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Risk Reduction Steps Have
Strengthened General Aviation Security
Based on threat assessments conducted by OI and other federal intelligence
agencies, as well as the heightened awareness of aviation vulnerabilities since
September 11, 2001, TSA has identified practical, targeted measures to lessen
risks in the aviation sector.10
TSA requires GA facilities that train pilots to conduct name checks for non-U.S.
citizens seeking flight training. TSA has the authority to direct the FAA to
immediately suspend, revoke, or refuse to issue licenses to pilots who pose a
national security threat. TSA requires screening for GA aircraft operators who
request access to restricted airspace, such as airspace in high-risk urban areas
or near key infrastructure. TSA also conducts routine inspections of flight
school providers, operators of heavy aircraft, and private charter operations.
The Aviation Security Advisory Committee reviewed GA airport security and
concluded that nonfederal stakeholders have taken extensive voluntary measures
to limit security vulnerabilities.11 Measures range from pilot awareness
programs and guidelines for flight schools to assisting airports
in developing security plans and assisting businesses in identifying
inappropriate airplane purchase offers. GA operators also may implement TSA
guidelines that provide owners, operators, sponsors, and other entities
responsible for oversight of GA airports with a set of federally endorsed
security enhancements and a method for determining when and where these
enhancements may be appropriate. Examples include securing aircraft against
unauthorized access, verifying identity of all passengers, and documenting that
all baggage and cargo is known to the occupants of the aircraft. TSA has
established strong lines of communication and working partnerships with industry
stakeholders, which in turn enable the GA industry to obtain, assess, and
provide security programs and policies to address security vulnerabilities.
Industry stakeholders told us that areas for improved communication remain, and
cited the recent release of Security Directive 8F. Little information about the
directive is available as a result of the directive’s classification as
sensitive security information. Because of this classification, information
about the directive is not available to many of the affected owners, operators,
or their employees. Another result of the classification of the directive is
that there was no public comment period for the proposed rulemaking.
Appendix C describes the actions that nonfederal stakeholders have taken.
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