[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 8741 Introduced in House (IH)]
<DOC>
118th CONGRESS
2d Session
H. R. 8741
To establish the Office of Information and Communications Technology
and Services within the Bureau of Industry and Security of the
Department of Commerce, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
June 13, 2024
Ms. Slotkin introduced the following bill; which was referred to the
Committee on Foreign Affairs, and in addition to the Permanent Select
Committee on Intelligence, for a period to be subsequently determined
by the Speaker, in each case for consideration of such provisions as
fall within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To establish the Office of Information and Communications Technology
and Services within the Bureau of Industry and Security of the
Department of Commerce, 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; TABLE OF CONTENTS.
(a) Short Title.--This Act may be cited as the ``Connected Vehicle
National Security Review Act''.
(b) Table of Contents.--The table of contents for this Act is as
follows:
Sec. 1. Short title; table of contents.
Sec. 2. The Office of Information and Communications Technology and
Services.
Sec. 3. Transaction review process.
Sec. 4. Regulating person or jurisdiction of concern-connected covered
ICTS transactions.
Sec. 5. Risk assessment.
Sec. 6. Other authorities.
Sec. 7. Enforcement.
Sec. 8. Judicial review.
Sec. 9. Penalties.
Sec. 10. Relationship to other laws.
Sec. 11. Definitions.
SEC. 2. THE OFFICE OF INFORMATION AND COMMUNICATIONS TECHNOLOGY AND
SERVICES.
(a) Establishment.--There is established within the Bureau of
Industry and Security of the Department of Commerce an Office of
Information and Communications Technology and Services (in this
section, referred to as the ``Office'').
(b) Executive Director.--The head of the Office shall be an
Executive Director who reports to the Under Secretary for Industry and
Security and shall be designated by the Secretary.
(c) Continuation in Office of the Executive Director.--An
individual serving as the Executive Director before the date of the
enactment of this Act may serve as the Executive Director on and after
that date without the need for designation under subsection (b).
(d) Duties.--The Office shall--
(1) identify and prevent through mitigation or prohibition
the undue or unacceptable risk posed by certain ICTS
transactions; and
(2) educate industry and other partners on relevant risks
and communicate decisions.
(e) Special Hiring Authority.--The Executive Director may appoint,
without regard to the provisions of sections 3309 through 3318 of title
5, United States Code, candidates directly to positions in the
competitive service (as defined in section 2102 of that title).
SEC. 3. TRANSACTION REVIEW PROCESS.
(a) ICTS Transaction Review Process.--The Secretary, acting through
the Office of Information and Communications Technology and Services,
shall review ICTS transactions according to the following procedures:
(1) Review.--The Secretary may review any ICTS transaction
that the Secretary suspects poses an undue or unacceptable
risk.
(2) Investigative authority.--In reviewing an ICTS
transaction described in paragraph (1) the Secretary may do the
following:
(A) Require any person subject to the jurisdiction
of the United States to furnish under oath, in the form
of a report or otherwise, at any time as may be
required by the Secretary, complete information
relative to any such transaction.
(B) Require that any such report take a particular
form as directed in a request, regulation, or other
guidance provided by the Secretary, which may be
required before, during, or after any such transaction.
(C) Through any agency, conduct investigations,
hold hearings, administer oaths, examine witnesses,
receive evidence, take depositions, and require by
subpoena the attendance and testimony of witnesses and
the production of any book, contract, letter, paper,
and other hard copy or document relating to any matter
under investigation, regardless of whether any such
report has been required or filed.
(b) Mitigation of Risk.--
(1) In general.--If the Secretary finds that a covered ICTS
transaction poses an undue or unacceptable risk under
subsection (a), the Secretary shall mitigate the undue or
unacceptable risk described in paragraph (2) or prohibit such
transaction.
(2) Mitigation of risk authority.--The Secretary may choose
to mitigate any undue or unacceptable risk posed by a covered
ICTS transaction reviewed under subsection (a). To mitigate the
undue or unacceptable risk, the Secretary may do any of the
following with regard to any party to a covered ICTS
transaction:
(A) Negotiate, enter into or impose, and enforce
any agreement or condition with any such party.
(B) Require adherence to certain cybersecurity
standards and other mitigation requirements determined
to be necessary by the Secretary.
(C) Require the exclusion (in whole or in part) of
certain components, including physical parts or
hardware, software, digital services, and digital
components, of any ICTS or any sub-component of ICTS
from any such transaction.
(D) Anything else the Secretary determines to be
appropriate or necessary to mitigate the undue or
unacceptable risks.
(3) Prohibition of transaction.--If the Secretary
determines that the undue or unacceptable risk posed by a
covered ICTS transaction cannot be effectively mitigated for
any reason as determined by the Secretary, the Secretary--
(A) may prohibit the covered ICTS transaction;
(B) shall notify any party subject to the covered
ICTS transaction review of the prohibition; and
(C) may publish any such prohibition in the Federal
Register.
