted that year is less than 7,500, an explanation of why fewer trainings were needed.

SEC. 204. TECHNICAL AND CONFORMING AMENDMENTS.

  • (a) In General- The Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended--

    • (1) by redesignating title XVIII, as added by the SAFE Port Act (Public Law 109-347; 120 Stat. 1884), as title XIX;

    • (2) by redesignating sections 1801 through 1806, as added by the SAFE Port Act (Public Law 109-347; 120 Stat. 1884), as sections 1901 through 1906, respectively;

    • (3) in section 1904(a), as so redesignated, by striking `section 1802' and inserting `section 1902'; and

    • (4) in section 1906, as so redesignated, by striking `section 1802(a)' each place that term appears and inserting `section 1902(a)'.

  • (b) Table of Contents- The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 note) is amended by striking the items relating to title XVIII and sections 1801 through 1806, as added by the SAFE Port Act (Public Law 109-347; 120 Stat. 1884), and inserting the following:

`TITLE XIX--DOMESTIC NUCLEAR DETECTION OFFICE

    • `Sec. 1901. Domestic Nuclear Detection Office.

    • `Sec. 1902. Mission of Office.

    • `Sec. 1903. Hiring authority.

    • `Sec. 1904. Testing authority.

    • `Sec. 1905. Relationship to other Department entities and Federal agencies.

    • `Sec. 1906. Contracting and grant making authorities.

`TITLE XX--HOMELAND SECURITY GRANTS

    • `Sec. 2001. Definitions.

    • `Sec. 2002. Homeland Security Grant Program.

    • `Sec. 2003. Urban Area Security Initiative.

    • `Sec. 2004. State Homeland Security Grant Program.

    • `Sec. 2005. Terrorism prevention.

    • `Sec. 2006. Restrictions on use of funds.

    • `Sec. 2007. Administration and coordination.

    • `Sec. 2008. Accountability.

    • `Sec. 2009. Auditing.

    • `Sec. 2010. Sense of the Senate.'.

TITLE III--COMMUNICATIONS OPERABILITY AND INTEROPERABILITY

SEC. 301. DEDICATED FUNDING TO ACHIEVE EMERGENCY COMMUNICATIONS OPERABILITY AND INTEROPERABLE COMMUNICATIONS.

  • (a) Emergency Communications Operability and Interoperable Communications-

    • (1) IN GENERAL- Title XVIII of the Homeland Security Act of 2002 (6 U.S.C. 571 et seq.) (relating to emergency communications) is amended by adding at the end the following:

`SEC. 1809. EMERGENCY COMMUNICATIONS OPERABILITY AND INTEROPERABLE COMMUNICATIONS GRANTS.

  • `(a) Definitions- In this section:

    • `(1) ADMINISTRATOR- The term `Administrator' means the Administrator of the Federal Emergency Management Agency.

    • `(2) EMERGENCY COMMUNICATIONS OPERABILITY- The term `emergency communications operability' means the ability to provide and maintain, throughout an emergency response operation, a continuous flow of information among emergency response providers, agencies, and government officers from multiple disciplines and jurisdictions and at all levels of government, in the event of a natural disaster, act of terrorism, or other man-made disaster, including where there has been significant damage to, or destruction of, critical infrastructure, including substantial loss of ordinary telecommunications infrastructure and sustained loss of electricity.

  • `(b) In General- The Administrator shall make grants to States for initiatives necessary to achieve, maintain, or enhance Statewide, regional, national and, as appropriate, international emergency communications operability and interoperable communications.

  • `(c) Statewide Interoperable Communications Plans-

    • `(1) SUBMISSION OF PLANS- The Administrator shall require any State applying for a grant under this section to submit a Statewide Interoperable Communications Plan as described under section 7303(f) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(f)).

    • `(2) COORDINATION AND CONSULTATION- The Statewide plan submitted under paragraph (1) shall be developed--

      • `(A) in coordination with local and tribal governments, emergency response providers, and other relevant State officers; and

      • `(B) in consultation with and subject to appropriate comment by the applicable Regional Emergency Communications Coordination Working Group as described under section 1805.

    • `(3) APPROVAL- The Administrator may not award a grant to a State unless the Administrator, in consultation with the Director for Emergency Communications, has approved the applicable Statewide plan.

    • `(4) REVISIONS- A State may revise the applicable Statewide plan approved by the Administrator under this subsection, subject to approval of the revision by the Administrator.

  • `(d) Consistency- The Administrator shall ensure that each grant is used to supplement and support, in a consistent and coordinated manner, any applicable State, regional, or urban area homeland security plan.

  • `(e) Use of Grant Funds- Grants awarded under subsection (b) may be used for initiatives to achieve, maintain, or enhance emergency communications operability and interoperable communications, including--

    • `(1) Statewide or regional communications planning, including governance related activities;

    • `(2) system design and engineering;

    • `(3) system procurement and installation;

    • `(4) exercises;

    • `(5) modeling and simulation exercises for operational command and control functions;

    • `(6) technical assistance;

    • `(7) training; and

    • `(8) other appropriate activities determined by the Administrator to be integral to achieve, maintain, or enhance emergency communications operability and interoperable communications.

  • `(f) Application-

    • `(1) IN GENERAL- A State desiring a grant under this section shall submit an application at such time, in such manner, and accompanied by such information as the Administrator may reasonably require.

    • `(2) MINIMUM CONTENTS- At a minimum, each application submitted under paragraph (1) shall--

      • `(A) identify the critical aspects of the communications life cycle, including planning, system design and engineering, procurement and installation, and training for which funding is requested;

      • `(B) describe how--

        • `(i) the proposed use of funds--

          • `(I) would be consistent with and address the goals in any applicable State, regional, or urban homeland security plan; and

          • `(II) unless the Administrator determines otherwise, are--

`(aa) consistent with the National Emergency Communications Plan under section 1802; and

`(bb) compatible with the national infrastructure and national voluntary consensus standards;

        • `(ii) the applicant intends to spend funds under the grant, to administer such funds, and to allocate such funds among participating local and tribal governments and emergency response providers;

        • `(iii) the State plans to allocate the grant funds on the basis of risk and effectiveness to regions, local and tribal governments to promote meaningful investments for achieving, maintaining, or enhancing emergency communications operability and interoperable communications;

        • `(iv) the State intends to address the emergency communications operability and interoperable communications needs at the city, county, regional, State, and interstate level; and

        • `(v) the State plans to emphasize regional planning and cooperation, both within the jurisdictional borders of that State and with neighboring States;

      • `(C) be consistent with the Statewide Interoperable Communications Plan required under section 7303(f) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(f)); and

      • `(D) include a capital budget and timeline showing how the State intends to allocate and expend the grant funds.

  • `(g) Award of Grants-

    • `(1) CONSIDERATIONS- In approving applications and awarding grants under this section, the Administrator shall consider--

      • `(A) the nature of the threat to the State from a natural disaster, act of terrorism, or other man-made disaster;

      • `(B) the location, risk, or vulnerability of critical infrastructure and key national assets, including the consequences from damage to critical infrastructure in nearby jurisdictions as a result of natural disasters, acts of terrorism, or other man-made disasters;

      • `(C) the size of the population of the State, including appropriate consideration of military, tourist, and commuter populations;

      • `(D) the population density of the State;

      • `(E) the extent to which grants will be utilized to implement emergency communications operability and interoperable communications solutions--

        • `(i) consistent with the National Emergency Communications Plan under section 1802 and compatible with the national infrastructure and national voluntary consensus standards; and

        • `(ii) more efficient and cost effective than current approaches;

      • `(F) the extent to which a grant would expedite the achievement, maintenance, or enhancement of emergency communications operability and interoperable communications in the State with Federal, State, local, and tribal governments;

      • `(G) the extent to which a State, given its financial capability, demonstrates its commitment to achieve, maintain, or enhance emergency communications operability and interoperable communications by supplementing Federal funds with non-Federal funds;

      • `(H) whether the State is on or near an international border;

      • `(I) whether the State encompasses an economically significant border crossing;

      • `(J) whether the State has a coastline bordering an ocean, a major waterway used for interstate commerce, or international waters;

      • `(K) the extent to which geographic barriers pose unusual obstacles to achieving, maintaining, or enhancing emergency communications operability or interoperable communications;

      • `(L) the threats, vulnerabilities, and consequences faced by the State related to at-risk sites or activities in nearby jurisdictions, including the need to respond to natural disasters, acts of terrorism, and other man-made disasters arising in those jurisdictions;

      • `(M) the need to achieve, maintain, or enhance nationwide emergency communications operability and interoperable communications, consistent with the National Emergency Communications Plan under section 1802;

      • `(N) whether the activity for which a grant is requested is being funded under another Federal or State emergency communications grant program; and

      • `(O) such other factors as are specified by the Administrator in writing.

    • `(2) REVIEW PANEL-

      • `(A) IN GENERAL- The Secretary shall establish a review panel under section 871(a) to assist in reviewing grant applications under this section.

      • `(B) RECOMMENDATIONS- The review panel established under subparagraph (A) shall make recommendations to the Administrator regarding applications for grants under this section.

      • `(C) MEMBERSHIP- The review panel established under subparagraph (A) shall include--

        • `(i) individuals with technical expertise in emergency communications operability and interoperable communications;

        • `(ii) emergency response providers; and

        • `(iii) other relevant State and local officers.

    • `(3) MINIMUM GRANT AMOUNTS- The Administrator shall ensure that for each fiscal year--

      • `(A) no State receives less than an amount equal to 0.75 percent of the total funds appropriated for grants under this section; and

      • `(B) American Samoa, the Commonwealth of the Northern Mariana Islands, Guam, and the Virgin Islands each receive no less than 0.25 percent of the amounts appropriated for grants under this section.

    • `(4) AVAILABILITY OF FUNDS- Any grant funds awarded that may be used to support emergency communications operability or interoperable communications shall, as the Administrator may determine, remain available for up to 3 years, consistent with section 7303(e) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(e)).

  • `(h) State Responsibilities-

    • `(1) PASS-THROUGH OF FUNDS TO LOCAL AND TRIBAL GOVERNMENTS- The Administrator shall determine a date by which a State that receives a grant shall obligate or otherwise make available to local and tribal governments and emergency response providers--

      • `(A) not less than 80 percent of the funds of the amount of the grant;

      • `(B) resources purchased with the grant funds having a value equal to not less than 80 percent of the total amount of the grant; or

      • `(C) grant funds combined with resources purchased with the grant funds having a value equal to not less than 80 percent of the total amount of the grant.

    • `(2) CERTIFICATIONS REGARDING DISTRIBUTION OF GRANT FUNDS TO LOCAL AND TRIBAL GOVERNMENTS- Any State that receives a grant shall certify to the Administrator, by not later than 30 days after the date described under paragraph (1) with respect to the grant, that the State has made available for expenditure by local or tribal governments and emergency response providers the required amount of grant funds under paragraph (1).

    • `(3) REPORT ON GRANT SPENDING-

      • `(A) IN GENERAL- Any State that receives a grant shall submit a spending report to the Administrator at such time, in such manner, and accompanied by such information as the Administrator may reasonably require.

      • `(B) MINIMUM CONTENTS- At a minimum, each report under this paragraph shall include--

        • `(i) the amount, ultimate recipients, and dates of receipt of all funds received under the grant;

        • `(ii) the amount and the dates of disbursements of all such funds expended in compliance with paragraph (1) or under mutual aid agreements or other intrastate and interstate sharing arrangements, as applicable;

        • `(iii) how the funds were used by each ultimate recipient or beneficiary;

        • `(iv) the extent to which emergency communications operability and interoperable communications identified in the applicable Statewide plan and application have been achieved, maintained, or enhanced as the result of the expenditure of grant funds; and

        • `(v) the extent to which emergency communications operability and interoperable communications identified in the applicable Statewide plan and application remain unmet.

      • `(C) PUBLIC AVAILABILITY ON WEBSITE- The Administrator shall make each report submitted under subparagraph (A) publicly available on the website of the Federal Emergency Management Agency. The Administrator may redact such information from the reports as the Administrator determines necessary to protect national security.

    • `(4) PENALTIES FOR REPORTING DELAY- If a State fails to provide the information required by the Administrator under paragraph (3), the Administrator may--

      • `(A) reduce grant payments to the State from the portion of grant funds that are not required to be passed through under paragraph (1);

      • `(B) terminate payment of funds under the grant to the State, and transfer the appropriate portion of those funds directly to local and tribal governments and emergency response providers that were intended to receive funding under that grant; or

      • `(C) impose additional restrictions or burdens on the use of funds by the State under the grant, which may include--

        • `(i) prohibiting use of such funds to pay the grant-related expenses of the State; or

        • `(ii) requiring the State to distribute to local and tribal government and emergency response providers all or a portion of grant funds that are not required to be passed through under paragraph (1).

  • `(i) Prohibited Uses- Grants awarded under this section may not be used for recreational or social purposes.

  • `(j) Authorization of Appropriations- There are authorized to be appropriated for grants under this section--

    • `(1) $400,000,000 for fiscal year 2008;

    • `(2) $500,000,000 for fiscal year 2009;

    • `(3) $600,000,000 for fiscal year 2010;

    • `(4) $800,000,000 for fiscal year 2011;

    • `(5) $1,000,000,000 for fiscal year 2012; and

    • `(6) such sums as necessary for each fiscal year thereafter.

  • `(k) Rule of Construction- Nothing in this section shall be construed or interpreted to preclude the use of funds under this section by a State for interim or long-term Internet Protocol-based interoperable solutions, notwithstanding compliance with the Project 25 standard.'.

    • (2) TECHNICAL AND CONFORMING AMENDMENT- The table of contents under section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101) is amended by inserting after the item relating to section 1808 the following:

    • `Sec. 1809. Emergency communications operability and interoperable communications grants.'

  • (b) Interoperable Communications Plans- Section 7303 of the Intelligence Reform and Terrorist Prevention Act of 2004 (6 U.S.C. 194) is amended--

    • (1) in subsection (f)--

      • (A) in paragraph (4), by striking `and' at the end;

      • (B) in paragraph (5), by striking the period at the end and inserting a semicolon; and

      • (C) by adding at the end the following:

    • `(6) include information on the governance structure used to develop the plan, such as all agencies and organizations that participated in developing the plan and the scope and timeframe of the plan; and

    • `(7) describe the method by which multi-jurisdictional, multi-disciplinary input was provided from all regions of the jurisdiction and the process for continuing to incorporate such input.'; and

    • (2) in subsection (g)(1), by striking `or video' and inserting `and video'.

  • (c) National Emergency Communications Plan- Section 1802(c) of the Homeland Security Act of 2002 (6 U.S.C. 652(c)) is amended--

    • (1) in paragraph (8), by striking `and' at the end;

    • (2) in paragraph (9), by striking the period at the end and inserting a semicolon; and

    • (3) by adding at the end the following:

    • `(10) set a date, including interim benchmarks, as appropriate, by which State, local, and tribal governments, Federal departments and agencies, emergency response providers, and the private sector will achieve interoperable communications as that term is defined under section 7303(g)(1) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(g)(1).'.

SEC. 302. BORDER INTEROPERABILITY DEMONSTRATION PROJECT.

  • (a) In General-

    • (1) ESTABLISHMENT- There is established in the Department an International Border Community Interoperable Communications Demonstration Project (referred to in this section as `demonstration project').

    • (2) MINIMUM NUMBER OF COMMUNITIES- The Secretary shall select no fewer than 6 communities to participate in a demonstration project.

    • (3) LOCATION OF COMMUNITIES- No fewer than 3 of the communities selected under paragraph (2) shall be located on the northern border of the United States and no fewer than 3 of the communities selected under paragraph (2) shall be located on the southern border of the United States.

  • (b) Program Requirements- The demonstration projects shall--

    • (1) address the interoperable communications needs of emergency response providers and the National Guard;

    • (2) foster interoperable emergency communications systems--

      • (A) among Federal, State, local, and tribal government agencies in the United States involved in preventing or responding to a natural disaster, act of terrorism, or other man-made disaster; and

      • (B) with similar agencies in Canada or Mexico;

    • (3) identify common international cross-border frequencies for communications equipment, including radio or computer messaging equipment;

    • (4) foster the standardization of interoperable emergency communications equipment;

    • (5) identify solutions that will facilitate interoperable communications across national borders expeditiously;

    • (6) ensure that emergency response providers can communicate with each other and the public at disaster sites;

    • (7) provide training and equipment to enable emergency response providers to deal with threats and contingencies in a variety of environments;

    • (8) identify and secure appropriate joint-use equipment to ensure communications access; and

    • (9) identify solutions to facilitate communications between emergency response providers in communities of differing population densities.

  • (c) Distribution of Funds-

    • (1) IN GENERAL- The Secretary shall distribute funds under this section to each community participating in a demonstration project through the State, or States, in which each community is located.

    • (2) OTHER PARTICIPANTS- Not later than 60 days after receiving funds under paragraph (1), a State shall make the funds available to the local and tribal governments and emergency response providers selected by the Secretary to participate in a demonstration project.

  • (d) Reporting-

    • (1) IN GENERAL- Not later than December 31, 2007, and each year thereafter in which funds are appropriated for a demonstration project, the Secretary shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report on the demonstration projects.

    • (2) CONTENTS- Each report under this subsection shall contain the following:

      • (A) The name and location of all communities involved in the demonstration project.

      • (B) The amount of funding provided to each State for the demonstration project.

      • (C) An evaluation of the usefulness of the demonstration project towards developing an effective interoperable communications system at the borders.

      • (D) The factors that were used in determining how to distribute the funds in a risk-based manner.

      • (E) The specific risks inherent to a border community that make interoperable communications more difficult than in non-border communities.

      • (F) The optimal ways to prioritize funding for interoperable communication systems based upon risk.

  • (e) Authorization of Appropriations- There are authorized to be appropriated such sums as are necessary in each of fiscal years 2007, 2008, and 2009 to carry out this section.

TITLE IV--EMERGENCY MANAGEMENT PERFORMANCE GRANTS PROGRAM

SEC. 401. EMERGENCY MANAGEMENT PERFORMANCE GRANTS PROGRAM.

  • Section 622 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 763) is amended to read as follows:

`SEC. 622. EMERGENCY MANAGEMENT PERFORMANCE GRANTS PROGRAM.

  • `(a) Definitions- In this section:

    • `(1) POPULATION- The term `population' means population according to the most recent United States census population estimates available at the start of the relevant fiscal year.

    • `(2) STATE- The term `State' has the meaning given that term in section 101 of the Homeland Security Act of 2002 (6 U.S.C. 101).

  • `(b) In General- There is an Emergency Management Performance Grants Program to make grants to States to assist State, local, and tribal governments in preparing for, responding to, recovering from, and mitigating against all hazards.

  • `(c) Application-

    • `(1) IN GENERAL- Each State may apply for a grant under this section, and shall submit such information in support of an application as the Administrator may reasonably require.

    • `(2) ANNUAL APPLICATIONS- Applicants for grants under this section shall apply or reapply on an annual basis for grants distributed under the program.

  • `(d) Allocation- Funds available under the Emergency Management Performance Grants Program shall be allocated as follows:

    • `(1) BASELINE AMOUNT-

      • `(A) IN GENERAL- Except as provided in subparagraph (B), each State shall receive an amount equal to 0.75 percent of the total funds appropriated for grants under this section.

      • `(B) TERRITORIES- American Samoa, the Commonwealth of the Northern Mariana Islands, Guam, and the Virgin Islands each shall receive an amount equal to 0.25 percent of the amounts appropriated for grants under this section.

    • `(2) PER CAPITA ALLOCATION- The funds remaining for grants under this section after allocation of the baseline amounts under paragraph (1) shall be allocated to each State in proportion to its population.

    • `(3) CONSISTENCY IN ALLOCATION- Notwithstanding paragraphs (1) and (2), in any fiscal year in which the appropriation for grants under this section is equal to or greater than the appropriation for Emergency Management Performance Grants in fiscal year 2007, no State shall receive an amount under this section for that fiscal year less than the amount that State received in fiscal year 2007.

  • `(e) Allowable Uses- Grants awarded under this section may be used to prepare for, respond to, recover from, and mitigate against all hazards through--

    • `(1) any activity authorized under title VI or section 201 of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5195 et seq. and 5131);

    • `(2) any activity permitted under the Fiscal Year 2007 Program Guidance of the Department for Emergency Management Performance Grants; and

    • `(3) any other activity approved by the Administrator that will improve the emergency management capacity of State, local, or tribal governments to coordinate, integrate, and enhance preparedness for, response to, recovery from, or mitigation against all-hazards.

  • `(f) Cost Sharing-

    • `(1) IN GENERAL- Except as provided in subsection (i), the Federal share of the costs of an activity carried out with a grant under this section shall not exceed 50 percent.

    • `(2) IN-KIND MATCHING- Each recipient of a grant under this section may meet the matching requirement under paragraph (1) by making in-kind contributions of goods or services that are directly linked with the purpose for which the grant is made.

  • `(g) Distribution of Funds- The Administrator shall not delay distribution of grant funds to States under this section solely because of delays in or timing of awards of other grants administered by the Department.

  • `(h) Local and Tribal Governments-

    • `(1) IN GENERAL- In allocating grant funds received under this section, a State shall take into account the needs of local and tribal governments.

    • `(2) INDIAN TRIBES- States shall be responsible for allocating grant funds received under this section to tribal governments in order to help those tribal communities improve their capabilities in preparing for, responding to, recovering from, or mitigating against all hazards. Tribal governments shall be eligible for funding directly from the States, and shall not be required to seek funding from any local government.

  • `(i) Emergency Operations Centers Improvement Program-

    • `(1) IN GENERAL- The Administrator may award grants to States under this section to plan for, equip, upgrade, or construct all-hazards State, local, or regional emergency operations centers.

    • `(2) REQUIREMENTS- No grant awards under this section (including for the activities specified under this subsection) shall be used for construction unless such construction occurs under terms and conditions consistent with the requirements under section 611(j)(9) of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5196(j)(9).

    • `(3) COST SHARING-

      • `(A) IN GENERAL- The Federal share of the costs of an activity carried out with a grant under this subsection shall not exceed 75 percent.

      • `(B) IN KIND MATCHING- Each recipient of a grant for an activity under this section may meet the matching requirement under subparagraph (A) by making in-kind contributions of goods or services that are directly linked with the purpose for which the grant is made.

  • `(j) Authorization of Appropriations- There are authorized to be appropriated for grants under this section--

    • `(1) for fiscal year 2007, such sums as are necessary;

    • `(2) for each of fiscal years 2008, 2009, and 2010, $913,180,500; and

    • `(3) for fiscal year 2011, and each fiscal year thereafter, such sums as are necessary.'.

TITLE V--ENHANCING SECURITY OF INTERNATIONAL TRAVEL

SEC. 501. MODERNIZATION OF THE VISA WAIVER PROGRAM.

  • (a) Short Title- This section may be cited as the `Secure Travel and Counterterrorism Partnership Act'.

  • (b) Sense of Congress- It is the sense of Congress that--

    • (1) the United States should modernize the visa waiver program by simultaneously--

      • (A) enhancing program security requirements; and

      • (B) extending visa-free travel privileges to nationals of foreign countries that are allies in the war on terrorism; and

    • (2) the expansion described in paragraph (1) will--

      • (A) enhance bilateral cooperation on critical counterterrorism and information sharing initiatives;

      • (B) support and expand tourism and business opportunities to enhance long-term economic competitiveness; and

      • (C) strengthen bilateral relationships.

  • (c) Discretionary Visa Waiver Program Expansion- Section 217(c) of the Immigration and Nationality Act (8 U.S.C. 1187(c)) is amended by adding at the end the following:

    • `(8) NONIMMIGRANT VISA REFUSAL RATE FLEXIBILITY-

      • `(A) CERTIFICATION- On the date on which an air exit system is in place that can verify the departure of not less than 97 percent of foreign nationals that exit through airports of the United States, the Secretary of Homeland Security shall certify to Congress that such air exit system is in place.

      • `(B) WAIVER- After certification by the Secretary under subparagraph (A), the Secretary of Homeland Security, in consultation with the Secretary of State, may waive the application of paragraph (2)(A) for a country--

        • `(i) if the country meets all security requirements of this section;

        • `(ii) if the Secretary of Homeland Security determines that the totality of the country's security risk mitigation measures provide assurance that the country's participation in the program would not compromise the law enforcement, security interests, or enforcement of the immigration laws of the United States;

        • `(iii) if there has been a sustained reduction in the rate of refusals for nonimmigrant visitor visas for nationals of the country and conditions exist to continue such reduction;

        • `(iv) the country cooperated with the Government of the United States on counterterrorism initiatives and information sharing before the date of its designation as a program country, and the Secretary of Homeland Security and the Secretary of State expect such cooperation will continue; and

        • `(v)(I) if the rate of refusals for nonimmigrant visitor visas for nationals of the country during the previous full fiscal year was not more than 10 percent; or

        • `(II) if the visa overstay rate for the country for the previous full fiscal year does not exceed the maximum visa overstay rate, once it is established under subparagraph (C).

      • `(C) MAXIMUM VISA OVERSTAY RATE-

        • `(i) REQUIREMENT TO ESTABLISH- After certification by the Secretary under subparagraph (A), the Secretary of Homeland Security and the Secretary of State jointly shall use information from the air exit system referred to in subparagraph (A) to establish a maximum visa overstay rate for countries participating in the program pursuant to a waiver under subparagraph (B).

        • `(ii) VISA OVERSTAY RATE DEFINED- In this paragraph the term `visa overstay rate' means, with respect to a country, the ratio of--

          • `(I) the total number of nationals of that country who were admitted to the United States on the basis of a nonimmigrant visitor visa for which the period of stay authorized by such visa ended during a fiscal year and who remained in the United States unlawfully beyond the such period of stay; to

          • `(II) the total number of nationals of that country who were admitted to the United States on the basis of a nonimmigrant visitor visa for which the period of stay authorized by such visa ended during such fiscal year.

        • `(iii) REPORT AND PUBLICATION- Secretary of Homeland Security shall submit to Congress and publish in the Federal Register a notice of the maximum visa overstay rate proposed to be established under clause (i). Not less than 60 days after the date such notice is submitted and published, the Secretary shall issue a final maximum visa overstay rate.

    • `(9) DISCRETIONARY SECURITY-RELATED CONSIDERATIONS- In determining whether to waive the application of paragraph (2)(A) for a country, pursuant to paragraph (8), the Secretary of Homeland Security, in consultation with the Secretary of State, shall take into consideration other factors affecting the security of the United States, including--

      • `(A) airport security standards in the country;

      • `(B) whether the country assists in the operation of an effective air marshal program;

      • `(C) the standards of passports and travel documents issued by the country; and

      • `(D) other security-related factors.'.

  • (d) Security Enhancements to the Visa Waiver Program-

    • (1) IN GENERAL- Section 217 of the Immigration and Nationality Act (8 U.S.C. 1187) is amended--

      • (A) in subsection (a)--

        • (i) by striking `Operators of aircraft' and inserting the following:

    • `(10) ELECTRONIC TRANSMISSION OF IDENTIFICATION INFORMATION- Operators of aircraft'; and

        • (ii) by adding at the end the following:

    • `(11) ELIGIBILITY DETERMINATION UNDER THE ELECTRONIC TRAVEL AUTHORIZATION SYSTEM- Beginning on the date on which the electronic travel authorization system developed under subsection (h)(3) is fully operational, each alien traveling under the program shall, before applying for admission, electronically provide basic biographical information to the system. Upon review of such biographical information, the Secretary of Homeland Security shall determine whether the alien is eligible to travel to the United States under the program.';

      • (B) in subsection (c), as amended by subsection (c) of this section--

        • (i) in paragraph (2)--

          • (I) by amending subparagraph (D) to read as follows:

      • `(D) REPORTING LOST AND STOLEN PASSPORTS- The government of the country enters into an agreement with the United States to report, or make available through Interpol, to the United States Government information about the theft or loss of passports within a strict time limit and in a manner specified in the agreement.'; and

          • (II) by adding at the end the following:

      • `(E) REPATRIATION OF ALIENS- The government of a country accepts for repatriation any citizen, former citizen, or national against whom a final executable order of removal is issued not later than 3 weeks after the issuance of the final order of removal. Nothing in this subparagraph creates any duty for the United States or any right for any alien with respect to removal or release. Nothing in this subparagraph gives rise to any cause of action or claim under this paragraph or any other law against any official of the United States or of any State to compel the release, removal, or consideration for release or removal of any alien.

      • `(F) PASSENGER INFORMATION EXCHANGE- The government of the country enters into an agreement with the United States to share information regarding whether nationals of that country traveling to the United States represent a threat to the security or welfare of the United States or its citizens.';.

        • (ii) in paragraph (5)--

          • (I) by striking `Attorney General' each place it appears and inserting `Secretary of Homeland Security'; and

          • (II) in subparagraph (A)(i)--

(aa) in subclause (II), by striking `and' at the end;

(bb) in subclause (III), by striking the period at the end and inserting `; and'; and

(cc) by adding at the end the following:

          • `(IV) shall submit to Congress a report regarding the implementation of the electronic travel authorization system under subsection (h)(3) and the participation of new countries in the program through a waiver under paragraph (8).'; and

        • (iii) by adding at the end the following:

    • `(10) TECHNICAL ASSISTANCE- The Secretary of Homeland Security, in consultation with the Secretary of State, shall provide technical assistance to program countries to assist those countries in meeting the requirements under this section.';

      • (C) in subsection (d), by adding at the end the following: `The Secretary of Homeland Security may not waive any eligibility requirement under this section unless the Secretary notifies the appropriate congressional committees not later than 30 days before the effective date of such waiver.';

      • (D) in subsection (f)(5), by striking `of blank' and inserting `or loss of'; and

      • (E) in subsection (h), by adding at the end the following:

    • `(3) ELECTRONIC TRAVEL AUTHORIZATION SYSTEM-

      • `(A) SYSTEM- The Secretary of Homeland Security, in consultation with the Secretary of State, is authorized to develop and implement a fully automated electronic travel authorization system (referred to in this paragraph as the `System') to collect such basic biographical information as the Secretary of Homeland Security determines to be necessary to determine, in advance of travel, the eligibility of an alien to travel to the United States under the program.

      • `(B) FEES- The Secretary of Homeland Security may charge a fee for the use of the System, which shall be--

        • `(i) set at a level that will ensure recovery of the full costs of providing and administering the System; and

        • `(ii) available to pay the costs incurred to administer the System.

      • `(C) VALIDITY-

        • `(i) PERIOD- The Secretary of Homeland Security, in consultation with the Secretary of State shall prescribe regulations that provide for a period, not to exceed 3 years, during which a determination of eligibility to travel under the program will be valid. Notwithstanding any other provision under this section, the Secretary of Homeland Security may revoke any such determination at any time and for any reason.

        • `(ii) LIMITATION- A determination that an alien is eligible to travel to the United States under the program is not a determination that the alien is admissible to the United States.

        • `(iii) JUDICIAL REVIEW- Notwithstanding any other provision of law, no court shall have jurisdiction to review an eligibility determination under the System.

      • `(D) REPORT- Not later than 60 days before publishing notice regarding the implementation of the System in the Federal Register, the Secretary of Homeland Security shall submit a report regarding the implementation of the System to--

        • `(i) the Committee on Homeland Security and Governmental Affairs of the Senate;

        • `(ii) the Committee on the Judiciary of the Senate;

        • `(iii) the Select Committee on Intelligence of the Senate;

        • `(iv) the Committee on Appropriations of the Senate;

        • `(v) the Committee on Homeland Security of the House of Representatives;

        • `(vi) the Committee on the Judiciary of the House of Representatives;

        • `(vii) the Permanent Select Committee on Intelligence of the House of Representatives; and

        • `(viii) the Committee on Appropriations of the House of Representatives.'.

    • (2) EFFECTIVE DATE- Section 217(a)(11) of the Immigration and Nationality Act, as added by paragraph (1)(A)(ii) shall take effect on the date which is 60 days after the date on which the Secretary of Homeland Security publishes notice in the Federal Register of the requirement under such paragraph.

  • (e) Exit System-

    • (1) IN GENERAL- Not later than 1 year after the date of enactment of this Act, the Secretary of Homeland Security shall establish an exit system that records the departure on a flight leaving the United States of every alien participating in the visa waiver program established under section 217 of the Immigration and Nationality Act (8 U.S.C. 1187).

    • (2) SYSTEM REQUIREMENTS- The system established under paragraph (1) shall--

      • (A) match biometric information of the alien against relevant watch lists and immigration information; and

      • (B) compare such biometric information against manifest information collected by air carriers on passengers departing the United States to confirm such individuals have departed the United States.

    • (3) REPORT- Not later than 180 days after the date of enactment of this Act, the Secretary shall submit a report to Congress that describes--

      • (A) the progress made in developing and deploying the exit system established under this subsection; and

      • (B) the procedures by which the Secretary will improve the manner of calculating the rates of nonimmigrants who violate the terms of their visas by remaining in the United States after the expiration of such visas.

  • (f) Authorization of Appropriations- There are authorized to be appropriated such sums as may be necessary to carry out this section and the amendments made by this section.

SEC. 502. STRENGTHENING THE CAPABILITIES OF THE HUMAN SMUGGLING AND TRAFFICKING CENTER.

  • (a) In General- Section 7202 of the Intelligence Reform and Terrorism Prevention Act of 2004 (8 U.S.C. 1777) is amended--

    • (1) in subsection (c)(1), by striking `address' and inserting `integrate and disseminate intelligence and information related to';

    • (2) by redesignating subsections (d) and (e) as subsections (g) and (h), respectively; and

    • (3) by inserting after subsection (c) the following new subsections:

  • `(d) Director- The Secretary of Homeland Security shall nominate an official of the Government of the United States to serve as the Director of the Center, in accordance with the requirements of the memorandum of understanding entitled the `Human Smuggling and Trafficking Center (HSTC) Charter'.

  • `(e) Staffing of the Center-

    • `(1) IN GENERAL- The Secretary of Homeland Security, in cooperation with heads of other relevant agencies and departments, shall ensure that the Center is staffed with not fewer than 40 full-time equivalent positions, including, as appropriate, detailees from the following:

      • `(A) The Office of Intelligence and Analysis.

      • `(B) The Transportation Security Administration.

      • `(C) The United States Citizenship and Immigration Services.

      • `(D) The United States Customs and Border Protection.

      • `(E) The United States Coast Guard.

      • `(F) The United States Immigration and Customs Enforcement.

      • `(G) The Central Intelligence Agency.

      • `(H) The Department of Defense.

      • `(I) The Department of the Treasury.

      • `(J) The National Counterterrorism Center.

      • `(K) The National Security Agency.

      • `(L) The Department of Justice.

      • `(M) The Department of State.

      • `(N) Any other relevant agency or department.

    • `(2) EXPERTISE OF DETAILEES- The Secretary of Homeland Security, in cooperation with the head of each agency, department, or other entity set out under paragraph (1), shall ensure that the detailees provided to the Center under paragraph (1) include an adequate number of personnel with experience in the area of--

      • `(A) consular affairs;

      • `(B) counterterrorism;

      • `(C) criminal law enforcement;

      • `(D) intelligence analysis;

      • `(E) prevention and detection of document fraud;

      • `(F) border inspection; or

      • `(G) immigration enforcement.

    • `(3) REIMBURSEMENT FOR DETAILEES- To the extent that funds are available for such purpose, the Secretary of Homeland Security shall provide reimbursement to each agency or department that provides a detailee to the Center, in such amount or proportion as is appropriate for costs associated with the provision of such detailee, including costs for travel by, and benefits provided to, such detailee.

  • `(f) Administrative Support and Funding- The Secretary of Homeland Security shall provide to the Center the administrative support and funding required for its maintenance, including funding for personnel, leasing of office space, supplies, equipment, technology, training, and travel expenses necessary for the Center to carry out its functions.'.

  • (b) Report- Subsection (g) of section 7202 of the Intelligence Reform and Terrorism Prevention Act of 2004 (8 U.S.C. 1777), as redesignated by subsection (a)(2), is amended--

    • (1) in the heading, by striking `Report' and inserting `INITIAL REPORT';

    • (2) by redesignating such subsection (g) as paragraph (1);

    • (3) by indenting such paragraph, as so designated, four ems from the left margin;

    • (4) by inserting before such paragraph, as so designated, the following:

  • `(g) Report- '; and

    • (5) by inserting after such paragraph, as so designated, the following new paragraph:

    • `(2) FOLLOW-UP REPORT- Not later than 180 days after the date of enactment of the Improving America's Security Act of 2007, the President shall transmit to Congress a report regarding the operation of the Center and the activities carried out by the Center, including a description of--

      • `(A) the roles and responsibilities of each agency or department that is participating in the Center;

      • `(B) the mechanisms used to share information among each such agency or department;

      • `(C) the staff provided to the Center by each such agency or department;

      • `(D) the type of information and reports being disseminated by the Center; and

      • `(E) any efforts by the Center to create a centralized Federal Government database to store information related to illicit travel of foreign nationals, including a description of any such database and of the manner in which information utilized in such a database would be collected, stored, and shared.'.

  • (c) Authorization of Appropriations- There are authorized to be appropriated to the Secretary to carry out section 7202 of the Intelligence Reform and Terrorism Prevention Act of 2004 (8 U.S.C. 1777), as amended by this section, $20,000,000 for fiscal year 2008.

SEC. 503. ENHANCEMENTS TO THE TERRORIST TRAVEL PROGRAM.

  • Section 7215 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 123) is amended to read as follows:

`SEC. 7215. TERRORIST TRAVEL PROGRAM.

  • `(a) Requirement to Establish- Not later than 90 days after the date of enactment of the Improving America's Security Act of 2007, the Secretary of Homeland Security, in consultation with the Director of the National Counterterrorism Center and consistent with the strategy developed under section 7201, shall establish a program to oversee the implementation of the Secretary's responsibilities with respect to terrorist travel.

  • `(b) Head of the Program- The Secretary of Homeland Security shall designate an official of the Department of Homeland Security to be responsible for carrying out the program. Such official shall be--

    • `(1) the Assistant Secretary for Policy of the Department of Homeland Security; or

    • `(2) an official appointed by the Secretary who reports directly to the Secretary.

  • `(c) Duties- The official designated under subsection (b) shall assist the Secretary of Homeland Security in improving the Department's ability to prevent terrorists from entering the United States or remaining in the United States undetected by--

    • `(1) developing relevant strategies and policies;

    • `(2) reviewing the effectiveness of existing programs and recommending improvements, if necessary;

    • `(3) making recommendations on budget requests and on the allocation of funding and personnel;

    • `(4) ensuring effective coordination, with respect to policies, programs, planning, operations, and dissemination of intelligence and information related to terrorist travel--

      • `(A) among appropriate subdivisions of the Department of Homeland Security, as determined by the Secretary and including--

        • `(i) the United States Customs and Border Protection;

        • `(ii) the United States Immigration and Customs Enforcement;

        • `(iii) the United States Citizenship and Immigration Services;

        • `(iv) the Transportation Security Administration; and

        • `(v) the United States Coast Guard; and

      • `(B) between the Department of Homeland Security and other appropriate Federal agencies; and

    • `(5) serving as the Secretary's primary point of contact with the National Counterterrorism Center for implementing initiatives related to terrorist travel and ensuring that the recommendations of the Center related to terrorist travel are carried out by the Department.

  • `(d) Report- Not later than 180 days after the date of enactment of the Improving America's Security Act of 2007, the Secretary of Homeland Security shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report on the implementation of this section.'.

SEC. 504. ENHANCED DRIVER'S LICENSE.

  • Section 7209(b)(1) of the Intelligence Reform and Terrorism Prevention Act of 2004 (8 U.S.C. 1185 note) is amended--

    • (1) in subparagraph (B)--

      • (A) in clause (vi), by striking `and' at the end;

      • (B) in clause (vii), by striking the period at the end and inserting `; and'; and

      • (C) by adding at the end the following:

        • `(viii) the signing of a memorandum of agreement to initiate a pilot program with not less than 1 State to determine if an enhanced driver's license, which is machine-readable and tamper proof, not valid for certification of citizenship for any purpose other than admission into the United States from Canada, and issued by such State to an individual, may permit the individual to use the driver's license to meet the documentation requirements under subparagraph (A) for entry into the United States from Canada at the land and sea ports of entry.'; and

    • (2) by adding at the end the following:

      • `(C) REPORT- Not later than 180 days after the initiation of the pilot program described in subparagraph (B)(viii), the Secretary of Homeland Security and Secretary of State shall submit to the appropriate congressional committees a report, which includes--

        • `(i) an analysis of the impact of the pilot program on national security;

        • `(ii) recommendations on how to expand the pilot program to other States;

        • `(iii) any appropriate statutory changes to facilitate the expansion of the pilot program to additional States and to citizens of Canada;

        • `(iv) a plan to scan individuals participating in the pilot program against United States terrorist watch lists; and

        • `(v) a recommendation for the type of machine-readable technology that should be used in enhanced driver's licenses, based on individual privacy considerations and the costs and feasibility of incorporating any new technology into existing driver's licenses.'.

SEC. 505. WESTERN HEMISPHERE TRAVEL INITIATIVE.

