H.R. 3256 — what changed
Protecting and Securing Chemical Facilities from Terrorist Attacks Act of 2019
From Introduced in House to Reported in House. 10 sections amended and 2 added between Introduced in House and Reported in House.
Sec. 3 Chemical Facility Anti-Terrorism Standards Program
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“(E) verify information submitted by a covered chemical facility prior to assigning such facility a lower risk tier or determining that such facility no longer presents a high level of security risk; andrisk.”
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“(F) develop a voluntary program for chemical facilities to address potential security risks at such facilities.”
“(2) Employee consultation and awareness
“(A) Employee consultation requirement—A facility’s security vulnerability assessment and site security plan shall be developed in consultation with—
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“(i) at least one facility employee, in addition to the facility security officer or other individual who serves as a point of contact under section 27.230(a)(17) of title 6, Code of Federal Regulations, and the corresponding guidance issued under section 27.220(d) of such title, or any successor thereto, who possesses relevant knowledge, experience, training, or education pertaining to matters of site security; andsecurity.
“(ii) in the case of a facility where facility employees are represented by a bargaining agent, at least one employee representative who—
“(I) is selected by the bargaining agent at that facility; and
“(II) has relevant knowledge, experience, training, or education pertaining to matters of site security.
“(B) Record of employee consultation—A covered chemical facility shall maintain a written record of the employee consultation required by subparagraph (A), including a record of—
“(i) the name of the employee with whom the facility security officer or other similar official consulted;
“(ii) how often and when such consultation took place;
“(iii) what mechanisms the facility used to capture feedback; and
“(iv) any recommendations that were offered, accepted, or rejected as part of the security vulnerability assessment or site security plan.
“(C) Access to employees—Each owner or operator of a covered chemical facility shall, upon request, provide to an employee of the Department engaged in carrying out audits and inspections of such facility access to any employee who participated in the development of the facility’s security vulnerability assessment and site security plan.
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“(D) Employee awareness—The Secretary shall produce a poster for display in areas of covered chemical facilities and that a chemical facilities facility of interest shall be required to display that are in areas accessible to facility employees to inform employees of the facility about program requirements under this title and the whistleblower protections provided under section 2105.”
“(ii) shall disapprove a site security plan if—
“(I) the plan fails to satisfy the risk-based performance standards established pursuant to subsection (a)(2)(C); or
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“(II) the plan fails to include the name, organizational affiliation, and phone number of a local emergency manager or local emergency response provider and a documented policy to contact the local emergency manager or local emergency response provider at least annually regarding emergency response procedures plans at the facility.”
“(3) Site security plan assessments—In approving or disapproving a site security plan under this subsection, the Secretary shall—
“(A) employ the risk assessment policies and procedures developed under this title; and
“(B) confirm that the covered chemical facility has complied with the employee consultation requirements in paragraph (2) of subsection (b), including by reviewing and recording compliance with the record-keeping requirements under subparagraph (B) of that paragraph.”
added “(vi) the proper credential or certification necessary to conduct inspections related to the cybersecurity standard.”
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“(4) Audit of emergency response plan—As part of the audit and inspection process under this subsection, the Secretary shall provide for an annual review of the annually confirm compliance of a chemical facility with the requirements under subsection (c)(1)(B)(ii)(B) and the (c)(1)(B)(ii)(II) including adherence of to the facility facility’s documented policy to contact the local emergency manager or local emergency response requirements provider at least annually regarding emergency response plans at the facility under such subsection.”
“(i) the Secretary determines that a chemical facility of interest does not present a high level of security risk;”
“(i) how the Secretary confirmed the information that was the basis for the change or determination described in subparagraph (A); and
“(ii) actions taken or practices employed by the facility to reduce or remove terrorism-related chemical security risks, where applicable.”
“(C) Treatment of certain information—For the purposes of subsection (a) of section 2103—
“(i) information described in subparagraph (B)(i) shall be given protections from public disclosure under such subsection; and
“(ii) information described in subparagraph (B)(ii) shall not be given protections from public disclosure under such subsection.”
“(4) Sharing information with emergency response providers
“(A) In general—The Secretary shall make available to State, local, and regional fusion centers (as that term is defined in section 210A(j)(1) of this Act) and State and local government officials such information as the Secretary determines necessary to ensure that emergency response providers are prepared and provided with the situational awareness needed to respond to security incidents at covered chemical facilities.
“(B) Dissemination—The Secretary shall disseminate information under subparagraph (A) to individuals identified and entities described in such subparagraph in a secure and expeditious manner.
