Document 3Jv88ZzxZz9M1GxZ3BMrbL3p3
CMza
CHEMICAL MANUFACTURERS ASSOCIATION
r
April 6, 1993
TO CMA BOARD OF DIRECTORS
Gentlemen: Enclosed are the Minutes of the Janaury 22, 1993 Board meeting and March 2 Executive Committee meeting. Sincerely,
Charles W. Van Vlack Senior Vice President-Secretary
Enclosure
2501 M Street, NW, Washington, DC 20037 202-887-1100 Panafax 202-887-1237 Telex 89617 (CMA WSH)
700974.0977 OEX
CHEMICAL MANUFACTURERS ASSOCIATION
EXECUTIVE COMMITTEE MEETING
March 2, 1993 CMA Offices - Board Conference Room
Washington, D.C.
Minutes of Meeting
1. The meeting was called to order at 9:00 a.m. by Chairman Hirl. There were present:
Members:
J. Roger Hirl, Chairman J.A. "Fred" Brothers Vincent A. Calarco Earnest W. Deavenport, Jr. Michael H. Grasley Alan R. Hirsig Robert D. Kennedy
Ray B. Nesbitt John E. Peppercorn Frank P. Popoff Robert A. Roland Arthur R. Sigel
Finance Committee:
Bob G. Gower Thomas F. Kennedy J. Robert Lovett Robert v.d. I.uft Philip W. Matos Larry V. Rankin Robert G. Potter
Secretary: Treasurer: General Counsel:
Charles W. Van Vlack Gary C. Herrman David F. Zoll
By Invitation:
David S. Alcorn, Crompton & Knowles Corporation R. M. Julie Archuleta, Occidental Chemical Corporation *David T. Buzzelli, The Dow Chemical Company *Robert (Rob) J. Christie, FMC Corporation J. Brian Ferguson, Eastman Chemical Company ^Lawrence Gess, Nalco Chemical Company *Clif T. Hilderley, Ashland Chemical Company Jon C. Holtzman, CMA Fred G. Marshall, Exxon Chemical Company James D. Mclntire, CMA Frederick L. Moore, Union Carbide Corporation Morton L. Mullins, CMA *Robert Nightengale, Nightengale Associates *Tony Shaw, 3M Corporation William M. Stover, CMA Gordon D. Strickland, CMA
700976.0978
MEX
2
*Mike Vaughan, Ogilvy & Mather Donald J. Verrico, DuPont Frederick L. Webber, CMA
*Richard Wirthlin, Wirthlin Associates Ben Woodhouse, The Dow Chemical Company
* Part time only
2. Minutes of Last Meeting.
The minutes of the January 21
1993, meeting were approved as distributed.
3. VERI Initiative.
Mr. Popoff introduced Mr. Buzzelli who
made a presentation on the concepts and key elements underlying the
development of the Voluntary Environmental Reporting Initiative
(VERI). VERI had been undertaken by approximately twelve companies in
cooperation with CERES representatives to develop a consistent format
for corporate environmental reporting. While CERES would serve as the
clearinghouse and publisher of the reports, they would not edit or
otherwise comment on their contents, nor would the participating
companies be asked to sign the Valdez/CERES principles.
Mr. Buzzelli indicted that the process had not yet been concluded but that a joint press conference was tentatively scheduled for March 25 to announce the trial program.
There was extensive discussion of this project and its implications and the participating Executive Committee companies agreed to come back to the Executive Committee and Board in April for further discussion.
4. Public Outreach Program.
Mr. Potter opened the discussion
of the renewal of the advertising component of overall outreach
program which he indicated was premised on the belief that this type
of program provides the industry with the opportunity to improve the
"climate" in which we operate.
Mr. Holtzman then presented recent Roper poll data showing some positive shifts in opinion with respect to the industry that could be attributable to Responsible Care and the attendant first phase of advertising.