  • Before publishing a final rule in the Federal Register, the Secretary shall conduct--

    • (1) a complete cost-benefit analysis of the Western Hemisphere Travel Initiative, authorized under section 7209 of the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458; 8 U.S.C. 1185 note); and

    • (2) a study of the mechanisms by which the execution fee for a PASS Card could be reduced, considering the potential increase in the number of applications.

SEC. 506. MODEL PORTS-OF-ENTRY.

  • (a) IN GENERAL- The Secretary of Homeland Security shall--

    • (1) establish a model ports-of-entry program for the purpose of providing a more efficient and welcoming international arrival process in order to facilitate and promote business and tourist travel to the United States, while also improving security; and

    • (2) implement the program initially at the 20 United States international airports with the greatest average annual number of arriving foreign visitors.

  • (b) PROGRAM ELEMENTS- The program shall include--

    • (1) enhanced queue management in the Federal Inspection Services area leading up to primary inspection;

    • (2) assistance for foreign travelers once they have been admitted to the United States, in consultation, as appropriate, with relevant governmental and nongovernmental entities; and

    • (3) instructional videos, in English and such other languages as the Secretary determines appropriate, in the Federal Inspection Services area that explain the United States inspection process and feature national, regional, or local welcome videos.

  • (c) ADDITIONAL CUSTOMS AND BORDER PROTECTION OFFICERS FOR HIGH VOLUME PORTS- Subject to the availability of appropriations, before the end of fiscal year 2008 the Secretary of Homeland Security shall employ not less than an additional 200 Customs and Border Protection officers to address staff shortages at the 20 United States international airports with the highest average number of foreign visitors arriving annually.

TITLE VI--PRIVACY AND CIVIL LIBERTIES MATTERS

SEC. 601. MODIFICATION OF AUTHORITIES RELATING TO PRIVACY AND CIVIL LIBERTIES OVERSIGHT BOARD.

  • (a) Modification of Authorities- Section 1061 of the National Security Intelligence Reform Act of 2004 (title I of Public Law 108-458; 5 U.S.C. 601 note) is amended to read as follows:

`SEC. 1061. PRIVACY AND CIVIL LIBERTIES OVERSIGHT BOARD.

  • `(a) In General- There is established within the Executive Office of the President a Privacy and Civil Liberties Oversight Board (referred to in this section as the `Board').

  • `(b) Findings- Consistent with the report of the National Commission on Terrorist Attacks Upon the United States, Congress makes the following findings:

    • `(1) In conducting the war on terrorism, the Government may need additional powers and may need to enhance the use of its existing powers.

    • `(2) This shift of power and authority to the Government calls for an enhanced system of checks and balances to protect the precious liberties that are vital to our way of life and to ensure that the Government uses its powers for the purposes for which the powers were given.

  • `(c) Purpose- The Board shall--

    • `(1) analyze and review actions the executive branch takes to protect the Nation from terrorism, ensuring that the need for such actions is balanced with the need to protect privacy and civil liberties; and

    • `(2) ensure that liberty concerns are appropriately considered in the development and implementation of laws, regulations, and policies related to efforts to protect the Nation against terrorism.

  • `(d) Functions-

    • `(1) ADVICE AND COUNSEL ON POLICY DEVELOPMENT AND IMPLEMENTATION- The Board shall--

      • `(A) review proposed legislation, regulations, and policies related to efforts to protect the Nation from terrorism, including the development and adoption of information sharing guidelines under subsections (d) and (f) of section 1016;

      • `(B) review the implementation of new and existing legislation, regulations, and policies related to efforts to protect the Nation from terrorism, including the implementation of information sharing guidelines under subsections (d) and (f) of section 1016;

      • `(C) advise the President and the departments, agencies, and elements of the executive branch to ensure that privacy and civil liberties are appropriately considered in the development and implementation of such legislation, regulations, policies, and guidelines; and

      • `(D) in providing advice on proposals to retain or enhance a particular governmental power, consider whether the department, agency, or element of the executive branch has established--

        • `(i) that the need for the power is balanced with the need to protect privacy and civil liberties;

        • `(ii) that there is adequate supervision of the use by the executive branch of the power to ensure protection of privacy and civil liberties; and

        • `(iii) that there are adequate guidelines and oversight to properly confine its use.

    • `(2) OVERSIGHT- The Board shall continually review--

      • `(A) the regulations, policies, and procedures, and the implementation of the regulations, policies, and procedures, of the departments, agencies, and elements of the executive branch to ensure that privacy and civil liberties are protected;

      • `(B) the information sharing practices of the departments, agencies, and elements of the executive branch to determine whether they appropriately protect privacy and civil liberties and adhere to the information sharing guidelines issued or developed under subsections (d) and (f) of section 1016 and to other governing laws, regulations, and policies regarding privacy and civil liberties; and

      • `(C) other actions by the executive branch related to efforts to protect the Nation from terrorism to determine whether such actions--

        • `(i) appropriately protect privacy and civil liberties; and

        • `(ii) are consistent with governing laws, regulations, and policies regarding privacy and civil liberties.

    • `(3) RELATIONSHIP WITH PRIVACY AND CIVIL LIBERTIES OFFICERS- The Board shall--

      • `(A) review and assess reports and other information from privacy officers and civil liberties officers under section 1062;

      • `(B) when appropriate, make recommendations to such privacy officers and civil liberties officers regarding their activities; and

      • `(C) when appropriate, coordinate the activities of such privacy officers and civil liberties officers on relevant interagency matters.

    • `(4) TESTIMONY- The members of the Board shall appear and testify before Congress upon request.

  • `(e) Reports-

    • `(1) IN GENERAL- The Board shall--

      • `(A) receive and review reports from privacy officers and civil liberties officers under section 1062; and

      • `(B) periodically submit, not less than semiannually, reports--

        • `(i)(I) to the appropriate committees of Congress, including the Committee on the Judiciary of the Senate, the Committee on the Judiciary of the House of Representatives, the Committee on Homeland Security and Governmental Affairs of the Senate, the Committee on Oversight and Government Reform of the House of Representatives, the Select Committee on Intelligence of the Senate, and the Permanent Select Committee on Intelligence of the House of Representatives; and

        • `(II) to the President; and

        • `(ii) which shall be in unclassified form to the greatest extent possible, with a classified annex where necessary.

    • `(2) CONTENTS- Not less than 2 reports submitted each year under paragraph (1)(B) shall include--

      • `(A) a description of the major activities of the Board during the preceding period;

      • `(B) information on the findings, conclusions, and recommendations of the Board resulting from its advice and oversight functions under subsection (d);

      • `(C) the minority views on any findings, conclusions, and recommendations of the Board resulting from its advice and oversight functions under subsection (d);

      • `(D) each proposal reviewed by the Board under subsection (d)(1) that--

        • `(i) the Board advised against implementation; and

        • `(ii) notwithstanding such advice, actions were taken to implement; and

      • `(E) for the preceding period, any requests submitted under subsection (g)(1)(D) for the issuance of subpoenas that were modified or denied by the Attorney General.

  • `(f) Informing the Public- The Board shall--

    • `(1) make its reports, including its reports to Congress, available to the public to the greatest extent that is consistent with the protection of classified information and applicable law; and

    • `(2) hold public hearings and otherwise inform the public of its activities, as appropriate and in a manner consistent with the protection of classified information and applicable law.

  • `(g) Access to Information-

    • `(1) AUTHORIZATION- If determined by the Board to be necessary to carry out its responsibilities under this section, the Board is authorized to--

      • `(A) have access from any department, agency, or element of the executive branch, or any Federal officer or employee, to all relevant records, reports, audits, reviews, documents, papers, recommendations, or other relevant material, including classified information consistent with applicable law;

      • `(B) interview, take statements from, or take public testimony from personnel of any department, agency, or element of the executive branch, or any Federal officer or employee;

      • `(C) request information or assistance from any State, tribal, or local government; and

      • `(D) at the direction of a majority of the members of the Board, submit a written request to the Attorney General of the United States that the Attorney General require, by subpoena, persons (other than departments, agencies, and elements of the executive branch) to produce any relevant information, documents, reports, answers, records, accounts, papers, and other documentary or testimonial evidence.

    • `(2) REVIEW OF SUBPOENA REQUEST-

      • `(A) IN GENERAL- Not later than 30 days after the date of receipt of a request by the Board under paragraph (1)(D), the Attorney General shall--

        • `(i) issue the subpoena as requested; or

        • `(ii) provide the Board, in writing, with an explanation of the grounds on which the subpoena request has been modified or denied.

      • `(B) NOTIFICATION- If a subpoena request is modified or denied under subparagraph (A)(ii), the Attorney General shall, not later than 30 days after the date of that modification or denial, notify the Committee on the Judiciary of the Senate and the Committee on the Judiciary of the House of Representatives.

    • `(3) ENFORCEMENT OF SUBPOENA- In the case of contumacy or failure to obey a subpoena issued pursuant to paragraph (1)(D), the United States district court for the judicial district in which the subpoenaed person resides, is served, or may be found may issue an order requiring such person to produce the evidence required by such subpoena.

    • `(4) AGENCY COOPERATION- Whenever information or assistance requested under subparagraph (A) or (B) of paragraph (1) is, in the judgment of the Board, unreasonably refused or not provided, the Board shall report the circumstances to the head of the department, agency, or element concerned without delay. The head of the department, agency, or element concerned shall ensure that the Board is given access to the information, assistance, material, or personnel the Board determines to be necessary to carry out its functions.

  • `(h) Membership-

    • `(1) MEMBERS- The Board shall be composed of a full-time chairman and 4 additional members, who shall be appointed by the President, by and with the advice and consent of the Senate.

    • `(2) QUALIFICATIONS- Members of the Board shall be selected solely on the basis of their professional qualifications, achievements, public stature, expertise in civil liberties and privacy, and relevant experience, and without regard to political affiliation, but in no event shall more than 3 members of the Board be members of the same political party.

    • `(3) INCOMPATIBLE OFFICE- An individual appointed to the Board may not, while serving on the Board, be an elected official, officer, or employee of the Federal Government, other than in the capacity as a member of the Board.

    • `(4) TERM- Each member of the Board shall serve a term of 6 years, except that--

      • `(A) a member appointed to a term of office after the commencement of such term may serve under such appointment only for the remainder of such term;

      • `(B) upon the expiration of the term of office of a member, the member shall continue to serve until the member's successor has been appointed and qualified, except that no member may serve under this subparagraph--

        • `(i) for more than 60 days when Congress is in session unless a nomination to fill the vacancy shall have been submitted to the Senate; or

        • `(ii) after the adjournment sine die of the session of the Senate in which such nomination is submitted; and

      • `(C) the members first appointed under this subsection after the date of enactment of the Improving America's Security Act of 2007 shall serve terms of two, three, four, five, and six years, respectively, with the term of each such member to be designated by the President.

    • `(5) QUORUM AND MEETINGS- After its initial meeting, the Board shall meet upon the call of the chairman or a majority of its members. Three members of the Board shall constitute a quorum.

  • `(i) Compensation and Travel Expenses-

    • `(1) COMPENSATION-

      • `(A) CHAIRMAN- The chairman of the Board shall be compensated at the rate of pay payable for a position at level III of the Executive Schedule under section 5314 of title 5, United States Code.

      • `(B) MEMBERS- Each member of the Board shall be compensated at a rate of pay payable for a position at level IV of the Executive Schedule under section 5315 of title 5, United States Code, for each day during which that member is engaged in the actual performance of the duties of the Board.

    • `(2) TRAVEL EXPENSES- Members of the Board shall be allowed travel expenses, including per diem in lieu of subsistence, at rates authorized for persons employed intermittently by the Government under section 5703(b) of title 5, United States Code, while away from their homes or regular places of business in the performance of services for the Board.

  • `(j) Staff-

    • `(1) APPOINTMENT AND COMPENSATION- The chairman of the Board, in accordance with rules agreed upon by the Board, shall appoint and fix the compensation of a full-time executive director and such other personnel as may be necessary to enable the Board to carry out its functions, without regard to the provisions of title 5, United States Code, governing appointments in the competitive service, and without regard to the provisions of chapter 51 and subchapter III of chapter 53 of such title relating to classification and General Schedule pay rates, except that no rate of pay fixed under this subsection may exceed the equivalent of that payable for a position at level V of the Executive Schedule under section 5316 of title 5, United States Code.

    • `(2) DETAILEES- Any Federal employee may be detailed to the Board without reimbursement from the Board, and such detailee shall retain the rights, status, and privileges of the detailee's regular employment without interruption.

    • `(3) CONSULTANT SERVICES- The Board may procure the temporary or intermittent services of experts and consultants in accordance with section 3109 of title 5, United States Code, at rates that do not exceed the daily rate paid a person occupying a position at level IV of the Executive Schedule under section 5315 of such title.

  • `(k) Security Clearances- The appropriate departments, agencies, and elements of the executive branch shall cooperate with the Board to expeditiously provide the Board members and staff with appropriate security clearances to the extent possible under existing procedures and requirements.

  • `(l) Treatment as Agency, Not as Advisory Committee- The Board--

    • `(1) is an agency (as defined in section 551(1) of title 5, United States Code); and

    • `(2) is not an advisory committee (as defined in section 3(2) of the Federal Advisory Committee Act (5 U.S.C. App.)).

  • `(m) Authorization of Appropriations- There are authorized to be appropriated to carry out this section amounts as follows:

    • `(1) For fiscal year 2008, $5,000,000.

    • `(2) For fiscal year 2009, $6,650,000.

    • `(3) For fiscal year 2010, $8,300,000.

    • `(4) For fiscal year 2011, $10,000,000.

    • `(5) For fiscal year 2012, and each fiscal year thereafter, such sums as may be necessary.'.

  • (b) Continuation of Service of Current Members of Privacy and Civil Liberties Board- The members of the Privacy and Civil Liberties Oversight Board as of the date of enactment of this Act may continue to serve as members of that Board after that date, and to carry out the functions and exercise the powers of that Board as specified in section 1061 of the National Security Intelligence Reform Act of 2004 (as amended by subsection (a)), until--

    • (1) in the case of any individual serving as a member of the Board under an appointment by the President, by and with the advice and consent of the Senate, the expiration of a term designated by the President under section 1061(h)(4)(C) of such Act (as so amended);

    • (2) in the case of any individual serving as a member of the Board other than under an appointment by the President, by and with the advice and consent of the Senate, the confirmation or rejection by the Senate of that member's nomination to the Board under such section 1061 (as so amended), except that no such individual may serve as a member under this paragraph--

      • (A) for more than 60 days when Congress is in session unless a nomination of that individual to be a member of the Board has been submitted to the Senate; or

      • (B) after the adjournment sine die of the session of the Senate in which such nomination is submitted; or

    • (3) the appointment of members of the Board under such section 1061 (as so amended), except that no member may serve under this paragraph--

      • (A) for more than 60 days when Congress is in session unless a nomination to fill the position on the Board shall have been submitted to the Senate; or

      • (B) after the adjournment sine die of the session of the Senate in which such nomination is submitted.

SEC. 602. PRIVACY AND CIVIL LIBERTIES OFFICERS.

  • (a) In General- Section 1062 of the National Security Intelligence Reform Act of 2004 (title I of Public Law 108-458; 118 Stat. 3688) is amended to read as follows:

`SEC. 1062. PRIVACY AND CIVIL LIBERTIES OFFICERS.

  • `(a) Designation and Functions- The Attorney General, the Secretary of Defense, the Secretary of State, the Secretary of the Treasury, the Secretary of Health and Human Services, the Secretary of Homeland Security, the Director of National Intelligence, the Director of the Central Intelligence Agency, and the head of any other department, agency, or element of the executive branch designated by the Privacy and Civil Liberties Oversight Board under section 1061 to be appropriate for coverage under this section shall designate not less than 1 senior officer to--

    • `(1) assist the head of such department, agency, or element and other officials of such department, agency, or element in appropriately considering privacy and civil liberties concerns when such officials are proposing, developing, or implementing laws, regulations, policies, procedures, or guidelines related to efforts to protect the Nation against terrorism;

    • `(2) periodically investigate and review department, agency, or element actions, policies, procedures, guidelines, and related laws and their implementation to ensure that such department, agency, or element is adequately considering privacy and civil liberties in its actions;

    • `(3) ensure that such department, agency, or element has adequate procedures to receive, investigate, respond to, and redress complaints from individuals who allege such department, agency, or element has violated their privacy or civil liberties; and

    • `(4) in providing advice on proposals to retain or enhance a particular governmental power the officer shall consider whether such department, agency, or element has established--

      • `(A) that the need for the power is balanced with the need to protect privacy and civil liberties;

      • `(B) that there is adequate supervision of the use by such department, agency, or element of the power to ensure protection of privacy and civil liberties; and

      • `(C) that there are adequate guidelines and oversight to properly confine its use.

  • `(b) Exception to Designation Authority-

    • `(1) PRIVACY OFFICERS- In any department, agency, or element referred to in subsection (a) or designated by the Privacy and Civil Liberties Oversight Board, which has a statutorily created privacy officer, such officer shall perform the functions specified in subsection (a) with respect to privacy.

    • `(2) CIVIL LIBERTIES OFFICERS- In any department, agency, or element referred to in subsection (a) or designated by the Board, which has a statutorily created civil liberties officer, such officer shall perform the functions specified in subsection (a) with respect to civil liberties.

  • `(c) Supervision and Coordination- Each privacy officer or civil liberties officer described in subsection (a) or (b) shall--

    • `(1) report directly to the head of the department, agency, or element concerned; and

    • `(2) coordinate their activities with the Inspector General of such department, agency, or element to avoid duplication of effort.

  • `(d) Agency Cooperation- The head of each department, agency, or element shall ensure that each privacy officer and civil liberties officer--

    • `(1) has the information, material, and resources necessary to fulfill the functions of such officer;

    • `(2) is advised of proposed policy changes;

    • `(3) is consulted by decision makers; and

    • `(4) is given access to material and personnel the officer determines to be necessary to carry out the functions of such officer.

  • `(e) Reprisal for Making Complaint- No action constituting a reprisal, or threat of reprisal, for making a complaint or for disclosing information to a privacy officer or civil liberties officer described in subsection (a) or (b), or to the Privacy and Civil Liberties Oversight Board, that indicates a possible violation of privacy protections or civil liberties in the administration of the programs and operations of the Federal Government relating to efforts to protect the Nation from terrorism shall be taken by any Federal employee in a position to take such action, unless the complaint was made or the information was disclosed with the knowledge that it was false or with willful disregard for its truth or falsity.

  • `(f) Periodic Reports-

    • `(1) IN GENERAL- The privacy officers and civil liberties officers of each department, agency, or element referred to or described in subsection (a) or (b) shall periodically, but not less than quarterly, submit a report on the activities of such officers--

      • `(A)(i) to the appropriate committees of Congress, including the Committee on the Judiciary of the Senate, the Committee on the Judiciary of the House of Representatives, the Committee on Homeland Security and Governmental Affairs of the Senate, the Committee on Oversight and Government Reform of the House of Representatives, the Select Committee on Intelligence of the Senate, and the Permanent Select Committee on Intelligence of the House of Representatives;

      • `(ii) to the head of such department, agency, or element; and

      • `(iii) to the Privacy and Civil Liberties Oversight Board; and

      • `(B) which shall be in unclassified form to the greatest extent possible, with a classified annex where necessary.

    • `(2) CONTENTS- Each report submitted under paragraph (1) shall include information on the discharge of each of the functions of the officer concerned, including--

      • `(A) information on the number and types of reviews undertaken;

      • `(B) the type of advice provided and the response given to such advice;

      • `(C) the number and nature of the complaints received by the department, agency, or element concerned for alleged violations; and

      • `(D) a summary of the disposition of such complaints, the reviews and inquiries conducted, and the impact of the activities of such officer.

  • `(g) Informing the Public- Each privacy officer and civil liberties officer shall--

    • `(1) make the reports of such officer, including reports to Congress, available to the public to the greatest extent that is consistent with the protection of classified information and applicable law; and

    • `(2) otherwise inform the public of the activities of such officer, as appropriate and in a manner consistent with the protection of classified information and applicable law.

  • `(h) Savings Clause- Nothing in this section shall be construed to limit or otherwise supplant any other authorities or responsibilities provided by law to privacy officers or civil liberties officers.'.

  • (b) Clerical Amendment- The table of contents for the Intelligence Reform and Terrorism Prevention Act of 2004 (Public Law 108-458) is amended by striking the item relating to section 1062 and inserting the following new item:

    • `Sec. 1062. Privacy and civil liberties officers.'.

SEC. 603. DEPARTMENT PRIVACY OFFICER.

  • Section 222 of the Homeland Security Act of 2002 (6 U.S.C. 142) is amended--

    • (1) by inserting `(a) Appointment and Responsibilities- ' before `The Secretary'; and

    • (2) by adding at the end the following:

  • `(b) Authority To Investigate-

    • `(1) IN GENERAL- The senior official appointed under subsection (a) may--

      • `(A) have access to all records, reports, audits, reviews, documents, papers, recommendations, and other materials available to the Department that relate to programs and operations with respect to the responsibilities of the senior official under this section;

      • `(B) make such investigations and reports relating to the administration of the programs and operations of the Department that are necessary or desirable as determined by that senior official;

      • `(C) subject to the approval of the Secretary, require by subpoena the production, by any person other than a Federal agency, of all information, documents, reports, answers, records, accounts, papers, and other data and documentary evidence necessary to performance of the responsibilities of the senior official under this section; and

      • `(D) administer to or take from any person an oath, affirmation, or affidavit, whenever necessary to performance of the responsibilities of the senior official under this section.

    • `(2) ENFORCEMENT OF SUBPOENAS- Any subpoena issued under paragraph (1)(C) shall, in the case of contumacy or refusal to obey, be enforceable by order of any appropriate United States district court.

    • `(3) EFFECT OF OATHS- Any oath, affirmation, or affidavit administered or taken under paragraph (1)(D) by or before an employee of the Privacy Office designated for that purpose by the senior official appointed under subsection (a) shall have the same force and effect as if administered or taken by or before an officer having a seal of office.

  • `(c) Supervision and Coordination-

    • `(1) IN GENERAL- The senior official appointed under subsection (a) shall--

      • `(A) report to, and be under the general supervision of, the Secretary; and

      • `(B) coordinate activities with the Inspector General of the Department in order to avoid duplication of effort.

    • `(2) NOTIFICATION TO CONGRESS ON REMOVAL- If the Secretary removes the senior official appointed under subsection (a) or transfers that senior official to another position or location within the Department, the Secretary shall--

      • `(A) promptly submit a written notification of the removal or transfer to Houses of Congress; and

      • `(B) include in any such notification the reasons for the removal or transfer.

  • `(d) Reports by Senior Official to Congress- The senior official appointed under subsection (a) shall--

    • `(1) submit reports directly to the Congress regarding performance of the responsibilities of the senior official under this section, without any prior comment or amendment by the Secretary, Deputy Secretary, or any other officer or employee of the Department or the Office of Management and Budget; and

    • `(2) inform the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives not later than--

      • `(A) 30 days after the Secretary disapproves the senior official's request for a subpoena under subsection (b)(1)(C) or the Secretary substantively modifies the requested subpoena; or

      • `(B) 45 days after the senior official's request for a subpoena under subsection (b)(1)(C), if that subpoena has not either been approved or disapproved by the Secretary.'.

SEC. 604. FEDERAL AGENCY DATA MINING REPORTING ACT OF 2007.

  • (a) Short Title- This section may be cited as the `Federal Agency Data Mining Reporting Act of 2007'.

  • (b) Definitions- In this section:

    • (1) DATA MINING- The term `data mining' means a program involving pattern-based queries, searches, or other analyses of 1 or more electronic databases, where--

      • (A) a department or agency of the Federal Government, or a non-Federal entity acting on behalf of the Federal Government, is conducting the queries, searches, or other analyses to discover or locate a predictive pattern or anomaly indicative of terrorist or criminal activity on the part of any individual or individuals;

      • (B) the queries, searches, or other analyses are not subject-based and do not use personal identifiers of a specific individual, or inputs associated with a specific individual or group of individuals, to retrieve information from the database or databases; and

      • (C) the purpose of the queries, searches, or other analyses is not solely--

        • (i) the detection of fraud, waste, or abuse in a Government agency or program; or

        • (ii) the security of a Government computer system.

    • (2) DATABASE- The term `database' does not include telephone directories, news reporting, information publicly available to any member of the public without payment of a fee, or databases of judicial and administrative opinions or other legal research sources.

  • (c) Reports on Data Mining Activities by Federal Agencies-

    • (1) IN GENERAL- Subsection (d) of this section shall have no force or effect.

    • (2) REPORTS-

      • (A) REQUIREMENT FOR REPORT- The head of each department or agency of the Federal Government that is engaged in any activity to use or develop data mining shall submit a report to Congress on all such activities of the department or agency under the jurisdiction of that official. The report shall be produced in coordination with the privacy officer of that department or agency, if applicable, and shall be made available to the public, except for an annex described in subparagraph (C).

      • (B) CONTENT OF REPORT- Each report submitted under subparagraph (A) shall include, for each activity to use or develop data mining, the following information:

        • (i) A thorough description of the data mining activity, its goals, and, where appropriate, the target dates for the deployment of the data mining activity.

        • (ii) A thorough description of the data mining technology that is being used or will be used, including the basis for determining whether a particular pattern or anomaly is indicative of terrorist or criminal activity.

        • (iii) A thorough description of the data sources that are being or will be used.

        • (iv) An assessment of the efficacy or likely efficacy of the data mining activity in providing accurate information consistent with and valuable to the stated goals and plans for the use or development of the data mining activity.

        • (v) An assessment of the impact or likely impact of the implementation of the data mining activity on the privacy and civil liberties of individuals, including a thorough description of the actions that are being taken or will be taken with regard to the property, privacy, or other rights or privileges of any individual or individuals as a result of the implementation of the data mining activity.

        • (vi) A list and analysis of the laws and regulations that govern the information being or to be collected, reviewed, gathered, analyzed, or used in conjunction with the data mining activity, to the extent applicable in the context of the data mining activity.

        • (vii) A thorough discussion of the policies, procedures, and guidelines that are in place or that are to be developed and applied in the use of such data mining activity in order to--

          • (I) protect the privacy and due process rights of individuals, such as redress procedures; and

          • (II) ensure that only accurate and complete information is collected, reviewed, gathered, analyzed, or used, and guard against any harmful consequences of potential inaccuracies.

      • (C) ANNEX-

        • (i) IN GENERAL- A report under subparagraph (A) shall include in an annex any necessary--

          • (I) classified information;

          • (II) law enforcement sensitive information;

          • (III) proprietary business information; or

          • (IV) trade secrets (as that term is defined in section 1839 of title 18, United States Code).

        • (ii) AVAILABILITY- Any annex described in clause (i)--

          • (I) shall be available, as appropriate, and consistent with the National Security Act of 1947 (50 U.S.C. 401 et seq.), to the Committee on Homeland Security and Governmental Affairs, the Committee on the Judiciary, the Select Committee on Intelligence, the Committee on Appropriations, and the Committee on Banking, Housing, and Urban Affairs of the Senate and the Committee on Homeland Security, the Committee on the Judiciary, the Permanent Select Committee on Intelligence, the Committee on Appropriations, and the Committee on Financial Services of the House of Representatives; and

          • (II) shall not be made available to the public.

      • (D) TIME FOR REPORT- Each report required under subparagraph (A) shall be--

        • (i) submitted not later than 180 days after the date of enactment of this Act; and

        • (ii) updated not less frequently than annually thereafter, to include any activity to use or develop data mining engaged in after the date of the prior report submitted under subparagraph (A).

  • (d) Reports on Data Mining Activities by Federal Agencies-

    • (1) REQUIREMENT FOR REPORT- The head of each department or agency of the Federal Government that is engaged in any activity to use or develop data mining shall submit a report to Congress on all such activities of the department or agency under the jurisdiction of that official. The report shall be made available to the public, except for a classified annex described paragraph (2)(H).

    • (2) CONTENT OF REPORT- Each report submitted under paragraph (1) shall include, for each activity to use or develop data mining, the following information:

      • (A) A thorough description of the data mining activity, its goals, and, where appropriate, the target dates for the deployment of the data mining activity.

      • (B) A thorough description, without revealing existing patents, proprietary business processes, trade secrets, and intelligence sources and methods, of the data mining technology that is being used or will be used, including the basis for determining whether a particular pattern or anomaly is indicative of terrorist or criminal activity.

      • (C) A thorough description of the data sources that are being or will be used.

      • (D) An assessment of the efficacy or likely efficacy of the data mining activity in providing accurate information consistent with and valuable to the stated goals and plans for the use or development of the data mining activity.

      • (E) An assessment of the impact or likely impact of the implementation of the data mining activity on the privacy and civil liberties of individuals, including a thorough description of the actions that are being taken or will be taken with regard to the property, privacy, or other rights or privileges of any individual or individuals as a result of the implementation of the data mining activity.

      • (F) A list and analysis of the laws and regulations that govern the information being or to be collected, reviewed, gathered, analyzed, or used with the data mining activity.

      • (G) A thorough discussion of the policies, procedures, and guidelines that are in place or that are to be developed and applied in the use of such technology for data mining in order to--

        • (i) protect the privacy and due process rights of individuals, such as redress procedures; and

        • (ii) ensure that only accurate information is collected, reviewed, gathered, analyzed, or used.

      • (H) Any necessary classified information in an annex that shall be available, as appropriate, to the Committee on Homeland Security and Governmental Affairs, the Committee on the Judiciary, the Select Committee on Intelligence, and the Committee on Appropriations of the Senate and the Committee on Homeland Security, the Committee on the Judiciary, the Permanent Select Committee on Intelligence, and the Committee on Appropriations of the House of Representatives.

    • (3) TIME FOR REPORT- Each report required under paragraph (1) shall be--

      • (A) submitted not later than 180 days after the date of enactment of this Act; and

      • (B) updated not less frequently than annually thereafter, to include any activity to use or develop data mining engaged in after the date of the prior report submitted under paragraph (1).

TITLE VII--ENHANCED DEFENSES AGAINST WEAPONS OF MASS DESTRUCTION

SEC. 701. NATIONAL BIOSURVEILLANCE INTEGRATION CENTER.

  • (a) In General- Title III of the Homeland Security Act of 2002 (6 U.S.C. et seq.) is amended by adding at the end the following:

`SEC. 316. NATIONAL BIOSURVEILLANCE INTEGRATION CENTER.

  • `(a) Definitions- In this section--

    • `(1) the term `biological event of national significance' means--

      • `(A) an act of terrorism that uses a biological agent, toxin, or other product derived from a biological agent; or

      • `(B) a naturally-occurring outbreak of an infectious disease that may result in a national epidemic;

    • `(2) the term `Member Agencies' means the departments and agencies described in subsection (d)(1);

    • `(3) the term `NBIC' means the National Biosurveillance Integration Center established under subsection (b);

    • `(4) the term `NBIS' means the National Biosurveillance Integration System established under subsection (b); and

    • `(5) the term `Privacy Officer' means the Privacy Officer appointed under section 222.

  • `(b) Establishment- The Secretary shall establish, operate, and maintain a National Biosurveillance Integration Center, headed by a Directing Officer, under an existing office or directorate of the Department, subject to the availability of appropriations, to oversee development and operation of the National Biosurveillance Integration System.

  • `(c) Primary Mission- The primary mission of the NBIC is to enhance the capability of the Federal Government to--

    • `(1) rapidly identify, characterize, localize, and track a biological event of national significance by integrating and analyzing data from human health, animal, plant, food, and environmental monitoring systems (both national and international); and

    • `(2) disseminate alerts and other information regarding such data analysis to Member Agencies and, in consultation with relevant member agencies, to agencies of State, local, and tribal governments, as appropriate, to enhance the ability of such agencies to respond to a biological event of national significance.

  • `(d) Requirements- The NBIC shall design the NBIS to detect, as early as possible, a biological event of national significance that presents a risk to the United States or the infrastructure or key assets of the United States, including--

    • `(1) if a Federal department or agency, at the discretion of the head of that department or agency, has entered a memorandum of understanding regarding participation in the NBIC, consolidating data from all relevant surveillance systems maintained by that department or agency to detect biological events of national significance across human, animal, and plant species;

    • `(2) seeking private sources of surveillance, both foreign and domestic, when such sources would enhance coverage of critical surveillance gaps;

    • `(3) using an information technology system that uses the best available statistical and other analytical tools to identify and characterize biological events of national significance in as close to real-time as is practicable;

    • `(4) providing the infrastructure for such integration, including information technology systems and space, and support for personnel from Member Agencies with sufficient expertise to enable analysis and interpretation of data;

    • `(5) working with Member Agencies to create information technology systems that use the minimum amount of patient data necessary and consider patient confidentiality and privacy issues at all stages of development and apprise the Privacy Officer of such efforts; and

    • `(6) alerting relevant Member Agencies and, in consultation with relevant Member Agencies, public health agencies of State, local, and tribal governments regarding any incident that could develop into a biological event of national significance.

  • `(e) Responsibilities of the Secretary-

    • `(1) IN GENERAL- The Secretary shall--

      • `(A) ensure that the NBIC is fully operational not later than September 30, 2008;

      • `(B) not later than 180 days after the date of enactment of this section and on the date that the NBIC is fully operational, submit a report to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives on the progress of making the NBIC operational addressing the efforts of the NBIC to integrate surveillance efforts of Federal, State, local, and tribal governments.

  • `(f) Responsibilities of the Directing Officer of the NBIC-

    • `(1) IN GENERAL- The Directing Officer of the NBIC shall--

      • `(A) establish an entity to perform all operations and assessments related to the NBIS;

      • `(B) on an ongoing basis, monitor the availability and appropriateness of contributing surveillance systems and solicit new surveillance systems that would enhance biological situational awareness or overall performance of the NBIS;

      • `(C) on an ongoing basis, review and seek to improve the statistical and other analytical methods utilized by the NBIS;

      • `(D) receive and consider other relevant homeland security information, as appropriate; and

      • `(E) provide technical assistance, as appropriate, to all Federal, regional, State, local, and tribal government entities and private sector entities that contribute data relevant to the operation of the NBIS.

    • `(2) ASSESSMENTS- The Directing Officer of the NBIC shall--

      • `(A) on an ongoing basis, evaluate available data for evidence of a biological event of national significance; and

      • `(B) integrate homeland security information with NBIS data to provide overall situational awareness and determine whether a biological event of national significance has occurred.

    • `(3) INFORMATION SHARING-

      • `(A) IN GENERAL- The Directing Officer of the NBIC shall--

        • `(i) establish a method of real-time communication with the National Operations Center, to be known as the Biological Common Operating Picture;

        • `(ii) in the event that a biological event of national significance is detected, notify the Secretary and disseminate results of NBIS assessments related to that biological event of national significance to appropriate Federal response entities and, in consultation with relevant member agencies, regional, State, local, and tribal governmental response entities in a timely manner;

        • `(iii) provide any report on NBIS assessments to Member Agencies and, in consultation with relevant member agencies, any affected regional, State, local, or tribal government, and any private sector entity considered appropriate that may enhance the mission of such Member Agencies, governments, or entities or the ability of the Nation to respond to biological events of national significance; and

        • `(iv) share NBIS incident or situational awareness reports, and other relevant information, consistent with the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485) and any policies, guidelines, procedures, instructions, or standards established by the President or the program manager for the implementation and management of that environment.

      • `(B) COORDINATION- The Directing Officer of the NBIC shall implement the activities described in subparagraph (A) in coordination with the program manager for the information sharing environment of the Office of the Director of National Intelligence, the Under Secretary for Intelligence and Analysis, and other offices or agencies of the Federal Government, as appropriate.

  • `(g) Responsibilities of the NBIC Member Agencies-

    • `(1) IN GENERAL- Each Member Agency shall--

      • `(A) use its best efforts to integrate biosurveillance information into the NBIS, with the goal of promoting information sharing between Federal, State, local, and tribal governments to detect biological events of national significance;

      • `(B) participate in the formation and maintenance of the Biological Common Operating Picture to facilitate timely and accurate detection and reporting;

      • `(C) connect the biosurveillance data systems of that Member Agency to the NBIC data system under mutually-agreed protocols that maintain patient confidentiality and privacy;

      • `(D) participate in the formation of strategy and policy for the operation of the NBIC and its information sharing; and

      • `(E) provide personnel to the NBIC under an interagency personnel agreement and consider the qualifications of such personnel necessary to provide human, animal, and environmental data analysis and interpretation support to the NBIC.

  • `(h) Administrative Authorities-

    • `(1) HIRING OF EXPERTS- The Directing Officer of the NBIC shall hire individuals with the necessary expertise to develop and operate the NBIS.

    • `(2) DETAIL OF PERSONNEL- Upon the request of the Directing Officer of the NBIC, the head of any Federal department or agency may detail, on a reimbursable basis, any of the personnel of that department or agency to the Department to assist the NBIC in carrying out this section.

  • `(i) Joint Biosurveillance Leadership Council- The Directing Officer of the NBIC shall--

    • `(1) establish an interagency coordination council to facilitate interagency cooperation and to advise the Directing Officer of the NBIC regarding recommendations to enhance the biosurveillance capabilities of the Department; and

    • `(2) invite Member Agencies to serve on such council.

  • `(j) Relationship to Other Departments and Agencies- The authority of the Directing Officer of the NBIC under this section shall not affect any authority or responsibility of any other department or agency of the Federal Government with respect to biosurveillance activities under any program administered by that department or agency.

  • `(k) Authorization of Appropriations- There are authorized to be appropriated such sums as are necessary to carry out this section.'.

  • (b) Conforming Amendment- The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended by inserting after the item relating to section 315 the following:

    • `Sec. 316. National Biosurveillance Integration Center.'.

SEC. 702. BIOSURVEILLANCE EFFORTS.

  • The Comptroller General of the United States shall submit a report to Congress describing--

    • (1) the state of Federal, State, local, and tribal government biosurveillance efforts as of the date of such report;

    • (2) any duplication of effort at the Federal, State, local, or tribal government level to create biosurveillance systems; and

    • (3) the integration of biosurveillance systems to allow the maximizing of biosurveillance resources and the expertise of Federal, State, local, and tribal governments to benefit public health.

SEC. 703. INTERAGENCY COORDINATION TO ENHANCE DEFENSES AGAINST NUCLEAR AND RADIOLOGICAL WEAPONS OF MASS DESTRUCTION.

  • (a) In General- The Homeland Security Act of 2002 is amended by adding after section 1906, as redesignated by section 203 of this Act, the following:

`SEC. 1907. JOINT ANNUAL REVIEW OF GLOBAL NUCLEAR DETECTION ARCHITECTURE.

  • `(a) Annual Review-

    • `(1) IN GENERAL- The Secretary, the Attorney General, the Secretary of State, the Secretary of Defense, the Secretary of Energy, and the Director of National Intelligence shall jointly ensure interagency coordination on the development and implementation of the global nuclear detection architecture by ensuring that, not less frequently than once each year--

      • `(A) each relevant agency, office, or entity--

        • `(i) assesses its involvement, support, and participation in the development, revision, and implementation of the global nuclear detection architecture;

        • `(ii) examines and evaluates components of the global nuclear detection architecture (including associated strategies and acquisition plans) that are related to the operations of that agency, office, or entity, to determine whether such components incorporate and address current threat assessments, scenarios, or intelligence analyses developed by the Director of National Intelligence or other agencies regarding threats related to nuclear or radiological weapons of mass destruction; and

      • `(B) each agency, office, or entity deploying or operating any technology acquired by the Office--

        • `(i) evaluates the deployment and operation of that technology by that agency, office, or entity;

        • `(ii) identifies detection performance deficiencies and operational or technical deficiencies in that technology; and

        • `(iii) assesses the capacity of that agency, office, or entity to implement the responsibilities of that agency, office, or entity under the global nuclear detection architecture.

    • `(2) TECHNOLOGY- Not less frequently than once each year, the Secretary shall examine and evaluate the development, assessment, and acquisition of technology by the Office.

  • `(b) Annual Report-

    • `(1) IN GENERAL- Not later than March 31 of each year, the Secretary, in coordination with the Attorney General, the Secretary of State, the Secretary of Defense, the Secretary of Energy, and the Director of National Intelligence, shall submit a report regarding the compliance of such officials with this section and the results of the reviews required under subsection (a) to--

      • `(A) the President;

      • `(B) the Committee on Appropriations, the Committee on Armed Services, and the Committee on Homeland Security and Governmental Affairs of the Senate; and

      • `(C) the Committee on Appropriations, the Committee on Armed Services, and the Committee on Homeland Security of the House of Representatives.

    • `(2) FORM- Each report submitted under paragraph (1) shall be submitted in unclassified form to the maximum extent practicable, but may include a classified annex.

  • `(c) Definition- In this section, the term `global nuclear detection architecture' means the global nuclear detection architecture developed under section 1902.'.

  • (b) Technical and Conforming Amendment- The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 note) is amended by inserting after the item relating to section 1906, as added by section 203 of this Act, the following:

    • `Sec. 1907. Joint annual review of global nuclear detection architecture.'.

TITLE VIII--PRIVATE SECTOR PREPAREDNESS

SEC. 801. DEFINITIONS.

