§ 3412. Use of information
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(a)Transfer of financial records to other agencies or departments; certification Financial records originally obtained pursuant to this chapter shall not be transferred to another agency or department unless the transferring agency or department certifies in writing that there is reason to believe that the records are relevant to a legitimate law enforcement inquiry, or intelligence or counterintelligence activity, investigation or analysis related to international terrorism within the jurisdiction of the receiving agency or department.
(b)Mailing of copy of certification and notice to customer When financial records subject to this chapter are transferred pursuant to subsection (a), the transferring agency or department shall, within fourteen days, send to the customer a copy of the certification made pursuant to subsection
(a)and the following notice, which shall state the nature of the law enforcement inquiry with reasonable specificity: “Copies of, or information contained in, your financial records lawfully in possession of have been furnished to pursuant to the Right of Financial Privacy Act of 1978 [12 U.S.C. 3401 et seq.] for the following purpose: . If you believe that this transfer has not been made to further a legitimate law enforcement inquiry, you may have legal rights under the Financial Privacy Act of 1978 or the Privacy Act of 1974 [5 U.S.C. 552a].”
(c)Court-ordered delays in mailing Notwithstanding subsection (b), notice to the customer may be delayed if the transferring agency or department has obtained a court order delaying notice pursuant to section 3409(a) and
(b)of this title and that order is still in effect, or if the receiving agency or department obtains a court order authorizing a delay in notice pursuant to section 3409(a) and
(b)of this title. Upon the expiration of any such period of delay, the transferring agency or department shall serve to the customer the notice specified in subsection
(b)and the agency or department that obtained the court order authorizing a delay in notice pursuant to section 3409(a) and
(b)of this title shall serve to the customer the notice specified in section 3409(b) of this title.
(d)Exchanges of examination reports by supervisory agencies; transfer of financial records to defend customer action; withholding of information Nothing in this chapter prohibits any supervisory agency from exchanging examination reports or other information with another supervisory agency. Nothing in this chapter prohibits the transfer of a customer’s financial records needed by counsel for a Government authority to defend an action brought by the customer. Nothing in this chapter shall authorize the withholding of information by any officer or employee of a supervisory agency from a duly authorized committee or subcommittee of the Congress.
(e)Exchange of records, reports, or other information Notwithstanding section 3401(6) 1 of this title or any other provision of law, the exchange of financial records, examination reports or other information with respect to a financial institution, holding company, or any subsidiary of a depository institution or holding company, among and between the five member supervisory agencies of the Federal Financial Institutions Examination Council, the Securities and Exchange Commission, the Federal Trade Commission, the Commodity Futures Trading Commission, and the Bureau of Consumer Financial Protection is permitted.
(f)Transfer to Attorney General or Secretary of the Treasury
(1)In general Nothing in this chapter shall apply when financial records obtained by an agency or department of the United States are disclosed or transferred to the Attorney General or the Secretary of the Treasury upon the certification by a supervisory level official of the transferring agency or department that—
(A)there is reason to believe that the records may be relevant to a violation of Federal criminal law; and
(B)the records were obtained in the exercise of the agency’s or department’s supervisory or regulatory functions.
(2)Limitation on use Records so transferred shall be used only for criminal investigative or prosecutive purposes, for civil actions under section 1833a of this title, or for forfeiture under sections 2 981 or 982 of title 18 by the Department of Justice and only for criminal investigative purposes relating to money laundering and other financial crimes by the Department of the Treasury and shall, upon completion of the investigation or prosecution (including any appeal), be returned only to the transferring agency or department. No agency or department so transferring such records shall be deemed to have waived any privilege applicable to those records under law.
(Pub. L. 95–630, title XI, § 1112, Nov. 10, 1978, 92 Stat. 3705; Pub. L. 97–320, title IV, § 432(a), Oct. 15, 1982, 96 Stat. 1527; Pub. L. 100–690, title VI, § 6186(b), Nov. 18, 1988, 102 Stat. 4357; Pub. L. 101–73, title IX, § 944, Aug. 9, 1989, 103 Stat. 498; Pub. L. 102–242, title IV, § 411(1), Dec. 19, 1991, 105 Stat. 2375; Pub. L. 102–550, title XV, § 1516, title XVI, § 1606(b), Oct. 28, 1992, 106 Stat. 4059, 4087; Pub. L. 106–102, title II, § 231(b)(2), title VII, § 727(b)(2), Nov. 12, 1999, 113 Stat. 1407, 1475;
Pub. L. 107–56, title III, § 358(f)(1), Oct. 26, 2001, 115 Stat. 327; Pub. L. 109–455, §§ 10, 13, Dec. 22, 2006, 120 Stat. 3381, 3382; Pub. L. 111–203, title X, § 1099(2), July 21, 2010, 124 Stat. 2105; Pub. L. 112–203, § 1, Dec. 4, 2012, 126 Stat. 1484.)