Mr. Nightengale then outlined the Wirthlin strategy and the three types of testing that were being used to evaluate the proposed advertising approaches. These tests included Wirthlin strata, McCollum-Spielman, and focus group testing with employees. He indicated that the target audience was "influentials".
Mr. Vaughan of Ogilvy and Mather reviewed the results of their research which showed that the industry remained very vulnerable but that public opinion could be changed. He presented the strategy which was directed at stopping the slide using the Wirthlin developed communications strategy which was designed to move the "Swing/Neutral" group and not targeting those with strong negative opinion. He reviewed the three
700976.097?
3A
advertising concepts ("Parables", "Turning Things Around", and "New Generation") which were being tested. The next steps included developing animatics, following through on the research, revisions, selection of the preferred option, and final review in April.
There was discussion of the relative merits of a national vs. regional program and their relative appropriateness and effectiveness. There was also discussion of the relative merits of partnering with a state chemical association (LCA) on a regional outreach program.
In a non-binding straw vote, the Executive Committe endorsed presenting a national advertising program to the Board in April for their approval and deferred action on the Louisiana Chemical Association request for partnering on a regional program until after the decision is made on the CMA program and with the hope that LCA can garner financial support for its proposed program beyond CMA member companies.
3. Toxic Use Reduction.
Messrs. Theissen, Shaw and Jacob
made a presentation on toxic use reduction (TUR) and proposed goals and
principles for the Association which would guide the development of our
policy, strategy and advocacy. Mr. Shaw reported on the federal
legislative status, needs and outlook while Mr. Jacob did the same for
state issues. Mr. Theissen focus on the internal TUR multidisciplinary
issues team's work. Key issues included: the need need for urgency,
the issues group goals, chemical management principles,
education/advocacy plans, the range of CMA member company perspectives
and opinions, and the schedule for the action plan. The draft goals
and principles were presented for information and comment, with the
plan being to come back to the Executive Committee and Board in April
for approval of the goals and principles, with action on the strategy
and policy to follow later in the year.
6. Finance Committee Report: 1993/94 Budget.
Mr. Calarco
presented the results the previous day's Finance Committee meeting
which considered the program and funding options set forth in the
Preliminary 1993/94 Budget that was mailed to all Finance and Executive
Committee members.
Mr. Calarco reported that the budget requests presented by staff and committee representatives were the result of stringent base level budget criteria which, excluding the Public Outreach Program, had resulted in a base budget that was flat year-to-year and for which total expenses were less than the level of spending projected for the current year. Added to this base-level were proposed programs totaling $3,221,300 which consisted of a combination of program increases previously approved by the Board of Directors totaling $886,700; new programs of $678,000; and additions to existing programs at a proposed level of $1,565,600.
In reviewing the Association's activities, the Finance Committee found that all of the proposed items had significant merit when viewed individually. When viewed in total, however, the recommendations required a 15% increase in the schedules of fees. Despite the merit of the proposals, the Committee felt that such an increase in fees would
700976.0980
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>81
5
Administration and Congress. was approved.
The restatement as set forth in Exhibit B
8. Federal Legislative Issues.
Hr. Hilderley presented a
status report and outlook on pending federal legislative issues
including the Clinton economic package and Btu tax, as well as NAFTA,
Superfund, Clean Water Act and the Safe Drinking Water Act. There was
discussion of the Btu tax and the viability of various consumption
based taxes, included a VAT.
9. Federal Regulatory Advocacy.
Mr. Mullins highlighted
various regulatory and policy development issues which the Association
was engaged in, including TSCA, Clean Air, process safety regulations,
RCRA, OSHA reform, tank cars, and agency opportunities.
10. State Issues.
Mr. Christie highlighted pending state
issues including: state affairs support for federal advocacy on CAA
regulations, RCRA, and Superfund issues; state revenue programs, the
Great Lakes initiative, and environmental equity.