  • (a) In General- In this title, the term `voluntary national preparedness standards' has the meaning given that term in section 2 of the Homeland Security Act of 2002 (6 U.S.C. 101), as amended by this Act.

  • (b) Homeland Security Act of 2002- Section 2 of the Homeland Security Act of 2002 (6 U.S.C. 101) is amended by adding at the end the following:

    • `(17) The term `voluntary national preparedness standards' means a common set of criteria for preparedness, disaster management, emergency management, and business continuity programs, such as the American National Standards Institute's National Fire Protection Association Standard on Disaster/Emergency Management and Business Continuity Programs (ANSI/NFPA 1600).'.

SEC. 802. RESPONSIBILITIES OF THE PRIVATE SECTOR OFFICE OF THE DEPARTMENT.

  • (a) In General- Section 102(f) of the Homeland Security Act of 2002 (6 U.S.C. 112(f)) is amended--

    • (1) by redesignating paragraphs (8) through (10) as paragraphs (9) through (11), respectively; and

    • (2) by inserting after paragraph (7) the following:

    • `(8) providing information to the private sector regarding voluntary national preparedness standards and the business justification for preparedness and promoting to the private sector the adoption of voluntary national preparedness standards;'.

  • (b) Private Sector Advisory Councils- Section 102(f)(4) of the Homeland Security Act of 2002 (6 U.S.C. 112(f)(4)) is amended--

    • (1) in subparagraph (A), by striking `and' at the end;

    • (2) in subparagraph (B), by adding `and' at the end; and

    • (3) by adding at the end the following:

      • `(C) advise the Secretary on private sector preparedness issues, including effective methods for--

        • `(i) promoting voluntary national preparedness standards to the private sector;

        • `(ii) assisting the private sector in adopting voluntary national preparedness standards; and

        • `(iii) developing and implementing the accreditation and certification program under section 522;'.

SEC. 803. VOLUNTARY NATIONAL PREPAREDNESS STANDARDS COMPLIANCE; ACCREDITATION AND CERTIFICATION PROGRAM FOR THE PRIVATE SECTOR.

  • (a) In General- Title V of the Homeland Security Act of 2002 (6 U.S.C. 311 et seq.) is amended by adding at the end the following:

`SEC. 522. VOLUNTARY NATIONAL PREPAREDNESS STANDARDS COMPLIANCE; ACCREDITATION AND CERTIFICATION PROGRAM FOR THE PRIVATE SECTOR.

  • `(a) Accreditation and Certification Program- Not later than 120 days after the date of enactment of this section, the Secretary, in consultation with representatives of the organizations that coordinate or facilitate the development of and use of voluntary consensus standards, appropriate voluntary consensus standards development organizations, each private sector advisory council created under section 102(f)(4), and appropriate private sector advisory groups such as sector coordinating councils and information sharing and analysis centers, shall--

    • `(1) support the development, promulgating, and updating, as necessary, of voluntary national preparedness standards; and

    • `(2) develop, implement, and promote a program to certify the preparedness of private sector entities.

  • `(b) Program Elements-

    • `(1) IN GENERAL-

      • `(A) PROGRAM- The program developed and implemented under this section shall assess whether a private sector entity complies with voluntary national preparedness standards.

      • `(B) GUIDELINES- In developing the program under this section, the Secretary shall develop guidelines for the accreditation and certification processes established under this section.

    • `(2) STANDARDS- The Secretary, in consultation with representatives of organizations that coordinate or facilitate the development of and use of voluntary consensus standards representatives of appropriate voluntary consensus standards development organizations, each private sector advisory council created under section 102(f)(4), and appropriate private sector advisory groups such as sector coordinating councils and information sharing and analysis centers--

      • `(A) shall adopt appropriate voluntary national preparedness standards that promote preparedness, which shall be used in the accreditation and certification program under this section; and

      • `(B) after the adoption of standards under subparagraph (A), may adopt additional voluntary national preparedness standards or modify or discontinue the use of voluntary national preparedness standards for the accreditation and certification program, as necessary and appropriate to promote preparedness.

    • `(3) TIERING- The certification program developed under this section may use a multiple-tiered system to rate the preparedness of a private sector entity.

    • `(4) SMALL BUSINESS CONCERNS- The Secretary and any selected entity shall establish separate classifications and methods of certification for small business concerns (as that term is defined in section 3 of the Small Business Act (15 U.S.C. 632)) for the program under this section.

    • `(5) CONSIDERATIONS- In developing and implementing the program under this section, the Secretary shall--

      • `(A) consider the unique nature of various sectors within the private sector, including preparedness, business continuity standards, or best practices, established--

        • `(i) under any other provision of Federal law; or

        • `(ii) by any sector-specific agency, as defined under Homeland Security Presidential Directive-7; and

      • `(B) coordinate the program, as appropriate, with--

        • `(i) other Department private sector related programs; and

        • `(ii) preparedness and business continuity programs in other Federal agencies.

  • `(c) Accreditation and Certification Processes-

    • `(1) AGREEMENT-

      • `(A) IN GENERAL- Not later than 120 days after the date of enactment of this section, the Secretary shall enter into 1 or more agreements with the American National Standards Institute or other similarly qualified nongovernmental or other private sector entities to carry out accreditations and oversee the certification process under this section.

      • `(B) CONTENTS- Any selected entity shall manage the accreditation process and oversee the certification process in accordance with the program established under this section and accredit qualified third parties to carry out the certification program established under this section.

    • `(2) PROCEDURES AND REQUIREMENTS FOR ACCREDITATION AND CERTIFICATION-

      • `(A) IN GENERAL- The selected entities shall collaborate to develop procedures and requirements for the accreditation and certification processes under this section, in accordance with the program established under this section and guidelines developed under subsection (b)(1)(B).

      • `(B) CONTENTS AND USE- The procedures and requirements developed under subparagraph (A) shall--

        • `(i) ensure reasonable uniformity in the accreditation and certification processes if there is more than 1 selected entity; and

        • `(ii) be used by any selected entity in conducting accreditations and overseeing the certification process under this section.

      • `(C) DISAGREEMENT- Any disagreement among selected entities in developing procedures under subparagraph (A) shall be resolved by the Secretary.

    • `(3) DESIGNATION- A selected entity may accredit any qualified third party to carry out the certification process under this section.

    • `(4) THIRD PARTIES- To be accredited under paragraph (3), a third party shall--

      • `(A) demonstrate that the third party has the ability to certify private sector entities in accordance with the procedures and requirements developed under paragraph (2);

      • `(B) agree to perform certifications in accordance with such procedures and requirements;

      • `(C) agree not to have any beneficial interest in or any direct or indirect control over--

        • `(i) a private sector entity for which that third party conducts a certification under this section; or

        • `(ii) any organization that provides preparedness consulting services to private sector entities;

      • `(D) agree not to have any other conflict of interest with respect to any private sector entity for which that third party conducts a certification under this section;

      • `(E) maintain liability insurance coverage at policy limits in accordance with the requirements developed under paragraph (2); and

      • `(F) enter into an agreement with the selected entity accrediting that third party to protect any proprietary information of a private sector entity obtained under this section.

    • `(5) MONITORING-

      • `(A) IN GENERAL- The Secretary and any selected entity shall regularly monitor and inspect the operations of any third party conducting certifications under this section to ensure that third party is complying with the procedures and requirements established under paragraph (2) and all other applicable requirements.

      • `(B) REVOCATION- If the Secretary or any selected entity determines that a third party is not meeting the procedures or requirements established under paragraph (2), the appropriate selected entity shall--

        • `(i) revoke the accreditation of that third party to conduct certifications under this section; and

        • `(ii) review any certification conducted by that third party, as necessary and appropriate.

  • `(d) Annual Review-

    • `(1) IN GENERAL- The Secretary, in consultation with representatives of the organizations that coordinate or facilitate the development of and use of voluntary consensus standards, appropriate voluntary consensus standards development organizations, and each private sector advisory council created under section 102(f)(4), shall annually review the voluntary accreditation and certification program established under this section to ensure the effectiveness of such program and make improvements and adjustments to the program as necessary and appropriate.

    • `(2) REVIEW OF STANDARDS- Each review under paragraph (1) shall include an assessment of the voluntary national preparedness standards used in the program under this section.

  • `(e) Compliance by Entities Seeking Certification- Any entity seeking certification under this section shall comply with all applicable statutes, regulations, directives, policies, and industry codes of practice in meeting certification requirements.

  • `(f) Voluntary Participation- Certification under this section shall be voluntary for any private sector entity.

  • `(g) Public Listing- The Secretary shall maintain and make public a listing of any private sector entity certified as being in compliance with the program established under this section, if that private sector entity consents to such listing.

  • `(h) Definition- In this section, the term `selected entity' means any entity entering an agreement with the Secretary under subsection (c)(1)(A).'.

  • (b) Technical and Conforming Amendment- The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended by inserting after the item relating to section 521 the following:

    • `Sec. 522. Voluntary national preparedness standards compliance; accreditation and certification program for the private sector.'.

SEC. 804. SENSE OF CONGRESS REGARDING PROMOTING AN INTERNATIONAL STANDARD FOR PRIVATE SECTOR PREPAREDNESS.

  • It is the sense of Congress that the Secretary or any entity designated under section 522(c)(1)(A) of the Homeland Security Act of 2002, as added by this Act, should promote, where appropriate, efforts to develop a consistent international standard for private sector preparedness.

SEC. 805. DEMONSTRATION PROJECT.

  • Not later than 120 days after the date of enactment of this Act, the Secretary shall--

    • (1) establish a demonstration project to conduct demonstrations of security management systems that--

      • (A) shall use a management system standards approach; and

      • (B) may be integrated into quality, safety, environmental and other internationally adopted management systems; and

    • (2) enter into 1 or more agreements with a private sector entity to conduct such demonstrations of security management systems.

SEC. 806. REPORT TO CONGRESS.

  • Not later than 180 days after the date of enactment of this Act, the Secretary shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report detailing--

    • (1) any action taken to implement this title or an amendment made by this title; and

    • (2) the status, as of the date of that report, of the implementation of this title and the amendments made by this title.

SEC. 807. RULE OF CONSTRUCTION.

  • Nothing in this title may be construed to supercede any preparedness or business continuity standards, requirements, or best practices established--

    • (1) under any other provision of Federal law; or

    • (2) by any sector-specific agency, as defined under Homeland Security Presidential Directive-7.

TITLE IX--TRANSPORTATION SECURITY PLANNING AND INFORMATION SHARING

SEC. 901. TRANSPORTATION SECURITY STRATEGIC PLANNING.

  • (a) In General- Section 114(t)(1)(B) of title 49, United States Code, is amended to read as follows:

      • `(B) transportation modal and intermodal security plans addressing risks, threats, and vulnerabilities for aviation, bridge, tunnel, commuter rail and ferry, highway, maritime, pipeline, rail, mass transit, over-the-road bus, and other public transportation infrastructure assets.'.

  • (b) Contents of the National Strategy for Transportation Security- Section 114(t)(3) of such title is amended--

    • (1) in subparagraph (B), by inserting `, based on risk assessments conducted by the Secretary of Homeland Security (including assessments conducted under section 1421 or 1503 of the Improving America's Security Act of 2007 or any provision of law amended by such title),' after `risk based priorities';

    • (2) in subparagraph (D)--

      • (A) by striking `and local' and inserting `, local, and tribal'; and

      • (B) by striking `private sector cooperation and participation' and inserting `cooperation and participation by private sector entities';

    • (3) in subparagraph (E)--

      • (A) by striking `response' and inserting `prevention, response,'; and

      • (B) by inserting `and threatened and executed acts of terrorism outside the United States to the extent such acts affect United States transportation systems' before the period at the end;

    • (4) in subparagraph (F), by adding at the end the following: `Transportation security research and development projects shall be based, to the extent practicable, on such prioritization. Nothing in the preceding sentence shall be construed to require the termination of any research or development project initiated by the Secretary of Homeland Security before the date of enactment of the Improving America's Security Act of 2007.'; and

    • (5) by adding at the end the following:

      • `(G) Short- and long-term budget recommendations for Federal transportation security programs, which reflect the priorities of the National Strategy for Transportation Security.

      • `(H) Methods for linking the individual transportation modal security plans and the programs contained therein, and a plan for addressing the security needs of intermodal transportation hubs.

      • `(I) Transportation security modal and intermodal plans, including operational recovery plans to expedite, to the maximum extent practicable, the return to operation of an adversely affected transportation system following a major terrorist attack on that system or another catastrophe. These plans shall be coordinated with the resumption of trade protocols required under section 202 of the SAFE Port Act (6 U.S.C. 942).'.

  • (c) Periodic Progress Reports- Section 114(t)(4) of such title is amended--

    • (1) in subparagraph (C)--

      • (A) in clause (i), by inserting `, including the transportation modal security plans' before the period at the end; and

      • (B) by striking clause (ii) and inserting the following:

        • `(ii) CONTENT- Each progress report submitted under this subparagraph shall include the following:

          • `(I) Recommendations for improving and implementing the National Strategy for Transportation Security and the transportation modal and intermodal security plans that the Secretary of Homeland Security, in consultation with the Secretary of Transportation, considers appropriate.

          • `(II) An accounting of all grants for transportation security, including grants for research and development, distributed by the Secretary of Homeland Security in the most recently concluded fiscal year and a description of how such grants accomplished the goals of the National Strategy for Transportation Security.

          • `(III) An accounting of all--

`(aa) funds requested in the President's budget submitted pursuant to section 1105 of title 31 for the most recently concluded fiscal year for transportation security, by mode; and

`(bb) personnel working on transportation security by mode, including the number of contractors.

        • `(iii) WRITTEN EXPLANATION OF TRANSPORTATION SECURITY ACTIVITIES NOT DELINEATED IN THE NATIONAL STRATEGY FOR TRANSPORTATION SECURITY- At the end of each year, the Secretary of Homeland Security shall submit to the appropriate congressional committees a written explanation of any activity inconsistent with, or not clearly delineated in, the National Strategy for Transportation Security, including the amount of funds to be expended for the activity and the number of personnel involved.'; and

    • (2) in subparagraph (E), by striking `Select'.

  • (d) Priority Status- Section 114(t)(5)(B) of such title is amended--

    • (1) in clause (iii), by striking `and' at the end;

    • (2) by redesignating clause (iv) as clause (v); and

    • (3) by inserting after clause (iii) the following:

        • `(iv) the transportation sector specific plan required under Homeland Security Presidential Directive-7; and'.

  • (e) Coordination and Plan Distribution- Section 114(t) of such title is amended by adding at the end the following:

    • `(6) COORDINATION- In carrying out the responsibilities under this section, the Secretary of Homeland Security, in consultation with the Secretary of Transportation, shall consult, as appropriate, with Federal, State, and local agencies, tribal governments, private sector entities (including nonprofit employee labor organizations), institutions of higher learning, and other entities.

    • `(7) PLAN DISTRIBUTION- The Secretary of Homeland Security shall make available an unclassified version of the National Strategy for Transportation Security, including its component transportation modal security plans, to Federal, State, regional, local and tribal authorities, transportation system owners or operators, private sector stakeholders (including non-profit employee labor organizations), institutions of higher learning, and other appropriate entities.'.

SEC. 902. TRANSPORTATION SECURITY INFORMATION SHARING.

  • (a) In General- Section 114 of title 49, United States Code, is amended by adding at the end the following:

  • `(u) Transportation Security Information Sharing Plan-

    • `(1) ESTABLISHMENT OF PLAN- The Secretary of Homeland Security, in consultation with the program manager of the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485), the Secretary of Transportation, and public and private stakeholders, shall establish a Transportation Security Information Sharing Plan. In establishing the plan, the Secretary shall gather input on the development of the Plan from private and public stakeholders and the program manager of the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485).

    • `(2) PURPOSE OF PLAN- The Plan shall promote sharing of transportation security information between the Department of Homeland Security and public and private stakeholders.

    • `(3) CONTENT OF PLAN- The Plan shall include--

      • `(A) a description of how intelligence analysts within the Department of Homeland Security will coordinate their activities within the Department and with other Federal, State, and local agencies, and tribal governments, including coordination with existing modal information sharing centers and the center established under section 1506 of the Improving America's Security Act of 2007;

      • `(B) the establishment of a point of contact, which may be a single point of contact, for each mode of transportation within the Department of Homeland Security for its sharing of transportation security information with public and private stakeholders, including an explanation and justification to the appropriate congressional committees if the point of contact established pursuant to this subparagraph differs from the agency within the Department that has the primary authority, or has been delegated such authority by the Secretary, to regulate the security of that transportation mode;

      • `(C) a reasonable deadline by which the Plan will be implemented; and

      • `(D) a description of resource needs for fulfilling the Plan.

    • `(4) COORDINATION WITH THE INFORMATION SHARING ENVIRONMENT- The Plan shall be--

      • `(A) implemented in coordination with the program manager for the information sharing environment established under section 1016 of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 485); and

      • `(B) consistent with the establishment of that environment, and any policies, guidelines, procedures, instructions, or standards established by the President or the program manager for the implementation and management of that environment.

    • `(5) REPORTS TO CONGRESS-

      • `(A) IN GENERAL- Not later than 180 days after the date of enactment of this subsection, the Secretary shall submit to the appropriate congressional committees a report containing the Plan.

      • `(B) ANNUAL REPORT- Not later than 1 year after the date of enactment of this subsection, the Secretary shall submit to the appropriate congressional committees an annual report on updates to and the implementation of the Plan.

    • `(6) SURVEY-

      • `(A) IN GENERAL- The Secretary shall conduct a biennial survey of the satisfaction of the recipients of transportation intelligence reports disseminated under the Plan, and include the results of the survey as part of the annual report to be submitted under paragraph (5)(B).

      • `(B) INFORMATION SOUGHT- The survey conducted under subparagraph (A) shall seek information about the quality, speed, regularity, and classification of the transportation security information products disseminated from the Department of Homeland Security to public and private stakeholders.

    • `(7) SECURITY CLEARANCES- The Secretary shall, to the greatest extent practicable, take steps to expedite the security clearances needed for public and private stakeholders to receive and obtain access to classified information distributed under this section as appropriate.

    • `(8) CLASSIFICATION OF MATERIAL- The Secretary, to the greatest extent practicable, shall provide public and private stakeholders with specific and actionable information in an unclassified format.

    • `(9) DEFINITIONS- In this subsection:

      • `(A) APPROPRIATE CONGRESSIONAL COMMITTEES- The term `appropriate congressional committees' has the meaning given that term in subsection (t), but shall also include the Senate Committee on Banking, Housing, and Urban Development.

      • `(B) PLAN- The term `Plan' means the Transportation Security Information Sharing Plan established under paragraph (1).

      • `(C) PUBLIC AND PRIVATE STAKEHOLDERS- The term `public and private stakeholders' means Federal, State, and local agencies, tribal governments, and appropriate private entities.

      • `(D) SECRETARY- The term `Secretary' means the Secretary of Homeland Security.

      • `(E) TRANSPORTATION SECURITY INFORMATION- The term `transportation security information' means information relating to the risks to transportation modes, including aviation, bridge and tunnel, mass transit, passenger and freight rail, ferry, highway, maritime, pipeline, and over-the-road bus transportation.'.

  • (b) Congressional Oversight of Security Assurance for Public and Private Stakeholders-

    • (1) IN GENERAL- Except as provided in paragraph (2), the Secretary shall provide a semiannual report to the Committee on Homeland Security and Governmental Affairs, the Committee on Commerce, Science, and Transportation, and the Committee on Banking, Housing, and Urban Development of the Senate and the Committee on Homeland Security and the Committee on Transportation and Infrastructure of the House of Representatives that--

      • (A) identifies the job titles and descriptions of the persons with whom such information is to be shared under the transportation security information sharing plan established under section 114(u) of title 49, United States Code, as added by this Act, and explains the reason for sharing the information with such persons;

      • (B) describes the measures the Secretary has taken, under section 114(u)(7) of that title, or otherwise, to ensure proper treatment and security for any classified information to be shared with the public and private stakeholders under the plan; and

      • (C) explains the reason for the denial of transportation security information to any stakeholder who had previously received such information.

    • (2) NO REPORT REQUIRED IF NO CHANGES IN STAKEHOLDERS- The Secretary is not required to provide a semiannual report under paragraph (1) if no stakeholders have been added to or removed from the group of persons with whom transportation security information is shared under the plan since the end of the period covered by the last preceding semiannual report.

SEC. 903. TRANSPORTATION SECURITY ADMINISTRATION PERSONNEL MANAGEMENT.

  • (a) TSA Employee Defined- In this section, the term `TSA employee' means an individual who holds--

    • (1) any position which was transferred (or the incumbent of which was transferred) from the Transportation Security Administration of the Department of Transportation to the Department by section 403 of the Homeland Security Act of 2002 (6 U.S.C. 203); or

    • (2) any other position within the Department the duties and responsibilities of which include carrying out 1 or more of the functions that were transferred from the Transportation Security Administration of the Department of Transportation to the Secretary by such section.

  • (b) Elimination of Certain Personnel Management Authorities- Effective 90 days after the date of enactment of this Act--

    • (1) section 111(d) of the Aviation and Transportation Security Act (49 U.S.C. 44935 note) is repealed and any authority of the Secretary derived from such section 111(d) shall terminate;

    • (2) any personnel management system, to the extent established or modified under such section 111(d) (including by the Secretary through the exercise of any authority derived from such section 111(d)) shall terminate; and

    • (3) the Secretary shall ensure that all TSA employees are subject to the same personnel management system as described in paragraph (1) or (2) of subsection (e).

  • (c) Establishment of Certain Uniformity Requirements-

    • (1) SYSTEM UNDER SUBSECTION (e)(1)- The Secretary shall, with respect to any personnel management system described in subsection (e)(1), take any measures which may be necessary to provide for the uniform treatment of all TSA employees under such system.

    • (2) SYSTEM UNDER SUBSECTION (e)(2)- Section 9701(b) of title 5, United States Code, is amended--

      • (A) in paragraph (4), by striking `and' at the end;

      • (B) in paragraph (5), by striking the period at the end and inserting `; and'; and

      • (C) by adding at the end the following:

    • `(6) provide for the uniform treatment of all TSA employees (as that term is defined in section 903 of the Improving America's Security Act of 2007).'.

    • (3) EFFECTIVE DATE-

      • (A) PROVISIONS RELATING TO A SYSTEM UNDER SUBSECTION (e)(1)- Any measures necessary to carry out paragraph (1) shall take effect 90 days after the date of enactment of this Act.

      • (B) PROVISIONS RELATING TO A SYSTEM UNDER SUBSECTION (e)(2)- Any measures necessary to carry out the amendments made by paragraph (2) shall take effect on the later of 90 days after the date of enactment of this Act and the commencement date of the system involved.

  • (d) Report to Congress-

    • (1) REPORT REQUIRED- Not later than 6 months after the date of enactment of this Act, the Comptroller General of the United States shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report on--

      • (A) the pay system that applies with respect to TSA employees as of the date of enactment of this Act; and

      • (B) any changes to such system which would be made under any regulations which have been prescribed under chapter 97 of title 5, United States Code.

    • (2) MATTERS FOR INCLUSION- The report required under paragraph (1) shall include--

      • (A) a brief description of each pay system described in paragraphs (1)(A) and (1)(B), respectively;

      • (B) a comparison of the relative advantages and disadvantages of each of those pay systems; and

      • (C) such other matters as the Comptroller General determines appropriate.

  • (e) Personnel Management System Described- A personnel management system described in this subsection is--

    • (1) any personnel management system, to the extent that it applies with respect to any TSA employees under section 114(n) of title 49, United States Code; and

    • (2) any human resources management system, established under chapter 97 of title 5, United States Code.

SEC. 904. APPEAL RIGHTS AND EMPLOYEE ENGAGEMENT MECHANISM FOR PASSENGER AND PROPERTY SCREENERS.

  • (a) Appeal Rights for Screeners-

    • (1) IN GENERAL- Section 111(d) of the Aviation and Transportation Security Act (49 U.S.C. 44935 note) is amended--

      • (A) by striking `Notwithstanding' and inserting the following:

    • `(1) IN GENERAL- Except as provided in paragraphs (2) and (3) notwithstanding'; and

      • (B) by adding at the end the following:

    • `(2) RIGHT TO APPEAL ADVERSE ACTION- The provisions of chapters 75 and 77 of title 5, United States Code, shall apply to an individual employed or appointed to carry out the screening functions of the Administrator under section 44901 of title 49, United States Code.

    • `(3) EMPLOYEE ENGAGEMENT MECHANISM FOR ADDRESSING WORKPLACE ISSUES- The Under Secretary of Transportation shall provide a collaborative, integrated, employee engagement mechanism, subject to chapter 71 of title 5, United States Code, at every airport to address workplace issues, except that collective bargaining over working conditions shall not extend to pay. Employees shall not have the right to engage in a strike and the Under Secretary may take whatever actions may be necessary to carry out the agency mission during emergencies, newly imminent threats, or intelligence indicating a newly imminent emergency risk. No properly classified information shall be divulged in any non-authorized forum.'.

    • (2) CONFORMING AMENDMENTS- Section 111(d)(1) of the Aviation and Transportation Security Act, as amended by paragraph (1)(A), is amended--

      • (A) by striking `Under Secretary of Transportation for Security' and inserting `Administrator of the Transportation Security Administration'; and

      • (B) by striking `Under Secretary' each place such appears and inserting `Administrator'.

  • (b) Whistleblower Protections- Section 883 of the Homeland Security Act of 2002 (6 U.S.C. 463) is amended, in the matter preceding paragraph (1), by inserting `, or section 111(d) of the Aviation and Transportation Security Act,' after `this Act'.

  • (c) Report to Congress-

    • (1) Report required- Not later than 6 months after the date of enactment of this Act, the Comptroller General of the United States shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report on--

      • (A) the pay system that applies with respect to TSA employees as of the date of enactment of this Act; and

      • (B) any changes to such system which would be made under any regulations which have been prescribed under chapter 97 of title 5, United States Code.

    • (2) Matters for inclusion- The report required under paragraph (1) shall include--

      • (A) a brief description of each pay system described in paragraphs (1)(A) and (1)(B), respectively;

      • (B) a comparison of the relative advantages and disadvantages of each of those pay systems; and

      • (C) such other matters as the Comptroller General determines appropriate.

  • (d) This section shall take effect one day after the date of enactment.

SEC. 905. PLAN FOR 100 PERCENT SCANNING OF CARGO CONTAINERS.

  • Section 232(c) of the Security and Accountability For Every Port Act (6 U.S.C. 982(c)) is amended--

    • (1) by striking `Not later' and inserting the following:

    • `(1) IN GENERAL- Not later';

    • (2) by resetting the left margin of the text thereof 2 ems from the left margin; and

    • (3) by inserting at the end thereof the following:

    • `(2) Plan for 100 percent scanning of cargo containers-

      • `(A) IN GENERAL- The first report under paragraph (1) shall include an initial plan to scan 100 percent of the cargo containers destined for the United States before such containers arrive in the United States.

      • `(B) PLAN CONTENTS- The plan under subparagraph (A) shall include--

        • `(i) specific annual benchmarks for the percentage of cargo containers destined for the United States that are scanned at a foreign port;

        • `(ii) annual increases in the benchmarks described in clause (i) until 100 percent of the cargo containers destined for the United States are scanned before arriving in the United States, unless the Secretary explains in writing to the appropriate congressional committees that inadequate progress has been made in meeting the criteria in section 232(b) for expanded scanning to be practical or feasible;

        • `(iii) an analysis of how to effectively incorporate existing programs, including the Container Security Initiative established by section 205 and the Customs-Trade Partnership Against Terrorism established by subtitle B, to reach the benchmarks described in clause (i); and

        • `(iv) an analysis of the scanning equipment, personnel, and technology necessary to reach the goal of 100 percent scanning of cargo containers.

      • `(C) SUBSEQUENT REPORTS- Each report under paragraph (1) after the initial report shall include an assessment of the progress toward implementing the plan under subparagraph (A).'.

TITLE X--INCIDENT COMMAND SYSTEM

SEC. 1001. PREIDENTIFYING AND EVALUATING MULTIJURISDICTIONAL FACILITIES TO STRENGTHEN INCIDENT COMMAND; PRIVATE SECTOR PREPAREDNESS.

  • Section 507(c)(2) of the Homeland Security Act of 2002 (6 U.S.C. 317(c)(2)) is amended--

    • (1) in subparagraph (H), by striking `and' at the end;

    • (2) by redesignating subparagraph (I) as subparagraph (K); and

    • (3) by inserting after subparagraph (H) the following:

      • `(I) coordinating with the private sector to help ensure private sector preparedness for natural disasters, acts of terrorism, or other man-made disasters;

      • `(J) assisting State, local, or tribal governments, where appropriate, to preidentify and evaluate suitable sites where a multijurisdictional incident command system can be quickly established and operated from, if the need for such a system arises; and'.

SEC. 1002. CREDENTIALING AND TYPING TO STRENGTHEN INCIDENT COMMAND.

  • (a) In General- Title V of the Homeland Security Act of 2002 (6 U.S.C. 331 et seq.) is amended--

    • (1) by striking section 510 and inserting the following:

`SEC. 510. CREDENTIALING AND TYPING.

  • `(a) Credentialing-

    • `(1) DEFINITIONS- In this subsection--

      • `(A) the term `credential' means to provide documentation that can authenticate and verify the qualifications and identity of managers of incidents, emergency response providers, and other appropriate personnel, including by ensuring that such personnel possess a minimum common level of training, experience, physical and medical fitness, and capability appropriate for their position;

      • `(B) the term `credentialing' means evaluating an individual's qualifications for a specific position under guidelines created under this subsection and assigning such individual a qualification under the standards developed under this subsection; and

      • `(C) the term `credentialed' means an individual has been evaluated for a specific position under the guidelines created under this subsection.

    • `(2) REQUIREMENTS-

      • `(A) IN GENERAL- The Administrator shall enter into a memorandum of understanding with the administrators of the Emergency Management Assistance Compact, State, local, and tribal governments, emergency response providers, and the organizations that represent such providers, to collaborate on establishing nationwide standards for credentialing all personnel who are likely to respond to a natural disaster, act of terrorism, or other man-made disaster.

      • `(B) CONTENTS- The standards developed under subparagraph (A) shall--

        • `(i) include the minimum professional qualifications, certifications, training, and education requirements for specific emergency response functional positions that are applicable to Federal, State, local, and tribal government;

        • `(ii) be compatible with the National Incident Management System; and

        • `(iii) be consistent with standards for advance registration for health professions volunteers under section 319I of the Public Health Services Act (42 U.S.C. 247d-7b).

      • `(C) TIMEFRAME- The Administrator shall develop standards under subparagraph (A) not later than 6 months after the date of enactment of the Improving America's Security Act of 2007.

    • `(3) CREDENTIALING OF DEPARTMENT PERSONNEL-

      • `(A) IN GENERAL- Not later than 1 year after the date of enactment of the Improving America's Security Act of 2007, the Secretary and the Administrator shall ensure that all personnel of the Department (including temporary personnel and individuals in the Surge Capacity Force established under section 624 of the Post-Katrina Emergency Management Reform Act of 2006 (6 U.S.C. 711)) who are likely to respond to a natural disaster, act of terrorism, or other man-made disaster are credentialed.

      • `(B) STRATEGIC HUMAN CAPITAL PLAN- Not later than 90 days after completion of the credentialing under subparagraph (A), the Administrator shall evaluate whether the workforce of the Agency complies with the strategic human capital plan of the Agency developed under section 10102 of title 5, United States Code, and is sufficient to respond to a catastrophic incident.

    • `(4) INTEGRATION WITH NATIONAL RESPONSE PLAN-

      • `(A) DISTRIBUTION OF STANDARDS- Not later than 6 months after the date of enactment of the Improving America's Security Act of 2007, the Administrator shall provide the standards developed under paragraph (2) to all Federal agencies that have responsibilities under the National Response Plan.

      • `(B) CREDENTIALING OF AGENCIES- Not later than 6 months after the date on which the standards are provided under subparagraph (A), each agency described in subparagraph (A) shall--

        • `(i) ensure that all employees or volunteers of that agency who are likely to respond to a natural disaster, act of terrorism, or other man-made disaster are credentialed; and

        • `(ii) submit to the Secretary the name of each credentialed employee or volunteer of such agency.

      • `(C) LEADERSHIP- The Administrator shall provide leadership, guidance, and technical assistance to an agency described in subparagraph (A) to facilitate the credentialing process of that agency.

    • `(5) DOCUMENTATION AND DATABASE SYSTEM-

      • `(A) IN GENERAL- Not later than 1 year after the date of enactment of the Improving America's Security Act of 2007, the Administrator shall establish and maintain a documentation and database system of Federal emergency response providers and all other Federal personnel credentialed to respond to a natural disaster, act of terrorism, or other man-made disaster.

      • `(B) ACCESSIBILITY- The documentation and database system established under subparagraph (1) shall be accessible to the Federal coordinating officer and other appropriate officials preparing for or responding to a natural disaster, act of terrorism, or other man-made disaster.

      • `(C) CONSIDERATIONS- The Administrator shall consider whether the credentialing system can be used to regulate access to areas affected by a natural disaster, act of terrorism, or other man-made disaster.

    • `(6) GUIDANCE TO STATE AND LOCAL GOVERNMENTS- Not later than 6 months after the date of enactment of the Improving America's Security Act of 2007, the Administrator shall--

      • `(A) in collaboration with the administrators of the Emergency Management Assistance Compact, State, local, and tribal governments, emergency response providers, and the organizations that represent such providers, provide detailed written guidance, assistance, and expertise to State, local, and tribal governments to facilitate the credentialing of State, local, and tribal emergency response providers commonly or likely to be used in responding to a natural disaster, act of terrorism, or other man-made disaster; and

      • `(B) in coordination with the administrators of the Emergency Management Assistance Compact, State, local, and tribal governments, emergency response providers (and the organizations that represent such providers), and appropriate national professional organizations, assist State, local, and tribal governments with credentialing the personnel of the State, local, or tribal government under the guidance provided under subparagraph (A).

    • `(7) REPORT- Not later than 6 months after the date of enactment of the Improving America's Security Act of 2007, and annually thereafter, the Administrator shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report describing the implementation of this subsection, including the number and level of qualification of Federal personnel trained and ready to respond to a natural disaster, act of terrorism, or other man-made disaster.

  • `(b) Typing of Resources-

    • `(1) DEFINITIONS- In this subsection--

      • `(A) the term `typed' means an asset or resource that has been evaluated for a specific function under the guidelines created under this section; and

      • `(B) the term `typing' means to define in detail the minimum capabilities of an asset or resource.

    • `(2) REQUIREMENTS-

      • `(A) IN GENERAL- The Administrator shall enter into a memorandum of understanding with the administrators of the Emergency Management Assistance Compact, State, local, and tribal governments, emergency response providers, and organizations that represent such providers, to collaborate on establishing nationwide standards for typing of resources commonly or likely to be used in responding to a natural disaster, act of terrorism, or other man-made disaster.

      • `(B) CONTENTS- The standards developed under subparagraph (A) shall--

        • `(i) be applicable to Federal, State, local, and tribal government; and

        • `(ii) be compatible with the National Incident Management System.

    • `(3) TYPING OF DEPARTMENT RESOURCES AND ASSETS- Not later than 1 year after the date of enactment of the Improving America's Security Act of 2007, the Secretary shall ensure that all resources and assets of the Department that are commonly or likely to be used to respond to a natural disaster, act of terrorism, or other man-made disaster are typed.

    • `(4) INTEGRATION WITH NATIONAL RESPONSE PLAN-

      • `(A) DISTRIBUTION OF STANDARDS- Not later than 6 months after the date of enactment of the Improving America's Security Act of 2007, the Administrator shall provide the standards developed under paragraph (2) to all Federal agencies that have responsibilities under the National Response Plan.

      • `(B) TYPING OF AGENCIES, ASSETS, AND RESOURCES- Not later than 6 months after the date on which the standards are provided under subparagraph (A), each agency described in subparagraph (A) shall--

        • `(i) ensure that all resources and assets (including teams, equipment, and other assets) of that agency that are commonly or likely to be used to respond to a natural disaster, act of terrorism, or other man-made disaster are typed; and

        • `(ii) submit to the Secretary a list of all types resources and assets.

      • `(C) LEADERSHIP- The Administrator shall provide leadership, guidance, and technical assistance to an agency described in subparagraph (A) to facilitate the typing process of that agency.

    • `(5) DOCUMENTATION AND DATABASE SYSTEM-

      • `(A) IN GENERAL- Not later than 1 year after the date of enactment of the Improving America's Security Act of 2007, the Administrator shall establish and maintain a documentation and database system of Federal resources and assets commonly or likely to be used to respond to a natural disaster, act of terrorism, or other man-made disaster.

      • `(B) ACCESSIBILITY- The documentation and database system established under subparagraph (A) shall be accessible to the Federal coordinating officer and other appropriate officials preparing for or responding to a natural disaster, act of terrorism, or other man-made disaster.

    • `(6) GUIDANCE TO STATE AND LOCAL GOVERNMENTS- Not later than 6 months after the date of enactment of the Improving America's Security Act of 2007, the Administrator, in collaboration with the administrators of the Emergency Management Assistance Compact, State, local, and tribal governments, emergency response providers, and the organizations that represent such providers, shall--

      • `(A) provide detailed written guidance, assistance, and expertise to State, local, and tribal governments to facilitate the typing of the resources and assets of State, local, and tribal governments likely to be used in responding to a natural disaster, act of terrorism, or other man-made disaster; and

      • `(B) assist State, local, and tribal governments with typing resources and assets of State, local, or tribal governments under the guidance provided under subparagraph (A).

    • `(7) REPORT- Not later than 6 months after the date of enactment of the Improving America's Security Act of 2007, and annually thereafter, the Administrator shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report describing the implementation of this subsection, including the number and type of Federal resources and assets ready to respond to a natural disaster, act of terrorism, or other man-made disaster.

  • `(c) Authorization of Appropriations- There are authorized to be appropriated such sums as necessary to carry out this section.'; and

    • (2) by adding after section 522, as added by section 803 of this Act, the following:

`SEC. 523. PROVIDING SECURE ACCESS TO CRITICAL INFRASTRUCTURE.

  • `Not later than 6 months after the date of enactment of the Improving America's Security Act of 2007, and in coordination with appropriate national professional organizations, Federal, State, local, and tribal government agencies, and private-sector and nongovernmental entities, the Administrator shall create model standards or guidelines that States may adopt in conjunction with critical infrastructure owners and operators and their employees to permit access to restricted areas in the event of a natural disaster, act of terrorism, or other man-made disaster.'.

  • (b) Technical and Conforming Amendment- The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101(b)) is amended by inserting after the item relating to section 522, as added by section 803 of this Act, the following:

    • `Sec. 523. Providing secure access to critical infrastructure.'.

TITLE XI--CRITICAL INFRASTRUCTURE PROTECTION

SEC. 1101. CRITICAL INFRASTRUCTURE PROTECTION.

  • (a) Critical Infrastructure List- Not later than 90 days after the date of enactment of this Act, and in coordination with other initiatives of the Secretary relating to critical infrastructure or key resource protection and partnerships between the government and private sector, the Secretary shall establish a risk-based prioritized list of critical infrastructure and key resources that--

    • (1) includes assets or systems that, if successfully destroyed or disrupted through a terrorist attack or natural catastrophe, would cause catastrophic national or regional impacts, including--

      • (A) significant loss of life;

      • (B) severe economic harm;

      • (C) mass evacuations; or

      • (D) loss of a city, region, or sector of the economy as a result of contamination, destruction, or disruption of vital public services; and

    • (2) reflects a cross-sector analysis of critical infrastructure to determine priorities for prevention, protection, recovery, and restoration.

  • (b) Sector Lists- The Secretary shall include levees in the Department's list of critical infrastructure sectors.

  • (c) Maintenance- Each list created under this section shall be reviewed and updated on an ongoing basis, but at least annually.

  • (d) Annual Report-

    • (1) GENERALLY- Not later than 120 days after the date of enactment of this Act, and annually thereafter, the Secretary shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives a report summarizing--

      • (A) the criteria used to develop each list created under this section;

      • (B) the methodology used to solicit and verify submissions for each list;

      • (C) the name, location, and sector classification of assets in each list created under this section;

      • (D) a description of any additional lists or databases the Department has developed to prioritize critical infrastructure on the basis of risk; and

      • (E) how each list developed under this section will be used by the Secretary in program activities, including grant making.

    • (2) CLASSIFIED INFORMATION-

      • (A) IN GENERAL- The Secretary shall submit with each report under this subsection a classified annex containing information required to be submitted under this subsection that cannot be made public.

      • (B) RETENTION OF CLASSIFICATION- The classification of information required to be provided to Congress, the Department, or any other department or agency under this section by a sector-specific agency, including the assignment of a level of classification of such information, shall be binding on Congress, the Department, and that other Federal agency.

SEC. 1102. RISK ASSESSMENT AND REPORT.

  • (a) Risk Assessment-

    • (1) IN GENERAL- The Secretary, pursuant to the responsibilities under section 202 of the Homeland Security Act (6 U.S.C. 122), for each fiscal year beginning with fiscal year 2007, shall prepare a risk assessment of the critical infrastructure and key resources of the Nation which shall--

      • (A) be organized by sector, including the critical infrastructure sectors named in Homeland Security Presidential Directive-7, as in effect on January 1, 2006; and

      • (B) contain any actions or countermeasures proposed, recommended, or directed by the Secretary to address security concerns covered in the assessment.