Amendment of Section
For repeal of amendment by section 13 of Pub. L. 109–455, see Termination Date of 2006 Amendment note below.
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Cited by 33 sections · top 24
U.S. Code
CFR
statutes-at-large
- Public Law 102–242To require the least-cost resolution of insured depository institutions, to improve supervision and examinations, to provide additional resources to the Bank Insurance Fund, and for other purposes
- Public Law 109–455To enhance Federal Trade Commission enforcement against illegal spam, spyware, and cross-border fraud and deception, and for other purposes
- Public Law 95–630To extend the authority for the flexible regulation of Interest rates on deposits and accounts in depository institutions
- Public Law 101–73To reform, recapitalize, and consolidate the Federal deposit insurance system, to enhance the regulatory and enforcement powers of Federal financial institutions regulatory agencies, and for other purposes
- Public Law 96–433To amend the Securities Investor Protection Act to increase the amount of protection available under such Act to customers of brokers and dealers, and to provide for the applicability of the Right to Financial Privacy Act of 1978 to the Securities and Exchange Commission
- Public Law 97–320To revitalize the housing industry by strengthening the financial stability of home mortgage lending institutions and ensuring the availability of home mortgage loans
- Public Law 100–690To prevent the manufacturing, distribution, and use of illegal drugs, and for other purposes
- Public Law 102–550To amend and extend certain laws relating to housing and community development, and for other purposes
- Public Law 106–102To enhance competition in the financial services industry by providing a prudential framework for the affiliation of banks, securities firms, insurance companies, and other financial service providers, and for other purposes
- Public Law 107–56To deter and punish terrorist acts in the United States and around the world, to enhance law enforcement investigatory tools, and for other purposes
- Public Law 111–203To promote the financial stability of the United States by improving accountability and transparency in the financial system, to end “too big to fail”, to protect the American taxpayer by ending bailouts, to protect consumers from abusive financial services practices, and for other purposes
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Traces to 8 documents
U.S. Code
- Definitions§ 3401
- Records maintained on individuals§ 552a
- Delayed notice§ 3409
- Civil penalties§ 1833a
- Definitions§ 44
- Retention of records by insured depository institutions§ 1829b
- Appointment of receiver for a national bank§ 191
- Extensions of credit to executive officers, directors, and principal shareholders of member banks§ 375b
50 references not yet in our index
- 1
- 2
- Pub. L. 95–630, title XI, § 1112
- 92 Stat. 3705
- Pub. L. 97–320, title IV, § 432(a)
- 96 Stat. 1527
- Pub. L. 100–690, title VI, § 6186(b)
- 102 Stat. 4357
- Pub. L. 101–73, title IX, § 944
- 103 Stat. 498
- Pub. L. 102–242, title IV, § 411(1)
- 105 Stat. 2375
- Pub. L. 102–550, title XV, § 1516
- 106 Stat. 4059
- Pub. L. 106–102, title II, § 231(b)(2)
- 113 Stat. 1407
- Pub. L. 107–56, title III, § 358(f)(1)
- 115 Stat. 327
- Pub. L. 109–455
- 120 Stat. 3381
- Pub. L. 111–203, title X, § 1099(2)
- 124 Stat. 2105
- Pub. L. 112–203, § 1
- 126 Stat. 1484
- section 13 of Pub. L. 109–455
- Pub. L. 95–630
- 92 Stat. 3697
- Pub. L. 93–579
- 88 Stat. 1896
- Pub. L. 101–73, title IX, § 941(1)
- 103 Stat. 496
- Pub. L. 109–455, § 13
- Pub. L. 111–203
- Pub. L. 109–455, § 10
- Pub. L. 107–56
- Pub. L. 106–102
- Pub. L. 102–550, § 1516(1)
- Pub. L. 102–550, § 1606(b)
- Pub. L. 102–550, § 1516(2)
- Pub. L. 102–242
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§ 3412
Use of information
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Pub. L.Pub. L. 95–630, title XI, § 1112
Stat.92 Stat. 3705
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