SEC. 4. REGULATING PERSON OR JURISDICTION OF CONCERN-CONNECTED COVERED
ICTS TRANSACTIONS.
(a) Authorization To Issue Rules for Certain Classes of Covered
ICTS Transactions.--The Secretary may determine that, for certain
classes of covered ICTS transactions, an ICTS transaction review
described under section 3 may not effectively address undue or
unacceptable risks and may promulgate regulations that do the
following:
(1) Identify particular covered ICTS transactions and
person or jurisdiction of concern which warrant particular
scrutiny for undue or unacceptable risk.
(2) Establish mitigation measures to address undue or
unacceptable risk, to include prohibitions related to entities
of concern or for classes of covered ICTS transactions.
(3) Establish criteria by which particular covered ICTS
transactions or particular classes of participants in the
covered ICTS transaction supply chain may be recognized as
categorically included in or as categorically excluded from
mitigation measures or prohibitions.
(4) Establish particular classes of covered ICTS
transactions or parties to transactions that must abide by
certain prohibitions or mitigation measures.
(5) Establish procedures to authorize or license
transactions otherwise prohibited pursuant to a regulation
promulgated under this section.
(6) Any other rule the Secretary determines to be
appropriate.
(b) Other Review by Secretary Permitted.--The promulgation of any
regulation under subsection (a) does not preclude the Secretary from
initiating a review of any covered ICTS transaction, including a
covered ICTS transaction that belongs to an identified category under
this section.
SEC. 5. RISK ASSESSMENT.
(a) DNI Risk Assessment.--Not later than 180 days after the date of
the enactment of this Act, and annually thereafter, the Director of
National Intelligence shall submit to the Secretary a risk assessment
that relates to threats posed by persons or jurisdictions of concern to
the United States by the supply chain of covered ICTS transactions
that--
(1) includes specific criteria to evaluate any undue or
unacceptable risk to the national security of the United
States; and
(2) identifies any person or jurisdiction of concern,
participants in such supply chain, and covered ICTS
transactions or classes of covered ICTS transactions posing the
highest risks to the national security of the United States.
(b) Submission of Risk Assessment.--Not later than 90 days after
the date on which the risk assessment is submitted to the Secretary,
the Director of National Intelligence shall submit the risk assessment
to the relevant congressional committees in unclassified format.
(c) Classified Annex.--The risk assessment submitted under
subsection (b)--
(1) may include a classified annex; and
(2) shall only include specific participants in such supply
chain that pose risk to the national security of the United
States in the classified annex.
SEC. 6. OTHER AUTHORITIES.
(a) Regulations.--Any regulation the Secretary promulgated under
Executive Order 13873 (84 Fed. Reg. 22689; relating to securing the
information and communications technology and services supply chain)
and Executive Order 14034 (86 Fed. Reg. 31423; relating to protecting
Americans' sensitive data from foreign adversaries) before the date of
the enactment of this Act shall continue in effect on and after the
date of the enactment of this Act. In carrying out the requirements of
this Act, the Secretary may amend regulations or promulgate new
regulations and procedures as the Secretary considers appropriate.
(b) Guidance.--The Secretary may issue guidance and establish
procedures to carry out this Act.
(c) Technical Advisory Committee.--Not later than 180 days after
the date of the enactment of this Act, the Secretary shall establish an
ICTS technical advisory committee to report to the Executive Director
of the Office of Information and Communications Technology and
Services.
(d) Membership.--The ICTS advisory committee shall include the
following:
(1) Industry academic experts on covered ICTS transaction
supply chains.
(2) Representatives of private sector companies, industry
associations, and academia.
(3) A designated Federal officer to administer the advisory
committee and report to the Executive Director.
(e) Confidentiality and Disclosure of Information.--Any information
or document not otherwise publicly or commercially available that has
been submitted to the Secretary under this Act shall not be released
publicly excepted to the extent required by Federal law.
SEC. 7. ENFORCEMENT.
(a) Investigations.--
(1) In general.--The Secretary may conduct an investigation
of any violation of an authorization, order, mitigation
measure, regulation, or prohibition issued under this Act.
(2) Actions by designees.--In conducting an investigation
described in paragraph (1), designated officers or employees of
the Secretary may, to the extent necessary or appropriate to
enforce this Act, exercise such authority as is conferred upon
them by any other Federal law, subject to policies and
procedures approved by the Attorney General.
(b) Permitted Activities.--An officer or employee authorized to
conduct investigations under subsection (a) by the Secretary may do any
of the following:
(1) Inspect, search, detain, seize, or impose a temporary
denial order with respect to any item, in any form, or
conveyance on which it is believed that there are items that
have been, are being, or are about to be imported into the
United States in violation of this Act or any other applicable
Federal law.
(2) Require, inspect, and obtain any book, record, and any
other information from any person subject to the provisions of
this Act or other applicable Federal law.