    • (2) RELIANCE ON OTHER ASSESSMENTS- In preparing the assessments and reports under this section, the Department may rely on a vulnerability assessment or risk assessment prepared by another Federal agency that the Department determines is prepared in coordination with other initiatives of the Department relating to critical infrastructure or key resource protection and partnerships between the government and private sector.

  • (b) Report-

    • (1) IN GENERAL- Not later than 6 months after the last day of fiscal year 2007 and for each year thereafter, the Secretary shall submit a report to the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Homeland Security of the House of Representatives, and to each Committee of the Senate and the House of Representatives having jurisdiction over the critical infrastructure or key resource addressed by the report, containing a summary and review of the risk assessments prepared by the Secretary under this section for that fiscal year, which shall be organized by sector and which shall include recommendations of the Secretary for mitigating risks identified by the assessments.

    • `(2) CLASSIFIED INFORMATION-

      • `(A) IN GENERAL- The report under this subsection may contain a classified annex.

      • `(B) RETENTION OF CLASSIFICATION- The classification of information required to be provided to Congress, the Department, or any other department or agency under this section by a sector-specific agency, including the assignment of a level of classification of such information, shall be binding on Congress, the Department, and that other Federal agency.'.

SEC. 1103. USE OF EXISTING CAPABILITIES.

  • Where appropriate, the Secretary shall use the National Infrastructure Simulation and Analysis Center to carry out the actions required under this title.

SEC. 1104. PRIORITIES AND ALLOCATIONS.

  • Not later than 6 months after the last day of fiscal year 2007, and for each year thereafter, the Secretary, in cooperation with the Secretary of Commerce, the Secretary of Transportation, the Secretary of Defense, and the Secretary of Energy shall submit to the Committee on Banking, Housing, and Urban Affairs and the Committee on Homeland Security and Governmental Affairs of the Senate and the Committee on Financial Services and the Committee on Homeland Security of the House of Representatives a report that details the actions taken by the Federal Government to ensure, in accordance with subsections (a) and (c) of section 101 of the Defense Production Act of 1950 (50 U.S.C. App. 2071), the preparedness of industry--

    • (1) to reduce interruption of critical infrastructure operations during a terrorist attack, natural catastrophe, or other similar national emergency; and

    • (2) to minimize the impact of such catastrophes, as so described in section 1001(a)(1).

TITLE XII--CONGRESSIONAL OVERSIGHT OF INTELLIGENCE

SEC. 1201. AVAILABILITY TO PUBLIC OF CERTAIN INTELLIGENCE FUNDING INFORMATION.

  • (a) Amounts Requested Each Fiscal Year- The President shall disclose to the public for each fiscal year after fiscal year 2007 the aggregate amount of appropriations requested in the budget of the President for such fiscal year for the National Intelligence Program.

  • (b) Amounts Authorized and Appropriated Each Fiscal Year- Congress shall disclose to the public for each fiscal year after fiscal year 2007 the aggregate amount of funds authorized to be appropriated, and the aggregate amount of funds appropriated, by Congress for such fiscal year for the National Intelligence Program.

  • (c) Study on Disclosure of Additional Information-

    • (1) IN GENERAL- The Director of National Intelligence shall conduct a study to assess the advisability of disclosing to the public amounts as follows:

      • (A) The aggregate amount of appropriations requested in the budget of the President for each fiscal year for each element of the intelligence community.

      • (B) The aggregate amount of funds authorized to be appropriated, and the aggregate amount of funds appropriated, by Congress for each fiscal year for each element of the intelligence community.

    • (2) REQUIREMENTS- The study required by paragraph (1) shall--

      • (A) address whether or not the disclosure to the public of the information referred to in that paragraph would harm the national security of the United States; and

      • (B) take into specific account concerns relating to the disclosure of such information for each element of the intelligence community.

    • (3) REPORT- Not later than 180 days after the date of enactment of this Act, the Director shall submit to Congress a report on the study required by paragraph (1).

  • (d) Definitions- In this section--

    • (1) the term `element of the intelligence community' means an element of the intelligence community specified in or designated under section 3(4) of the National Security Act of 1947 (50 U.S.C. 401a(4)); and

    • (2) the term `National Intelligence Program' has the meaning given that term in section 3(6) of the National Security Act of 1947 (50 U.S.C. 401a(6)).

SEC. 1202. RESPONSE OF INTELLIGENCE COMMUNITY TO REQUESTS FROM CONGRESS.

  • (a) Response of Intelligence Community to Requests From Congress for Intelligence Documents and Information- Title V of the National Security Act of 1947 (50 U.S.C. 413 et seq.) is amended by adding at the end the following new section:

`RESPONSE OF INTELLIGENCE COMMUNITY TO REQUESTS FROM CONGRESS FOR INTELLIGENCE DOCUMENTS AND INFORMATION

  • `Sec. 508. (a) Requests of Committees- The Director of the National Counterterrorism Center, the Director of a national intelligence center, or the head of any department, agency, or element of the intelligence community shall, not later than 15 days after receiving a request for any intelligence assessment, report, estimate, legal opinion, or other intelligence information from the Select Committee on Intelligence of the Senate, the Permanent Select Committee on Intelligence of the House of Representatives, or any other committee of Congress with jurisdiction over the subject matter to which information in such assessment, report, estimate, legal opinion, or other information relates, make available to such committee such assessment, report, estimate, legal opinion, or other information, as the case may be.

  • `(b) Requests of Certain Members- (1) The Director of the National Counterterrorism Center, the Director of a national intelligence center, or the head of any department, agency, or element of the intelligence community shall respond, in the time specified in subsection (a), to a request described in that subsection from the Chairman or Vice Chairman of the Select Committee on Intelligence of the Senate or the Chairman or Ranking Member of the Permanent Select Committee on Intelligence of the House of Representatives.

  • `(2) Upon making a request covered by paragraph (1)--

    • `(A) the Chairman or Vice Chairman, as the case may be, of the Select Committee on Intelligence of the Senate shall notify the other of the Chairman or Vice Chairman of such request; and

    • `(B) the Chairman or Ranking Member, as the case may be, of the Permanent Select Committee on Intelligence of the House of Representatives shall notify the other of the Chairman or Ranking Member of such request.

  • `(c) Assertion of Privilege- In response to a request covered by subsection (a) or (b), the Director of the National Counterterrorism Center, the Director of a national intelligence center, or the head of any department, agency, or element of the intelligence community shall provide the document or information covered by such request unless the President certifies that such document or information is not being provided because the President is asserting a privilege pursuant to the Constitution of the United States.

  • `(d) Independent Testimony of Intelligence Officials- No officer, department, agency, or element within the Executive branch shall have any authority to require the head of any department, agency, or element of the intelligence community, or any designate of such a head--

    • `(1) to receive permission to testify before Congress; or

    • `(2) to submit testimony, legislative recommendations, or comments to any officer or agency of the Executive branch for approval, comments, or review prior to the submission of such recommendations, testimony, or comments to Congress if such testimony, legislative recommendations, or comments include a statement indicating that the views expressed therein are those of the head of the department, agency, or element of the intelligence community that is making the submission and do not necessarily represent the views of the Administration.'.

  • (b) Disclosures of Certain Information to Congress- Title V of the National Security Act of 1947 (50 U.S.C. 413 et seq.), as amended by subsection (a), is amended by adding at the end the following new section:

`DISCLOSURES TO CONGRESS

  • `Sec. 509. (a) Authority to Disclose Certain Information- An employee of a covered agency or an employee of a contractor carrying out activities pursuant to a contract with a covered agency may disclose covered information to an authorized individual without first reporting such information to the appropriate Inspector General.

  • `(b) Authorized Individual- (1) In this section, the term `authorized individual' means--

    • `(A) a Member of the Senate or the House of Representatives who is authorized to receive information of the type disclosed; or

    • `(B) an employee of the Senate or the House of Representatives who--

      • `(i) has an appropriate security clearance; and

      • `(ii) is authorized to receive information of the type disclosed.

  • `(2) An authorized individual described in paragraph (1) to whom covered information is disclosed under the authority in subsection (a) shall be presumed to have a need to know such covered information.

  • `(c) Covered Agency and Covered Information Defined- In this section:

    • `(1) The term `covered agency' means--

      • `(A) any department, agency, or element of the intelligence community;

      • `(B) a national intelligence center; and

      • `(C) any other Executive agency, or element or unit thereof, determined by the President under section 2302(a)(2)(C)(ii) of title 5, United States Code, to have as its principal function the conduct of foreign intelligence or counterintelligence activities.

    • `(2) The term `covered information'--

      • `(A) means information, including classified information, that an employee referred to in subsection (a) reasonably believes provides direct and specific evidence of a false or inaccurate statement--

        • `(i) made to Congress; or

        • `(ii) contained in any intelligence assessment, report, or estimate; and

      • `(B) does not include information the disclosure of which is prohibited by rule 6(e) of the Federal Rules of Criminal Procedure.

  • `(d) Construction With Other Reporting Requirements- Nothing in this section may be construed to modify, alter, or otherwise affect--

    • `(1) any reporting requirement relating to intelligence activities that arises under this Act or any other provision of law; or

    • `(2) the right of any employee of the United States to disclose information to Congress, in accordance with applicable law, information other than covered information.'.

  • (c) Clerical Amendment- The table of contents in the first section of that Act is amended by inserting after the item relating to section 507 the following new items:

    • `Sec. 508. Response of intelligence community to requests from Congress for intelligence documents and information.

    • `Sec. 509. Disclosures to Congress.'.

SEC. 1203. PUBLIC INTEREST DECLASSIFICATION BOARD.

  • The Public Interest Declassification Act of 2000 (50 U.S.C. 435 note) is amended--

    • (1) in section 704(e)--

      • (A) by striking `If requested' and inserting the following:

    • `(1) IN GENERAL- If requested'; and

      • (B) by adding at the end the following:

    • `(2) AUTHORITY OF BOARD- Upon receiving a congressional request described in section 703(b)(5), the Board may conduct the review and make the recommendations described in that section, regardless of whether such a review is requested by the President.

    • `(3) REPORTING- Any recommendations submitted to the President by the Board under section 703(b)(5), shall be submitted to the chairman and ranking member of the committee of Congress that made the request relating to such recommendations.'; and

    • (2) in section 710(b), by striking `8 years after the date of the enactment of this Act' and inserting `on December 31, 2012'.

SEC. 1204. SENSE OF THE SENATE REGARDING A REPORT ON THE 9/11 COMMISSION RECOMMENDATIONS WITH RESPECT TO INTELLIGENCE REFORM AND CONGRESSIONAL INTELLIGENCE OVERSIGHT REFORM.

  • (a) Findings- Congress makes the following findings:

    • (1) The National Commission on Terrorist Attacks Upon the United States (referred to in this section as the `9/11 Commission') conducted a lengthy review of the facts and circumstances relating to the terrorist attacks of September 11, 2001, including those relating to the intelligence community, law enforcement agencies, and the role of congressional oversight and resource allocation.

    • (2) In its final report, the 9/11 Commission found that--

      • (A) congressional oversight of the intelligence activities of the United States is dysfunctional;

      • (B) under the rules of the Senate and the House of Representatives in effect at the time the report was completed, the committees of Congress charged with oversight of the intelligence activities lacked the power, influence, and sustained capability to meet the daunting challenges faced by the intelligence community of the United States;

      • (C) as long as such oversight is governed by such rules of the Senate and the House of Representatives, the people of the United States will not get the security they want and need;

      • (D) a strong, stable, and capable congressional committee structure is needed to give the intelligence community of the United States appropriate oversight, support, and leadership; and

      • (E) the reforms recommended by the 9/11 Commission in its final report will not succeed if congressional oversight of the intelligence community in the United States is not changed.

    • (3) The 9/11 Commission recommended structural changes to Congress to improve the oversight of intelligence activities.

    • (4) Congress has enacted some of the recommendations made by the 9/11 Commission and is considering implementing additional recommendations of the 9/11 Commission.

    • (5) The Senate adopted Senate Resolution 445 in the 108th Congress to address some of the intelligence oversight recommendations of the 9/11 Commission by abolishing term limits for the members of the Select Committee on Intelligence, clarifying jurisdiction for intelligence-related nominations, and streamlining procedures for the referral of intelligence-related legislation, but other aspects of the 9/11 Commission recommendations regarding intelligence oversight have not been implemented.

  • (b) Sense of the Senate- It is the sense of the Senate that the Committee on Homeland Security and Governmental Affairs and the Select Committee on Intelligence of the Senate each, or jointly, should--

    • (1) undertake a review of the recommendations made in the final report of the 9/11 Commission with respect to intelligence reform and congressional intelligence oversight reform;

    • (2) review and consider any other suggestions, options, or recommendations for improving intelligence oversight; and

    • (3) not later than December 21, 2007, submit to the Senate a report that includes the recommendations of the Committee, if any, for carrying out such reforms.

SEC. 1205. AVAILABILITY OF FUNDS FOR THE PUBLIC INTEREST DECLASSIFICATION BOARD.

  • Section 21067 of the Continuing Appropriations Resolution, 2007 (division B of Public Law 109-289; 120 Stat. 1311), as amended by Public Law 109-369 (120 Stat. 2642), Public Law 109-383 (120 Stat. 2678), and Public Law 110-5, is amended by adding at the end the following new subsection:

  • `(c) From the amount provided by this section, the National Archives and Records Administration may obligate monies necessary to carry out the activities of the Public Interest Declassification Board.'.

SEC. 1206. AVAILABILITY OF THE EXECUTIVE SUMMARY OF THE REPORT ON CENTRAL INTELLIGENCE AGENCY ACCOUNTABILITY REGARDING THE TERRORIST ATTACKS OF SEPTEMBER 11, 2001.

  • (a) Public Availability- Not later than 30 days after the date of the enactment of this Act, the Director of the Central Intelligence Agency shall prepare and make available to the public a version of the Executive Summary of the report entitled the `Office of Inspector General Report on Central Intelligence Agency Accountability Regarding Findings and Conclusions of the Joint Inquiry into Intelligence Community Activities Before and After the Terrorist Attacks of September 11, 2001' issued in June 2005 that is declassified to the maximum extent possible, consistent with national security.

  • (b) Report to Congress- The Director of the Central Intelligence Agency shall submit to Congress a classified annex to the redacted Executive Summary made available under subsection (a) that explains the reason that any redacted material in the Executive Summary was withheld from the public.

TITLE XIII--INTERNATIONAL COOPERATION ON ANTITER-RORISM TECHNOLOGIES

SEC. 1301. PROMOTING ANTITERRORISM CAPABILITIES THROUGH INTERNATIONAL COOPERATION.

  • (a) Findings- The Congress finds the following:

    • (1) The development and implementation of technology is critical to combating terrorism and other high consequence events and implementing a comprehensive homeland security strategy.

    • (2) The United States and its allies in the global war on terrorism share a common interest in facilitating research, development, testing, and evaluation of equipment, capabilities, technologies, and services that will aid in detecting, preventing, responding to, recovering from, and mitigating against acts of terrorism.

    • (3) Certain United States allies in the global war on terrorism, including Israel, the United Kingdom, Canada, Australia, and Singapore have extensive experience with, and technological expertise in, homeland security.

    • (4) The United States and certain of its allies in the global war on terrorism have a history of successful collaboration in developing mutually beneficial equipment, capabilities, technologies, and services in the areas of defense, agriculture, and telecommunications.

    • (5) The United States and its allies in the global war on terrorism will mutually benefit from the sharing of technological expertise to combat domestic and international terrorism.

    • (6) The establishment of an office to facilitate and support cooperative endeavors between and among government agencies, for-profit business entities, academic institutions, and nonprofit entities of the United States and its allies will safeguard lives and property worldwide against acts of terrorism and other high consequence events.

  • (b) Promoting Antiterrorism Through International Cooperation Act-

    • (1) IN GENERAL- The Homeland Security Act of 2002 is amended by inserting after section 316, as added by section 701 of this Act, the following:

`SEC. 317. PROMOTING ANTITERRORISM THROUGH INTERNATIONAL COOPERATION PROGRAM.

  • `(a) Definitions- In this section:

    • `(1) DIRECTOR- The term `Director' means the Director selected under subsection (b)(2).

    • `(2) INTERNATIONAL COOPERATIVE ACTIVITY- The term `international cooperative activity' includes--

      • `(A) coordinated research projects, joint research projects, or joint ventures;

      • `(B) joint studies or technical demonstrations;

      • `(C) coordinated field exercises, scientific seminars, conferences, symposia, and workshops;

      • `(D) training of scientists and engineers;

      • `(E) visits and exchanges of scientists, engineers, or other appropriate personnel;

      • `(F) exchanges or sharing of scientific and technological information; and

      • `(G) joint use of laboratory facilities and equipment.

  • `(b) Science and Technology Homeland Security International Cooperative Programs Office-

    • `(1) ESTABLISHMENT- The Under Secretary shall establish the Science and Technology Homeland Security International Cooperative Programs Office.

    • `(2) DIRECTOR- The Office shall be headed by a Director, who--

      • `(A) shall be selected (in consultation with the Assistant Secretary for International Affairs, Policy Directorate) by and shall report to the Under Secretary; and

      • `(B) may be an officer of the Department serving in another position.

    • `(3) RESPONSIBILITIES-

      • `(A) DEVELOPMENT OF MECHANISMS- The Director shall be responsible for developing, in coordination with the Department of State, the Department of Defense, the Department of Energy, and other Federal agencies, mechanisms and legal frameworks to allow and to support international cooperative activity in support of homeland security research.

      • `(B) PRIORITIES- The Director shall be responsible for developing, in coordination with the Directorate of Science and Technology, the other components of the Department (including the Office of the Assistant Secretary for International Affairs, Policy Directorate), the Department of State, the Department of Defense, the Department of Energy, and other Federal agencies, strategic priorities for international cooperative activity.

      • `(C) ACTIVITIES- The Director shall facilitate the planning, development, and implementation of international cooperative activity to address the strategic priorities developed under subparagraph (B) through mechanisms the Under Secretary considers appropriate, including grants, cooperative agreements, or contracts to or with foreign public or private entities, governmental organizations, businesses, federally funded research and development centers, and universities.

      • `(D) IDENTIFICATION OF PARTNERS- The Director shall facilitate the matching of United States entities engaged in homeland security research with non-United States entities engaged in homeland security research so that they may partner in homeland security research activities.

    • `(4) COORDINATION- The Director shall ensure that the activities under this subsection are coordinated with the Office of International Affairs and the Department of State, the Department of Defense, the Department of Energy, and other relevant Federal agencies or interagency bodies. The Director may enter into joint activities with other Federal agencies.

  • `(c) Matching Funding-

    • `(1) IN GENERAL-

      • `(A) EQUITABILITY- The Director shall ensure that funding and resources expended in international cooperative activity will be equitably matched by the foreign partner government or other entity through direct funding, funding of complementary activities, or through the provision of staff, facilities, material, or equipment.

      • `(B) GRANT MATCHING AND REPAYMENT-

        • `(i) IN GENERAL- The Secretary may require a recipient of a grant under this section--

          • `(I) to make a matching contribution of not more than 50 percent of the total cost of the proposed project for which the grant is awarded; and

          • `(II) to repay to the Secretary the amount of the grant (or a portion thereof), interest on such amount at an appropriate rate, and such charges for administration of the grant as the Secretary determines appropriate.

        • `(ii) MAXIMUM AMOUNT- The Secretary may not require that repayment under clause (i)(II) be more than 150 percent of the amount of the grant, adjusted for inflation on the basis of the Consumer Price Index.

    • `(2) FOREIGN PARTNERS- Partners may include Israel, the United Kingdom, Canada, Australia, Singapore, and other allies in the global war on terrorism, as determined by the Secretary of State.

  • `(d) Funding- Funding for all activities under this section shall be paid from discretionary funds appropriated to the Department.

  • `(e) Foreign Reimbursements- If the Science and Technology Homeland Security International Cooperative Programs Office participates in an international cooperative activity with a foreign partner on a cost-sharing basis, any reimbursements or contributions received from that foreign partner to meet the share of that foreign partner of the project may be credited to appropriate appropriations accounts of the Directorate of Science and Technology.'.

    • (2) TECHNICAL AND CONFORMING AMENDMENT- The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is amended by adding after the item relating to section 316, as added by section 701 of this Act, the following:

    • `Sec. 317. Promoting antiterrorism through international cooperation program.'.

SEC. 1302. TRANSPARENCY OF FUNDS.

  • For each Federal award (as that term is defined in section 2 of the Federal Funding Accountability and Transparency Act of 2006 (31 U.S.C. 6101 note)) under this title or an amendment made by this title, the Director of the Office of Management and Budget shall ensure full and timely compliance with the requirements of the Federal Funding Accountability and Transparency Act of 2006 (31 U.S.C. 6101 note).

TITLE XIV--TRANSPORTATION AND INTEROPERABLE COMMUNICATION CAPABILITIES

SEC. 1401. SHORT TITLE.

  • This title may be cited as the `Transportation Security and Interoperable Communication Capabilities Act'.

Subtitle A--Surface Transportation and Rail Security

SEC. 1411. DEFINITION.

  • In this title, the term `high hazard materials' means quantities of poison inhalation hazard materials, Class 2.3 gases, Class 6.1 materials, anhydrous ammonia, and other hazardous materials that the Secretary, in consultation with the Secretary of Transportation, determines pose a security risk.

PART I--IMPROVED RAIL SECURITY

SEC. 1421. RAIL TRANSPORTATION SECURITY RISK ASSESSMENT.

  • (a) In General-

    • (1) RISK ASSESSMENT- The Secretary shall establish a task force, including the Transportation Security Administration and other agencies within the Department, the Department of Transportation, and other appropriate Federal agencies, to complete a risk assessment of freight and passenger rail transportation (encompassing railroads, as that term is defined in section 20102(1) of title 49, United States Code). The assessment shall include--

      • (A) a methodology for conducting the risk assessment, including timelines, that addresses how the Department of Homeland Security will work with the entities described in subsection (b) and make use of existing Federal expertise within the Department of Homeland Security, the Department of Transportation, and other appropriate agencies;

      • (B) identification and evaluation of critical assets and infrastructures;

      • (C) identification of risks to those assets and infrastructures;

      • (D) identification of risks that are specific to the transportation of hazardous materials via railroad;

      • (E) identification of risks to passenger and cargo security, transportation infrastructure (including rail tunnels used by passenger and freight railroads in high threat urban areas), protection systems, operations, communications systems, employee training, emergency response planning, and any other area identified by the assessment;

      • (F) an assessment of public and private operational recovery plans to expedite, to the maximum extent practicable, the return of an adversely affected freight or passenger rail transportation system or facility to its normal performance level after a major terrorist attack or other security event on that system or facility; and

      • (G) an account of actions taken or planned by both public and private entities to address identified rail security issues and assess the effective integration of such actions.

    • (2) RECOMMENDATIONS- Based on the assessment conducted under paragraph (1), the Secretary, in consultation with the Secretary of Transportation, shall develop prioritized recommendations for improving rail security, including any recommendations the Secretary has for--

      • (A) improving the security of rail tunnels, rail bridges, rail switching and car storage areas, other rail infrastructure and facilities, information systems, and other areas identified by the Secretary as posing significant rail-related risks to public safety and the movement of interstate commerce, taking into account the impact that any proposed security measure might have on the provision of rail service or on operations served or otherwise affected by rail service;

      • (B) deploying equipment and personnel to detect security threats, including those posed by explosives and hazardous chemical, biological, and radioactive substances, and any appropriate countermeasures;

      • (C) training appropriate railroad or railroad shipper employees in terrorism prevention, preparedness, passenger evacuation, and response activities;

      • (D) conducting public outreach campaigns on passenger railroads regarding security;

      • (E) deploying surveillance equipment;

      • (F) identifying the immediate and long-term costs of measures that may be required to address those risks; and

      • (G) public and private sector sources to fund such measures.

    • (3) PLANS- The report required by subsection (c) shall include--

      • (A) a plan, developed in consultation with the freight and intercity passenger railroads, and State and local governments, for the Federal Government to provide adequate security support at high or severe threat levels of alert;

      • (B) a plan for coordinating existing and planned rail security initiatives undertaken by the public and private sectors; and

      • (C) a contingency plan, developed in coordination with freight and intercity and commuter passenger railroads, to ensure the continued movement of freight and passengers in the event of an attack affecting the railroad system, which shall contemplate--

        • (i) the possibility of rerouting traffic due to the loss of critical infrastructure, such as a bridge, tunnel, yard, or station; and

        • (ii) methods of continuing railroad service in the Northeast Corridor in the event of a commercial power loss, or catastrophe affecting a critical bridge, tunnel, yard, or station.

  • (b) Consultation; Use of Existing Resources- In carrying out the assessment and developing the recommendations and plans required by subsection (a), the Secretary shall consult with rail management, rail labor, owners or lessors of rail cars used to transport hazardous materials, first responders, offerers of hazardous materials, public safety officials, and other relevant parties. In developing the risk assessment required under this section, the Secretary shall utilize relevant existing risk assessments developed by the Department or other Federal agencies, and, as appropriate, assessments developed by other public and private stakeholders.

  • (c) Report-

    • (1) CONTENTS- Within 1 year after the date of enactment of this Act, the Secretary shall transmit to the Committee on Commerce, Science, and Transportation of the Senate, and the Committee on Transportation and Infrastructure and the Committee on Homeland Security of the House of Representatives a report containing--

      • (A) the assessment, prioritized recommendations, and plans required by subsection (a); and

      • (B) an estimate of the cost to implement such recommendations.

    • (2) FORMAT- The Secretary may submit the report in both classified and redacted formats if the Secretary determines that such action is appropriate or necessary.

  • (d) Annual Updates- The Secretary, in consultation with the Secretary of Transportation, shall update the assessment and recommendations each year and transmit a report, which may be submitted in both classified and redacted formats, to the Committees named in subsection (c)(1), containing the updated assessment and recommendations.

  • (e) Funding- Out of funds appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1437 of this title, there shall be made available to the Secretary to carry out this section $5,000,000 for fiscal year 2008.

SEC. 1422. SYSTEMWIDE AMTRAK SECURITY UPGRADES.

  • (a) In General-

    • (1) GRANTS- Subject to subsection (c) the Secretary, in consultation with the Assistant Secretary of Homeland Security (Transportation Security Administration), is authorized to make grants to Amtrak in accordance with the provisions of this section.

    • (2) GENERAL PURPOSES- The Secretary may make such grants for the purposes of--

      • (A) protecting underwater and underground assets and systems;

      • (B) protecting high risk and high consequence assets identified through system-wide risk assessments;

      • (C) providing counter-terrorism training;

      • (D) providing both visible and unpredictable deterrence; and

      • (E) conducting emergency preparedness drills and exercises.

    • (3) SPECIFIC PROJECTS- The Secretary shall make such grants--

      • (A) to secure major tunnel access points and ensure tunnel integrity in New York, New Jersey, Maryland, and Washington, DC;

      • (B) to secure Amtrak trains;

      • (C) to secure Amtrak stations;

      • (D) to obtain a watch list identification system approved by the Secretary;

      • (E) to obtain train tracking and interoperable communications systems that are coordinated to the maximum extent possible;

      • (F) to hire additional police officers, special agents, security officers, including canine units, and to pay for other labor costs directly associated with security and terrorism prevention activities;

      • (G) to expand emergency preparedness efforts; and

      • (H) for employee security training.

  • (b) Conditions- The Secretary of Transportation shall disburse funds to Amtrak provided under subsection (a) for projects contained in a systemwide security plan approved by the Secretary. Amtrak shall develop the security plan in consultation with constituent States and other relevant parties. The plan shall include appropriate measures to address security awareness, emergency response, and passenger evacuation training and shall be consistent with State security plans to the maximum extent practicable.

  • (c) Equitable Geographic Allocation- The Secretary shall ensure that, subject to meeting the highest security needs on Amtrak's entire system and consistent with the risk assessment required under section 1421, stations and facilities located outside of the Northeast Corridor receive an equitable share of the security funds authorized by this section.

  • (d) Availability of Funds-

    • (1) IN GENERAL- Out of funds appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1437 of this title, there shall be made available to the Secretary and the Assistant Secretary of Homeland Security (Transportation Security Administration) to carry out this section--

      • (A) $63,500,000 for fiscal year 2008;

      • (B) $30,000,000 for fiscal year 2009; and

      • (C) $30,000,000 for fiscal year 2010.

    • (2) AVAILABILITY OF APPROPRIATED FUNDS- Amounts appropriated pursuant to paragraph (1) shall remain available until expended.

SEC. 1423. FIRE AND LIFE-SAFETY IMPROVEMENTS.

  • (a) Life-Safety Needs- The Secretary of Transportation, in consultation with the Secretary, is authorized to make grants to Amtrak for the purpose of making fire and life-safety improvements to Amtrak tunnels on the Northeast Corridor in New York, New Jersey, Maryland, and Washington, DC.

  • (b) Authorization of Appropriations- Out of funds appropriated pursuant to section 1437(b) of this title, there shall be made available to the Secretary of Transportation for the purposes of carrying out subsection (a) the following amounts:

    • (1) For the 6 New York and New Jersey tunnels to provide ventilation, electrical, and fire safety technology upgrades, emergency communication and lighting systems, and emergency access and egress for passengers--

      • (A) $100,000,000 for fiscal year 2008;

      • (B) $100,000,000 for fiscal year 2009;

      • (C) $100,000,000 for fiscal year 2010; and

      • (D) $100,000,000 for fiscal year 2011.

    • (2) For the Baltimore & Potomac tunnel and the Union tunnel, together, to provide adequate drainage, ventilation, communication, lighting, and passenger egress upgrades--

      • (A) $10,000,000 for fiscal year 2008;

      • (B) $10,000,000 for fiscal year 2009;

      • (C) $10,000,000 for fiscal year 2010; and

      • (D) $10,000,000 for fiscal year 2011.

    • (3) For the Washington, DC, Union Station tunnels to improve ventilation, communication, lighting, and passenger egress upgrades--

      • (A) $8,000,000 for fiscal year 2008;

      • (B) $8,000,000 for fiscal year 2009;

      • (C) $8,000,000 for fiscal year 2010; and

      • (D) $8,000,000 for fiscal year 2011.

  • (c) Infrastructure Upgrades- Out of funds appropriated pursuant to section 1437(b) of this title, there shall be made available to the Secretary of Transportation for fiscal year 2008 $3,000,000 for the preliminary design of options for a new tunnel on a different alignment to augment the capacity of the existing Baltimore tunnels.

  • (d) Availability of Appropriated Funds- Amounts made available pursuant to this section shall remain available until expended.

  • (e) Plans Required- The Secretary of Transportation may not make amounts available to Amtrak for obligation or expenditure under subsection (a)--

    • (1) until Amtrak has submitted to the Secretary, and the Secretary has approved, an engineering and financial plan for such projects; and

    • (2) unless, for each project funded pursuant to this section, the Secretary has approved a project management plan prepared by Amtrak addressing appropriate project budget, construction schedule, recipient staff organization, document control and record keeping, change order procedure, quality control and assurance, periodic plan updates, and periodic status reports.

  • (f) Review of Plans-

    • (1) IN GENERAL- The Secretary of Transportation shall complete the review of the plans required by paragraphs (1) and (2) of subsection (e) and approve or disapprove the plans within 45 days after the date on which each such plan is submitted by Amtrak.

    • (2) INCOMPLETE OR DEFICIENT PLAN- If the Secretary determines that a plan is incomplete or deficient, the Secretary shall notify Amtrak of the incomplete items or deficiencies and Amtrak shall, within 30 days after receiving the Secretary's notification, submit a modified plan for the Secretary's review.

    • (3) APPROVAL OF PLAN- Within 15 days after receiving additional information on items previously included in the plan, and within 45 days after receiving items newly included in a modified plan, the Secretary shall either approve the modified plan, or, if the Secretary finds the plan is still incomplete or deficient, the Secretary shall--

      • (A) identify in writing to the Committee on Commerce, Science, and Transportation of the Senate, and the Committee on Transportation and Infrastructure and the Committee on Homeland Security of the House of Representatives the portions of the plan the Secretary finds incomplete or deficient;

      • (B) approve all other portions of the plan;

      • (C) obligate the funds associated with those other portions; and

      • (D) execute an agreement with Amtrak within 15 days thereafter on a process for resolving the remaining portions of the plan.

  • (g) Financial Contribution From Other Tunnel Users- The Secretary shall, taking into account the need for the timely completion of all portions of the tunnel projects described in subsection (a)--

    • (1) consider the extent to which rail carriers other than Amtrak use or plan to use the tunnels;

    • (2) consider the feasibility of seeking a financial contribution from those other rail carriers toward the costs of the projects; and

    • (3) obtain financial contributions or commitments from such other rail carriers at levels reflecting the extent of their use or planned use of the tunnels, if feasible.

SEC. 1424. FREIGHT AND PASSENGER RAIL SECURITY UPGRADES.

  • (a) Security Improvement Grants- The Secretary, in consultation with Assistant Secretary of Homeland Security (Transportation Security Administration) and other appropriate agencies or officials, is authorized to make grants to freight railroads, the Alaska Railroad, hazardous materials offerers, owners of rail cars used in the transportation of hazardous materials, universities, colleges and research centers, State and local governments (for rail passenger facilities and infrastructure not owned by Amtrak), and to Amtrak for full or partial reimbursement of costs incurred in the conduct of activities to prevent or respond to acts of terrorism, sabotage, or other intercity passenger rail and freight rail security risks identified under section 1421, including--

    • (1) security and redundancy for critical communications, computer, and train control systems essential for secure rail operations;

    • (2) accommodation of rail cargo or passenger screening equipment at the United States-Mexico border, the United States-Canada border, or other ports of entry;

    • (3) the security of hazardous material transportation by rail;

    • (4) secure intercity passenger rail stations, trains, and infrastructure;

    • (5) structural modification or replacement of rail cars transporting high hazard materials to improve their resistance to acts of terrorism;

    • (6) employee security awareness, preparedness, passenger evacuation, and emergency response training;

    • (7) public security awareness campaigns for passenger train operations;

    • (8) the sharing of intelligence and information about security threats;

    • (9) to obtain train tracking and interoperable communications systems that are coordinated to the maximum extent possible;

    • (10) to hire additional police and security officers, including canine units; and

    • (11) other improvements recommended by the report required by section 1421, including infrastructure, facilities, and equipment upgrades.

  • (b) Accountability- The Secretary shall adopt necessary procedures, including audits, to ensure that grants made under this section are expended in accordance with the purposes of this title and the priorities and other criteria developed by the Secretary.

  • (c) Allocation- The Secretary shall distribute the funds authorized by this section based on risk as determined under section 1421, and shall encourage non-Federal financial participation in projects funded by grants awarded under this section. With respect to grants for intercity passenger rail security, the Secretary shall also take into account passenger volume and whether stations or facilities are used by commuter rail passengers as well as intercity rail passengers. Not later than 240 days after the date of enactment of this Act, the Secretary shall provide a report to the Committees on Commerce, Science and Transportation and Homeland Security and Governmental Affairs in the Senate and the Committee on Homeland Security in the House on the feasibility and appropriateness of requiring a non-federal match for the grants authorized in subsection (a).

  • (d) CONDITIONS- Grants awarded by the Secretary to Amtrak under subsection (a) shall be disbursed to Amtrak through the Secretary of Transportation. The Secretary of Transportation may not disburse such funds unless Amtrak meets the conditions set forth in section 1422(b) of this title.

  • (e) Allocation Between Railroads and Others- Unless as a result of the assessment required by section 1421 the Secretary determines that critical rail transportation security needs require reimbursement in greater amounts to any eligible entity, no grants under this section may be made cumulatively over the period authorized by this title--

    • (1) in excess of $45,000,000 to Amtrak; or

    • (2) in excess of $80,000,000 for the purposes described in paragraphs (3) and (5) of subsection (a).

  • (f) Authorization of Appropriations-

    • (1) IN GENERAL- Out of funds appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1437 of this title, there shall be made available to the Secretary to carry out this section--

      • (A) $100,000,000 for fiscal year 2008;

      • (B) $100,000,000 for fiscal year 2009; and

      • (C) $100,000,000 for fiscal year 2010.

    • (2) AVAILABILITY OF APPROPRIATED FUNDS- Amounts appropriated pursuant to paragraph (1) shall remain available until expended.

SEC. 1425. RAIL SECURITY RESEARCH AND DEVELOPMENT.

  • (a) Establishment of Research and Development Program- The Secretary, through the Under Secretary for Science and Technology and the Assistant Secretary of Homeland Security (Transportation Security Administration), in consultation with the Secretary of Transportation shall carry out a research and development program for the purpose of improving freight and intercity passenger rail security that may include research and development projects to--

    • (1) reduce the risk of terrorist attacks on rail transportation, including risks posed by explosives and hazardous chemical, biological, and radioactive substances to intercity rail passengers, facilities, and equipment;

    • (2) test new emergency response techniques and technologies;

    • (3) develop improved freight rail security technologies, including--

      • (A) technologies for sealing rail cars;

      • (B) automatic inspection of rail cars;

      • (C) communication-based train controls; and

      • (D) emergency response training;

    • (4) test wayside detectors that can detect tampering with railroad equipment;

    • (5) support enhanced security for the transportation of hazardous materials by rail, including--

      • (A) technologies to detect a breach in a tank car or other rail car used to transport hazardous materials and transmit information about the integrity of cars to the train crew or dispatcher;

      • (B) research to improve tank car integrity, with a focus on tank cars that carry high hazard materials (as defined in section 1411 of this title); and

      • (C) techniques to transfer hazardous materials from rail cars that are damaged or otherwise represent an unreasonable risk to human life or public safety; and

    • (6) other projects that address risks identified under section 1421.

  • (b) Coordination With Other Research Initiatives- The Secretary shall ensure that the research and development program authorized by this section is coordinated with other research and development initiatives at the Department of Homeland Security and the Department of Transportation. The Secretary shall carry out any research and development project authorized by this section through a reimbursable agreement with the Secretary of Transportation, if the Secretary of Transportation--

    • (1) is already sponsoring a research and development project in a similar area; or

    • (2) has a unique facility or capability that would be useful in carrying out the project.

  • (c) Grants and Accountability- To carry out the research and development program, the Secretary may award grants to the entities described in section 1424(a) and shall adopt necessary procedures, including audits, to ensure that grants made under this section are expended in accordance with the purposes of this title and the priorities and other criteria developed by the Secretary.

  • (d) Authorization of Appropriations-

    • (1) IN GENERAL- Out of funds appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1437 of this title, there shall be made available to the Secretary to carry out this section--

      • (A) $33,000,000 for fiscal year 2008;

      • (B) $33,000,000 for fiscal year 2009; and

      • (C) $33,000,000 for fiscal year 2010.

    • (2) AVAILABILITY OF APPROPRIATED FUNDS- Amounts appropriated pursuant to paragraph (1) shall remain available until expended.

SEC. 1426. OVERSIGHT AND GRANT PROCEDURES.

  • (a) Secretarial Oversight- The Secretary may award contracts to audit and review the safety, security, procurement, management, and financial compliance of a recipient of amounts under this title.

  • (b) Procedures for Grant Award- The Secretary shall, within 180 days after the date of enactment of this Act, prescribe procedures and schedules for the awarding of grants under this title, including application and qualification procedures (including a requirement that the applicant have a security plan), and a record of decision on applicant eligibility. The procedures shall include the execution of a grant agreement between the grant recipient and the Secretary and shall be consistent, to the extent practicable, with the grant procedures established under section 70107 of title 46, United States Code.

  • (c) Additional Authority- The Secretary may issue nonbinding letters under similar terms to those issued pursuant to section 47110(e) of title 49, United States Code, to sponsors of rail projects funded under this title.

SEC. 1427. AMTRAK PLAN TO ASSIST FAMILIES OF PASSENGERS INVOLVED IN RAIL PASSENGER ACCIDENTS.

  • (a) In General- Chapter 243 of title 49, United States Code, is amended by adding at the end the following:

`Sec. 24316. Plans to address needs of families of passengers involved in rail passenger accidents

  • `(a) Submission of Plan- Not later than 6 months after the date of the enactment of the Transportation Security and Interoperable Communication Capabilities Act, Amtrak shall submit to the Chairman of the National Transportation Safety Board, the Secretary of Transportation, and the Secretary of Homeland Security a plan for addressing the needs of the families of passengers involved in any rail passenger accident involving an Amtrak intercity train and resulting in a loss of life.

  • `(b) Contents of Plans- The plan to be submitted by Amtrak under subsection (a) shall include, at a minimum, the following:

    • `(1) A process by which Amtrak will maintain and provide to the National Transportation Safety Board, the Secretary of Transportation, and the Secretary of Homeland Security, immediately upon request, a list (which is based on the best available information at the time of the request) of the names of the passengers aboard the train (whether or not such names have been verified), and will periodically update the list. The plan shall include a procedure, with respect to unreserved trains and passengers not holding reservations on other trains, for Amtrak to use reasonable efforts to ascertain the number and names of passengers aboard a train involved in an accident.