11. President's Report.
Mr. Roland presented a recommendation
in which the Executive Committee concurred to defer for one year
collection of the waste survey information required under the
Responsible Care Pollution Prevention Code. He also mentioned key
agenda topics for the upcoming International Council of Chemical
Associations' (ICCA) meeting in Ottawa in late March. He also
expressed CMA's gratitude to A1 Hirsig of ARCO Chemical for
volunteering a loaned executive (John Masters) to lead our effort on
environmental, health and safety management system advocacy.
12. Committee Appointments.
Mr. Van Vlack presented several
nominations to fill vacancies on CMA committees which were approved as
set forth in Exhibit C.
13. Treasurer's Report.
Mr. Herrman reported that performance
against the 1992/93 budget through January 31, 1993 continued as
projected in the 1993/94 Preliminary Budget Book.
The meeting adjourned at 12:05 p.m.
Charles W. Van Vlack Senior Vice President-Secretary
7^0976,0982
YEX
CHEMICAL HAMUrACnntCKZ ASSOCIATION PRELIMINARY BUDGET - SWBURY BY DEPARTMENT AND PROCRAM
FY 91/92 Actual, FY 92/93 Budget and Projected suits, Preliminary FY 93/94 Budget
ATTACHMENT A
. ft.
FY 91/92
CHA ADVOCACY PROCRAKS
Audi tad
RECULATORY AFFAIRS PEPARTHEWT: Claim Air Yrogrwii IAB l>
Rasult s
t"T7tZ7'P
Surface Water
TAB *5
329,380
Craundwater (Including SWA) TAB 13
20,200
Hazerd&us Waste Management (RCRA) TAB V3
343.700
Mmptfoui Waste Cleanup (Suoerfund) TAB 13
Sit ,300
Pollution Prevention Progree TAB B3
306.600
Responsible Cared Pollution Prevention Coda Toxic* U*a Reduction (TUR) TAB BA
73,900
-0-
Product Stewardship and TSCA TAB 64 Responsible Ceree Product Stewardship Coda
409,300
Risk Assessment, Risk Management TAB BA
631.400
Public and Occupational Haalth TAB BA
498.600
Responsible CaraB Emloyee Haalth C Safety. Coda
-0-
Publie and Occupational Safety TAB 15
234.400
istpsnsibl* CspsF CAER Coda TAB R5
183.100
Engineering C Operations TAB R5
277,500
Responsible CaraB Procaas Safety Coda TAB 15
-6-
Distribution Safaty/ Econoales t Emergency Rosponsa
464.700
Rasponsibla Carae Distribution Coda TAB BA
79.200
DEPARTMENT TOTALi
n;e7r,rg*
FEDERAL GOVERNMENT RELATIONS DEPARTMENT;
International Trade-Tab M7 Taxation TAB B7 Energy ( patrochanieal Feedstocks/Global Cliaata Intornatienal Affairs TAB B7 Economic Advocacy A Analysis TAB R7
Federal Lapislativa Advocacy t Coelltlonlng T B8
Grassroots Propram TAB R9 Political Aetivitias Program TAB B9
DEPARTMENT TOTAL:
* 229,600
253.200 140.200 334.000 520.000 1,646,100
409,400
46,600
STATE AFFAIRS DEPARTMENT; TAB 610 Stata legislative I Regulatory Advocacy
Federation of State Chaaical Associations Stata Initiatives Program
DEPARTMENTAL TOTAL:
6 1,164,600
1.177,200 TAB B10
~2;3vr;eTP