“(5) Practices that may reduce chemical security risks
“(A) In general—Based on the information maintained under paragraph (3)(B)(ii) regarding actions taken or practices employed by chemical facilities of interest to successfully reduce or remove terrorism-related chemical security risks, the Secretary shall develop voluntary, publicly available practices that could be used to guide other facility owners and operators in preventing, reducing, and mitigating chemical security risks.
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“(B) Treatment of sensitive information—In developing and disseminating practices under subparagraph (A), the Secretary shall protect from public disclosure all information described in section 2103(a).”2103(a).
added “(6) Congressional notification—Any time a determination is not made with respect to a chemical facility of interest within 9 months of the facility submitting a Top-Screen, the Secretary shall notify the Committees on Homeland Security and Energy and Commerce of the House and the Committee on Homeland Security and Governmental Affairs of the Senate and provide an explanation.”
“(cc) determined that a chemical facility of interest did not present a high level of risk; and”
“(C) for the period beginning on the date that is one year before the date of the enactment of the Protecting and Securing Chemical Facilities from Terrorist Attacks Act of 2019 and ending on the date of the enactment of such Act, the average length of time required to—
“(i) review and approve site security plans or alternative security programs for covered chemical facilities;
“(ii) ensure a facility has achieved full implementation of planned security measures; and
“(iii) conduct a compliance inspection, including the average length of time inspectors spend on an individual compliance inspection;”
“(F) a detailed summary of reports and other information generated under paragraph (3) regarding facilities that receive a change in tier or that are determined not to present a high level of security risk;
“(G) a detailed summary of practices identified and disseminated under such paragraph;
“(H) actions taken and results produced in implementing the practices, to the extent feasible; and”
changed “(f) Specific products and mixtures containing chemicals of interest—The Secretary may exclude a specific product or mixture that contains a chemical of interest at or above the minimum concentration listed on Appendix A to part 27 of title 6, Code of Federal Regulations, or any successor thereto, from any reporting requirements under this section if the Secretary determines that the product or mixture does not present a terrorism risk for which the chemical of interest contained within the product or mixture was included on Appendix A.”
Sec. 4 Protection and sharing of information
added Section 2103 of the Homeland Security Act of 2002 (6 U.S.C. 623) is amended—
added “(b) Authorized recipients of information—The Secretary shall make available, upon request, information protected pursuant to subsection (a) to the following recipients:
added “(1) State and local government officials, including law enforcement and emergency response providers, with respect to information on any chemical facility of interest within the jurisdiction of the official, but only if such information may not be disclosed pursuant to any State or local law.
added “(2) Members of Congress.
added “(3) Members of the Chemical Security Advisory Committee under section 2010, in the course of conducting official duties and responsibilities as described in such section.
added “(4) The Comptroller General of the United States.
added “(c) Information developed for other purposes—Nothing in this section shall be construed to prohibit a chemical facility of interest from disclosing information that was not created solely for the purpose of meeting the requirements of this title.”
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“(b) Authorized recipients of information
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“(1) In general—Upon request, the Secretary shall make available information protected pursuant to subsection (a), to the following recipients:
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“(A) State, local, and regional fusion centers (as that term is defined in section 210A(j)(i) of this Act) and State and local government officials, including law enforcement and emergency response providers.
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“(B) Members of Congress.
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“(C) Members of the Chemical Security Advisory Committee under section 2010 of this Act.
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“(D) The Comptroller General of the United States.
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“(2) Nondepartmental information—Information is not protected pursuant to subsection (a) if it is—
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“(A) not in the possession of the Department;
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“(B) developed under this title but has been previously produced or developed for other purposes; and
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“(C) is already publicly available, readily discoverable, or otherwise lawfully disclosed.”
Sec. 6 Whistleblower protection
Section 2105 of the Homeland Security Act of 2002 (6 U.S.C. 625) is amended—
“(2) Confidentiality
“(A) In general—Except as provided in subparagraph (B), in the absence of the written consent of an individual who submits a report under paragraph (1)—
“(i) the Secretary shall keep confidential the identity of and any identifying information relating to that individual; and
“(ii) any such report shall be subject to the protections on information under section 2103 of this Act to the extent that the report does not consist of publicly available information.
“(B) Notice—In a case in which it is necessary to disclose the identity of or any identifying information relating to an individual who submits a report under paragraph (1) because it is essential to investigate the information contained in the report or because of compulsory legal process, the Secretary shall provide timely advance notice to the individual of such disclosure.”
“(3) Response to reports—If a report submitted under paragraph (1) contains information identifying the individual making the report, the Secretary, or the designee of the Secretary shall, by not later than 15 days after the date on which the report is received, respond to the individual directly and acknowledge receipt of the report.”
“(C) Opportunity for review—In any action under paragraph (4) that is based on information received under the procedure established under paragraph (1), the Secretary shall provide for review of the action if a petition for review is filed within 20 calendar days of the date of issuance of the order for the action.”