    • `(2) A plan for creating and publicizing a reliable, toll-free telephone number within 4 hours after such an accident occurs, and for providing staff, to handle calls from the families of the passengers.

    • `(3) A process for notifying the families of the passengers, before providing any public notice of the names of the passengers, by suitably trained individuals.

    • `(4) A process for providing the notice described in paragraph (2) to the family of a passenger as soon as Amtrak has verified that the passenger was aboard the train (whether or not the names of all of the passengers have been verified).

    • `(5) A process by which the family of each passenger will be consulted about the disposition of all remains and personal effects of the passenger within Amtrak's control; that any possession of the passenger within Amtrak's control will be returned to the family unless the possession is needed for the accident investigation or any criminal investigation; and that any unclaimed possession of a passenger within Amtrak's control will be retained by the rail passenger carrier for at least 18 months.

    • `(6) A process by which the treatment of the families of nonrevenue passengers will be the same as the treatment of the families of revenue passengers.

    • `(7) An assurance that Amtrak will provide adequate training to its employees and agents to meet the needs of survivors and family members following an accident.

  • `(c) Use of Information- Neither the National Transportation Safety Board, the Secretary of Transportation, the Secretary of Homeland Security, nor Amtrak may release any personal information on a list obtained under subsection (b)(1) but may provide information on the list about a passenger to the family of the passenger to the extent that the Board or Amtrak considers appropriate.

  • `(d) Limitation on Liability- Amtrak shall not be liable for damages in any action brought in a Federal or State court arising out of the performance of Amtrak under this section in preparing or providing a passenger list, or in providing information concerning a train reservation, pursuant to a plan submitted by Amtrak under subsection (b), unless such liability was caused by Amtrak's conduct.

  • `(e) Limitation on Statutory Construction- Nothing in this section may be construed as limiting the actions that Amtrak may take, or the obligations that Amtrak may have, in providing assistance to the families of passengers involved in a rail passenger accident.

  • `(f) Funding- Out of funds appropriated pursuant to section 1437(b) of the Transportation Security and Interoperable Communication Capabilities Act, there shall be made available to the Secretary of Transportation for the use of Amtrak $500,000 for fiscal year 2008 to carry out this section. Amounts made available pursuant to this subsection shall remain available until expended.'.

  • (b) Conforming Amendment- The chapter analysis for chapter 243 of title 49, United States Code, is amended by adding at the end the following:

    • `24316. Plan to assist families of passengers involved in rail passenger accidents'.

SEC. 1428. NORTHERN BORDER RAIL PASSENGER REPORT.

  • Within 1 year after the date of enactment of this Act, the Secretary, in consultation with the Assistant Secretary of Homeland Security (Transportation Security Administration), the Secretary of Transportation, heads of other appropriate Federal departments, and agencies and the National Railroad Passenger Corporation, shall transmit a report to the Senate Committee on Commerce, Science, and Transportation, the House of Representatives Committee on Transportation and Infrastructure, and the House of Representatives Committee on Homeland Security that contains--

    • (1) a description of the current system for screening passengers and baggage on passenger rail service between the United States and Canada;

    • (2) an assessment of the current program to provide preclearance of airline passengers between the United States and Canada as outlined in `The Agreement on Air Transport Preclearance between the Government of Canada and the Government of the United States of America', dated January 18, 2001;

    • (3) an assessment of the current program to provide preclearance of freight railroad traffic between the United States and Canada as outlined in the `Declaration of Principle for the Improved Security of Rail Shipments by Canadian National Railway and Canadian Pacific Railway from Canada to the United States', dated April 2, 2003;

    • (4) information on progress by the Department of Homeland Security and other Federal agencies towards finalizing a bilateral protocol with Canada that would provide for preclearance of passengers on trains operating between the United States and Canada;

    • (5) a description of legislative, regulatory, budgetary, or policy barriers within the United States Government to providing pre-screened passenger lists for rail passengers traveling between the United States and Canada to the Department of Homeland Security;

    • (6) a description of the position of the Government of Canada and relevant Canadian agencies with respect to preclearance of such passengers;

    • (7) a draft of any changes in existing Federal law necessary to provide for pre-screening of such passengers and providing pre-screened passenger lists to the Department of Homeland Security; and

    • (8) an analysis of the feasibility of reinstating in-transit inspections onboard international Amtrak trains.

SEC. 1429. RAIL WORKER SECURITY TRAINING PROGRAM.

  • (a) In General- Not later than 1 year after the date of enactment of this Act, the Secretary, in consultation with the Secretary of Transportation, appropriate law enforcement, security, and terrorism experts, representatives of railroad carriers and shippers, and nonprofit employee organizations that represent rail workers, shall develop and issue detailed guidance for a rail worker security training program to prepare front-line workers for potential threat conditions. The guidance shall take into consideration any current security training requirements or best practices.

  • (b) Program Elements- The guidance developed under subsection (a) shall include elements appropriate to passenger and freight rail service that address the following:

    • (1) Determination of the seriousness of any occurrence.

    • (2) Crew communication and coordination.

    • (3) Appropriate responses to defend or protect oneself.

    • (4) Use of protective devices.

    • (5) Evacuation procedures.

    • (6) Psychology, behavior, and methods of terrorists, including observation and analysis.

    • (7) Situational training exercises regarding various threat conditions.

    • (8) Any other subject the Secretary considers appropriate.

  • (c) Railroad Carrier Programs- Not later than 90 days after the Secretary issues guidance under subsection (a) in final form, each railroad carrier shall develop a rail worker security training program in accordance with that guidance and submit it to the Secretary for review. Not later than 90 days after receiving a railroad carrier's program under this subsection, the Secretary shall review the program and transmit comments to the railroad carrier concerning any revisions the Secretary considers necessary for the program to meet the guidance requirements. A railroad carrier shall respond to the Secretary's comments within 90 days after receiving them.

  • (d) Training- Not later than 1 year after the Secretary reviews the training program developed by a railroad carrier under this section, the railroad carrier shall complete the training of all front-line workers in accordance with that program. The Secretary shall review implementation of the training program of a representative sample of railroad carriers and report to the Senate Committee on Commerce, Science, and Transportation, the House of Representatives Committee on Transportation and Infrastructure, and the House of Representatives Committee on Homeland Security on the number of reviews conducted and the results. The Secretary may submit the report in both classified and redacted formats as necessary.

  • (e) Updates- The Secretary shall update the training guidance issued under subsection (a) as appropriate to reflect new or different security threats. Railroad carriers shall revise their programs accordingly and provide additional training to their front-line workers within a reasonable time after the guidance is updated.

  • (f) Front-Line Workers Defined- In this section, the term `front-line workers' means security personnel, dispatchers, locomotive engineers, conductors, trainmen, other onboard employees, maintenance and maintenance support personnel, bridge tenders, as well as other appropriate employees of railroad carriers, as defined by the Secretary.

  • (g) Other Employees- The Secretary shall issue guidance and best practices for a rail shipper employee security program containing the elements listed under subsection (b) as appropriate.

SEC. 1430. WHISTLEBLOWER PROTECTION PROGRAM.

  • (a) In General- Subchapter A of chapter 201 of title 49, United States Code, is amended by inserting after section 20117 the following:

`Sec. 20118. Whistleblower protection for rail Security matters

  • `(a) Discrimination Against Employee- A railroad carrier engaged in interstate or foreign commerce may not discharge or in any way discriminate against an employee because the employee, whether acting for the employee or as a representative, has--

    • `(1) provided, caused to be provided, or is about to provide or cause to be provided, to the employer or the Federal Government information relating to a reasonably perceived threat, in good faith, to security;

    • `(2) provided, caused to be provided, or is about to provide or cause to be provided, testimony before Congress or at any Federal or State proceeding regarding a reasonably perceived threat, in good faith, to security; or

    • `(3) refused to violate or assist in the violation of any law, rule or regulation related to rail security.

  • `(b) Dispute Resolution- A dispute, grievance, or claim arising under this section is subject to resolution under section 3 of the Railway Labor Act (45 U.S.C. 153). In a proceeding by the National Railroad Adjustment Board, a division or delegate of the Board, or another board of adjustment established under section 3 to resolve the dispute, grievance, or claim the proceeding shall be expedited and the dispute, grievance, or claim shall be resolved not later than 180 days after it is filed. If the violation is a form of discrimination that does not involve discharge, suspension, or another action affecting pay, and no other remedy is available under this subsection, the Board, division, delegate, or other board of adjustment may award the employee reasonable damages, including punitive damages, of not more than $20,000.

  • `(c) Procedural Requirements- Except as provided in subsection (b), the procedure set forth in section 42121(b)(2)(B) of this subtitle, including the burdens of proof, applies to any complaint brought under this section.

  • `(d) Election of Remedies- An employee of a railroad carrier may not seek protection under both this section and another provision of law for the same allegedly unlawful act of the carrier.

  • `(e) Disclosure of Identity-

    • `(1) Except as provided in paragraph (2) of this subsection, or with the written consent of the employee, the Secretary of Transportation or Secretary of Homeland Security may not disclose the name of an employee of a railroad carrier who has provided information about an alleged violation of this section.

    • `(2) The Secretary shall disclose to the Attorney General the name of an employee described in paragraph (1) of this subsection if the matter is referred to the Attorney General for enforcement.

  • `(f) Process for Reporting Problems-

    • `(1) ESTABLISHMENT OF REPORTING PROCESS- The Secretary shall establish, and provide information to the public regarding, a process by which any person may submit a report to the Secretary regarding railroad security problems, deficiencies, or vulnerabilities.

    • `(2) CONFIDENTIALITY- The Secretary shall keep confidential the identity of a person who submits a report under paragraph (1) and any such report shall be treated as a record containing protected information to the extent that it does not consist of publicly available information.

    • `(3) ACKNOWLEDGMENT OF RECEIPT- If a report submitted under paragraph (1) identifies the person making the report, the Secretary shall respond promptly to such person and acknowledge receipt of the report.

    • `(4) STEPS TO ADDRESS PROBLEMS- The Secretary shall review and consider the information provided in any report submitted under paragraph (1) and shall take appropriate steps under this title to address any problems or deficiencies identified.

    • `(5) RETALIATION PROHIBITED- No employer may discharge any employee or otherwise discriminate against any employee with respect to the compensation to, or terms, conditions, or privileges of the employment of, such employee because the employee (or a person acting pursuant to a request of the employee) made a report under paragraph (1).'.

  • (b) Conforming Amendment- The chapter analysis for chapter 201 of title 49, United States Code, is amended by inserting after the item relating to section 20117 the following:

    • `20118. Whistleblower protection for rail security matters'.

SEC. 1431. HIGH HAZARD MATERIAL SECURITY RISK MITIGATION PLANS.

  • (a) In General- The Secretary, in consultation with the Assistant Secretary of Homeland Security (Transportation Security Administration) and the Secretary of Transportation, shall require rail carriers transporting a high hazard material, as defined in section 1411 of this title, to develop a high hazard material security risk mitigation plan containing appropriate measures, including alternative routing and temporary shipment suspension options, to address assessed risks to high consequence targets. The plan, and any information submitted to the Secretary under this section shall be protected as sensitive security information under the regulations prescribed under section 114(s) of title 49, United States Code.

  • (b) Implementation- A high hazard material security risk mitigation plan shall be put into effect by a rail carrier for the shipment of high hazardous materials by rail on the rail carrier's right-of-way when the threat levels of the Homeland Security Advisory System are high or severe or specific intelligence of probable or imminent threat exists towards--

    • (1) a high-consequence target that is within the catastrophic impact zone of a railroad right-of-way used to transport high hazardous material; or

    • (2) rail infrastructure or operations within the immediate vicinity of a high-consequence target.

  • (c) Completion and Review of Plans-

    • (1) PLANS REQUIRED- Each rail carrier shall--

      • (A) submit a list of routes used to transport high hazard materials to the Secretary within 60 days after the date of enactment of this Act;

      • (B) develop and submit a high hazard material security risk mitigation plan to the Secretary within 180 days after it receives the notice of high consequence targets on such routes by the Secretary that includes an operational recovery plan to expedite, to the maximum extent practicable, the return of an adversely affected rail system or facility to its normal performance level following a major terrorist attack or other security incident; and

      • (C) submit any subsequent revisions to the plan to the Secretary within 30 days after making the revisions.

    • (2) REVIEW AND UPDATES- The Secretary, with assistance of the Secretary of Transportation, shall review the plans and transmit comments to the railroad carrier concerning any revisions the Secretary considers necessary. A railroad carrier shall respond to the Secretary's comments within 30 days after receiving them. Each rail carrier shall update and resubmit its plan for review not less than every 2 years.

  • (d) Definitions- In this section:

    • (1) The term `high-consequence target' means property, infrastructure, public space, or natural resource designated by the Secretary that is a viable terrorist target of national significance, the attack of which could result in--

      • (A) catastrophic loss of life;

      • (B) significant damage to national security or defense capabilities; or

      • (C) national economic harm.

    • (2) The term `catastrophic impact zone' means the area immediately adjacent to, under, or above an active railroad right-of-way used to ship high hazard materials in which the potential release or explosion of the high hazard material being transported would likely cause--

      • (A) loss of life; or

      • (B) significant damage to property or structures.

    • (3) The term `rail carrier' has the meaning given that term by section 10102(5) of title 49, United States Code.

SEC. 1432. ENFORCEMENT AUTHORITY.

  • (a) In General- Section 114 of title 49, United States Code, as amended by section 902(a) of this title, is further amended by adding at the end the following:

  • `(v) Enforcement of Regulations and Orders of the Secretary of Homeland Security Issued Under This Title-

    • `(1) APPLICATION OF SUBSECTION-

      • `(A) IN GENERAL- This subsection applies to the enforcement of regulations prescribed, and orders issued, by the Secretary of Homeland Security under a provision of this title other than a provision of chapter 449.

      • `(B) VIOLATIONS OF CHAPTER 449- The penalties for violations of regulations prescribed, and orders issued, by the Secretary of Homeland Security under chapter 449 of this title are provided under chapter 463 of this title.

      • `(C) NONAPPLICATION TO CERTAIN VIOLATIONS-

        • `(i) Paragraphs (2) through (5) of this subsection do not apply to violations of regulations prescribed, and orders issued, by the Secretary of Homeland Security under a provision of this title--

          • `(I) involving the transportation of personnel or shipments of materials by contractors where the Department of Defense has assumed control and responsibility;

          • `(II) by a member of the armed forces of the United States when performing official duties; or

          • `(III) by a civilian employee of the Department of Defense when performing official duties.

        • `(ii) Violations described in subclause (I), (II), or (III) of clause (i) shall be subject to penalties as determined by the Secretary of Defense or the Secretary's designee.

    • `(2) CIVIL PENALTY-

      • `(A) IN GENERAL- A person is liable to the United States Government for a civil penalty of not more than $10,000 for a violation of a regulation prescribed, or order issued, by the Secretary of Homeland Security under this title.

      • `(B) REPEAT VIOLATIONS- A separate violation occurs under this paragraph for each day the violation continues.

    • `(3) ADMINISTRATIVE IMPOSITION OF CIVIL PENALTIES-

      • `(A) IN GENERAL- The Secretary of Homeland Security may impose a civil penalty for a violation of a regulation prescribed, or order issued, under this title. The Secretary shall give written notice of the finding of a violation and the penalty.

      • `(B) SCOPE OF CIVIL ACTION- In a civil action to collect a civil penalty imposed by the Secretary under this subsection, the court may not re-examine issues of liability or the amount of the penalty.

      • `(C) JURISDICTION- The district courts of the United States have exclusive jurisdiction of civil actions to collect a civil penalty imposed by the Secretary under this subsection if--

        • `(i) the amount in controversy is more than--

          • `(I) $400,000, if the violation was committed by a person other than an individual or small business concern; or

          • `(II) $50,000, if the violation was committed by an individual or small business concern;

        • `(ii) the action is in rem or another action in rem based on the same violation has been brought; or

        • `(iii) another action has been brought for an injunction based on the same violation.

      • `(D) MAXIMUM PENALTY- The maximum penalty the Secretary may impose under this paragraph is--

        • `(i) $400,000, if the violation was committed by a person other than an individual or small business concern; or

        • `(ii) $50,000, if the violation was committed by an individual or small business concern.

    • `(4) COMPROMISE AND SETOFF-

      • `(A) The Secretary may compromise the amount of a civil penalty imposed under this subsection. If the Secretary compromises the amount of a civil penalty under this subparagraph, the Secretary shall--

        • `(i) notify the Senate Committee on Commerce, Science, and Transportation and the House of Representatives Committee on Homeland Security of the compromised penalty and explain the rationale therefor; and

        • `(ii) make the explanation available to the public to the extent feasible without compromising security.

      • `(B) The Government may deduct the amount of a civil penalty imposed or compromised under this subsection from amounts it owes the person liable for the penalty.

    • `(5) INVESTIGATIONS AND PROCEEDINGS- Chapter 461 of this title shall apply to investigations and proceedings brought under this subsection to the same extent that it applies to investigations and proceedings brought with respect to aviation security duties designated to be carried out by the Secretary.

    • `(6) DEFINITIONS- In this subsection:

      • `(A) PERSON- The term `person' does not include--

        • `(i) the United States Postal Service; or

        • `(ii) the Department of Defense.

      • `(B) SMALL BUSINESS CONCERN- The term `small business concern' has the meaning given that term in section 3 of the Small Business Act (15 U.S.C. 632).'.

  • (b) Conforming Amendment- Section 46301(a)(4) of title 49, United States Code is amended by striking `or another requirement under this title administered by the Under Secretary of Transportation for Security'.

  • (c) Rail Safety Regulations- Section 20103(a) of title 49, United States Code, is amended by striking `safety' the first place it appears, and inserting `safety, including security,'.

SEC. 1433. RAIL SECURITY ENHANCEMENTS.

  • (a) Rail Police Officers- Section 28101 of title 49, United States Code, is amended--

    • (1) by inserting `(a) In General- ' before `Under'; and

    • (2) by adding at the end the following:

  • `(b) Assignment- A rail police officer employed by a rail carrier and certified or commissioned as a police officer under the laws of a State may be temporarily assigned to assist a second rail carrier in carrying out law enforcement duties upon the request of the second rail carrier, at which time the police officer shall be considered to be an employee of the second rail carrier and shall have authority to enforce the laws of any jurisdiction in which the second rail carrier owns property to the same extent as provided in subsection (a).'.

  • (b) Model State Legislation- By no later than September 7, 2007, the Secretary of Transportation shall develop model State legislation to address the problem of entities that claim to be rail carriers in order to establish and run a police force when the entities do not in fact provide rail transportation and shall make it available to State governments. In developing the model State legislation the Secretary shall solicit the input of the States, railroads companies, and railroad employees. The Secretary shall review and, if necessary, revise such model State legislation periodically.

SEC. 1434. PUBLIC AWARENESS.

  • Not later than 90 days after the date of enactment of this Act, the Secretary, in consultation with the Secretary of Transportation, shall develop a national plan for public outreach and awareness. Such plan shall be designed to increase awareness of measures that the general public, railroad passengers, and railroad employees can take to increase railroad system security. Such plan shall also provide outreach to railroad carriers and their employees to improve their awareness of available technologies, ongoing research and development efforts, and available Federal funding sources to improve railroad security. Not later than 9 months after the date of enactment of this Act, the Secretary shall implement the plan developed under this section.

SEC. 1435. RAILROAD HIGH HAZARD MATERIAL TRACKING.

  • (a) Wireless Communications-

    • (1) IN GENERAL- In conjunction with the research and development program established under section 1425 and consistent with the results of research relating to wireless tracking technologies, the Secretary, in consultation with the Assistant Secretary of Homeland Security (Transportation Security Administration), shall develop a program that will encourage the equipping of rail cars transporting high hazard materials (as defined in section 1411 of this title) with technology that provides--

      • (A) car position location and tracking capabilities; and

      • (B) notification of rail car depressurization, breach, unsafe temperature, or release of hazardous materials.

    • (2) COORDINATION- In developing the program required by paragraph (1), the Secretary shall--

      • (A) consult with the Secretary of Transportation to coordinate the program with any ongoing or planned efforts for rail car tracking at the Department of Transportation; and

      • (B) ensure that the program is consistent with recommendations and findings of the Department of Homeland Security's hazardous material tank rail car tracking pilot programs.

  • (b) Funding- Out of funds appropriated pursuant to section 114(w) of title 49, United States Code, as amended by section 1437 of this title, there shall be made available to the Secretary to carry out this section $3,000,000 for each of fiscal years 2008, 2009, and 2010.

SEC. 1436. UNIFIED CARRIER REGISTRATION SYSTEM PLAN AGREEMENT.

  • (a) IN GENERAL- Notwithstanding section 4305(a) of the SAFETEA-LU Act (Public Law 109-59)--

    • (1) section 14504 of title 49, United States Code, as that section was in effect on December 31, 2006, is re-enacted, effective as of January 1, 2007; and

    • (2) no fee shall be collected pursuant to section 14504a of title 49, United States Code, until 30 days after the date, as determined by the Secretary of Transportation, on which--

      • (A) the unified carrier registration system plan and agreement required by that section has been fully implemented; and

      • (B) the fees have been set by the Secretary under subsection (d)(7)(B) of that section.

  • (b) Repeal of Section 14504- Section 14504 of title 49, United States Code, as re-enacted by this Act, is repealed effective on the date on which fees may be collected under section 14504a of title 49, United States Code, pursuant to subsection (a)(2) of this section.

SEC. 1437. AUTHORIZATION OF APPROPRIATIONS.

  • (a) Transportation Security Administration Authorization- Section 114 of title 49, United States Code, as amended by section 1432, is amended by adding at the end thereof the following:

  • `(w) Authorization of Appropriations- There are authorized to be appropriated to the Secretary of Homeland Security for rail security--

    • `(1) $205,000,000 for fiscal year 2008;

    • `(2) $166,000,000 for fiscal year 2009; and

    • `(3) $166,000,000 for fiscal year 2010.'.

  • (b) Department of Transportation- There are authorized to be appropriated to the Secretary of Transportation to carry out this title and sections 20118 and 24316 of title 49, United States Code, as added by this title--

    • (1) $121,000,000 for fiscal year 2008;

    • (2) $118,000,000 for fiscal year 2009;

    • (3) $118,000,000 for fiscal year 2010; and

    • (4) $118,000,000 for fiscal year 2011.

SEC. 1438. APPLICABILITY OF DISTRICT OF COLUMBIA LAW TO CERTAIN AMTRAK CONTRACTS.

  • Section 24301 of title 49, United States Code, is amended by adding at the end the following:

  • `(o) Applicability of District of Columbia Law- Any lease or contract entered into between the National Railroad Passenger Corporation and the State of Maryland, or any department or agency of the State of Maryland, after the date of the enactment of this subsection shall be governed by the laws of the District of Columbia.'.

PART II--IMPROVED MOTOR CARRIER, BUS, AND HAZARDOUS MATERIAL SECURITY

SEC. 1441. HAZARDOUS MATERIALS HIGHWAY ROUTING.

  • (a) Route Plan Guidance- Within 1 year after the date of enactment of this Act, the Secretary of Transportation, in consultation with the Secretary, shall--

    • (1) document existing and proposed routes for the transportation of radioactive and non-radioactive hazardous materials by motor carrier, and develop a framework for using a Geographic Information System-based approach to characterize routes in the National Hazardous Materials Route Registry;

    • (2) assess and characterize existing and proposed routes for the transportation of radioactive and non-radioactive hazardous materials by motor carrier for the purpose of identifying measurable criteria for selecting routes based on safety and security concerns;

    • (3) analyze current route-related hazardous materials regulations in the United States, Canada, and Mexico to identify cross-border differences and conflicting regulations;

    • (4) document the concerns of the public, motor carriers, and State, local, territorial, and tribal governments about the highway routing of hazardous materials for the purpose of identifying and mitigating security risks associated with hazardous material routes;

    • (5) prepare guidance materials for State officials to assist them in identifying and reducing both safety concerns and security risks when designating highway routes for hazardous materials consistent with the 13 safety-based non-radioactive materials routing criteria and radioactive materials routing criteria in subpart C part 397 of title 49, Code of Federal Regulations;

    • (6) develop a tool that will enable State officials to examine potential routes for the highway transportation of hazardous material and assess specific security risks associated with each route and explore alternative mitigation measures; and

    • (7) transmit to the Senate Committee on Commerce, Science, and Transportation, and the House of Representatives Committee on Transportation and Infrastructure a report on the actions taken to fulfill paragraphs (1) through (6) of this subsection and any recommended changes to the routing requirements for the highway transportation of hazardous materials in part 397 of title 49, Code of Federal Regulations.

  • (b) Route Plans-

    • (1) ASSESSMENT- Within 1 year after the date of enactment of this Act, the Secretary of Transportation shall complete an assessment of the safety and national security benefits achieved under existing requirements for route plans, in written or electronic format, for explosives and radioactive materials. The assessment shall, at a minimum--

      • (A) compare the percentage of Department of Transportation recordable incidents and the severity of such incidents for shipments of explosives and radioactive materials for which such route plans are required with the percentage of recordable incidents and the severity of such incidents for shipments of explosives and radioactive materials not subject to such route plans; and

      • (B) quantify the security and safety benefits, feasibility, and costs of requiring each motor carrier that is required to have a hazardous material safety permit under part 385 of title 49, Code of Federal Regulations, to maintain, follow, and carry such a route plan that meets the requirements of section 397.101 of that title when transporting the type and quantity of hazardous materials described in section 385.403 of that title, taking into account the various segments of the trucking industry, including tank truck, truckload and less than truckload carriers.

    • (2) REPORT- Within 1 year after the date of enactment of this Act, the Secretary of Transportation shall submit a report to the Senate Committee on Commerce, Science, and Transportation, and the House of Representatives Committee on Transportation and Infrastructure containing the findings and conclusions of the assessment.

  • (c) Requirement- The Secretary shall require motor carriers that have a hazardous material safety permit under part 385 of title 49, Code of Federal Regulations, to maintain, follow, and carry a route plan, in written or electronic format, that meets the requirements of section 397.101 of that title when transporting the type and quantity of hazardous materials described in section 385.403 of that title if the Secretary determines, under the assessment required in subsection (b), that such a requirement would enhance the security and safety of the nation without imposing unreasonable costs or burdens upon motor carriers.

SEC. 1442. MOTOR CARRIER HIGH HAZARD MATERIAL TRACKING.

  • (a) Communications-

    • (1) IN GENERAL- Consistent with the findings of the Transportation Security Administration's Hazmat Truck Security Pilot Program and within 6 months after the date of enactment of this Act, the Secretary, through the Transportation Security Administration and in consultation with the Secretary of Transportation, shall develop a program to facilitate the tracking of motor carrier shipments of high hazard materials, as defined in this title, and to equip vehicles used in such shipments with technology that provides--

      • (A) frequent or continuous communications;

      • (B) vehicle position location and tracking capabilities; and

      • (C) a feature that allows a driver of such vehicles to broadcast an emergency message.

    • (2) CONSIDERATIONS- In developing the program required by paragraph (1), the Secretary shall--

      • (A) consult with the Secretary of Transportation to coordinate the program with any ongoing or planned efforts for motor carrier or high hazardous materials tracking at the Department of Transportation;

      • (B) take into consideration the recommendations and findings of the report on the Hazardous Material Safety and Security Operation Field Test released by the Federal Motor Carrier Safety Administration on November 11, 2004; and

      • (C) evaluate--

        • (i) any new information related to the costs and benefits of deploying, equipping, and utilizing tracking technology, including portable tracking technology, for motor carriers transporting high hazard materials not included in the Hazardous Material Safety and Security Operation Field Test Report released by the Federal Motor Carrier Safety Administration on November 11, 2004;

        • (ii) the ability of tracking technology to resist tampering and disabling;

        • (iii) the capability of tracking technology to collect, display, and store information regarding the movement of shipments of high hazard materials by commercial motor vehicles;

        • (iv) the appropriate range of contact intervals between the tracking technology and a commercial motor vehicle transporting high hazard materials;

        • (v) technology that allows the installation by a motor carrier of concealed and portable electronic devices on commercial motor vehicles that can be activated by law enforcement authorities to disable the vehicle and alert emergency response resources to locate and recover high hazard materials in the event of loss or theft of such materials; and

        • (vi) whether installation of the technology described in clause (v) should be incorporated into the program under paragraph (1);

        • (vii) the costs, benefits, and practicality of such technology described in clause (v) in the context of the overall benefit to national security, including commerce in transportation; and

        • (viii) other systems the Secretary determines appropriate.

  • (b) Regulations- Not later than 1 year after the date of the enactment of this Act, the Secretary, through the Transportation Security Administration, shall promulgate regulations to carry out the provisions of subsection (a).

  • (c) Funding- There are authorized to be appropriated to the Secretary to carry out this section, $7,000,000 for each of fiscal years 2008, 2009, and 2010, of which--

    • (1) $3,000,000 per year may be used for equipment; and

    • (2) $1,000,000 per year may be used for operations.

  • (d) Report- Within 1 year after the issuance of regulations under subsection (b), the Secretary shall issue a report to the Senate Committee on Commerce, Science, and Transportation, the Senate Committee on Homeland Security and Governmental Affairs and the House Committee on Homeland Security on the program developed and evaluation carried out under this section.

  • (e) Limitation- The Secretary may not mandate the installation or utilization of the technology described under (a)(2)(C)(v) without additional congressional action on that matter.

SEC. 1443. MEMORANDUM OF AGREEMENT.

  • Similar to the other security annexes between the 2 departments, within 1 year after the date of enactment of this Act, the Secretary of Transportation and the Secretary shall execute and develop an annex to the memorandum of agreement between the 2 departments signed on September 28, 2004, governing the specific roles, delineations of responsibilities, resources and commitments of the Department of Transportation and the Department of Homeland Security, respectively, in addressing motor carrier transportation security matters, including the processes the departments will follow to promote communications, efficiency, and nonduplication of effort.

SEC. 1444. HAZARDOUS MATERIALS SECURITY INSPECTIONS AND ENFORCEMENT.

  • (a) In General- The Secretary shall establish a program within the Transportation Security Administration, in consultation with the Secretary of Transportation, for reviewing hazardous materials security plans required under part 172, title 49, Code of Federal Regulations, within 180 days after the date of enactment of this Act. In establishing the program, the Secretary shall ensure that--

    • (1) the program does not subject carriers to unnecessarily duplicative reviews of their security plans by the 2 departments; and

    • (2) a common set of standards is used to review the security plans.

  • (b) Civil Penalty- The failure, by an offerer, carrier, or other person subject to part 172 of title 49, Code of Federal Regulations, to comply with any applicable section of that part within 180 days after being notified by the Secretary of such failure to comply, is punishable by a civil penalty imposed by the Secretary under title 49, United States Code. For purposes of this subsection, each day of noncompliance after the 181st day following the date on which the offerer, carrier, or other person received notice of the failure shall constitute a separate failure.

  • (c) Compliance Review- In reviewing the compliance of hazardous materials offerers, carriers, or other persons subject to part 172 of title 49, Code of Federal Regulations, with the provisions of that part, the Secretary shall utilize risk assessment methodologies to prioritize review and enforcement actions of the highest risk hazardous materials transportation operations.

  • (d) Transportation Costs Study- Within 1 year after the date of enactment of this Act, the Secretary of Transportation, in conjunction with the Secretary, shall study to what extent the insurance, security, and safety costs borne by railroad carriers, motor carriers, pipeline carriers, air carriers, and maritime carriers associated with the transportation of hazardous materials are reflected in the rates paid by offerers of such commodities as compared to the costs and rates respectively for the transportation of non-hazardous materials.

  • (e) Funding- There are authorized to be appropriated to the Secretary to carry out this section--

    • (1) $2,000,000 for fiscal year 2008;

    • (2) $2,000,000 for fiscal year 2009; and

    • (3) $2,000,000 for fiscal year 2010.

SEC. 1445. TRUCK SECURITY ASSESSMENT.

  • Not later than 1 year after the date of enactment of this Act, the Secretary, in consultation with the Secretary of Transportation, shall transmit to the Senate Committee on Commerce, Science, and Transportation, Senate Committee on Finance, the House of Representatives Committee on Transportation and Infrastructure, the House of Representatives Committee on Homeland Security, and the House of Representatives Committee on Ways and Means, a report on security issues related to the trucking industry that includes--

    • (1) an assessment of actions already taken to address identified security issues by both public and private entities;

    • (2) an assessment of the economic impact that security upgrades of trucks, truck equipment, or truck facilities may have on the trucking industry and its employees, including independent owner-operators;

    • (3) an assessment of ongoing research and the need for additional research on truck security;

    • (4) an assessment of industry best practices to enhance security; and

    • (5) an assessment of the current status of secure motor carrier parking.

SEC. 1446. NATIONAL PUBLIC SECTOR RESPONSE SYSTEM.

  • (a) Development- The Secretary, in conjunction with the Secretary of Transportation, shall consider the development of a national public sector response system to receive security alerts, emergency messages, and other information used to track the transportation of high hazard materials which can provide accurate, timely, and actionable information to appropriate first responder, law enforcement and public safety, and homeland security officials, as appropriate, regarding accidents, threats, thefts, or other safety and security risks or incidents. In considering the development of this system, they shall consult with law enforcement and public safety officials, hazardous material shippers, motor carriers, railroads, organizations representing hazardous material employees, State transportation and hazardous materials officials, private for-profit and non-profit emergency response organizations, and commercial motor vehicle and hazardous material safety groups. Consideration of development of the national public sector response system shall be based upon the public sector response center developed for the Transportation Security Administration hazardous material truck security pilot program and hazardous material safety and security operational field test undertaken by the Federal Motor Carrier Safety Administration.

  • (b) Capability- The national public sector response system to be considered shall be able to receive, as appropriate--

    • (1) negative driver verification alerts;

    • (2) out-of-route alerts;

    • (3) driver panic or emergency alerts; and

    • (4) tampering or release alerts.

  • (c) Characteristics- The national public sector response system to be considered shall--

    • (1) be an exception-based system;

    • (2) be integrated with other private and public sector operation reporting and response systems and all Federal homeland security threat analysis systems or centers (including the National Response Center); and

    • (3) provide users the ability to create rules for alert notification messages.

  • (d) Carrier Participation- The Secretary shall coordinate with motor carriers and railroads transporting high hazard materials, entities acting on their behalf who receive communication alerts from motor carriers or railroads, or other Federal agencies that receive security and emergency related notification regarding high hazard materials in transit to facilitate the provisions of the information listed in subsection (b) to the national public sector response system to the extent possible if the system is established.

  • (e) Data Privacy- The national public sector response system shall be designed to ensure appropriate protection of data and information relating to motor carriers, railroads, and employees.

  • (f) Report- Not later than 180 days after the date of enactment of this Act, the Secretary shall transmit to the Senate Committee on Commerce, Science, and Transportation, the House of Representatives Committee on Transportation and Infrastructure, and the House of Representatives Committee on Homeland Security a report on whether to establish a national public sector response system and the estimated total public and private sector costs to establish and annually operate such a system, together with any recommendations for generating private sector participation and investment in the development and operation of such a system.

  • (g) Funding- There are authorized to be appropriated to the Secretary to carry out this section--

    • (1) $1,000,000 for fiscal year 2008;

    • (2) $1,000,000 for fiscal year 2009; and

    • (3) $1,000,000 for fiscal year 2010.

SEC. 1447. OVER-THE-ROAD BUS SECURITY ASSISTANCE.

  • (a) In General- The Secretary shall establish a program within the Transportation Security Administration for making grants to private operators of over-the-road buses or over-the-road bus terminal operators for the purposes of emergency preparedness drills and exercises, protecting high risk/high consequence assets identified through system-wide risk assessment, counter-terrorism training, visible/unpredictable deterrence, public awareness and preparedness campaigns, and including--

    • (1) constructing and modifying terminals, garages, facilities, or over-the-road buses to assure their security;

    • (2) protecting or isolating the driver;

    • (3) acquiring, upgrading, installing, or operating equipment, software, or accessorial services for collection, storage, or exchange of passenger and driver information through ticketing systems or otherwise, and information links with government agencies;

    • (4) training employees in recognizing and responding to security risks, evacuation procedures, passenger screening procedures, and baggage inspection;

    • (5) hiring and training security officers;

    • (6) installing cameras and video surveillance equipment on over-the-road buses and at terminals, garages, and over-the-road bus facilities;

    • (7) creating a program for employee identification or background investigation;

    • (8) establishing and upgrading emergency communications tracking and control systems; and

    • (9) implementing and operating passenger screening programs at terminals and on over-the-road buses.

  • (b) Due Consideration- In making grants under this section, the Secretary shall give due consideration to private operators of over-the-road buses that have taken measures to enhance bus transportation security from those in effect before September 11, 2001, and shall prioritize grant funding based on the magnitude and severity of the security risks to bus passengers and the ability of the funded project to reduce, or respond to, that risk.

  • (c) Grant Requirements- A grant under this section shall be subject to all the terms and conditions that a grant is subject to under section 3038(f) of the Transportation Equity Act for the 21st Century (49 U.S.C. 5310 note; 112 Stat. 393).

  • (d) Plan Requirement-

    • (1) IN GENERAL- The Secretary may not make a grant under this section to a private operator of over-the-road buses until the operator has first submitted to the Secretary--

      • (A) a plan for making security improvements described in subsection (a) and the Secretary has reviewed or approved the plan; and

      • (B) such additional information as the Secretary may require to ensure accountability for the obligation and expenditure of amounts made available to the operator under the grant.

    • (2) COORDINATION- To the extent that an application for a grant under this section proposes security improvements within a specific terminal owned and operated by an entity other than the applicant, the applicant shall demonstrate to the satisfaction of the Secretary that the applicant has coordinated the security improvements for the terminal with that entity.

  • (e) Over-the-Road Bus Defined- In this section, the term `over-the-road bus' means a bus characterized by an elevated passenger deck located over a baggage compartment.

  • (f) Bus Security Assessment-

    • (1) IN GENERAL- Not later than 1 year after the date of enactment of this Act, the Secretary shall transmit to the Senate Committee on Commerce, Science, and Transportation, the House of Representatives Committee on Transportation and Infrastructure, and the House of Representatives Committee on Homeland Security a report in accordance with the requirements of this section.

    • (2) CONTENTS OF REPORT- The report shall include--

      • (A) an assessment of the over-the-road bus security grant program;

      • (B) an assessment of actions already taken to address identified security issues by both public and private entities and recommendations on whether additional safety and security enforcement actions are needed;

      • (C) an assessment of whether additional legislation is needed to provide for the security of Americans traveling on over-the-road buses;

      • (D) an assessment of the economic impact that security upgrades of buses and bus facilities may have on the over-the-road bus transportation industry and its employees;

      • (E) an assessment of ongoing research and the need for additional research on over-the-road bus security, including engine shut-off mechanisms, chemical and biological weapon detection technology, and the feasibility of compartmentalization of the driver;

      • (F) an assessment of industry best practices to enhance security; and

      • (G) an assessment of school bus security, if the Secretary deems it appropriate.

    • (3) CONSULTATION WITH INDUSTRY, LABOR, AND OTHER GROUPS- In carrying out this section, the Secretary shall consult with over-the-road bus management and labor representatives, public safety and law enforcement officials, and the National Academy of Sciences.

  • (g) Funding-

    • (1) IN GENERAL- There are authorized to be appropriated to the Secretary to carry out this section--

      • (A) $12,000,000 for fiscal year 2008;

      • (B) $25,000,000 for fiscal year 2009; and

      • (C) $25,000,000 for fiscal year 2010.

    • (2) AVAILABILITY OF APPROPRIATED FUNDS- Amounts appropriated pursuant to paragraph (1) shall remain available until expended.

SEC. 1448. PIPELINE SECURITY AND INCIDENT RECOVERY PLAN.

  • (a) In General- The Secretary, in consultation with the Secretary of Transportation and the Pipeline and Hazardous Materials Safety Administration, and in accordance with the Memorandum of Understanding Annex executed on August 9, 2006, shall develop a Pipeline Security and Incident Recovery Protocols Plan. The plan shall include--

    • (1) a plan for the Federal Government to provide increased security support to the most critical interstate and intrastate natural gas and hazardous liquid transmission pipeline infrastructure and operations as determined under section 1449--

      • (A) at severe security threat levels of alert; or

      • (B) when specific security threat information relating to such pipeline infrastructure or operations exists; and

    • (2) an incident recovery protocol plan, developed in conjunction with interstate and intrastate transmission and distribution pipeline operators and terminals and facilities operators connected to pipelines, to develop protocols to ensure the continued transportation of natural gas and hazardous liquids to essential markets and for essential public health or national defense uses in the event of an incident affecting the interstate and intrastate natural gas and hazardous liquid transmission and distribution pipeline system, which shall include protocols for granting access to pipeline operators for pipeline infrastructure repair, replacement or bypass following an incident.

  • (b) Existing Private and Public Sector Efforts- The plan shall take into account actions taken or planned by both private and public entities to address identified pipeline security issues and assess the effective integration of such actions.

  • (c) Consultation- In developing the plan under subsection (a), the Secretary shall consult with the Secretary of Transportation, interstate and intrastate transmission and distribution pipeline operators, pipeline labor, first responders, shippers, State pipeline safety agencies, public safety officials, and other relevant parties.