(3) Administer an oath or affirmation and, by subpoena,
require any person to appear and testify or to appear and
produce books, records, and other writings.
(4) Obtain a court order and issue legal process to the
extent authorized under chapters 119, 121, and 206 of title 18,
United States Code, or any other applicable Federal law.
(c) Enforcement of Subpoenas.--In the case of contumacy by, or
refusal to obey a subpoena issued to, any person under subsection
(b)(3), a district court of the United States, after notice to such
person and a hearing, shall have jurisdiction to issue an order
requiring such person to appear and give testimony or to appear and
produce books, records, and other writings, regardless of format, that
are the subject of the subpoena. Any failure to obey such order of the
court may be punished by such court as a contempt thereof.
(d) Actions by the Attorney General.--The Attorney General may
bring an action in an appropriate district court of the United States
for appropriate relief, including declaratory and injunctive, or
divestment relief, against any person who violates this Act or any
regulation, order, direction, mitigation measure, prohibition, or other
authorization or directive issued under this Act.
SEC. 8. JUDICIAL REVIEW.
(a) Right of Action.--A claim or petition challenging this Act or
any action, finding, or determination under this Act may be filed only
in the United States Court of Appeals for the District of Columbia
Circuit.
(b) Exclusive Jurisdiction.--The United States Court of Appeals for
the District of Columbia Circuit shall have exclusive jurisdiction over
claims or petitions arising under this Act against the United States,
any agency, or any component or official of an agency, subject to
review by the Supreme Court of the United States under section 1254 of
title 28, United States Code.
(c) In Camera and Ex Parte Review.--The following information may
be included in the administrative record and shall be submitted only to
the court ex parte and in camera:
(1) Sensitive security information, as defined in section
1520.5 of title 49, Code of Federal Regulations.
(2) Records or information compiled for law enforcement
purposes, as described in section 552(b)(7) of title 5, United
States Code.
(3) Classified information, meaning any information or
material that has been determined by the United States
Government pursuant to an Executive order, statute, or
regulation, to require protection against unauthorized
disclosure for reasons of national security and any restricted
data, as defined in section 11 of the Atomic Energy Act of 1954
(42 U.S.C. 2014).
(4) Information subject to privilege or protections under
any other provision of law, including subchapter II of title
31, United States Code.
(d) Information Under Seal.--Any information that is part of the
administrative record filed ex parte and in camera under subsection
(b), or cited by the court in any decision, shall be treated by the
court consistent with the provisions of this section. In no event shall
such information be released to the claimant or petitioner or as part
of the public record.
(e) Return.--After the expiration of the time to seek further
review, or the conclusion of further proceedings, the court shall
return the administrative record, including any and all copies, to the
United States.
(f) Exclusive Remedy.--A determination by the court under this
section shall be the exclusive judicial remedy for any claim or
petition for review challenging this Act or any action, finding, or
determination under this Act against the United States, any agency, or
any component or official of any such agency.
(g) Rule of Construction.--Nothing in this section shall be
construed as limiting, superseding, or preventing the invocation of,
any privileges or defenses that are otherwise available at law or in
equity to protect against the disclosure of information.
(h) Statute of Limitations.--A challenge to any determination under
this Act may only be brought not later than 180 days after the date of
such a determination.
SEC. 9. PENALTIES.
(a) Unlawful Acts.--It shall be unlawful for a person to violate,
attempt to violate, conspire to violate, or cause a violation of any
regulation, order, direction, prohibition, or other authorization or
directive issued under this Act.
(b) Criminal Penalties.--A person who willfully commits, willfully
attempts to commit, or willfully conspires to commit, or aids and abets
in the commission of a violation of subsection (a) shall be fined not
more than $1,000,000 for each violation, imprisoned for not more than
20 years, or both.
(c) Civil Penalties.--The Secretary may impose the following civil
penalties on a person for each violation by that person of a rule
promulgated under this section:
(1) A fine that is the greater of--
(A) $300,000; or
(B) an amount that is twice the value of the action
that is the basis of the violation with respect to
which the penalty is imposed.
(2) Revocation of any mitigation measure or authorization
issued under this Act to the person.
(3) A prohibition or other restriction on the ability of
the person to engage in any transaction or class of
transactions covered by this Act.
(d) Procedures.--Any civil penalty imposed under subsection (c) may
be imposed only pursuant to a rule promulgated under this section.
(e) Standards for Levels of Civil Penalty.--The Secretary may, by
rule, provide standards for establishing levels of civil penalty under
subsection (c) based upon factors, including--
(1) the seriousness of the violation;
(2) the culpability of the violator, including any pattern
of reckless behavior; and
(3) any mitigating factors, such as the record of
cooperation of the violator with the Federal Government in
disclosing the violation.
SEC. 10. RELATIONSHIP TO OTHER LAWS.
(a