OFFret OF GENERAL COUNSEL: TAB ill Staff and Related Legal Service* Third-Party Subpoena Response > Defendant
Litigation Outside Purchased Services
Intellectual Property Insurance Amicus Brief Program CKA Tort Litigation Croup
Liability Amicus Program
DEPARTMENT TOTAL:
* 2,125,100
352,600 1,204,200
-0TAB ill TAB Bll TAB Rli * 5,iSI,~9P6
COMMUNICATIONS DEPARTMENT (ADVOCACY): TAB B12
Media Communications
S 1.330 .700
DEPARTMENTAL SUBTOTAL:
*"173117706
CMA TRADITIONAL ADVOCACY EMPHASIS PROGRAMS-SUMMARY *16,8357*66
OUTREACH l SERVICE PROGRAMS: TAB BIS
------------------------
COMMUNICATIONS DEPARTHEN( (OUTREACH SERVICES!:
Targataa Issue-A nember Communication
1.189.400
PiA>lic Outreach Program
9.325.400
DEPARTMENT TOTAL
RESPONSIBLE CAREff DEPARTMENT: TAB 614 Responsible Caret Program
S 1,111,400
TECHNICAL SERVICES DEPARTMENT: ChtniKtL*/CHfcflNfcl f-Administration TAB B15 CHEMSTAR Division TAB *14 CHEMSTAR Businass Councils TAB B17 CHEMSTAR Panels TAB BIB
DEPARTMENT TOTAL (Nat of Revenue)
UNALLOCATED MANAGEMENT AND SUPPORT: TAB B19 Executive Coordination and Support Meetings end Conventions Accounting and Finance Business Services Computer and Information Services Printing and Distribution
UNALLOCATED SUPPORT TOTAL: CMA OUTREACH t SERVICE PROCRAMS-SUMMARY
TOTAL EXPENSES:
$ 2,541,700 (103,100) TAB B17 TAB 016
* s;vsa,m
* 1,787,400 347,900 693.200 356.200 043,400 424.500
S 4,452,680 *15. Lift.386 <35,3/3.55*
REVENUE: Hemoership Foes TAB B20 Public Outreach Assessment TAB *20
CHEMTRECC Registration Fobs Investment Revenue t All Other
TOTAL GENERAL REVENUE: CONTRIBUTION TO (Use
of)
RESERVES
$22,292,300 10,252,600 2,343,300 2,031,400
$34,94 0 767*
OT7o?77ffT
AUTHORIZED PERSONNEL ANALYSIS OF ASSOCIATION RESERVES END OF YEAR:
Reserve increase-iDeereese) General Operations
Reserve Increase (Decrease) Special Assessment Total Year End Reserves: Percent of General Operating Budget:
223
$ 639,500 927,200
*ii';rv:,6B*
--vrm~~
Approved FY 42/93 Budget
475,990 22,400
730,300 391,300 139,800 361,700
40,500 295,400 242,600 585,480 446,300
48,700 245,200 264,460 336,708
-0747 ,608 161,408 S 4|41H,400
* 253.600 241,300 124,100 342.100 455 ,400
1.625,500 595,100 102,000
S 6,961,100
$ 1,134,760 1,217,600 TAB B10
* 4,352.508
$ 2,233,700
225,000 1,350,500
-0TAB Bll TAB Bll TAB 11 1 5, *69.266
$ 1,820,360 4 1,620,301) *16,357,500
782,700 18,080,000 *1*775 2 77* *
S 1,199,608
$ 2,557,200 -0-
tab si7 TAB B16 *"2755772**
$ 1,716,380 347,300 011,000 364,700 960,300 437,400
*175377*** nrnrrrs** $i' ,553,800
$21,700,000 10,000,000 2,300,000 2,220,000
f5o7zZ0,OOO HI7325eMA>
225
Prelected FY 92/93 Results
474,400 22,460
720,660 341,606
44,966 456,900
40,460 289,200 228,300 569,600 420,700
57,600 101,600 164,609 321,400 146,660 555,900 423,900 *--4;35*;***
* 232,609 191,900 223,600 345,000 557,200
1,910,960 507,566 114,700
* J , 04 , 9