  • (d) Report-

    • (1) CONTENTS- Not later than 2 years after the date of enactment of this Act, the Secretary shall transmit to the Committee on Commerce, Science, and Transportation of the Senate, the Committee on Homeland Security of the House of Representatives, and the Committee on Transportation and Infrastructure of the House of Representatives a report containing the plan required by subsection (a), along with an estimate of the private and public sector costs to implement any recommendations.

    • (2) FORMAT- The Secretary may submit the report in both classified and redacted formats if the Secretary determines that such action is appropriate or necessary.

SEC. 1449. PIPELINE SECURITY INSPECTIONS AND ENFORCEMENT.

  • (a) In General- Within 1 year after the date of enactment of this Act, the Secretary, in consultation with the Secretary of Transportation, shall establish a program for reviewing pipeline operator adoption of recommendations in the September 5, 2002, Department of Transportation Research and Special Programs Administration Pipeline Security Information Circular, including the review of pipeline security plans and critical facility inspections.

  • (b) Review and Inspection- Within 9 months after the date of enactment of this Act, the Secretary and the Secretary of Transportation shall develop and implement a plan for reviewing the pipeline security plan and an inspection of the critical facilities of the 100 most critical pipeline operators covered by the September 5, 2002, circular, where such facilities have not been inspected for security purposes since September 5, 2002, by either the Department of Homeland Security or the Department of Transportation.

  • (c) Compliance Review Methodology- In reviewing pipeline operator compliance under subsections (a) and (b), risk assessment methodologies shall be used to prioritize risks and to target inspection and enforcement actions to the highest risk pipeline assets.

  • (d) Regulations- Within 1 year after the date of enactment of this Act, the Secretary and the Secretary of Transportation shall develop and transmit to pipeline operators security recommendations for natural gas and hazardous liquid pipelines and pipeline facilities. If the Secretary determines that regulations are appropriate, the Secretary shall consult with the Secretary of Transportation on the extent of risk and appropriate mitigation measures, and the Secretary or the Secretary of Transportation, consistent with the memorandum of understanding annex signed on August 9, 2006, shall promulgate such regulations and carry out necessary inspection and enforcement actions. Any regulations should incorporate the guidance provided to pipeline operators by the September 5, 2002, Department of Transportation Research and Special Programs Administration's Pipeline Security Information Circular and contain additional requirements as necessary based upon the results of the inspections performed under subsection (b). The regulations shall include the imposition of civil penalties for non-compliance.

  • (e) Funding- There are authorized to be appropriated to the Secretary to carry out this section--

    • (1) $2,000,000 for fiscal year 2008; and

    • (2) $2,000,000 for fiscal year 2009.

SEC. 1450. TECHNICAL CORRECTIONS.

  • Section 5103a of title 49, United States Code, is amended--

    • (1) by inserting `of Homeland Security' after `Secretary' each place it appears in subsections (a)(1), (d)(1)(b), and (e); and

    • (2) by redesignating subsection (h) as subsection (i), and inserting the following after subsection (g):

  • `(h) Relationship to Transportation Security Cards- Upon application, a State shall issue to an individual a license to operate a motor vehicle transporting in commerce a hazardous material without the security assessment required by this section, provided the individual meets all other applicable requirements for such a license, if the Secretary of Homeland Security has previously determined, under section 70105 of title 46, United States Code, that the individual does not pose a security risk.'.

SEC. 1451. CERTAIN PERSONNEL LIMITATIONS NOT TO APPLY.

  • Any statutory limitation on the number of employees in the Transportation Security Administration of the Department of Transportation, before or after its transfer to the Department of Homeland Security, does not apply to the extent that any such employees are responsible for implementing the provisions of this title.

SEC. 1452. MARITIME AND SURFACE TRANSPORTATION SECURITY USER FEE STUDY.

  • (a) In General- The Secretary of Homeland Security shall conduct a study of the need for, and feasibility of, establishing a system of maritime and surface transportation-related user fees that may be imposed and collected as a dedicated revenue source, on a temporary or continuing basis, to provide necessary funding for legitimate improvements to, and maintenance of, maritime and surface transportation security. In developing the study, the Secretary shall consult with maritime and surface transportation carriers, shippers, passengers, facility owners and operators, and other persons as determined by the Secretary. Not later than 1 year after the date of the enactment of this Act, the Secretary shall submit a report to the appropriate congressional committees that contains--

    • (1) the results of the study;

    • (2) an assessment of the annual sources of funding collected through maritime and surface transportation at ports of entry and a detailed description of the distribution and use of such funds, including the amount and percentage of such sources that are dedicated to improve and maintain security;

    • (3)(A) an assessment of the fees, charges, and standards imposed on United States ports, port terminal operators, shippers, carriers, and other persons who use United States ports of entry compared with the fees and charges imposed on Canadian and Mexican ports, Canadian and Mexican port terminal operators, shippers, carriers, and other persons who use Canadian or Mexican ports of entry; and

    • (B) an assessment of the impact of such fees, charges, and standards on the competitiveness of United States ports, port terminal operators, railroads, motor carriers, pipelines, other transportation modes, and shippers;

    • (4) an assessment of private efforts and investments to secure maritime and surface transportation modes, including those that are operational and those that are planned; and

    • (5) the Secretary's recommendations based upon the study, and an assessment of the consistency of such recommendations with the international obligations and commitments of the United States.

  • (b) Definitions- In this section:

    • (1) APPROPRIATE CONGRESSIONAL COMMITTEES- The term `appropriate congressional committees' has the meaning given that term by section 2(1) of the SAFE Port Act (6 U.S.C. 901(1)).

    • (2) PORT OF ENTRY- The term `port of entry' means any port or other facility through which foreign goods are permitted to enter the customs territory of a country under official supervision.

    • (3) MARITIME AND SURFACE TRANSPORTATION- The term `maritime and surface transportation' includes oceanborne, rail, and vehicular transportation.

SEC. 1453. DHS INSPECTOR GENERAL REPORT ON HIGHWAY WATCH GRANT PROGRAM.

  • Within 90 days after the date of enactment of this Act, the Inspector General of the Department of Homeland Security shall submit a report to the Senate Committee on Commerce, Science, and Transportation and Committee on Homeland Security and Governmental Affairs on the Trucking Security Grant Program for fiscal years 2004 and 2005 that--

    • (1) addresses the grant announcement, application, receipt, review, award, monitoring, and closeout processes; and

    • (2) states the amount obligated or expended under the program for fiscal years 2004 and 2005 for--

      • (A) infrastructure protection;

      • (B) training;

      • (C) equipment;

      • (D) educational materials;

      • (E) program administration;

      • (E) marketing; and

      • (F) other functions.

SEC. 1454. PROHIBITION OF ISSUANCE OF TRANSPORTATION SECURITY CARDS TO CONVICTED FELONS.

  • (a) In General- Section 70105 of title 46, United States Code, is amended--

    • (1) in subsection (b)(1), by striking `decides that the individual poses a security risk under subsection (c)' and inserting `determines under subsection (c) that the individual poses a security risk'; and

    • (2) in subsection (c), by amending paragraph (1) to read as follows:

    • `(1) DISQUALIFICATIONS-

      • `(A) PERMANENT DISQUALIFYING CRIMINAL OFFENSES- Except as provided under paragraph (2), an individual is permanently disqualified from being issued a biometric transportation security card under subsection (b) if the individual has been convicted, or found not guilty by reason of insanity, in a civilian or military jurisdiction of any of the following felonies:

        • `(i) Espionage or conspiracy to commit espionage.

        • `(ii) Sedition or conspiracy to commit sedition.

        • `(iii) Treason or conspiracy to commit treason.

        • `(iv) A Federal crime of terrorism (as defined in section 2332b(g) of title 18), a comparable State law, or conspiracy to commit such crime.

        • `(v) A crime involving a transportation security incident.

        • `(vi) Improper transportation of a hazardous material under section 5124 of title 49, or a comparable State law.

        • `(vii) Unlawful possession, use, sale, distribution, manufacture, purchase, receipt, transfer, shipping, transporting, import, export, storage of, or dealing in an explosive or explosive device. In this clause, an explosive or explosive device includes--

          • `(I) an explosive (as defined in sections 232(5) and 844(j) of title 18);

          • `(II) explosive materials (as defined in subsections (c) through (f) of section 841 of title 18); and

          • `(III) a destructive device (as defined in 921(a)(4) of title 18 and section 5845(f) of the Internal Revenue Code of 1986).

        • `(viii) Murder.

        • `(ix) Making any threat, or maliciously conveying false information knowing the same to be false, concerning the deliverance, placement, or detonation of an explosive or other lethal device in or against a place of public use, a State or other government facility, a public transportation system, or an infrastructure facility.

        • `(x) A violation of the Racketeer Influenced and Corrupt Organizations Act (18 U.S.C. 1961 et seq.), or a comparable State law, if 1 of the predicate acts found by a jury or admitted by the defendant consists of 1 of the crimes listed in this subparagraph.

        • `(xi) Attempt to commit any of the crimes listed in clauses (i) through (iv).

        • `(xii) Conspiracy or attempt to commit any of the crimes described in clauses (v) through (x).

      • `(B) INTERIM DISQUALIFYING CRIMINAL OFFENSES- Except as provided under paragraph (2), an individual is disqualified from being issued a biometric transportation security card under subsection (b) if the individual has been convicted, or found not guilty by reason of insanity, during the 7-year period ending on the date on which the individual applies for such card, or was released from incarceration during the 5-year period ending on the date on which the individual applies for such card, of any of the following felonies:

        • `(i) Unlawful possession, use, sale, manufacture, purchase, distribution, receipt, transfer, shipping, transporting, delivery, import, export of, or dealing in a firearm or other weapon. In this clause, a firearm or other weapon includes--

          • `(I) firearms (as defined in section 921(a)(3) of title 18 and section 5845(a) of the Internal Revenue Code of 1986); and

          • `(II) items contained on the United States Munitions Import List under section 447.21 of title 27, Code of Federal Regulations.

        • `(ii) Extortion.

        • `(iii) Dishonesty, fraud, or misrepresentation, including identity fraud and money laundering if the money laundering is related to a crime described in this subparagraph or subparagraph (A). In this clause, welfare fraud and passing bad checks do not constitute dishonesty, fraud, or misrepresentation.

        • `(iv) Bribery.

        • `(v) Smuggling.

        • `(vi) Immigration violations.

        • `(vii) Distribution of, possession with intent to distribute, or importation of a controlled substance.

        • `(viii) Arson.

        • `(ix) Kidnapping or hostage taking.

        • `(x) Rape or aggravated sexual abuse.

        • `(xi) Assault with intent to kill.

        • `(xii) Robbery.

        • `(xiii) Conspiracy or attempt to commit any of the crimes listed in this subparagraph.

        • `(xiv) Fraudulent entry into a seaport under section 1036 of title 18, or a comparable State law.

        • `(xv) A violation of the Racketeer Influenced and Corrupt Organizations Act (18 U.S.C. 1961 et seq.) or a comparable State law, other than any of the violations listed in subparagraph (A)(x).

      • `(C) UNDER WANT WARRANT, OR INDICTMENT- An applicant who is wanted, or under indictment, in any civilian or military jurisdiction for a felony listed in this paragraph, is disqualified from being issued a biometric transportation security card under subsection (b) until the want or warrant is released or the indictment is dismissed.

      • `(D) DETERMINATION OF ARREST STATUS-

        • `(i) IN GENERAL- If a fingerprint-based check discloses an arrest for a disqualifying crime listed in this section without indicating a disposition, the Transportation Security Administration shall notify the applicant of such disclosure and provide the applicant with instructions on how the applicant can clear the disposition, in accordance with clause (ii).

        • `(ii) BURDEN OF PROOF- In order to clear a disposition under this subparagraph, an applicant shall submit written proof to the Transportation Security Administration, not later than 60 days after receiving notification under clause (i), that the arrest did not result in conviction for the disqualifying criminal offense.

        • `(iii) NOTIFICATION OF DISQUALIFICATION- If the Transportation Security Administration does not receive proof in accordance with the Transportation Security Administration's procedures for waiver of criminal offenses and appeals, the Transportation Security Administration shall notify--

          • `(I) the applicant that he or she is disqualified from being issued a biometric transportation security card under subsection (b);

          • `(II) the State that the applicant is disqualified, in the case of a hazardous materials endorsement; and

          • `(III) the Coast Guard that the applicant is disqualified, if the applicant is a mariner.

      • `(E) OTHER POTENTIAL DISQUALIFICATIONS- Except as provided under subparagraphs (A) through (C), an individual may not be denied a transportation security card under subsection (b) unless the Secretary determines that individual--

        • `(i) has been convicted within the preceding 7-year period of a felony or found not guilty by reason of insanity of a felony--

          • `(I) that the Secretary believes could cause the individual to be a terrorism security risk to the United States; or

          • `(II) for causing a severe transportation security incident;

        • `(ii) has been released from incarceration within the preceding 5-year period for committing a felony described in clause (i);

        • `(iii) may be denied admission to the United States or removed from the United States under the Immigration and Nationality Act (8 U.S.C. 1101 et seq.); or

        • `(iv) otherwise poses a terrorism security risk to the United States.

      • `(F) MODIFICATION OF LISTED OFFENSES- The Secretary may, by rulemaking, add or modify the offenses described in paragraph (1)(A) or (B).'.

  • (b) Conforming Amendment- Section 70101 of title 49, United States Code, is amended--

    • (1) by redesignating paragraphs (2) through (6) as paragraphs (3) through (7); and

    • (2) by inserting after paragraph (1) the following:

    • `(2) The term `economic disruption' does not include a work stoppage or other employee-related action not related to terrorism and resulting from an employer-employee dispute.'.

SEC. 1455. PROHIBITION OF ISSUANCE OF TRANSPORTATION SECURITY CARDS TO CONVICTED FELONS.

  • (a) In General- Section 70105 of title 46, United States Code, is amended--

    • (1) in subsection (b)(1), by striking `decides that the individual poses a security risk under subsection (c)' and inserting `determines under subsection (c) that the individual poses a security risk'; and

    • (2) in subsection (c), by amending paragraph (1) to read as follows:

    • `(1) DISQUALIFICATIONS-

      • `(A) PERMANENT DISQUALIFYING CRIMINAL OFFENSES- Except as provided under paragraph (2), an individual is permanently disqualified from being issued a biometric transportation security card under subsection (b) if the individual has been convicted, or found not guilty by reason of insanity, in a civilian or military jurisdiction of any of the following felonies:

        • `(i) Espionage or conspiracy to commit espionage.

        • `(ii) Sedition or conspiracy to commit sedition.

        • `(iii) Treason or conspiracy to commit treason.

        • `(iv) A Federal crime of terrorism (as defined in section 2332b(g) of title 18), a comparable State law, or conspiracy to commit such crime.

        • `(v) A crime involving a transportation security incident.

        • `(vi) Improper transportation of a hazardous material under section 5124 of title 49, or a comparable State law.

        • `(vii) Unlawful possession, use, sale, distribution, manufacture, purchase, receipt, transfer, shipping, transporting, import, export, storage of, or dealing in an explosive or explosive device. In this clause, an explosive or explosive device includes--

          • `(I) an explosive (as defined in sections 232(5) and 844(j) of title 18);

          • `(II) explosive materials (as defined in subsections (c) through (f) of section 841 of title 18); and

          • `(III) a destructive device (as defined in 921(a)(4) of title 18 and section 5845(f) of the Internal Revenue Code of 1986).

        • `(viii) Murder.

        • `(ix) Making any threat, or maliciously conveying false information knowing the same to be false, concerning the deliverance, placement, or detonation of an explosive or other lethal device in or against a place of public use, a State or other government facility, a public transportation system, or an infrastructure facility.

        • `(x) A violation of the Racketeer Influenced and Corrupt Organizations Act (18 U.S.C. 1961 et seq.), or a comparable State law, if 1 of the predicate acts found by a jury or admitted by the defendant consists of 1 of the crimes listed in this subparagraph.

        • `(xi) Attempt to commit any of the crimes listed in clauses (i) through (iv).

        • `(xii) Conspiracy or attempt to commit any of the crimes described in clauses (v) through (x).

      • `(B) INTERIM DISQUALIFYING CRIMINAL OFFENSES- Except as provided under paragraph (2), an individual is disqualified from being issued a biometric transportation security card under subsection (b) if the individual has been convicted, or found not guilty by reason of insanity, during the 7-year period ending on the date on which the individual applies for such card, or was released from incarceration during the 5-year period ending on the date on which the individual applies for such card, of any of the following felonies:

        • `(i) Unlawful possession, use, sale, manufacture, purchase, distribution, receipt, transfer, shipping, transporting, delivery, import, export of, or dealing in a firearm or other weapon. In this clause, a firearm or other weapon includes--

          • `(I) firearms (as defined in section 921(a)(3) of title 18 and section 5845(a) of the Internal Revenue Code of 1986); and

          • `(II) items contained on the United States Munitions Import List under section 447.21 of title 27, Code of Federal Regulations.

        • `(ii) Extortion.

        • `(iii) Dishonesty, fraud, or misrepresentation, including identity fraud and money laundering if the money laundering is related to a crime described in this subparagraph or subparagraph (A). In this clause, welfare fraud and passing bad checks do not constitute dishonesty, fraud, or misrepresentation.

        • `(iv) Bribery.

        • `(v) Smuggling.

        • `(vi) Immigration violations.

        • `(vii) Distribution of, possession with intent to distribute, or importation of a controlled substance.

        • `(viii) Arson.

        • `(ix) Kidnapping or hostage taking.

        • `(x) Rape or aggravated sexual abuse.

        • `(xi) Assault with intent to kill.

        • `(xii) Robbery.

        • `(xiii) Conspiracy or attempt to commit any of the crimes listed in this subparagraph.

        • `(xiv) Fraudulent entry into a seaport under section 1036 of title 18, or a comparable State law.

        • `(xv) A violation of the Racketeer Influenced and Corrupt Organizations Act (18 U.S.C. 1961 et seq.) or a comparable State law, other than any of the violations listed in subparagraph (A)(x).

      • `(C) UNDER WANT WARRANT, OR INDICTMENT- An applicant who is wanted, or under indictment, in any civilian or military jurisdiction for a felony listed in this paragraph, is disqualified from being issued a biometric transportation security card under subsection (b) until the want or warrant is released or the indictment is dismissed.

      • `(D) DETERMINATION OF ARREST STATUS-

        • `(i) IN GENERAL- If a fingerprint-based check discloses an arrest for a disqualifying crime listed in this section without indicating a disposition, the Transportation Security Administration shall notify the applicant of such disclosure and provide the applicant with instructions on how the applicant can clear the disposition, in accordance with clause (ii).

        • `(ii) BURDEN OF PROOF- In order to clear a disposition under this subparagraph, an applicant shall submit written proof to the Transportation Security Administration, not later than 60 days after receiving notification under clause (i), that the arrest did not result in conviction for the disqualifying criminal offense.

        • `(iii) NOTIFICATION OF DISQUALIFICATION- If the Transportation Security Administration does not receive proof in accordance with the Transportation Security Administration's procedures for waiver of criminal offenses and appeals, the Transportation Security Administration shall notify--

          • `(I) the applicant that he or she is disqualified from being issued a biometric transportation security card under subsection (b);

          • `(II) the State that the applicant is disqualified, in the case of a hazardous materials endorsement; and

          • `(III) the Coast Guard that the applicant is disqualified, if the applicant is a mariner.

      • `(E) OTHER POTENTIAL DISQUALIFICATIONS- Except as provided under subparagraphs (A) through (C), an individual may not be denied a transportation security card under subsection (b) unless the Secretary determines that individual--

        • `(i) has been convicted within the preceding 7-year period of a felony or found not guilty by reason of insanity of a felony--

          • `(I) that the Secretary believes could cause the individual to be a terrorism security risk to the United States; or

          • `(II) for causing a severe transportation security incident;

        • `(ii) has been released from incarceration within the preceding 5-year period for committing a felony described in clause (i);

        • `(iii) may be denied admission to the United States or removed from the United States under the Immigration and Nationality Act (8 U.S.C. 1101 et seq.); or

        • `(iv) otherwise poses a terrorism security risk to the United States.

      • `(F) MODIFICATION OF LISTED OFFENSES- The Secretary may, by rulemaking, add to the offenses described in paragraph (1)(A) or (B).'.

  • (b) Conforming Amendment- Section 70101 of title 49, United States Code, is amended--

    • (1) by redesignating paragraphs (2) through (6) as paragraphs (3) through (7); and

    • (2) by inserting after paragraph (1) the following:

    • `(2) The term `economic disruption' does not include a work stoppage or other employee-related action not related to terrorism and resulting from an employer-employee dispute.'.

Subtitle B--Aviation Security Improvement

SEC. 1461. EXTENSION OF AUTHORIZATION FOR AVIATION SECURITY FUNDING.

  • Section 48301(a) of title 49, United States Code, is amended by striking `and 2006' and inserting `2006, 2007, 2008, and 2009'.

SEC. 1462. PASSENGER AIRCRAFT CARGO SCREENING.

  • (a) In General- Section 44901 of title 49, United States Code, is amended--

    • (1) by redesignating subsections (g) and (h) as subsections (h) and (i), respectively; and

    • (2) by inserting after subsection (f) the following:

  • `(g) Air Cargo on Passenger Aircraft-

    • `(1) IN GENERAL- Not later than 3 years after the date of enactment of the Transportation Security and Interoperable Communication Capabilities Act, the Secretary of Homeland Security, acting through the Administrator of the Transportation Security Administration, shall establish a system to screen all cargo transported on passenger aircraft operated by an air carrier or foreign air carrier in air transportation or intrastate air transportation to ensure the security of all such passenger aircraft carrying cargo.

    • `(2) MINIMUM STANDARDS- The system referred to in paragraph (1) shall require, at a minimum, that the equipment, technology, procedures, personnel, or other methods determined by the Administrator of the Transportation Security Administration, provide a level of security comparable to the level of security in effect for passenger checked baggage.

    • `(3) REGULATIONS-

      • `(A) INTERIM FINAL RULE- The Secretary of Homeland Security may issue an interim final rule as a temporary regulation to implement this subsection without regard to the provisions of chapter 5 of title 5.

      • `(B) FINAL RULE-

        • `(i) IN GENERAL- If the Secretary issues an interim final rule under subparagraph (A), the Secretary shall issue, not later than 1 year after the effective date of the interim final rule, a final rule as a permanent regulation to implement this subsection in accordance with the provisions of chapter 5 of title 5.

        • `(ii) FAILURE TO ACT- If the Secretary does not issue a final rule in accordance with clause (i) on or before the last day of the 1-year period referred to in clause (i), the Secretary shall submit a report to the Congress explaining why the final rule was not timely issued and providing an estimate of the earliest date on which the final rule will be issued. The Secretary shall submit the first such report within 10 days after such last day and submit a report to the Congress containing updated information every 60 days thereafter until the final rule is issued.

        • `(iii) SUPERSEDING OF INTERIM FINAL RULE- The final rule issued in accordance with this subparagraph shall supersede the interim final rule issued under subparagraph (A).

    • `(4) REPORT- Not later than 1 year after the date on which the system required by paragraph (1) is established, the Secretary shall transmit a report to Congress that details and explains the system.'.

  • (b) Assessment of Exemptions-

    • (1) TSA ASSESSMENT OF EXEMPTIONS-

      • (A) IN GENERAL- Not later than 180 days after the date of enactment of this Act, the Secretary of Homeland Security, through the Administrator of the Transportation Security Administration, shall submit a report to Congress and to the Comptroller General containing an assessment of each exemption granted under section 44901(i) of title 49, United States Code, for the screening required by section 44901(g)(1) of that title for cargo transported on passenger aircraft and an analysis to assess the risk of maintaining such exemption. The Secretary may submit the report in both classified and redacted formats if the Secretary determines that such action is appropriate or necessary.

      • (B) CONTENTS- The report shall include--

        • (i) the rationale for each exemption;

        • (ii) a statement of the percentage of cargo that is not screened as a result of each exemption;

        • (iii) the impact of each exemption on aviation security;

        • (iv) the projected impact on the flow of commerce of eliminating such exemption; and

        • (v) a statement of any plans, and the rationale, for maintaining, changing, or eliminating each exemption.

    • (2) GAO ASSESSMENT- Not later than 120 days after the date on which the report required under paragraph (1) is submitted, the Comptroller General shall review the report and provide to Congress an assessment of the methodology used for determinations made by the Secretary for maintaining, changing, or eliminating an exemption.

SEC. 1463. BLAST-RESISTANT CARGO CONTAINERS.

  • Section 44901 of title 49, United States Code, as amended by section 1462, is amended by adding at the end the following:

  • `(j) Blast-Resistant Cargo Containers-

    • `(1) IN GENERAL- Before January 1, 2008, the Administrator of the Transportation Security Administration shall--

      • `(A) evaluate the results of the blast-resistant cargo container pilot program instituted before the date of enactment of the Transportation Security and Interoperable Communication Capabilities Act;

      • `(B) based on that evaluation, begin the acquisition of a sufficient number of blast-resistant cargo containers to meet the requirements of the Transportation Security Administration's cargo security program under subsection (g); and

      • `(C) develop a system under which the Administrator--

        • `(i) will make such containers available for use by passenger aircraft operated by air carriers or foreign air carriers in air transportation or intrastate air transportation on a random or risk-assessment basis as determined by the Administrator, in sufficient number to enable the carriers to meet the requirements of the Administration's cargo security system; and

        • `(ii) provide for the storage, maintenance, and distribution of such containers.

    • `(2) DISTRIBUTION TO AIR CARRIERS- Within 90 days after the date on which the Administrator completes development of the system required by paragraph (1)(C), the Administrator of the Transportation Security Administration shall implement that system and begin making blast-resistant cargo containers available to such carriers as necessary.'.

SEC. 1464. PROTECTION OF AIR CARGO ON PASSENGER PLANES FROM EXPLOSIVES.

  • (a) Technology Research and Pilot Projects-

    • (1) RESEARCH AND DEVELOPMENT- The Secretary of Homeland Security shall expedite research and development for technology that can disrupt or prevent an explosive device from being introduced onto a passenger plane or from damaging a passenger plane while in flight or on the ground. The research shall include blast resistant cargo containers and other promising technology and will be used in concert with implementation of section 44901(j) of title 49, United States Code, as amended by section 1463 of this title.

    • (2) PILOT PROJECTS- The Secretary, in conjunction with the Secretary of Transportation, shall establish a grant program to fund pilot projects--

      • (A) to deploy technologies described in paragraph (1); and

      • (B) to test technology to expedite the recovery, development, and analysis of information from aircraft accidents to determine the cause of the accident, including deployable flight deck and voice recorders and remote location recording devices.

  • (b) Authorization of Appropriations- There are authorized to be appropriated to the Secretary of Homeland Security for fiscal year 2008 such sums as may be necessary to carry out this section, such funds to remain available until expended.

SEC. 1465. IN-LINE BAGGAGE SCREENING.

  • (a) Extension of Authorization- Section 44923(i)(1) of title 49, United States Code, is amended by striking `2007.' and inserting `2007, and $450,000,000 for each of fiscal years 2008 and 2009.'.

  • (b) Report- Within 30 days after the date of enactment of this Act, the Secretary of Homeland Security shall submit the report the Secretary was required by section 4019(d) of the Intelligence Reform and Terrorism Prevention Act of 2004 (49 U.S.C. 44901 note) to have submitted in conjunction with the submission of the budget for fiscal year 2006.

SEC. 1466. IN-LINE BAGGAGE SYSTEM DEPLOYMENT.

  • (a) In General- Section 44923 of title 49, United States Code, is amended--

    • (1) by striking `may' in subsection (a) and inserting `shall';

    • (2) by striking `may' in subsection (d)(1) and inserting `shall';

    • (3) by striking `2007' in subsection (h)(1) and inserting `2028';

    • (4) by striking paragraphs (2) and (3) of subsection (h) and inserting the following:

    • `(2) ALLOCATION- Of the amount made available under paragraph (1) for a fiscal year, not less than $200,000,000 shall be allocated to fulfill letters of intent issued under subsection (d).

    • `(3) DISCRETIONARY GRANTS- Of the amount made available under paragraph (1) for a fiscal year, up to $50,000,000 shall be used to make discretionary grants, with priority given to small hub airports and non-hub airports.'; and

    • (5) by redesignating subsection (i) as subsection (j), and inserting after subsection (h) the following:

  • `(i) Leveraged Funding- For purposes of this section, a grant under subsection (a) to an airport sponsor to service an obligation issued by or on behalf of that sponsor to fund a project described in subsection (a) shall be considered to be a grant for that project.'.

  • (b) Prioritization of Projects-

    • (1) IN GENERAL- The Administrator shall create a prioritization schedule for airport security improvement projects described in section 44923(b) of title 49, United States Code, based on risk and other relevant factors, to be funded under the grant program provided by that section. The schedule shall include both hub airports (as defined in section 41731(a)(3) of title 49, United States Code) and nonhub airports (as defined in section 41731(a)4) of title 49, United States Code).

    • (2) AIRPORTS THAT HAVE COMMENCED PROJECTS- The schedule shall include airports that have incurred eligible costs associated with development of partial in-line baggage systems before the date of enactment of this Act in reasonable anticipation of receiving a grant under section 44923 of title 49, United States Code, in reimbursement of those costs but that have not received such a grant.

    • (3) REPORT- Within 180 days after the date of enactment of this Act, the Administrator shall provide a copy of the prioritization schedule, a corresponding timeline, and a description of the funding allocation under section 44923 of title 49, United States Code, to the Senate Committee on Commerce, Science, and Transportation and the House of Representatives Committee on Homeland Security.

SEC. 1467. RESEARCH AND DEVELOPMENT OF AVIATION TRANSPORTATION SECURITY TECHNOLOGY.

  • Section 137(a) of the Aviation and Transportation Security Act (49 U.S.C. 44912 note) is amended--

    • (1) by striking `2002 through 2006,' and inserting `2006 through 2009,';

    • (2) by striking `aviation' and inserting `transportation'; and

    • (3) by striking `2002 and 2003' and inserting `2006 through 2009'.

SEC. 1468. CERTAIN TSA PERSONNEL LIMITATIONS NOT TO APPLY.

  • (a) In General- Notwithstanding any provision of law to the contrary, any statutory limitation on the number of employees in the Transportation Security Administration, before or after its transfer to the Department of Homeland Security from the Department of Transportation, does not apply after fiscal year 2007.

  • (b) Aviation Security- Notwithstanding any provision of law imposing a limitation on the recruiting or hiring of personnel into the Transportation Security Administration to a maximum number of permanent positions, the Secretary of Homeland Security shall recruit and hire such personnel into the Administration as may be necessary--

    • (1) to provide appropriate levels of aviation security; and

    • (2) to accomplish that goal in such a manner that the average aviation security-related delay experienced by airline passengers is reduced to a level of less than 10 minutes.

SEC. 1469. SPECIALIZED TRAINING.

  • The Administrator of the Transportation Security Administration shall provide advanced training to transportation security officers for the development of specialized security skills, including behavior observation and analysis, explosives detection, and document examination, in order to enhance the effectiveness of layered transportation security measures.

SEC. 1470. EXPLOSIVE DETECTION AT PASSENGER SCREENING CHECKPOINTS.

  • (a) In General- Within 90 days after the date of enactment of this Act, the Secretary of Homeland Security shall issue the strategic plan the Secretary was required by section 44925(a) of title 49, United States Code, to have issued within 90 days after the date of enactment of the Intelligence Reform and Terrorism Prevention Act of 2004.

  • (b) Deployment- Section 44925(b) of title 49, United States Code, is amended by adding at the end the following:

    • `(3) FULL DEPLOYMENT- The Secretary shall begin full implementation of the strategic plan within 1 year after the date of enactment of the Transportation Security and Interoperable Communication Capabilities Act.'.

SEC. 1471. APPEAL AND REDRESS PROCESS FOR PASSENGERS WRONGLY DELAYED OR PROHIBITED FROM BOARDING A FLIGHT.

  • (a) In General- Subtitle C of title IV of the Homeland Security Act of 2002 (6 U.S.C. 231 et seq.) is amended by adding at the end the following:

`SEC. 432. APPEAL AND REDRESS PROCESS FOR PASSENGERS WRONGLY DELAYED OR PROHIBITED FROM BOARDING A FLIGHT.

  • `(a) In General- The Secretary shall establish a timely and fair process for individuals who believe they have been delayed or prohibited from boarding a commercial aircraft because they were wrongly identified as a threat under the regimes utilized by the Transportation Security Administration, the Bureau of Customs and Border Protection, or any other Department entity.

  • `(b) Office of Appeals and Redress-

    • `(1) ESTABLISHMENT- The Secretary shall establish an Office of Appeals and Redress to implement, coordinate, and execute the process established by the Secretary pursuant to subsection (a). The Office shall include representatives from the Transportation Security Administration, U.S. Customs and Border Protection, and other agencies or offices as appropriate.

    • `(2) RECORDS- The process established by the Secretary pursuant to subsection (a) shall include the establishment of a method by which the Office of Appeals and Redress, under the direction of the Secretary, will be able to maintain a record of air carrier passengers and other individuals who have been misidentified and have corrected erroneous information.

    • `(3) INFORMATION- To prevent repeated delays of an misidentified passenger or other individual, the Office of Appeals and Redress shall--

      • `(A) ensure that the records maintained under this subsection contain information determined by the Secretary to authenticate the identity of such a passenger or individual;

      • `(B) furnish to the Transportation Security Administration, the Bureau of Customs and Border Protection, or any other appropriate Department entity, upon request, such information as may be necessary to allow such agencies to assist air carriers in improving their administration of the advanced passenger prescreening system and reduce the number of false positives; and

      • `(C) require air carriers and foreign air carriers take action to properly and automatically identify passengers determined, under the process established under subsection (a), to have been wrongly identified.'.

  • (b) Clerical Amendment- The table of contents in section 1(b) of the Homeland Security Act of 2002 is amended by inserting after the item relating to section 431 the following:

    • `Sec. 432. Appeal and redress process for passengers wrongly delayed or prohibited from boarding a flight'.

SEC. 1472. STRATEGIC PLAN TO TEST AND IMPLEMENT ADVANCED PASSENGER PRESCREENING SYSTEM.

  • (a) In General- Not later than 180 days after the date of enactment of this Act, the Secretary of Homeland Security, in consultation with the Administrator of the Transportation Security Administration, shall submit to the Congress a plan that--

    • (1) describes the system to be utilized by the Department of Homeland Security to assume the performance of comparing passenger information, as defined by the Administrator of the Transportation Security Administration, to the automatic selectee and no-fly lists, as well as the consolidated and integrated terrorist watchlist maintained by the Federal Government;

    • (2) provides a projected timeline for each phase of testing and implementation of the system;

    • (3) explains how the system will be integrated with the prescreening system for passengers on international flights; and

    • (4) describes how the system complies with section 552a of title 5, United States Code.

  • (b) GAO Assessment- No later than 90 days after the date of enactment of this Act, the Comptroller General shall submit a report to the Senate Committee on Commerce, Science, and Transportation and the House Committee on Homeland Security that--

    • (1) describes the progress made by the Transportation Security Administration in implementing the Secure Flight passenger pre-screening program;

    • (2) describes the effectiveness of the current appeals process for passengers wrongly assigned to the no-fly and terrorist watch lists;

    • (3) describes the Transportation Security Administration's plan to protect private passenger information and progress made in integrating the system with the pre-screening program for international flights operated by the Bureau of Customs and Border Protection;

    • (4) provides a realistic determination of when the system will be completed; and

    • (5) includes any other relevant observations or recommendations the Comptroller General deems appropriate.

SEC. 1473. REPAIR STATION SECURITY.

  • (a) Certification of Foreign Repair Stations Suspension- If the regulations required by section 44924(f) of title 49, United States Code, are not issued within 90 days after the date of enactment of this Act, the Administrator of the Federal Aviation Administration may not certify any foreign repair station under part 145 of title 14, Code of Federal Regulations, after such 90th day unless the station was previously certified by the Administration under that part.

  • (b) 6-Month Deadline for Security Review and Audit- Subsections (a) and (d) of section 44924 of title 49, United States Code, are each amended by striking `18 months' and inserting `6 months'.

SEC. 1474. GENERAL AVIATION SECURITY.

  • Section 44901 of title 49, United States Code, as amended by section 1463, is amended by adding at the end the following:

  • `(k) General Aviation Airport Security Program-

    • `(1) IN GENERAL- Within 1 year after the date of enactment of the Transportation Security and Interoperable Communication Capabilities Act, the Administrator of the Transportation Security Administration shall--

      • `(A) develop a standardized threat and vulnerability assessment program for general aviation airports (as defined in section 47134(m)); and

      • `(B) implement a program to perform such assessments on a risk-assessment basis at general aviation airports.

    • `(2) GRANT PROGRAM- Within 6 months after date of enactment of the Transportation Security and Interoperable Communication Capabilities Act, the Administrator shall initiate and complete a study of the feasibility of a program, based on a risk-managed approach, to provide grants to general aviation airport operators for projects to upgrade security at general aviation airports (as defined in section 47134(m)). If the Administrator determines that such a program is feasible, the Administrator shall establish such a program.

    • `(3) APPLICATION TO FOREIGN-REGISTERED GENERAL AVIATION AIRCRAFT- Within 180 days after the date of enactment of the Transportation Security and Interoperable Communication Capabilities Act, the Administrator shall develop a risk-based system under which--

      • `(A) foreign-registered general aviation aircraft, as identified by the Administrator, in coordination with the Administrator of the Federal Aviation Administration, are required to submit passenger information at the same time as, and in conjunction with, advance notification requirements for Customs and Border Protection before entering United States airspace; and

      • `(B) such information is checked against appropriate databases maintained by the Transportation Security Administration.

    • `(4) AUTHORIZATION OF APPROPRIATIONS- There are authorized to be appropriated to the Secretary of Homeland Security such sums as may be necessary to carry out any program established under paragraph (2).'.

SEC. 1475. SECURITY CREDENTIALS FOR AIRLINE CREWS.

  • Within 180 days after the date of enactment of this Act, the Administrator of the Transportation Security Administration shall, after consultation with airline, airport, and flight crew representatives, transmit a report to the Senate Committee on Commerce, Science, and Transportation and the House of Representatives Committee on Transportation and Infrastructure on the status of its efforts to institute a sterile area access system or method that will enhance security by properly identifying authorized airline flight deck and cabin crew members at screening checkpoints and granting them expedited access through screening checkpoints. The Administrator shall include in the report recommendations on the feasibility of implementing the system for the domestic aviation industry beginning 1 year after the date on which the report is submitted. The Administrator shall begin full implementation of the system or method not later than 1 year after the date on which the Administrator transmits the report.

SEC. 1476. NATIONAL EXPLOSIVES DETECTION CANINE TEAM TRAINING CENTER.

  • (a) In General-

    • (1) INCREASED TRAINING CAPACITY- Within 180 days after the date of enactment of this Act, the Secretary of Homeland Security shall begin to increase the capacity of the Department of Homeland Security's National Explosives Detection Canine Team Program at Lackland Air Force Base to accommodate the training of up to 200 canine teams annually by the end of calendar year 2008.

    • (2) EXPANSION DETAILED REQUIREMENTS- The expansion shall include upgrading existing facilities, procurement of additional canines, and increasing staffing and oversight commensurate with the increased training and deployment capabilities required by paragraph (1).

    • (3) ULTIMATE EXPANSION- The Secretary shall continue to increase the training capacity and all other necessary program expansions so that by December 31, 2009, the number of canine teams sufficient to meet the Secretary's homeland security mission, as determined by the Secretary on an annual basis, may be trained at this facility.

  • (b) ALTERNATIVE TRAINING CENTERS- Based on feasibility and to meet the ongoing demand for quality explosives detection canines teams, the Secretary shall explore the options of creating the following:

    • (1) A standardized Transportation Security Administration approved canine program that private sector entities could use to provide training for additional explosives detection canine teams. For any such program, the Secretary--

      • (A) may coordinate with key stakeholders, including international, Federal, State, local, private sector and academic entities, to develop best practice guidelines for such a standardized program;

      • (B) shall require specific training criteria to which private sector entities must adhere as a condition of participating in the program; and

      • (C) shall review the status of these private sector programs on at least an annual basis.

    • (2) Expansion of explosives detection canine team training to at least 2 additional national training centers, to be modeled after the Center of Excellence established at Lackland Air Force Base.

  • (c) DEPLOYMENT- The Secretary--

    • (1) shall use the additional explosives detection canine teams as part of the Department's layers of enhanced mobile security across the Nation's transportation network and to support other homeland security programs, as deemed appropriate by the Secretary; and

    • (2) may make available explosives detection canine teams to all modes of transportation, for areas of high risk or to address specific threats, on an as-needed basis and as otherwise deemed appropriate by the Secretary.

SEC. 1477. LAW ENFORCEMENT BIOMETRIC CREDENTIAL.

