19 C.F.R. § 111.14

Background investigation of the license applicant

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(a) Scope of background investigation. A background investigation under this section will ascertain facts relevant to the question of whether the applicant is qualified and will cover, but need not be limited to:

(1) The accuracy of the statements made in the application and interview;

(2) The business integrity and financial responsibility of the applicant; and

(3) When the applicant is an individual (including a member of a partnership or an officer of an association or corporation), the character and reputation of the applicant, including any association with any individuals or groups that may present a risk to the security or to the revenue collection of the United States.

(b) Referral to Headquarters. The processing Center will forward the application and supporting documentation to the appropriate Executive Director, Office of Trade. The processing Center will also submit the recommendation for action on the application.

(c) Additional inquiry. The appropriate Executive Director, Office of Trade, may require further inquiry if additional facts are deemed necessary to evaluate the application. The appropriate Executive Director, Office of Trade, may also require the applicant (or in the case of a partnership, association, or corporation, one or more of its members or officers) to appear in person or by another approved method before the appropriate Executive Director, Office of Trade, or his or her representatives, for the purpose of undergoing further written or oral inquiry.

[CBP Dec. 22-21, 87 FR 63314, Oct. 18, 2022]
Notes of Decisions
Cited in 6 cases, 1982–2002 · leading case: Bell v. United States, 17 Ct. Int'l Trade 1220 (Ct. Intl. Trade 1993).
Bell v. United States, 17 Ct. Int'l Trade 1220 (Ct. Intl. Trade 1993). “Customs conducted a background investigation of plaintiff and issued its report on December 5, 1989, pursuant to 19 C.F.R. § 111.14 (1993). Administrative Record (“Ad.”
Allen v. Regan, 607 F. Supp. 133 (Ct. Intl. Trade 1985). “It is also clear that there are no statutory or regulatory time limitations placed on such an investigation, but the regulations necessarily imply some limits, so as not to render the entire process meaningless.”
Chang v. United States Sec'y of the Treasury, 2002 CIT 126 (Ct. Intl. Trade 2002). · cites it 2× “13 (examination); 19 C.F.R. § 111.14 (d) (investigation). On April 3, 2000, Mr.”
Germscheid v. U.S. Sec'y of the Treasury, 19 Ct. Int'l Trade 706 (Ct. Intl. Trade 1995). “• Background On August 24,1990 plaintiff was denied a customs broker’s license by Customs because a background investigation conducted pursuant to 19 C.F.R. § 111.14 had revealed numerous criminal violations by plaintiff involving drug use, driving while intoxicated (“DWI”) and…”
Tarnove v. Bentsen, 17 Ct. Int'l Trade 1324 (Ct. Intl. Trade 1993). · cites it 2× “On March 6, 1992 this court ordered the defendants to issue a determination within 30 days.”
Bar Bea Truck Leasing Co. v. United States, 4 Ct. Int'l Trade 159 (Ct. Intl. Trade 1982). “Cf 19 CFR § 111.14 (e) (customhouse brokers' licenses).”
Annotations are extracted automatically from the opinions in the Syfert caselaw corpus and ranked by authority, recency, and treatment. Dots show Syfertize treatment of the citing case itself.