$ 1,149,000 1,120,500 TAB B10
* 2,277,506
$ 2,249,600
200,000 1,356,300
26,560 TAB 111 TAB 611 TAB Bll I 3,82,40*
t 1.83S.B00 *17*3571** *10,20179*0
765,700 5,419,000 S 6,104,700
* 1,134,400
$ 2,500,800 -0-
TAB 617 TAB 810 n, 56ft, *66
$ 2,477,800 332,600 620,100 390,408
1,058,660 449 ,100
17*1*7*** kii ,39b./00 Lii.6JO,00
$21,690,600 9,980,000 2,543,700 1 ,696,100
S3.109,600 noTTrnre
225
$12,001,000) 4 ,561,000
n5.i7i';666 ---------55IFZ-
Base Line Preliminary FY 43/94 Budget I Sin, 5 B 8
523,900 25,200
594,206 426,800 100,900 391,699
37,700
216,100 366,190 442,500 337,380 223,100
66,008
216,199 301,200 212,100 501,680 448,480
*172775**
P.rpooled
FY 93/94 Budget \ 205,000
156,600
240,099 678,660
10,580 20,080 136,080
65,600
49,899
95,608 34,300 50 ,000 i 177157***
Recommended Tr 93/94 Budget
25,200 744,200
715,700
337,300 266,100
66,080 256,190 301,200 307,100 535,900 490 ,400 rrr*T*7i**
9 226,290 t
* 220,200
160,700
166,700
219,200
219,200
339,400
339,400
545,400 1,896,100
153,600
545,400 2,029,900
590,080
590,000
116,200
11B.200
T "47125720*
1317***
5723*7***
$ 1,217,560 $ 107,600 $ 1,324,500
1,136,160
345,600
1,401,100
TA0 *10
TAB 610
* z73b'3,6DD
45ii ,0 0 0 i d,eu5,*uu
$ 2,333,700
225,000 1,260,500
26.SOO TAB 611 TAB Bll TAB Bll *17*7577**
0 *
150,000 150,000
$ 2,333,700
225,000 1,410,500
26,500 TAB ill TAB ill TAB U *17*3577**
t 1,663.400 * 1,4*3,400
$16,284,400
0 tr
* 2,469,600
* 1,683,400 *" l /e'a J,*00
*1*77557***
799,100 10,000,000 n* ,7** ,iob
95,000 95,000
894,100 10,000,000 *1*78947100
$ 1.014 ,000 s 392,080 * 1,406,000
$ 2,733,100 -0-
TAB 617 TAB BIB *1775171**
$ S
94,700 94", 70 6
$ 2,627,800 -8-
TAB *17 TAB >10
*17*177***
$ 1,459,500 325,100 915,600
405,700 1,061,600
460,200 *17*2777**
(197173,900 137 ,458,'iO'fl
0
35 ,000 135,000
* i7<5~, ooo 751,700
'3,221,500
$ 1,459,500 325,108 950 ,600
540,700 1,961,600
460 ,200 S~~5T7T7'T7TF5
1797571** $40,679,6*0
$22,750,000 10,000,000 2,711,900 1,996,400
$377^50,300
225
f 3,412,080 13,000.000)
( 412,000 *n.BC3-30Cl
$26,162,000 7,000,080
2.711,900 1,996,400
*17777716*
16 241
S 190,700 (3,000,000
nr,6b77TB6
-3-
?009?6 `OpQs
Chemical Manufacturers Association MEMBERSHIP FEE CLASSIFICATION
(Chemical Sales Basis)
Fiscal Year Beginning June 1,10921993
"UNCHANGED"
The following schedule of fees was established by the Board of Directors as provided under the CMA Bylaws Article fVt Section 2.
Chemical &ales_
Calendar yeatttS3l992 SMIHion
Membership Fee
Canadian Members Under- 10.0
10.0- 25.0 25.0- 50.0 50.0- 100.0 100.0- 400.0
Over- 400.0
Maximum Fee
$ 7,500 5 7,500 $ 10,000
0.03712*
0.03392* 0.0309X* 0.02772 $682,500
* Upbutrtmor* thanthsmembarahip tee whicnvrouldt>*ob&uned by mumptyrng Bin tnnmum amount of xm nart higrw eftsmieal sate* braexat by me percenage tew spptaaWe to me higher bracket and not tee* manStO.OOO.