  • (a) IN GENERAL- Paragraph (6) of section 44903(h) of title 49, United States Code, is amended to read as follows:

    • `(6) Use of biometric technology for armed law enforcement travel-

      • `(A) IN GENERAL- Not later than 1 year after the date of enactment of the Improving America's Security Act of 2007, the Secretary of Homeland Security shall--

        • `(i) consult with the Attorney General concerning implementation of this paragraph;

        • `(ii) issue any necessary rulemaking to implement this paragraph; and

        • `(iii) establishing a national registered armed law enforcement program for law enforcement officers needing to be armed when traveling by air.

      • `(B) PROGRAM REQUIREMENTS- The program shall--

        • `(i) establish a credential or a system that incorporates biometric technology and other applicable technologies;

        • `(ii) provide a flexible solution for law enforcement officers who need to be armed when traveling by air on a regular basis and for those who need to be armed during temporary travel assignments;

        • `(iii) be coordinated with other uniform credentialing initiatives including the Homeland Security Presidential Directive 12;

        • `(iv) be applicable for all Federal, State, local, tribal and territorial government law enforcement agencies; and

        • `(v) establish a process by which the travel credential or system may be used to verify the identity, using biometric technology, of a Federal, State, local, tribal, or territorial law enforcement officer seeking to carry a weapon on board an aircraft, without unnecessarily disclosing to the public that the individual is a law enforcement officer.

      • `(C) PROCEDURES- In establishing the program, the Secretary shall develop procedures--

        • `(i) to ensure that only Federal, State, local, tribal, and territorial government law enforcement officers with a specific need to be armed when traveling by air are issued a law enforcement travel credential;

        • `(ii) to preserve the anonymity of the armed law enforcement officer without calling undue attention to the individual's identity;

        • `(iii) to resolve failures to enroll, false matches, and false non-matches relating to use of the law enforcement travel credential or system; and

        • `(iv) to invalidate any law enforcement travel credential or system that is lost, stolen, or no longer authorized for use.'.

  • (b) REPORT- Within 180 days after implementing the national registered armed law enforcement program required by section 44903(h)(6) of title 49, United States Code, the Secretary of Homeland Security shall transmit a report to the Senate Committee on Commerce, Science, and Transportation. If the Secretary has not implemented the program within 180 days after the date of enactment of this Act, the Secretary shall issue a report to the Committee within 180 days explaining the reasons for the failure to implement the program within the time required by that section, and a further report within each successive 180-day period until the program is implemented explaining the reasons for such further delays in implementation until the program is implemented. The Secretary shall submit each report required by this subsection in classified format.

SEC. 1478. EMPLOYEE RETENTION INTERNSHIP PROGRAM.

  • The Assistant Secretary of Homeland Security (Transportation Security Administration), shall establish a pilot program at a small hub airport, a medium hub airport, and a large hub airport (as those terms are defined in paragraphs (42), (31), and (29), respectively, of section 40102 of title 49, United States Code) for training students to perform screening of passengers and property under section 44901 of title 49, United States Code. The program shall be an internship for pre-employment training of final-year students from public and private secondary schools located in nearby communities. Under the program, participants shall perform only those security responsibilities determined to be appropriate for their age and in accordance with applicable law and shall be compensated for training and services time while participating in the program.

SEC. 1479. PILOT PROJECT TO REDUCE THE NUMBER OF TRANSPORTATION SECURITY OFFICERS AT AIRPORT EXIT LANES.

  • (a) In General- The Administrator of the Transportation Security Administration (referred to in this section as the `Administrator') shall conduct a pilot program to identify technological solutions for reducing the number of Transportation Security Administration employees at airport exit lanes.

  • (b) Program Components- In conducting the pilot program under this section, the Administrator shall--

    • (1) utilize different technologies that protect the integrity of the airport exit lanes from unauthorized entry; and

    • (2) work with airport officials to deploy such technologies in multiple configurations at a selected airport or airports at which some of the exits are not co-located with a screening checkpoint.

  • (c) Reports-

    • (1) INITIAL BRIEFING- Not later than 180 days after the enactment of this Act, the Administrator shall conduct a briefing to the congressional committees set forth in paragraph (3) that describes--

      • (A) the airports selected to participate in the pilot program;

      • (B) the potential savings from implementing the technologies at selected airport exits;

      • (C) the types of configurations expected to be deployed at such airports; and

      • (D) the expected financial contribution from each airport.

    • (2) FINAL REPORT- Not later than 1 year after the technologies are deployed at the airports participating in the pilot program, the Administrator shall submit a final report to the congressional committees described in paragraph (3) that describes--

      • (A) the security measures deployed;

      • (B) the projected cost savings; and

      • (C) the efficacy of the program and its applicability to other airports in the United States.

    • (3) CONGRESSIONAL COMMITTEES- The reports required under this subsection shall be submitted to--

      • (A) the Committee on Commerce, Science, and Transportation of the Senate;

      • (B) the Committee on Appropriations of the Senate;

      • (C) the Committee on Homeland Security and Governmental Affairs of the Senate;

      • (D) the Committee on Homeland Security of the House of Representatives; and

      • (E) the Committee on Appropriations of the House of Representatives.

  • (d) Use of Existing Funds- Provisions contained within this section will be executed using existing funds.

Subtitle C--Interoperable Emergency Communications

SEC. 1481. INTEROPERABLE EMERGENCY COMMUNICATIONS.

  • (a) In General- Section 3006 of Public Law 109-171 (47 U.S.C. 309 note) is amended--

    • (1) by striking paragraphs (1) and (2) of subsection (a) and inserting the following:

    • `(1) may take such administrative action as is necessary to establish and implement a grant program to assist public safety agencies--

      • `(A) in conducting statewide or regional planning and coordination to improve the interoperability of emergency communications;

      • `(B) in supporting the design and engineering of interoperable emergency communications systems;

      • `(C) in supporting the acquisition or deployment of interoperable communications equipment, software, or systems that improve or advance the interoperability with public safety communications systems;

      • `(D) in obtaining technical assistance and conducting training exercises related to the use of interoperable emergency communications equipment and systems; and

      • `(E) in establishing and implementing a strategic technology reserve to pre-position or secure interoperable communications in advance for immediate deployment in an emergency or major disaster (as defined in section 102(2) of Public Law 93-288 (42 U.S.C. 5122)); and

    • `(2) shall make payments of not to exceed $1,000,000,000, in the aggregate, through fiscal year 2010 from the Digital Television Transition and Public Safety Fund established under section 309(j)(8)(E) of the Communications Act of 1934 (47 U.S.C. 309(j)(8)(E)) to carry out the grant program established under paragraph (1), of which not more than $100,000,000, in the aggregate, may be allocated for grants under paragraph (1)(E).';

    • (2) by redesignating subsections (b), (c), and (d) as subsections (l), (m), and (n), respectively, and inserting after subsection (a) the following:

  • `(b) Expedited Implementation- Pursuant to section 4 of the Call Home Act of 2006, no less than $1,000,000,000 shall be awarded for grants under subsection (a) no later than September 30, 2007, subject to the receipt of qualified applications as determined by the Assistant Secretary.

  • `(c) Allocation of Funds- In awarding grants under subparagraphs (A) through (D) of subsection (a)(1), the Assistant Secretary shall ensure that grant awards--

    • `(1) result in distributions to public safety entities among the several States that are consistent with section 1014(c)(3) of the USA PATRIOT ACT (42 U.S.C. 3714(c)(3)); and

    • `(2) are prioritized based upon threat and risk factors that reflect an all-hazards approach to communications preparedness and that takes into account the risks associated with, and the likelihood of the occurrence of, terrorist attacks or natural catastrophes (including, but not limited to, hurricanes, tornados, storms, high water, winddriven water, tidal waves, tsunami, earthquakes, volcanic eruptions, landslides, mudslides, snow and ice storms, forest fires, or droughts) in a State.

  • `(d) Eligibility- To be eligible for assistance under the grant program established under subsection (a), an applicant shall submit an application, at such time, in such form, and containing such information as the Assistant Secretary may require, including--

    • `(1) a detailed explanation of how assistance received under the program would be used to improve regional, State, or local communications interoperability and ensure interoperability with other appropriate public safety agencies in an emergency or a major disaster; and

    • `(2) assurance that the equipment and system would--

      • `(A) be compatible with the communications architecture developed under section 7303(a)(1)(E) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(a)(1)(E));

      • `(B) meet any voluntary consensus standards developed under section 7303(a)(1)(D) of that Act (6 U.S.C. 194(a)(1)(D)) to the extent that such standards exist for a given category of equipment; and

      • `(C) be consistent with the common grant guidance established under section 7303(a)(1)(H) of that Act (6 U.S.C. 194(a)(1)(H)).

  • `(e) Criteria for Certain Grants- In awarding grants under subparagraphs (A) through (D) of subsection (a)(1), the Assistant Secretary shall ensure that all grants funded are consistent with Federal grant guidance established by the SAFECOM Program within the Department of Homeland Security.

  • `(f) Criteria for Strategic Technology Reserve Grants-

    • `(1) IN GENERAL- In awarding grants under subsection (a)(1)(E), the Assistant Secretary shall consider the continuing technological evolution of communications technologies and devices, with its implicit risk of obsolescence, and shall ensure, to the maximum extent feasible, that a substantial part of the reserve involves prenegotiated contracts and other arrangements for rapid deployment of equipment, supplies, and systems (and communications service related to such equipment, supplies, and systems), rather than the warehousing or storage of equipment and supplies currently available at the time the reserve is established.

    • `(2) REQUIREMENTS AND CHARACTERISTICS- A reserve established under paragraph (1) shall--

      • `(A) be capable of re-establishing communications when existing infrastructure is damaged or destroyed in an emergency or a major disaster;

      • `(B) include appropriate current, widely-used equipment, such as Land Mobile Radio Systems, cellular telephones and satellite-enabled equipment (and related communications service), Cells-On-Wheels, Cells-On-Light-Trucks, or other self-contained mobile cell sites that can be towed, backup batteries, generators, fuel, and computers;

      • `(C) include equipment on hand for the Governor of each State, key emergency response officials, and appropriate State or local personnel;

      • `(D) include contracts (including prenegotiated contracts) for rapid delivery of the most current technology available from commercial sources; and

      • `(E) include arrangements for training to ensure that personnel are familiar with the operation of the equipment and devices to be delivered pursuant to such contracts.

    • `(3) ADDITIONAL CHARACTERISTICS- Portions of the reserve may be virtual and may include items donated on an in-kind contribution basis.

    • `(4) CONSULTATION- In developing the reserve, the Assistant Secretary shall seek advice from the Secretary of Defense and the Secretary of Homeland Security, as well as national public safety organizations, emergency managers, State, local, and tribal governments, and commercial providers of such systems and equipment.

    • `(5) ALLOCATION AND USE OF FUNDS- The Assistant Secretary shall allocate--

      • `(A) a portion of the reserve's funds for block grants to States to enable each State to establish a strategic technology reserve within its borders in a secure location to allow immediate deployment; and

      • `(B) a portion of the reserve's funds for regional Federal strategic technology reserves to facilitate any Federal response when necessary, to be held in each of the Federal Emergency Management Agency's regional offices, including Boston, Massachusetts (Region 1), New York, New York (Region 2), Philadelphia, Pennsylvania (Region 3), Atlanta, Georgia (Region 4), Chicago, Illinois (Region 5), Denton, Texas (Region 6), Kansas City, Missouri (Region 7), Denver, Colorado (Region 8), Oakland, California (Region 9), Bothell, Washington (Region 10), and each of the noncontiguous States for immediate deployment.

  • `(g) Voluntary Consensus Standards- In carrying out this section, the Assistant Secretary, in cooperation with the Secretary of Homeland Security shall identify and, if necessary, encourage the development and implementation of, voluntary consensus standards for interoperable communications systems to the greatest extent practicable, but shall not require any such standard.

  • `(h) Use of Economy Act- In implementing the grant program established under subsection (a)(1), the Assistant Secretary may seek assistance from other Federal agencies in accordance with section 1535 of title 31, United States Code.

  • `(i) Inspector General Report- Beginning with the first fiscal year beginning after the date of enactment of the Transportation Security and Interoperable Communication Capabilities Act, the Inspector General of the Department of Commerce shall conduct an annual assessment of the management of the grant program implemented under subsection (a)(1) and transmit a report containing the findings of that assessment and any recommendations related thereto to the Senate Committee on Commerce, Science, and Transportation and the House of Representatives Committee on Energy and Commerce.

  • `(j) Deadline for Implementation Program Rules- Within 90 days after the date of enactment of the Transportation Security and Interoperable Communication Capabilities Act, the Assistant Secretary, in consultation with the Secretary of Homeland Security and the Federal Communications Commission, shall promulgate final program rules for the implementation of this section.

  • `(k) Rule of Construction- Nothing in this section shall be construed or interpreted to preclude the use of funds under this section by any public safety agency for interim or long-term Internet Protocol-based interoperable solutions, notwithstanding compliance with the Project 25 standard.'; and

    • (3) by striking paragraph (3) of subsection (n), as so redesignated.

  • (b) FCC Report on Emergency Communications Back-up System-

    • (1) IN GENERAL- Not later than 1 year after the date of enactment of this Act, the Federal Communications Commission, in coordination with the Assistant Secretary of Commerce for Communications and Information and the Secretary of Homeland Security, shall evaluate the technical feasibility of creating a back-up emergency communications system that complements existing communications resources and takes into account next generation and advanced telecommunications technologies. The overriding objective for the evaluation shall be providing a framework for the development of a resilient interoperable communications system for emergency responders in an emergency. The Commission shall evaluate all reasonable options, including satellites, wireless, and terrestrial-based communications systems and other alternative transport mechanisms that can be used in tandem with existing technologies.

    • (2) FACTORS TO BE EVALUATED- The evaluation under paragraph (1) shall include--

      • (A) a survey of all Federal agencies that use terrestrial or satellite technology for communications security and an evaluation of the feasibility of using existing systems for the purpose of creating such an emergency back-up public safety communications system;

      • (B) the feasibility of using private satellite, wireless, or terrestrial networks for emergency communications;

      • (C) the technical options, cost, and deployment methods of software, equipment, handsets or desktop communications devices for public safety entities in major urban areas, and nationwide; and

      • (D) the feasibility and cost of necessary changes to the network operations center of terrestrial-based or satellite systems to enable the centers to serve as emergency back-up communications systems.

    • (3) REPORT- Upon the completion of the evaluation under subsection (a), the Commission shall submit a report to Congress that details the findings of the evaluation, including a full inventory of existing public and private resources most efficiently capable of providing emergency communications.

  • (c) Joint Advisory Committee on Communications Capabilities of Emergency Medical Care Facilities-

    • (1) ESTABLISHMENT- The Assistant Secretary of Commerce for Communications and Information and the Chairman of Federal Communications Commission, in consultation with the Secretary of Homeland Security and the Secretary of Health and Human Services, shall establish a joint advisory committee to examine the communications capabilities and needs of emergency medical care facilities. The joint advisory committee shall be composed of individuals with expertise in communications technologies and emergency medical care, including representatives of Federal, State and local governments, industry and non-profit health organizations, and academia and educational institutions.

    • (2) DUTIES- The joint advisory committee shall--

      • (A) assess specific communications capabilities and needs of emergency medical care facilities, including the including improvement of basic voice, data, and broadband capabilities;

      • (B) assess options to accommodate growth of basic and emerging communications services used by emergency medical care facilities;

      • (C) assess options to improve integration of communications systems used by emergency medical care facilities with existing or future emergency communications networks; and

      • (D) report its findings to the Senate Committee on Commerce, Science, and Transportation and the House of Representatives Committee on Energy and Commerce, within 6 months after the date of enactment of this Act.

  • (d) Authorization of Emergency Medical Communications Pilot Projects-

    • (1) IN GENERAL- The Assistant Secretary of Commerce for Communications and Information may establish not more than 10 geographically dispersed project grants to emergency medical care facilities to improve the capabilities of emergency communications systems in emergency medical care facilities.

    • (2) MAXIMUM AMOUNT- The Assistant Secretary may not provide more than $2,000,000 in Federal assistance under the pilot program to any applicant.

    • (3) COST SHARING- The Assistant Secretary may not provide more than 50 percent of the cost, incurred during the period of the grant, of any project under the pilot program.

    • (4) MAXIMUM PERIOD OF GRANTS- The Assistant Secretary may not fund any applicant under the pilot program for more than 3 years.

    • (5) DEPLOYMENT AND DISTRIBUTION- The Assistant Secretary shall seek to the maximum extent practicable to ensure a broad geographic distribution of project sites.

    • (6) TRANSFER OF INFORMATION AND KNOWLEDGE- The Assistant Secretary shall establish mechanisms to ensure that the information and knowledge gained by participants in the pilot program are transferred among the pilot program participants and to other interested parties, including other applicants that submitted applications.

SEC. 1482. RULE OF CONSTRUCTION.

  • (a) In General- Title VI of the Post-Katrina Emergency Management Reform Act of 2006 (Public Law 109-295) is amended by adding at the end the following:

`SEC. 699B. RULE OF CONSTRUCTION.

  • `Nothing in this title, including the amendments made by this title, may be construed to reduce or otherwise limit the authority of the Department of Commerce or the Federal Communications Commission.'.

  • (b) Effective Date- The amendment made by this section shall take effect as though enacted as part of the Department of Homeland Security Appropriations Act, 2007.

SEC. 1483. CROSS BORDER INTEROPERABILITY REPORTS.

  • (a) In General- Not later than 90 days after the date of enactment of this Act, the Federal Communications Commission, in conjunction with the Department of Homeland Security, the Office of Management of Budget, and the Department of State shall report to the Senate Committee on Commerce, Science, and Transportation and the House of Representatives Committee on Energy and Commerce on--

    • (1) the status of the mechanism established by the President under section 7303(c) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 194(c)) for coordinating cross border interoperability issues between--

      • (A) the United States and Canada; and

      • (B) the United States and Mexico;

    • (2) the status of treaty negotiations with Canada and Mexico regarding the coordination of the re-banding of 800 megahertz radios, as required under the final rule of the Federal Communication Commission in the `Private Land Mobile Services; 800 MHz Public Safety Interface Proceeding' (WT Docket No. 02-55; ET Docket No. 00-258; ET Docket No. 95-18, RM-9498; RM-10024; FCC 04-168,) including the status of any outstanding issues in the negotiations between--

      • (A) the United States and Canada; and

      • (B) the United States and Mexico;

    • (3) communications between the Commission and the Department of State over possible amendments to the bilateral legal agreements and protocols that govern the coordination process for license applications seeking to use channels and frequencies above Line A;

    • (4) the annual rejection rate for the last 5 years by the United States of applications for new channels and frequencies by Canadian private and public entities; and

    • (5) any additional procedures and mechanisms that can be taken by the Commission to decrease the rejection rate for applications by United States private and public entities seeking licenses to use channels and frequencies above Line A.

  • (b) Updated Reports to Be Filed on the Status of Treaty of Negotiations- The Federal Communications Commission, in conjunction with the Department of Homeland Security, the Office of Management of Budget, and the Department of State shall continually provide updated reports to the Committee on Commerce, Science, and Transportation of the Senate and the Committee on Energy and Commerce of the House of Representatives on the status of treaty negotiations under subsection (a)(2) until the appropriate United States treaty has been revised with each of--

    • (1) Canada; and

    • (2) Mexico.

  • (c) International Negotiations To Remedy Situation- Not later than 90 days after the date of enactment of this Act, the Secretary of the Department of State shall report to Congress on--

    • (1) the current process for considering applications by Canada for frequencies and channels by United States communities above Line A;

    • (2) the status of current negotiations to reform and revise such process;

    • (3) the estimated date of conclusion for such negotiations;

    • (4) whether the current process allows for automatic denials or dismissals of initial applications by the Government of Canada, and whether such denials or dismissals are currently occurring; and

    • (5) communications between the Department of State and the Federal Communications Commission pursuant to subsection (a)(3).

SEC. 1484. EXTENSION OF SHORT QUORUM.

  • Notwithstanding section 4(d) of the Consumer Product Safety Act (15 U.S.C. 2053(d)), 2 members of the Consumer Product Safety Commission, if they are not affiliated with the same political party, shall constitute a quorum for the 6-month period beginning on the date of enactment of this Act.

SEC. 1485. REQUIRING REPORTS TO BE SUBMITTED TO CERTAIN COMMITTEES.

  • (a) SENATE COMMERCE, SCIENCE, AND TRANSPORTATION COMMITTEE- The Committee on Commerce, Science, and Transportation of the Senate shall receive the reports required by the following provisions of law in the same manner and to the same extent that the reports are to be received by the Committee on Homeland Security and Governmental Affairs of the Senate:

    • (1) Section 1016(j)(1) of the Intelligence Reform and Terrorist Prevention Act of 2004 (6 U.S.C. 485(j)(1)).

    • (2) Section 121(c) of this Act.

    • (3) Section 2002(d)(3) of the Homeland Security Act of 2002, as added by section 202 of this Act.

    • (4) Subsections (a) and (b)(5) of section 2009 of the Homeland Security Act of 2002, as added by section 202 of this Act.

    • (5) Section 302(d) of this Act.

    • (6) Section 7215(d) of the Intelligence Reform and Terrorism Prevention Act of 2004 (6 U.S.C. 123(d)).

    • (7) Section 7209(b)(1)(C) of the Intelligence Reform and Terrorism Prevention Act of 2004 (8 U.S.C. 1185 note).

    • (8) Section 604(c) of this Act.

    • (9) Section 806 of this Act.

    • (10) Section 903(d) of this Act.

    • (11) Section 510(a)(7) of the Homeland Security Act of 2002 (6 U.S.C. 320(a)(7)).

    • (12) Section 510(b)(7) of the Homeland Security Act of 2002 (6 U.S.C. 320(b)(7)).

    • (13) Section 1102(b) of this Act.

  • (b) SENATE COMMITTEE ON HOMELAND SECURITY AND GOVERNMENTAL AFFAIRS- The Committee on Homeland Security and Governmental Affairs of the Senate shall receive the reports required by the following provisions of law in the same manner and to the same extent that the reports are to be received by the Committee on Commerce, Science, and Transportation of the Senate:

    • (1) Section 1421(c) of this Act.

    • (2) Section 1423(f)(3)(A) of this Act.

    • (3) Section 1428 of this Act.

    • (4) Section 1429(d) of this Act.

    • (5) Section 114(v)(4)(A)(i) of title 49, United States Code.

    • (6) Section 1441(a)(7) of this Act.

    • (7) Section 1441(b)(2) of this Act.

    • (8) Section 1445 of this Act.

    • (9) Section 1446(f) of this Act.

    • (10) Section 1447(f)(1) of this Act.

    • (11) Section 1448(d)(1) of this Act.

    • (12) Section 1466(b)(3) of this Act.

    • (13) Section 1472(b) of this Act.

    • (14) Section 1475 of this Act.

    • (15) Section 3006(i) of the Digital Television Transition and Public Safety Act of 2005 (47 U.S.C. 309 note).

    • (16) Section 1481(c) of this Act.

    • (17) Subsections (a) and (b) of section 1483 of this Act.

TITLE XV--PUBLIC TRANSPORTATION TERRORISM PREVENTION

SEC. 1501. SHORT TITLE.

  • This title may be cited as the `Public Transportation Terrorism Prevention Act of 2007'.

SEC. 1502. FINDINGS.

  • Congress finds that--

    • (1) 182 public transportation systems throughout the world have been primary target of terrorist attacks;

    • (2) more than 6,000 public transportation agencies operate in the United States;

    • (3) people use public transportation vehicles 33,000,000 times each day;

    • (4) the Federal Transit Administration has invested $84,800,000,000 since 1992 for construction and improvements;

    • (5) the Federal Government appropriately invested nearly $24,000,000,000 in fiscal years 2002 through 2006 to protect our Nation's aviation system;

    • (6) the Federal Government has allocated $386,000,000 in fiscal years 2003 through 2006 to protect public transportation systems in the United States; and

    • (7) the Federal Government has invested $7.53 in aviation security improvements per passenger boarding, but only $0.008 in public transportation security improvements per passenger boarding.

SEC. 1503. SECURITY ASSESSMENTS.

  • (a) Public Transportation Security Assessments-

    • (1) SUBMISSION- Not later than 30 days after the date of the enactment of this Act, the Federal Transit Administration of the Department of Transportation shall submit all public transportation security assessments and all other relevant information to the Secretary.

    • (2) REVIEW- Not later than July 31, 2007, the Secretary shall review and augment the security assessments received under paragraph (1).

    • (3) ALLOCATIONS- The Secretary shall use the security assessments received under paragraph (1) as the basis for allocating grant funds under section 1504, unless the Secretary notifies the Committee on Banking, Housing, and Urban Affairs of the Senate that the Secretary has determined an adjustment is necessary to respond to an urgent threat or other significant factors.

    • (4) SECURITY IMPROVEMENT PRIORITIES- Not later than September 30, 2007, the Secretary, after consultation with the management and employee representatives of each public transportation system for which a security assessment has been received under paragraph (1) and with appropriate State and local officials, shall establish security improvement priorities that will be used by public transportation agencies for any funding provided under section 1504.

    • (5) UPDATES- Not later than July 31, 2008, and annually thereafter, the Secretary shall--

      • (A) update the security assessments referred to in this subsection; and

      • (B) conduct security assessments of all public transportation agencies considered to be at greatest risk of a terrorist attack.

  • (b) Use of Security Assessment Information- The Secretary shall use the information collected under subsection (a)--

    • (1) to establish the process for developing security guidelines for public transportation security; and

    • (2) to design a security improvement strategy that--

      • (A) minimizes terrorist threats to public transportation systems; and

      • (B) maximizes the efforts of public transportation systems to mitigate damage from terrorist attacks.

  • (c) Bus and Rural Public Transportation Systems- Not later than July 31, 2007, the Secretary shall conduct security assessments, appropriate to the size and nature of each system, to determine the specific needs of--

    • (1) local bus-only public transportation systems; and

    • (2) selected public transportation systems that receive funds under section 5311 of title 49, United States Code.

SEC. 1504. SECURITY ASSISTANCE GRANTS.

  • (a) Capital Security Assistance Program-

    • (1) IN GENERAL- The Secretary shall award grants directly to public transportation agencies for allowable capital security improvements based on the priorities established under section 1503(a)(4).

    • (2) ALLOWABLE USE OF FUNDS- Grants awarded under paragraph (1) may be used for--

      • (A) tunnel protection systems;

      • (B) perimeter protection systems;

      • (C) redundant critical operations control systems;

      • (D) chemical, biological, radiological, or explosive detection systems;

      • (E) surveillance equipment;

      • (F) communications equipment;

      • (G) emergency response equipment;

      • (H) fire suppression and decontamination equipment;

      • (I) global positioning or automated vehicle locator type system equipment;

      • (J) evacuation improvements; and

      • (K) other capital security improvements.

  • (b) Operational Security Assistance Program-

    • (1) IN GENERAL- The Secretary shall award grants directly to public transportation agencies for allowable operational security improvements based on the priorities established under section 1503(a)(4).

    • (2) ALLOWABLE USE OF FUNDS- Grants awarded under paragraph (1) may be used for--

      • (A) security training for public transportation employees, including bus and rail operators, mechanics, customer service, maintenance employees, transit police, and security personnel;

      • (B) live or simulated drills;

      • (C) public awareness campaigns for enhanced public transportation security;

      • (D) canine patrols for chemical, biological, or explosives detection;

      • (E) overtime reimbursement for enhanced security personnel during significant national and international public events, consistent with the priorities established under section 1503(a)(4); and

      • (F) other appropriate security improvements identified under section 1503(a)(4), excluding routine, ongoing personnel costs.

  • (c) Coordination With State Homeland Security Plans- In establishing security improvement priorities under section 1503(a)(4) and in awarding grants for capital security improvements and operational security improvements under subsections (a) and (b), respectively, the Secretary shall ensure that the actions of the Secretary are consistent with relevant State homeland security plans.

  • (d) Multi-State Transportation Systems- In cases where a public transportation system operates in more than 1 State, the Secretary shall give appropriate consideration to the risks of the entire system, including those portions of the States into which the system crosses, in establishing security improvement priorities under section 1503(a)(4), and in awarding grants for capital security improvements and operational security improvements under subsections (a) and (b), respectively.

  • (e) Congressional Notification- Not later than 3 days before the award of any grant under this section, the Secretary shall notify the Committee on Homeland Security and Governmental Affairs and the Committee on Banking, Housing, and Urban Affairs of the Senate of the intent to award such grant.

  • (f) Public Transportation Agency Responsibilities- Each public transportation agency that receives a grant under this section shall--

    • (1) identify a security coordinator to coordinate security improvements;

    • (2) develop a comprehensive plan that demonstrates the agency's capacity for operating and maintaining the equipment purchased under this section; and

    • (3) report annually to the Secretary on the use of grant funds received under this section.

  • (g) Return of Misspent Grant Funds- If the Secretary determines that a grantee used any portion of the grant funds received under this section for a purpose other than the allowable uses specified for that grant under this section, the grantee shall return any amount so used to the Treasury of the United States.

SEC. 1505. PUBLIC TRANSPORTATION SECURITY TRAINING PROGRAM.

  • (a) In General- Not later than 90 days after the date of enactment of this section, the Secretary, in consultation with appropriate law enforcement, security, and terrorism experts, representatives of public transportation owners and operators, and nonprofit employee organizations that represent public transportation workers, shall develop and issue detailed regulations for a public transportation worker security training program to prepare public transportation workers, including front-line transit employees such as bus and rail operators, mechanics, customer service employees, maintenance employees, transit police, and security personnel, for potential threat conditions.

  • (b) Program Elements- The regulations developed under subsection (a) shall require such a program to include, at a minimum, elements that address the following:

    • (1) Determination of the seriousness of any occurrence.

    • (2) Crew and passenger communication and coordination.

    • (3) Appropriate responses to defend oneself.

    • (4) Use of protective devices.

    • (5) Evacuation procedures (including passengers, workers, the elderly and those with disabilities).

    • (6) Psychology of terrorists to cope with hijacker behavior and passenger responses.

    • (7) Live situational training exercises regarding various threat conditions, including tunnel evacuation procedures.

    • (8) Any other subject the Secretary considers appropriate.

  • (c) Required Programs-

    • (1) IN GENERAL- Not later than 90 days after the Secretary issues regulations under subsection (a) in final form, each public transportation system that receives a grant under this title shall develop a public transportation worker security training program in accordance with those regulations and submit it to the Secretary for approval.

    • (2) APPROVAL- Not later than 30 days after receiving a public transportation system's program under paragraph (1), the Secretary shall review the program and approve it or require the public transportation system to make any revisions the Secretary considers necessary for the program to meet the regulations requirements. A public transit agency shall respond to the Secretary's comments within 30 days after receiving them.

  • (d) Training-

    • (1) IN GENERAL- Not later than 1 year after the Secretary approves the training program developed by a public transportation system under subsection (c), the public transportation system owner or operator shall complete the training of all public transportation workers in accordance with that program.

    • (2) REPORT- The Secretary shall review implementation of the training program of a representative sample of public transportation systems and report to the Senate Committee on Banking, Housing and Urban Affairs, House of Representatives Committee on Transportation and Infrastructure, the Senate Homeland Security and Government Affairs Committee and the House of Representatives Committee on Homeland Security, on the number of reviews conducted and the results. The Secretary may submit the report in both classified and redacted formats as necessary.

  • (e) Updates-

    • (1) IN GENERAL- The Secretary shall update the training regulations issued under subsection (a) from time to time to reflect new or different security threats, and require public transportation systems to revise their programs accordingly and provide additional training to their workers.

    • (2) PROGRAM REVISIONS- Each public transit operator shall revise their program in accordance with any regulations under paragraph (1) and provide additional training to their front-line workers within a reasonable time after the regulations are updated.

SEC. 1506. INTELLIGENCE SHARING.

  • (a) Intelligence Sharing- The Secretary shall ensure that the Department of Transportation receives appropriate and timely notification of all credible terrorist threats against public transportation assets in the United States.

  • (b) Information Sharing Analysis Center-

    • (1) ESTABLISHMENT- The Secretary shall provide sufficient financial assistance for the reasonable costs of the Information Sharing and Analysis Center for Public Transportation (referred to in this subsection as the `ISAC') established pursuant to Presidential Directive 63, to protect critical infrastructure.

    • (2) PUBLIC TRANSPORTATION AGENCY PARTICIPATION- The Secretary--

      • (A) shall require those public transportation agencies that the Secretary determines to be at significant risk of terrorist attack to participate in the ISAC;

      • (B) shall encourage all other public transportation agencies to participate in the ISAC; and

      • (C) shall not charge a fee to any public transportation agency for participating in the ISAC.

SEC. 1507. RESEARCH, DEVELOPMENT, AND DEMONSTRATION GRANTS AND CONTRACTS.

  • (a) Grants and Contracts Authorized- The Secretary, through the Homeland Security Advanced Research Projects Agency in the Science and Technology Directorate and in consultation with the Federal Transit Administration, shall award grants or contracts to public or private entities to conduct research into, and demonstrate technologies and methods to reduce and deter terrorist threats or mitigate damages resulting from terrorist attacks against public transportation systems.

  • (b) Use of Funds- Grants or contracts awarded under subsection (a)--

    • (1) shall be coordinated with Homeland Security Advanced Research Projects Agency activities; and

    • (2) may be used to--

      • (A) research chemical, biological, radiological, or explosive detection systems that do not significantly impede passenger access;

      • (B) research imaging technologies;

      • (C) conduct product evaluations and testing; and

      • (D) research other technologies or methods for reducing or deterring terrorist attacks against public transportation systems, or mitigating damage from such attacks.

  • (c) Reporting Requirement- Each entity that is awarded a grant or contract under this section shall report annually to the Department on the use of grant or contract funds received under this section.

  • (d) Return of Misspent Grant or Contract Funds- If the Secretary determines that a grantee or contractor used any portion of the grant or contract funds received under this section for a purpose other than the allowable uses specified under subsection (b), the grantee or contractor shall return any amount so used to the Treasury of the United States.

SEC. 1508. REPORTING REQUIREMENTS.

  • (a) Semi-Annual Report to Congress-

    • (1) IN GENERAL- Not later than March 31 and September 30 each year, the Secretary shall submit a report, containing the information described in paragraph (2), to--

      • (A) the Committee on Banking, Housing, and Urban Affairs of the Senate;

      • (B) the Committee on Homeland Security and Governmental Affairs of the Senate; and

      • (C) the Committee on Appropriations of the Senate.

    • (2) CONTENTS- The report submitted under paragraph (1) shall include--

      • (A) a description of the implementation of the provisions of sections 1503 through 1506;

      • (B) the amount of funds appropriated to carry out the provisions of each of sections 1503 through 1506 that have not been expended or obligated; and

      • (C) the state of public transportation security in the United States.

  • (b) Annual Report to Governors-

    • (1) IN GENERAL- Not later than March 31 of each year, the Secretary shall submit a report to the Governor of each State with a public transportation agency that has received a grant under this title.

    • (2) CONTENTS- The report submitted under paragraph (1) shall specify--

      • (A) the amount of grant funds distributed to each such public transportation agency; and

      • (B) the use of such grant funds.

SEC. 1509. AUTHORIZATION OF APPROPRIATIONS.

  • (a) Capital Security Assistance Program- There are authorized to be appropriated to carry out the provisions of section 1504(a) and remain available until expended--

    • (1) such sums as are necessary in fiscal year 2007;

    • (2) $536,000,000 for fiscal year 2008;

    • (3) $772,000,000 for fiscal year 2009; and

    • (4) $1,062,000,000 for fiscal year 2010.

  • (b) Operational Security Assistance Program- There are authorized to be appropriated to carry out the provisions of section 1504(b)--

    • (1) such sums as are necessary in fiscal year 2007;

    • (2) $534,000,000 for fiscal year 2008;

    • (3) $333,000,000 for fiscal year 2009; and

    • (4) $133,000,000 for fiscal year 2010.

  • (c) Intelligence- There are authorized to be appropriated such sums as may be necessary to carry out the provisions of section 1505.

  • (d) Research- There are authorized to be appropriated to carry out the provisions of section 1507 and remain available until expended--

    • (1) such sums as are necessary in fiscal year 2007;

    • (2) $30,000,000 for fiscal year 2008;

    • (3) $45,000,000 for fiscal year 2009; and

    • (4) $55,000,000 for fiscal year 2010.

SEC. 1510. SUNSET PROVISION.

  • The authority to make grants under this title shall expire on October 1, 2011.

TITLE XVI--MISCELLANEOUS PROVISIONS

SEC. 1601. DEPUTY SECRETARY OF HOMELAND SECRETARY FOR MANAGEMENT.

  • (a) Establishment and Succession- Section 103 of the Homeland Security Act of 2002 (6 U.S.C. 113) is amended--

    • (1) in subsection (a)--

      • (A) in the subsection heading, by striking `Deputy Secretary' and inserting `Deputy Secretaries';

      • (B) by striking paragraph (6);

      • (C) by redesignating paragraphs (2) through (5) as paragraphs (3) through (6), respectively; and

      • (D) by striking paragraph (1) and inserting the following:

    • `(1) A Deputy Secretary of Homeland Security.

    • `(2) A Deputy Secretary of Homeland Security for Management.'; and

    • (2) by adding at the end the following:

  • `(g) Vacancies-

    • `(1) VACANCY IN OFFICE OF SECRETARY-

      • `(A) DEPUTY SECRETARY- In case of a vacancy in the office of the Secretary, or of the absence or disability of the Secretary, the Deputy Secretary of Homeland Security may exercise all the duties of that office, and for the purpose of section 3345 of title 5, United States Code, the Deputy Secretary of Homeland Security is the first assistant to the Secretary.

      • `(B) DEPUTY SECRETARY FOR MANAGEMENT- When by reason of absence, disability, or vacancy in office, neither the Secretary nor the Deputy Secretary of Homeland Security is available to exercise the duties of the office of the Secretary, the Deputy Secretary of Homeland Security for Management shall act as Secretary.

    • `(2) VACANCY IN OFFICE OF DEPUTY SECRETARY- In the case of a vacancy in the office of the Deputy Secretary of Homeland Security, or of the absence or disability of the Deputy Secretary of Homeland Security, the Deputy Secretary of Homeland Security for Management may exercise all the duties of that office.

    • `(3) FURTHER ORDER OF SUCCESSION- The Secretary may designate such other officers of the Department in further order of succession to act as Secretary.'.

  • (b) Responsibilities- Section 701 of the Homeland Security Act of 2002 (6 U.S.C. 341) is amended--

    • (1) in the section heading, by striking `under secretary' and inserting `deputy secretary of homeland security';

    • (2) in subsection (a)--

      • (A) by inserting `The Deputy Secretary of Homeland Security for Management shall serve as the Chief Management Officer and principal advisor to the Secretary on matters related to the management of the Department, including management integration and transformation in support of homeland security operations and programs.' before `The Secretary';

      • (B) by striking `Under Secretary for Management' and inserting `Deputy Secretary of Homeland Security for Management';

      • (C) by striking paragraph (7) and inserting the following:

    • `(7) Strategic planning and annual performance planning and identification and tracking of performance measures relating to the responsibilities of the Department.'; and

      • (D) by striking paragraph (9), and inserting the following:

    • `(9) The integration and transformation process, to ensure an efficient and orderly consolidation of functions and personnel to the Department, including the development of a management integration strategy for the Department.'; and

    • (3) in subsection (b)--

      • (A) in paragraph (1), by striking `Under Secretary for Management' and inserting `Deputy Secretary of Homeland Security for Management'; and

      • (B) in paragraph (2), by striking `Under Secretary for Management' and inserting `Deputy Secretary of Homeland Security for Management'.

  • (c) Appointment, Evaluation, and Reappointment- Section 701 of the Homeland Security Act of 2002 (6 U.S.C. 341) is amended by adding at the end the following:

  • `(c) Appointment, Evaluation, and Reappointment- The Deputy Secretary of Homeland Security for Management--

    • `(1) shall be appointed by the President, by and with the advice and consent of the Senate, from among persons who have--

      • `(A) extensive executive level leadership and management experience in the public or private sector;

      • `(B) strong leadership skills;

      • `(C) a demonstrated ability to manage large and complex organizations; and

      • `(D) a proven record in achieving positive operational results;

    • `(2) shall--

      • `(A) serve for a term of 5 years; and

      • `(B) be subject to removal by the President if the President--

        • `(i) finds that the performance of the Deputy Secretary of Homeland Security for Management is unsatisfactory; and

        • `(ii) communicates the reasons for removing the Deputy Secretary of Homeland Security for Management to Congress before such removal;

    • `(3) may be reappointed in accordance with paragraph (1), if the Secretary has made a satisfactory determination under paragraph (5) for the 3 most recent performance years;

    • `(4) shall enter into an annual performance agreement with the Secretary that shall set forth measurable individual and organizational goals; and

    • `(5) shall be subject to an annual performance evaluation by the Secretary, who shall determine as part of each such evaluation whether the Deputy Secretary of Homeland Security for Management has made satisfactory progress toward achieving the goals set out in the performance agreement required under paragraph (4).'.