“(i) the violation providing a basis for the action continues to exist; or
“(ii) such period is insufficient to complete the review of the action.”
“(C) Procedure and remedy
“(i) In general—The Secretary shall establish a procedure for the review and investigation of complaints of reprisals prohibited under subparagraph (A) and for remedies for violations of such subparagraph.
“(ii) Judicial remedies—Nothing in this title shall be construed to deny an individual who submits a complaint for any reprisal prohibited under subparagraph (A) from seeking a judicial remedy against the owner or operator of the chemical facility of interest as long as the individual has exhausted administrative remedies.”
Sec. 7 Chemical Security Advisory Committee
“2110. Chemical Security Advisory Committee
“(a) Establishment—The Secretary shall establish a standing Chemical Security Advisory Committee to advise the Secretary on the implementation of this title.
“(b) Membership
“(1) In general—The Advisory Committee shall be comprised of 12 members selected by the Secretary, which shall include at least one individual who is a multi-disciplinary stakeholder with scientific or other expertise representing each of the following:
“(A) Industry.
“(B) Academia.
“(C) Labor.
“(D) Emergency response providers.
“(E) Local emergency planners.
“(F) Environmental, community, or public health advocates, particularly for communities with high concentrations of covered chemical facilities.
“(G) Cybersecurity and information policy.
“(2) Terms—Each member shall be appointed for an initial term of three years and may be reappointed for one additional three-year term.
“(3) Chair—The Committee shall have a chair, who shall be selected by the members of the Committee.
“(4) Pay—Members shall serve without pay.
“(5) Quorum—A majority of members of the Advisory Committee shall constitute a quorum but a lesser number may hold hearings.
“(c) Subcommittees—The Advisory Committee may establish subcommittees to assesses and recommend improvements to the risk tiering methodology for chemical facilities, the risk-based performance standards for chemical facilities, risk reduction strategies, and other aspects of the program under this title as the Secretary determines appropriate.
“(d) Information protection—Members of Advisory Committee shall maintain information protections pursuant to section 2103 of this Act. Any member who needs to access classified information to carry out assessments and recommendations for improving the risk tiering methodology for chemical facilities shall have an appropriate security clearance.
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“(e) Annual report—Not later than January 30 each year, the chair shall submit to the Committee on Homeland Security and Governmental Affairs of the Senate and to the Committee on Homeland Security and the Committee on Energy and Commerce of the House of Representatives a report on the activities of the Committee during the year preceding the year during which the report is submitted.report
added “(1) Submission to the Secretary—Not later than January 30 each year, the chair shall submit to the Secretary a report on the activities of the Committee during the year preceding the year during which the report is submitted.
added “(2) Submission to congress—Not later than 45 days after receiving a report from the Advisory Committee under paragraph (1), the Secretary shall provide to the Committees on Homeland Security and Energy and Commerce of the House of Representatives and the Committee on Homeland Security and Governmental Affairs of the Senate a copy of the report together with any Secretarial feedback on the report.
“(f) Applicability of FACA—The Federal Advisory Committee Act (5 U.S.C. App.) shall not apply to the Committee established under this section.”
Sec. 9 Study on risks posed by excluded facilities
Sec. 11 Review of tiering methodology
Sec. 12 Comptroller General reports
Sec. 13 Voluntary mechanism for reporting drones and other emerging threats
Sec. 15 Voluntary program
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In the case of a chemical facility that is a covered chemical facility under title XXI of the Homeland Security Act of 2002 for which the Secretary of Homeland Security approved a site security plan under such title before the date of enactment of this Act, the Secretary shall not require the facility to resubmit the site security plan solely by reason of the enactment of this Act or the amendments made by this Act.
Sec. 16 Study on local emergency response capacity to respond to chemical security incidents
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Section 5 of the Protecting and Securing Chemical Facilities From Terrorist Attacks Act of 2014 (Public Law 113–254; 6 U.S.C. 621 note) is amended by striking “the date that is 4 years after the effective date of this Act” and inserting “May 1, 2025”.
Sec. 17 Previously approved facilities
addedadded In the case of a chemical facility that is a covered chemical facility under title XXI of the Homeland Security Act of 2002 for which the Secretary of Homeland Security approved a site security plan under such title before the date of enactment of this Act, the Secretary shall not require the facility to resubmit the site security plan solely by reason of the enactment of this Act or the amendments made by this Act.
Sec. 18 Termination
addedadded Section 5 of the Protecting and Securing Chemical Facilities From Terrorist Attacks Act of 2014 (Public Law 113–254; 6 U.S.C. 621 note) is amended by striking “the date that is 5 years and 3 months after the effective date of this Act” and inserting “May 1, 2025”.