In addition to me abwe teas, me Board of Director* has psablishad a mandatory.0125S assessment to a maximum of J306.000 , be appbed id reported sate* m support of me Public Outreach Progrwn.
"PROPOSED" (15% INCREASE IN FEE SCHEDULE: Offset for) (FY 1993/94 by a Related Decrease in the ) (Outreach Assessment)
The following schedule of fees was established by the Board of Directors as provided under the CMA Bylaws Article IV, Section 2.
Chemical Sa!e*_ Calendar yearxN93&1992 SMIHion
Canadian Members Under- 10.0 10.0- 25.0
25.0- 50.0
50.0- 100.0 100.0- 400.0 Over- 400.0 Maximum Fee
Membership Fee
5 6,600 $ 8,600 S 11,500 0.04272* 0.03902* 0.03552* 0.03192 $784,900
* UpttbutnotrnoremanmemembershiptoewtuchwPUdbeobttined by multiplying me mnRmsn amount of the next higher chemical sates brscfcei by me percentage taaw applicable la me higher bracket and not less tnanj 11,500
In addition to the above tees, me Board ot Directors has estabished a mandatory .00673*assessment to a maximum cf $2l4.fiODto be applied to reported sates in support of the Public Outreacn Program.
-111-
700976.0984
UEX
CHEMICAL MANUFACTURERS ASSOCIATION 4ELOW-THE-LIME PRIORITY SUMMART
HIGHEST PRIORITT-RECO*1ENDED FOR FUNDING
Analysis ef Iwwiti Bairn--iwndsd far F^xvdlng REGULATORY AFFAIRS:
Beard Approved
EHC EMC
EHC
EMC
Staff I Related, Telephone
Clean Air Cl> Clean Air Manager
Eoulpment Leek OwmntIfleetIon flua Dispersion Nofleli IHAB A HO)
*
Nonettalneent Technical Reviews
Nusrdout Waste Management (RCRA)
(1) RCRA Manager Rwviaw State Subtitle 0 Regulations
-
Co*t/4enefits Analysis of RCRA Legislation
Recycling Definition Review
Responsible Caret Pollution Prevention Cobs
TRI Database Project Environmental Assessment Docuesnt Sew11 Coerany Teel Kit
40.000 75.000
f(MO
50.000
to.ooc
15.000 25.000 50.000
! 1
02
as
ai
OS It RIO
Hew Prnpram
Existing Program Additions__________
I 15,000
Program Totals
* 2S,aoo
106,000 *1/01
30,000 Oll/oll 30,000 023/RU
I 150,000 * 254,000 *C
EHC/HIS - Toxic Use Reduction e (1) Regulatory Affairs TUR Hanspsr e TUR Keystone Dialogue a Hebei State Legislation on TUR a OPS for Cm--unicatlen Strategy e (1) Media Advocacy Manager I (1) Support Staff in Communications a Federal Legisletlvs Consulting to FCR o Federal TUR Coalition e (1) In-House Attorney Dedicated to TUR a DPS Legal Fees to Supplement TUR
HAS - Staff I Related, Telephone HIS - Responsible Cared Product Stewardship Cods
o Measurement of Internal P*rtommrc* e Produet Stewardship Implementation Guide HIS - Risk Assesaaient, Risk Management Cost/Beneflt of Riek Reduction Options e Devalee Hessagas re: benefits of Cheelcsls HIS - Responsible Cared Eeoloyeo K1S Code e OIIR Systea Measurement e Managers Guide to Implement Code e Information Sharing System
40,000 04 13,000 04 30.400 44
125,440 44