  • (d) Incumbent- The individual who serves in the position of Under Secretary for Management of the Department of Homeland Security on the date of enactment of this Act--

    • (1) may perform all the duties of the Deputy Secretary of Homeland Security for Management at the pleasure of the President, until a Deputy Secretary of Homeland Security for Management is appointed in accordance with subsection (c) of section 701 of the Homeland Security Act of 2002 (6 U.S.C. 341), as added by this Act; and

    • (2) may be appointed Deputy Secretary of Homeland Security for Management, if such appointment is otherwise in accordance with sections 103 and 701 of the Homeland Security Act of 2002 (6 U.S.C. 113 and 341), as amended by this Act.

  • (e) References- References in any other Federal law, Executive order, rule, regulation, or delegation of authority, or any document of or relating to the Under Secretary for Management of the Department of Homeland Security shall be deemed to refer to the Deputy Secretary of Homeland Security for Management.

  • (f) Technical and Conforming Amendments-

    • (1) OTHER REFERENCE- Section 702(a) of the Homeland Security Act of 2002 (6 U.S.C. 342(a)) is amended by striking `Under Secretary for Management' and inserting `Deputy Secretary of Homeland Security for Management'.

    • (2) TABLE OF CONTENTS- The table of contents in section 1(b) of the Homeland Security Act of 2002 (6 U.S.C. 101(b)) is amended by striking the item relating to section 701 and inserting the following:

    • `Sec. 701. Deputy Secretary of Homeland Security for Management.'.

    • (3) EXECUTIVE SCHEDULE- Section 5313 of title 5, United States Code, is amended by inserting after the item relating to the Deputy Secretary of Homeland Security the following:

    • `Deputy Secretary of Homeland Security for Management.'.

SEC. 1602. SENSE OF THE SENATE REGARDING COMBATING DOMESTIC RADICALIZATION.

  • (a) Findings- The Senate finds the following:

    • (1) The United States is engaged in a struggle against a transnational terrorist movement of radical extremists seeking to exploit the religion of Islam through violent means to achieve ideological ends.

    • (2) The radical jihadist movement transcends borders and has been identified as a potential threat within the United States.

    • (3) Radicalization has been identified as a precursor to terrorism.

    • (4) Countering the threat of violent extremists domestically, as well as internationally, is a critical element of the plan of the United States for success in the war on terror.

    • (5) United States law enforcement agencies have identified radicalization as an emerging threat and have in recent years identified cases of `homegrown' extremists operating inside the United States with the intent to provide support for, or directly commit, a terrorist attack.

    • (6) The alienation of Muslim populations in the Western world has been identified as a factor in the spread of radicalization.

    • (7) Radicalization cannot be prevented solely through law enforcement and intelligence measures.

  • (b) Sense of Senate- It is the sense of the Senate that the Secretary, in consultation with other relevant Federal agencies, should make a priority of countering domestic radicalization and extremism by--

    • (1) using intelligence analysts and other experts to better understand the process of radicalization from sympathizer to activist to terrorist;

    • (2) recruiting employees with diverse worldviews, skills, languages, and cultural backgrounds and expertise;

    • (3) consulting with experts to ensure that the lexicon used within public statements is precise and appropriate and does not aid extremists by offending the American Muslim community;

    • (4) developing and implementing, in concert with the Attorney General and State and local corrections officials, a program to address prisoner radicalization and post-sentence reintegration;

    • (5) pursuing broader avenues of dialogue with the Muslim community to foster mutual respect, understanding, and trust; and

    • (6) working directly with State, local, and community leaders to--

      • (A) educate these leaders on the threat of radicalization and the necessity of taking preventative action at the local level; and

      • (B) facilitate the sharing of best practices from other countries and communities to encourage outreach to the American Muslim community and develop partnerships between all faiths, including Islam.

SEC. 1603. SENSE OF THE SENATE REGARDING OVERSIGHT OF HOMELAND SECURITY.

  • (a) Findings- The Senate finds the following:

    • (1) The Senate recognizes the importance and need to implement the recommendations offered by the National Commission on Terrorist Attacks Upon the United States (in this section referred to as the `Commission').

    • (2) Congress considered and passed the National Security Intelligence Reform Act of 2004 (Public Law 108-458; 118 Stat. 3643) to implement the recommendations of the Commission.

    • (3) Representatives of the Department testified at 165 Congressional hearings in calendar year 2004, and 166 Congressional hearings in calendar year 2005.

    • (4) The Department had 268 representatives testify before 15 committees and 35 subcommittees of the House of Representatives and 9 committees and 12 subcommittees of the Senate at 206 congressional hearings in calendar year 2006.

    • (5) The Senate has been unwilling to reform itself in accordance with the recommendation of the Commission to provide better and more streamlined oversight of the Department.

  • (b) Sense of Senate- It is the sense of the Senate that the Senate should implement the recommendation of the Commission to `create a single, principal point of oversight and review for homeland security.'.

SEC. 1604. REPORT REGARDING BORDER SECURITY.

  • (a) In General. Not later than 180 days after the date of enactment of this Act, the Secretary shall submit a report to Congress regarding ongoing initiatives of the Department to improve security along the northern border of the United States.

  • (b) Contents. The report submitted under sub-section (a) shall

    • (1) address the vulnerabilities along the northern border of the United States; and

    • (2) provide recommendations to address such vulnerabilities, including required resources needed to protect the northern border of the United States.

  • (c) Government Accountability Office. Not later than 270 days after the date of the submission of the report under subsection (a), the Comptroller General of the United States shall submit a report to Congress that--

    • (1) reviews and comments on the report under subsection (a); and

    • (2) provides recommendations regarding any additional actions necessary to protect the northern border of the United States.

SEC. 1605. LAW ENFORCEMENT ASSISTANCE FORCE.

  • (a) Establishment- The Secretary shall establish a Law Enforcement Assistance Force to facilitate the contributions of retired law enforcement officers and agents during major disasters.

  • (b) Eligible Participants- An individual may participate in the Law Enforcement Assistance Force if that individual--

    • (1) has experience working as an officer or agent for a public law enforcement agency and left that agency in good standing;

    • (2) holds current certifications for firearms, first aid, and such other skills determined necessary by the Secretary;

    • (3) submits to the Secretary an application, at such time, in such manner, and accompanied by such information as the Secretary may reasonably require, that authorizes the Secretary to review the law enforcement service record of that individual; and

    • (4) meets such other qualifications as the Secretary may require.

  • (c) Liability; Supervision- Each eligible participant shall, upon acceptance of an assignment under this section--

      • (A) be detailed to a Federal, State, or local government law enforcement agency; and

      • (B) work under the direct supervision of an officer or agent of that agency.

  • (d) Mobilization-

    • (1) IN GENERAL- In the event of a major disaster, the Secretary, after consultation with appropriate Federal, State, and local government law enforcement agencies, may request eligible participants to volunteer to assist the efforts of those agencies responding to such emergency and assign each willing participant to a specific law enforcement agency.

    • (2) ACCEPTANCE- If the eligible participant accepts an assignment under this subsection, that eligible participant shall agree to remain in such assignment for a period equal to not less than the shorter of--

      • (A) the period during which the law enforcement agency needs the services of such participant;

      • (B) 30 days;

      • (C) such other period of time agreed to between the Secretary and the eligible participant.

    • (3) REFUSAL- An eligible participant may refuse an assignment under this subsection without any adverse consequences.

  • (e) Expenses-

    • (1) IN GENERAL- Each eligible participant shall be allowed travel expenses, including per diem in lieu of subsistence, at rates authorized for employees of agencies under subchapter I of chapter 57 of title 5, United States Code, while carrying out an assignment under subsection (d).

    • (2) SOURCE OF FUNDS- Expenses incurred under paragraph (1) shall be paid from amounts appropriated to the Federal Emergency Management Agency.

  • (f) Termination of Assistance- The availability of eligible participants of the Law Enforcement Assistance Force shall continue for a period equal to the shorter of--

    • (1) the period of the major disaster; or

    • (2) 1 year.

  • (g) Definitions- In this section--

    • (1) the term `eligible participant' means an individual participating in the Law Enforcement Assistance Force;

    • (2) the term `Law Enforcement Assistance Force' means the Law Enforcement Assistance Force established under subsection (a); and

    • (3) the term `major disaster' has the meaning given that term in section 102 of the Robert T. Stafford Disaster Relief and Emergency Assistance Act (42 U.S.C. 5122).

  • (h) Authorization of Appropriations- There are authorized to be appropriated such sums as may be necessary to carry out this section.

SEC. 1606. QUADRENNIAL HOMELAND SECURITY REVIEW.

  • (a) In General-

    • (1) ESTABLISHMENT- Not later than the end of fiscal year 2008, the Secretary shall establish a national homeland security strategy.

    • (2) REVIEW- Four years after the establishment of the national homeland security strategy, and every 4 years thereafter, the Secretary shall conduct a comprehensive examination of the national homeland security strategy.

    • (3) SCOPE- In establishing or reviewing the national homeland security strategy under this subsection, the Secretary shall conduct a comprehensive examination of interagency cooperation, preparedness of Federal response assets, infrastructure, budget plan, and other elements of the homeland security program and policies of the United States with a view toward determining and expressing the homeland security strategy of the United States and establishing a homeland security program for the 20 years following that examination.

    • (4) REFERENCE- The establishment or review of the national homeland security strategy under this subsection shall be known as the `quadrennial homeland security review'.

    • (5) CONSULTATION- Each quadrennial homeland security review under this subsection shall be conducted in consultation with the Attorney General of the United States, the Secretary of State, the Secretary of Defense, the Secretary of Health and Human Services, and the Secretary of the Treasury.

  • (b) Contents of Review- Each quadrennial homeland security review shall--

    • (1) delineate a national homeland security strategy consistent with the most recent National Response Plan prepared under Homeland Security Presidential Directive-5 or any directive meant to replace or augment that directive;

    • (2) describe the interagency cooperation, preparedness of Federal response assets, infrastructure, budget plan, and other elements of the homeland security program and policies of the United States associated with the national homeland security strategy required to execute successfully the full range of missions called for in the national homeland security strategy delineated under paragraph (1); and

    • (3) identify--

      • (A) the budget plan required to provide sufficient resources to successfully execute the full range of missions called for in that national homeland security strategy at a low-to-moderate level of risk; and

      • (B) any additional resources required to achieve such a level of risk.

  • (c) Level of Risk- The assessment of the level of risk for purposes of subsection (b)(3) shall be conducted by the Director of National Intelligence.

  • (d) Reporting-

    • (1) IN GENERAL- The Secretary shall submit a report regarding each quadrennial homeland security review to Congress and shall make the report publicly available on the Internet. Each such report shall be submitted and made available on the Internet not later than September 30 of the year in which the review is conducted.

    • (2) CONTENTS OF REPORT- Each report submitted under paragraph (1) shall include--

      • (A) the results of the quadrennial homeland security review;

      • (B) the threats to the assumed or defined national homeland security interests of the United States that were examined for the purposes of the review and the scenarios developed in the examination of those threats;

      • (C) the status of cooperation among Federal agencies in the effort to promote national homeland security;

      • (D) the status of cooperation between the Federal Government and State governments in preparing for emergency response to threats to national homeland security; and

      • (E) any other matter the Secretary considers appropriate.

  • (e) Resource Plan-

  • Not later than 30 days after the date of enactment of this Act, the Secretary shall provide to Congress and make publicly available on the Internet a detailed resource plan specifying the estimated budget and number of staff members that will be required for preparation of the initial quadrennial homeland security review.

SEC. 1607. INTEGRATION OF DETECTION EQUIPMENT AND TECHNOLOGIES.

  • (a) In General- The Secretary shall have responsibility for ensuring that chemical, biological, radiological, and nuclear detection equipment and technologies are integrated as appropriate with other border security systems and detection technologies.

  • (b) Report- Not later than 6 months after the date of enactment of this Act, the Secretary shall submit a report to Congress that contains a plan to develop a departmental technology assessment process to determine and certify the technology readiness levels of chemical, biological, radiological, and nuclear detection technologies before the full deployment of such technologies within the United States.

TITLE XVII--911 MODERNIZATION

SEC. 1701. SHORT TITLE.

  • This title may be cited as the `911 Modernization Act'.

SEC. 1702. FUNDING FOR PROGRAM.

  • Section 3011 of Public Law 109-171 (47 U.S.C. 309 note) is amended--

    • (1) by striking `The' and inserting:

  • `(a) In General- The'; and

    • (2) by adding at the end the following:

  • `(b) Credit- The Assistant Secretary may borrow from the Treasury, upon enactment of this provision, such sums as necessary, but not to exceed $43,500,000 to implement this section. The Assistant Secretary shall reimburse the Treasury, without interest, as funds are deposited into the Digital Television Transition and Public Safety Fund.'.

SEC. 1703. NTIA COORDINATION OF E-911 IMPLEMENTATION.

  • Section 158(b)(4) of the National Telecommunications and Information Administration Organization Act (47 U.S.C. 942(b)(4)) is amended by adding at the end thereof the following: `Within 180 days after the date of enactment of the 911 Modernization Act, the Assistant Secretary and the Administrator shall jointly issue regulations updating the criteria to provide priority for public safety answering points not capable, as of the date of enactment of that Act, of receiving 911 calls.'.

TITLE XVIII--MODERNIZATION OF THE AMERICAN NATIONAL RED CROSS

SEC. 1801. SHORT TITLE.

  • This title may be cited as the `The American National Red Cross Governance Modernization Act of 2007'.

SEC. 1802. FINDINGS; SENSE OF CONGRESS.

  • (a) Findings- Congress makes the following findings:

    • (1) Substantive changes to the Congressional Charter of The American National Red Cross have not been made since 1947.

    • (2) In February 2006, the board of governors of The American National Red Cross (the `Board of Governors') commissioned an independent review and analysis of the Board of Governors' role, composition, size, relationship with management, governance relationship with chartered units of The American National Red Cross, and whistleblower and audit functions.

    • (3) In an October 2006 report of the Board of Governors, entitled `American Red Cross Governance for the 21st Century' (the `Governance Report'), the Board of Governors recommended changes to the Congressional Charter, bylaws, and other governing documents of The American National Red Cross to modernize and enhance the effectiveness of the Board of Governors and governance structure of The American National Red Cross.

    • (4) It is in the national interest to create a more efficient governance structure of The American National Red Cross and to enhance the Board of Governors' ability to support the critical mission of The American National Red Cross in the 21st century.

    • (5) It is in the national interest to clarify the role of the Board of Governors as a governance and strategic oversight board and for The American National Red Cross to amend its bylaws, consistent with the recommendations described in the Governance Report, to clarify the role of the Board of Governors and to outline the areas of its responsibility, including--

      • (A) reviewing and approving the mission statement for The American National Red Cross;

      • (B) approving and overseeing the corporation's strategic plan and maintaining strategic oversight of operational matters;

      • (C) selecting, evaluating, and determining the level of compensation of the corporation's chief executive officer;

      • (D) evaluating the performance and establishing the compensation of the senior leadership team and providing for management succession;

      • (E) overseeing the financial reporting and audit process, internal controls, and legal compliance;

      • (F) holding management accountable for performance;

      • (G) providing oversight of the financial stability of the corporation;

      • (H) ensuring the inclusiveness and diversity of the corporation;

      • (I) providing oversight of the protection of the brand of the corporation; and

      • (J) assisting with fundraising on behalf of the corporation.

    • (6)(A) The selection of members of the Board of Governors is a critical component of effective governance for The American National Red Cross, and, as such, it is in the national interest that The American National Red Cross amend its bylaws to provide a method of selection consistent with that described in the Governance Report.

    • (B) The new method of selection should replace the current process by which--

      • (i) 30 chartered unit-elected members of the Board of Governors are selected by a non-Board committee which includes 2 members of the Board of Governors and other individuals elected by the chartered units themselves;

      • (ii) 12 at-large members of the Board of Governors are nominated by a Board committee and elected by the Board of Governors; and

      • (iii) 8 members of the Board of Governors are appointed by the President of the United States.

    • (C) The new method of selection described in the Governance Report reflects the single category of members of the Board of Governors that will result from the implementation of this title:

      • (i) All Board members (except for the chairman of the Board of Governors) would be nominated by a single committee of the Board of Governors taking into account the criteria outlined in the Governance Report to assure the expertise, skills, and experience of a governing board.

      • (ii) The nominated members would be considered for approval by the full Board of Governors and then submitted to The American National Red Cross annual meeting of delegates for election, in keeping with the standard corporate practice whereby shareholders of a corporation elect members of a board of directors at its annual meeting.

    • (7) The United States Supreme Court held The American National Red Cross to be an instrumentality of the United States, and it is in the national interest that the Congressional Charter confirm that status and that any changes to the Congressional Charter do not affect the rights and obligations of The American National Red Cross to carry out its purposes.

    • (8) Given the role of The American National Red Cross in carrying out its services, programs, and activities, and meeting its various obligations, the effectiveness of The American National Red Cross will be promoted by the creation of an organizational ombudsman who--

      • (A) will be a neutral or impartial dispute resolution practitioner whose major function will be to provide confidential and informal assistance to the many internal and external stakeholders of The American National Red Cross;

      • (B) will report to the chief executive officer and the audit committee of the Board of Governors; and

      • (C) will have access to anyone and any documents in The American National Red Cross.

  • (b) Sense of Congress- It is the sense of Congress that--

    • (1) charitable organizations are an indispensable part of American society, but these organizations can only fulfill their important roles by maintaining the trust of the American public;

    • (2) trust is fostered by effective governance and transparency, which are the principal goals of the recommendations of the Board of Governors in the Governance Report and this title;

    • (3) Federal and State action play an important role in ensuring effective governance and transparency by setting standards, rooting out violations, and informing the public; and

    • (4) while The American National Red Cross is and will remain a Federally chartered instrumentality of the United States, and it has the rights and obligations consistent with that status, The American National Red Cross nevertheless should maintain appropriate communications with State regulators of charitable organizations and should cooperate with them as appropriate in specific matters as they arise from time to time.

SEC. 1803. ORGANIZATION.

  • Section 300101 of title 36, United States Code, is amended--

    • (1) in subsection (a), by inserting `a Federally chartered instrumentality of the United States and' before `a body corporate and politic'; and

    • (2) in subsection (b), by inserting at the end the following new sentence: `The corporation may conduct its business and affairs, and otherwise hold itself out, as the `American Red Cross' in any jurisdiction.'.

SEC. 1804. PURPOSES.

  • Section 300102 of title 36, United States Code, is amended--

    • (1) by striking `and' at the end of paragraph (3);

    • (2) by striking the period at the end of paragraph (4) and inserting `; and'; and

    • (3) by adding at the end the following paragraph:

    • `(5) to conduct other activities consistent with the foregoing purposes.'.

SEC. 1805. MEMBERSHIP AND CHAPTERS.

  • Section 300103 of title 36, United States Code, is amended--

    • (1) in subsection (a), by inserting `, or as otherwise provided,' before `in the bylaws';

    • (2) in subsection (b)(1)--

      • (A) by striking `board of governors' and inserting `corporation'; and

      • (B) by inserting `policies and' before `regulations related'; and

    • (3) in subsection (b)(2)--

      • (A) by inserting `policies and' before `regulations shall require'; and

      • (B) by striking `national convention' and inserting `annual meeting'.

SEC. 1806. BOARD OF GOVERNORS.

  • Section 300104 of title 36, United States Code, is amended to read as follows:

`Sec. 300104. Board of governors

  • `(a) Board of Governors-

    • `(1) IN GENERAL- The board of governors is the governing body of the corporation with all powers of governing and directing, and of overseeing the management of the business and affairs of, the corporation.

    • `(2) NUMBER- The board of governors shall fix by resolution, from time to time, the number of members constituting the entire board of governors, provided that--

      • `(A) as of March 31, 2009, and thereafter, there shall be no fewer than 12 and no more than 25 members; and

      • `(B) as of March 31, 2012, and thereafter, there shall be no fewer than 12 and no more than 20 members constituting the entire board.

    • Procedures to implement the preceding sentence shall be provided in the bylaws.

    • `(3) APPOINTMENT- The governors shall be appointed or elected in the following manner:

      • `(A) CHAIRMAN-

        • `(i) IN GENERAL- The board of governors, in accordance with procedures provided in the bylaws, shall recommend to the President an individual to serve as chairman of the board of governors. If such recommendation is approved by the President, the President shall appoint such individual to serve as chairman of the board of governors.

        • `(ii) VACANCIES- Vacancies in the office of the chairman, including vacancies resulting from the resignation, death, or removal by the President of the chairman, shall be filled in the same manner described in clause (i).

        • `(iii) DUTIES- The chairman shall be a member of the board of governors and, when present, shall preside at meetings of the board of governors and shall have such other duties and responsibilities as may be provided in the bylaws or a resolution of the board of governors.

      • `(B) OTHER MEMBERS-

        • `(i) IN GENERAL- Members of the board of governors other than the chairman shall be elected at the annual meeting of the corporation in accordance with such procedures as may be provided in the bylaws.

        • `(ii) VACANCIES- Vacancies in any such elected board position and in any newly created board position may be filled by a vote of the remaining members of the board of governors in accordance with such procedures as may be provided in the bylaws.

  • `(b) Terms of Office-

    • `(1) IN GENERAL- The term of office of each member of the board of governors shall be 3 years, except that--

      • `(A) the board of governors may provide under the bylaws that the terms of office of members of the board of governors elected to the board of governors before March 31, 2012, may be less than 3 years in order to implement the provisions of subparagraphs (A) and (B) of subsection (a)(2); and

      • `(B) any member of the board of governors elected by the board to fill a vacancy in a board position arising before the expiration of its term may, as determined by the board, serve for the remainder of that term or until the next annual meeting of the corporation.

    • `(2) STAGGERED TERMS- The terms of office of members of the board of governors (other than the chairman) shall be staggered such that, by March 31, 2012, and thereafter, 1/3 of the entire board (or as near to 1/3 as practicable) shall be elected at each successive annual meeting of the corporation with the term of office of each member of the board of governors elected at an annual meeting expiring at the third annual meeting following the annual meeting at which such member was elected.

    • `(3) TERM LIMITS- No person may serve as a member of the board of governors for more than such number of terms of office or years as may be provided in the bylaws.

  • `(c) Committees and Officers- The board--

    • `(1) may appoint, from its own members, an executive committee to exercise such powers of the board when the board is not in session as may be provided in the bylaws;

    • `(2) may appoint such other committees or advisory councils with such powers as may be provided in the bylaws or a resolution of the board of governors;

    • `(3) shall appoint such officers of the corporation, including a chief executive officer, with such duties, responsibilities, and terms of office as may be provided in the bylaws or a resolution of the board of governors; and

    • `(4) may remove members of the board of governors (other than the chairman), officers, and employees under such procedures as may be provided in the bylaws or a resolution of the board of governors.

  • `(d) Advisory Council-

    • `(1) ESTABLISHMENT- There shall be an advisory council to the board of governors.

    • `(2) MEMBERSHIP; APPOINTMENT BY PRESIDENT-

      • `(A) IN GENERAL- The advisory council shall be composed of no fewer than 8 and no more than 10 members, each of whom shall be appointed by the President from principal officers of the executive departments and senior officers of the Armed Forces whose positions and interests qualify them to contribute to carrying out the programs and purposes of the corporation.

      • `(B) MEMBERS FROM THE ARMED FORCES- At least 1, but not more than 3, of the members of the advisory council shall be selected from the Armed Forces.

    • `(3) DUTIES- The advisory council shall advise, report directly to, and meet, at least 1 time per year with the board of governors, and shall have such name, functions and be subject to such procedures as may be provided in the bylaws.

  • `(e) Action Without Meeting- Any action required or permitted to be taken at any meeting of the board of governors or of any committee thereof may be taken without a meeting if all members of the board or committee, as the case may be, consent thereto in writing, or by electronic transmission and the writing or writings or electronic transmission or transmissions are filed with the minutes of proceedings of the board or committee. Such filing shall be in paper form if the minutes are maintained in paper form and shall be in electronic form if the minutes are maintained in electronic form.

  • `(f) Voting by Proxy-

    • `(1) IN GENERAL- Voting by proxy is not allowed at any meeting of the board, at the annual meeting, or at any meeting of a chapter.

    • `(2) EXCEPTION- The board may allow the election of governors by proxy during any emergency.

  • `(g) Bylaws-

    • `(1) IN GENERAL- The board of governors may--

      • `(A) at any time adopt bylaws; and

      • `(B) at any time adopt bylaws to be effective only in an emergency.

    • `(2) EMERGENCY BYLAWS- Any bylaws adopted pursuant to paragraph (1)(B) may provide special procedures necessary for managing the corporation during the emergency. All provisions of the regular bylaws consistent with the emergency bylaws remain effective during the emergency.

  • `(h) Definitions- For purposes of this section--

    • `(1) the term `entire board' means the total number of members of the board of governors that the corporation would have if there were no vacancies; and

    • `(2) the term `emergency' shall have such meaning as may be provided in the bylaws.'.

SEC. 1807. POWERS.

  • Paragraph (a)(1) of section 300105 of title 36, United States Code, is amended by striking `bylaws' and inserting `policies'.

SEC. 1808. ANNUAL MEETING.

  • Section 300107 of title 36, United States Code, is amended to read as follows:

`Sec. 300107. Annual meeting

  • `(a) In General- The annual meeting of the corporation is the annual meeting of delegates of the chapters.

  • `(b) Time of Meeting- The annual meeting shall be held as determined by the board of governors.

  • `(c) Place of Meeting- The board of governors is authorized to determine that the annual meeting shall not be held at any place, but may instead be held solely by means of remote communication subject to such procedures as are provided in the bylaws.

  • `(d) Voting-

    • `(1) IN GENERAL- In matters requiring a vote at the annual meeting, each chapter is entitled to at least 1 vote, and voting on all matters may be conducted by mail, telephone, telegram, cablegram, electronic mail, or any other means of electronic or telephone transmission, provided that the person voting shall state, or submit information from which it can be determined, that the method of voting chosen was authorized by such person.

    • `(2) ESTABLISHMENT OF NUMBER OF VOTES-

      • `(A) IN GENERAL- The board of governors shall determine on an equitable basis the number of votes that each chapter is entitled to cast, taking into consideration the size of the membership of the chapters, the populations served by the chapters, and such other factors as may be determined by the board.

      • `(B) PERIODIC REVIEW- The board of governors shall review the allocation of votes at least every 5 years.'.

SEC. 1809. ENDOWMENT FUND.

  • Section 300109 of title 36, United States Code is amended--

    • (1) by striking `nine' from the first sentence thereof; and

    • (2) by striking the second sentence and inserting the following: `The corporation shall prescribe policies and regulations on terms and tenure of office, accountability, and expenses of the board of trustees.'.

SEC. 1810. ANNUAL REPORT AND AUDIT.

  • Subsection (a) of section 300110 of title 36, United States Code, is amended to read as follows:

  • `(a) Submission of Report- As soon as practicable after the end of the corporation's fiscal year, which may be changed from time to time by the board of governors, the corporation shall submit a report to the Secretary of Defense on the activities of the corporation during such fiscal year, including a complete, itemized report of all receipts and expenditures.'.

SEC. 1811. COMPTROLLER GENERAL OF THE UNITED STATES AND OFFICE OF THE OMBUDSMAN.

  • (a) In General- Chapter 3001 of title 36, United States Code, is amended by redesignating section 300111 as section 300113 and by inserting after section 300110 the following new sections:

`Sec. 300111. Authority of the Comptroller General of the United States

  • `The Comptroller General of the United States is authorized to review the corporation's involvement in any Federal program or activity the Government carries out under law.

`Sec. 300112. Office of the Ombudsman

  • `(a) Establishment- The corporation shall establish an Office of the Ombudsman with such duties and responsibilities as may be provided in the bylaws or a resolution of the board of governors.

  • `(b) Report-

    • `(1) IN GENERAL- The Office of the Ombudsman shall submit annually to the appropriate Congressional committees a report concerning any trends and systemic matters that the Office of the Ombudsman has identified as confronting the corporation.

    • `(2) APPROPRIATE CONGRESSIONAL COMMITTEES- For purposes of paragraph (1), the appropriate Congressional committees are the following committees of Congress:

      • `(A) SENATE COMMITTEES- The appropriate Congressional committees of the Senate are--

        • `(i) the Committee on Finance;

        • `(ii) the Committee on Foreign Relations;

        • `(iii) the Committee on Health, Education, Labor, and Pensions;

        • `(iv) the Committee on Homeland Security and Governmental Affairs; and

        • `(v) the Committee on the Judiciary.

      • `(B) HOUSE COMMITTEES- The appropriate Congressional committees of the House of Representatives are--

        • `(i) the Committee on Energy and Commerce;

        • `(ii) the Committee on Foreign Affairs;

        • `(iii) the Committee on Homeland Security;

        • `(iv) the Committee on the Judiciary; and

        • `(v) the Committee on Ways and Means.'.

  • (b) Clerical Amendment- The table of sections for chapter 3001 of title 36, United States Code, is amended by striking the item relating to section 300111 and inserting the following:

    • `300111. Authority of the Comptroller General of the United States.

    • `300112. Office of the Ombudsman.

    • `300113. Reservation of right to amend or repeal.'.

TITLE XIX--ADVANCEMENT OF DEMOCRATIC VALUES

SEC. 1901. SHORT TITLE.

  • This title may be cited as the `Advance Democratic Values, Address Non-democratic Countries, and Enhance Democracy Act of 2007' or the `ADVANCE Democracy Act of 2007'.

SEC. 1902. FINDINGS.

  • Congress finds that in order to support the expansion of freedom and democracy in the world, the foreign policy of the United States should be organized in support of transformational diplomacy that seeks to work through partnerships to build and sustain democratic, well-governed states that will respect human rights and respond to the needs of their people and conduct themselves responsibly in the international system.

SEC. 1903. STATEMENT OF POLICY.

  • It should be the policy of the United States--

    • (1) to promote freedom and democracy in foreign countries as a fundamental component of the foreign policy of the United States;

    • (2) to affirm internationally recognized human rights standards and norms and to condemn offenses against those rights;

    • (3) to use instruments of United States influence to support, promote, and strengthen democratic principles, practices, and values, including the right to free, fair, and open elections, secret balloting, and universal suffrage;

    • (4) to protect and promote fundamental freedoms and rights, including the freedom of association, of expression, of the press, and of religion, and the right to own private property;

    • (5) to protect and promote respect for and adherence to the rule of law;

    • (6) to provide appropriate support to nongovernmental organizations working to promote freedom and democracy;

    • (7) to provide political, economic, and other support to countries that are willingly undertaking a transition to democracy;

    • (8) to commit to the long-term challenge of promoting universal democracy; and

    • (9) to strengthen alliances and relationships with other democratic countries in order to better promote and defend shared values and ideals.

SEC. 1904. DEFINITIONS.

  • In this title:

    • (1) ANNUAL REPORT ON ADVANCING FREEDOM AND DEMOCRACY- The term `Annual Report on Advancing Freedom and Democracy' refers to the annual report submitted to Congress by the Department of State pursuant to section 665(c) of the Foreign Relations Authorization Act, Fiscal Year 2003 (Public Law 107-228; 22 U.S.C. 2151n note), in which the Department reports on actions taken by the United States Government to encourage respect for human rights and democracy.

    • (2) ASSISTANT SECRETARY- The term `Assistant Secretary' means the Assistant Secretary of State for Democracy, Human Rights, and Labor.

    • (3) COMMUNITY OF DEMOCRACIES AND COMMUNITY- The terms `Community of Democracies' and `Community' mean the association of democratic countries committed to the global promotion of democratic principles, practices, and values, which held its First Ministerial Conference in Warsaw, Poland, in June 2000.

    • (4) DEPARTMENT- The term `Department' means the Department of State.

    • (5) UNDER SECRETARY- The term `Under Secretary' means the Under Secretary of State for Democracy and Global Affairs.

Subtitle A--Liaison Officers and Fellowship Program to Enhance the Promotion of Democracy

SEC. 1911. DEMOCRACY LIAISON OFFICERS.

  • (a) In General- The Secretary of State shall establish and staff Democracy Liaison Officer positions, under the supervision of the Assistant Secretary, who may be assigned to the following posts:

    • (1) United States missions to, or liaison with, regional and multilateral organizations, including the United States missions to the European Union, African Union, Organization of American States and any other appropriate regional organization, Organization for Security and Cooperation in Europe, the United Nations and its relevant specialized agencies, and the North Atlantic Treaty Organization.

    • (2) Regional public diplomacy centers of the Department.

    • (3) United States combatant commands.

    • (4) Other posts as designated by the Secretary of State.

  • (b) Responsibilities- Each Democracy Liaison Officer should--

    • (1) provide expertise on effective approaches to promote and build democracy;

    • (2) assist in formulating and implementing strategies for transitions to democracy; and

    • (3) carry out other responsibilities as the Secretary of State and the Assistant Secretary may assign.

  • (c) New Positions- The Democracy Liaison Officer positions established under subsection (a) should be new positions that are in addition to existing officer positions with responsibility for other human rights and democracy related issues and programs.

  • (d) Relationship to Other Authorities- Nothing in this section may be construed as removing any authority or responsibility of a chief of mission or other employee of a diplomatic mission of the United States provided under any other provision of law, including any authority or responsibility for the development or implementation of strategies to promote democracy.

SEC. 1912. DEMOCRACY FELLOWSHIP PROGRAM.

  • (a) Requirement for Program- The Secretary of State shall establish a Democracy Fellowship Program to enable Department officers to gain an additional perspective on democracy promotion abroad by working on democracy issues in congressional committees with oversight over the subject matter of this title, including the Committee on Foreign Relations and the Committee on Appropriations of the Senate and the Committee on Foreign Affairs and the Committee on Appropriations of the House of Representatives, and in nongovernmental organizations involved in democracy promotion.

  • (b) Selection and Placement- The Assistant Secretary shall play a central role in the selection of Democracy Fellows and facilitate their placement in appropriate congressional offices and nongovernmental organizations.

  • (c) Exception- A Democracy Fellow may not be assigned to any congressional office until the Secretary of Defense certifies to the Committee on Armed Services and the Committee on Foreign Relations of the Senate and the Committee on Armed Services and the Committee on Foreign Affairs of the House of Representatives that the request of the Commander of the United States Central Command for the Department of State for personnel and foreign service officers has been fulfilled.

SEC. 1913. TRANSPARENCY OF UNITED STATES BROADCASTING TO ASSIST IN OVERSIGHT AND ENSURE PROMOTION OF HUMAN RIGHTS AND DEMOCRACY IN INTERNATIONAL BROADCASTS.

  • (a) Transcripts- The Broadcasting Board of Governors shall transcribe into English all original broadcasting content.

  • (b) Public Transparency- The Broadcasting Board of Governors shall post all English transcripts from its broadcasting content on a publicly available website within 30 days of the original broadcast.

  • (c) Broadcasting Content Defined- In this section, the term `broadcasting content' includes programming produced or broadcast by United State international broadcasters, including--

    • (1) Voice of America;

    • (2) Alhurra;

    • (3) Radio Sawa;

    • (4) Radio Farda;

    • (5) Radio Free Europe/Radio Liberty;

    • (6) Radio Free Asia; and

    • (7) The Office of Cuba Broadcasting.

Subtitle B--Annual Report on Advancing Freedom and Democracy

SEC. 1921. ANNUAL REPORT.

  • (a) Report Title- Section 665(c) of the Foreign Relations Authorization Act, Fiscal Year 2003 (Public Law 107-228; 22 U.S.C. 2151n note) is amended in the first sentence by inserting `entitled the Advancing Freedom and Democracy Report' before the period at the end.

  • (b) Schedule for Submission- If a report entitled the Advancing Freedom and Democracy Report pursuant to section 665(c) of the Foreign Relations Authorization Act, Fiscal Year 2003, as amended by subsection (a), is submitted under such section, such report shall be submitted not later than 90 days after the date of submission of the report required by section 116(d) of the Foreign Assistance Act of 1961 (22 U.S.C. 2151n(d)).

  • (c) Conforming Amendment- Section 665(c) of the Foreign Relations Authorization Act, Fiscal Year 2003 (Public Law 107-228; 2151n note) is amended by striking `30 days' and inserting `90 days'.

SEC. 1922. SENSE OF CONGRESS ON TRANSLATION OF HUMAN RIGHTS REPORTS.

  • It is the sense of Congress that the Secretary of State should continue to ensure and expand the timely translation of Human Rights and International Religious Freedom reports and the Annual Report on Advancing Freedom and Democracy prepared by personnel of the Department of State into the principal languages of as many countries as possible. Translations are welcomed because information on United States support for universal enjoyment of freedoms and rights serves to encourage individuals around the globe seeking to advance the cause of freedom in their countries.

Subtitle C--Advisory Committee on Democracy Promotion and the Internet Website of the Department of State

SEC. 1931. ADVISORY COMMITTEE ON DEMOCRACY PROMOTION.

  • Congress commends the Secretary of State for creating an Advisory Committee on Democracy Promotion, and it is the sense of Congress that the Committee should play a significant role in the Department's transformational diplomacy by advising the Secretary of State regarding United States efforts to promote democracy and democratic transition in connection with the formulation and implementation of United States foreign policy and foreign assistance.

SEC. 1932. SENSE OF CONGRESS ON THE INTERNET WEBSITE OF THE DEPARTMENT OF STATE.

  • It is the sense of Congress that--

    • (1) the Secretary of State should continue and further expand the Secretary's existing efforts to inform the public in foreign countries of the efforts of the United States to promote democracy and defend human rights through the Internet website of the Department of State;

    • (2) the Secretary of State should continue to enhance the democracy promotion materials and resources on that Internet website, as such enhancement can benefit and encourage those around the world who seek freedom; and

    • (3) such enhancement should include where possible and practical, translated reports on democracy and human rights prepared by personnel of the Department, narratives and histories highlighting successful nonviolent democratic movements, and other relevant material.

Subtitle D--Training in Democracy and Human Rights; Promotions

SEC. 1941. SENSE OF CONGRESS ON TRAINING IN DEMOCRACY AND HUMAN RIGHTS.

  • It is the sense of Congress that--

    • (1) the Secretary of State should continue to enhance and expand the training provided to foreign service officers and civil service employees on how to strengthen and promote democracy and human rights; and

    • (2) the Secretary of State should continue the effective and successful use of case studies and practical workshops addressing potential challenges, and work with non-state actors, including nongovernmental organizations that support democratic principles, practices, and values.

SEC. 1942. SENSE OF CONGRESS ON ADVANCE DEMOCRACY AWARD.

  • It is the sense of Congress that--

    • (1) the Secretary of State should further strengthen the capacity of the Department to carry out result-based democracy promotion efforts through the establishment of awards and other employee incentives, including the establishment of an annual award known as Outstanding Achievements in Advancing Democracy, or the ADVANCE Democracy Award, that would be awarded to officers or employees of the Department; and

    • (2) the Secretary of State should establish the procedures for selecting recipients of such award, including any financial terms, associated with such award.

SEC. 1943. PROMOTIONS.

  • The precepts for selection boards responsible for recommending promotions of foreign service officers, including members of the senior foreign service, should include consideration of a candidate's experience or service in promotion of human rights and democracy.

SEC. 1944. PROGRAMS BY UNITED STATES MISSIONS IN FOREIGN COUNTRIES AND ACTIVITIES OF CHIEFS OF MISSION.

  • It is the sense of Congress that each chief of mission should provide input on the actions described in the Advancing Freedom and Democracy Report submitted under section 665(c) of the Foreign Relations Authorization Act, Fiscal Year 2003 (Public Law 107-228; 22 U.S.C. 2151n note), as amended by section 1621, and should intensify democracy and human rights promotion activities.

Subtitle E--Alliances With Democratic Countries

SEC. 1951. ALLIANCES WITH DEMOCRATIC COUNTRIES.

  • (a) Establishment of an Office for the Community of Democracies- The Secretary of State should, and is authorized to, establish an Office for the Community of Democracies with the mission to further develop and strengthen the institutional structure of the Community of Democracies, develop interministerial projects, enhance the United Nations Democracy Caucus, manage policy development of the United Nations Democracy Fund, and enhance coordination with other regional and multilateral bodies with jurisdiction over democracy issues.

  • (b) Sense of Congress on International Center for Democratic Transition- It is the sense of Congress that the International Center for Democratic Transition, an initiative of the Government of Hungary, serves to promote practical projects and the sharing of best practices in the area of democracy promotion and should be supported by, in particular, other European countries with experiences in democratic transitions, the United States, and private individuals.

Subtitle F--Funding for Promotion of Democracy

SEC. 1961. SENSE OF CONGRESS ON THE UNITED NATIONS DEMOCRACY FUND.

  • It is the sense of Congress that the United States should work with other countries to enhance the goals and work of the United Nations Democracy Fund, an essential tool to promote democracy, and in particular support civil society in their efforts to help consolidate democracy and bring about transformational change.

SEC. 1962. THE HUMAN RIGHTS AND DEMOCRACY FUND.

  • The purpose of the Human Rights and Democracy Fund should be to support innovative programming, media, and materials designed to uphold democratic principles, support and strengthen democratic institutions, promote human rights and the rule of law, and build civil societies in countries around the world.

Passed the Senate March 13, 2007.

Attest:

Secretary.

110th CONGRESS

1st Session

S. 4

AN ACT

To make the United States more secure by implementing unfinished recommendations of the 9/11 Commission to fight the war on terror more effectively, to improve homeland security, and for other purposes.

END