95.440 II 100.400 11
20.440 12a 40,400 1 175.400 14
10,500
10,000 M/44 10,400 m/17
25,400 47 113,000 17
15.400 M/03 14.400 na/02 4e,ooe na/43
474,144 14,500 0 20,000 RC 0 138,044
< 45,440 RC
EOC a
a EOC O a a e
Responsible Cere* CAER Code Cede Measurement System
CAER Awards Program Plant Open House Culdalines Responsible Cared Process Ssfoty Coda Piper System Information Sharing Training Cuide for Worker Qualification Proewws Safety Resource Manuel Revisions Manager Guide, Audits
Distribution - Staff I Related , Telephone Dlst. - Responsible Cared Distribution Code
e Distribution Risk Management
24.000 m/42 14,400 m/17 14.000 m/IU
25.000 na/04 34.000 M/414 14.000 na/415 30,004 M/014
34,344
50,000 14/49
1 44,000 RC
95,440 RC < 34,300 0 50,000 RC
FEDERAL GOVERNMENT RELATIONS:
FOR - Staff I Related FOR - Legislative Coalltloning
53,840 3 0,000 2
0 133,400
STATE AFFAIRS:
SAC - Recommendations of board Review o' Fourth Regulatory Advocacy Grant SCAN Grants 10-15 o Lobbyist with Services - SC e (2) Manager* t (1) Support e General Business Grant -TN a Hew C1C Seed Support e Lobbyist, Monitor
SO,doe R1 70.000 R2
S5.0B0 >3 155.000 44
25.000 >5 125.000 dd
22,100 17
452,000
GENERAL COUNSEL: OPS - Outside Legal Fees (Superfund)
4 150,401 IS
t 150,400
COMMUNICATIONS 8 CC - CKA Hews Coverage Expansion
0 95,040 Ml
0 95,400
RESPONSIBLE CAREB :
RCCC - Staff I Related e (1) Staff Assistant, Special Advisory e (1) Associate Director, Internal Activities e (1) Associate Director, Extomal Activities e (2) Staff Assistant, to Above e Code Progress Reports a Turnkey Codw Workshops
0 47,000 35.001
35.040 125.000 15
30,000 14
40.400 40,000
392,000 RC
TECHNICAL SERVICES;
CHEMTREC Cantor - Board Advisory o (1) CHENTREC Staff Assistant Rogistrotion
a CHENTREC Maintenance e CHENTREC Travel I Etc.
S 35,000
34,000 23,710
* 94,700
ADMINISTRATION:
e (1) bookkeeeer (1) Publications Clerk o OPS Building/Lessc Analysis
TOTALS:
1444,700
<470,000
35,000 35,000
110,000
*1 ,454,400
* 35,000 t 135,000 <3,221,300
700976.Q9B5 VEX
CHEMICAL MANUFACTURERS ASSOCIATION
PRELIMINARY BUOCET
rv 41/92 Actual, FY 42/43 Budget and Prajected RtiuUi
Frtlitlnwy FY 93/44
and frograi Caiti
PUBLIC OUTREACH PROGRAM
PROJECTED REVENUE AMD SUMMARY OF EXPENSES BY AUDIENCE
REVENUE:
FY 41/42 Actual
Results
Rttpontlbl* CarS Public Outrtidi AcMtmni
TOTAL REVENUE:
EXPENSES BY AUDIENCE:
1-3
fcMiey** and Loiwunlty
o Staff X Related Expenses
e Develop Coda Information Packages
e a Develop Praetlca Coda Vldaas X presenters
Guide*
o Employee X Community Attltuda Survay
0 Advisory Panel Vldao Taps a Community Advisory Panal Survay
Brochure an Moaa Sefety I Hazardous Hatarlals
o Outraaeh Training o Kids CAER
*10.,252,SO*
lie,TZSZJSW
4 3,700 3,*00
24,100
50,400 7,000
51,0*0
9,40ft 3,000
l 152,300
4. Local S Stats Officials
o Outraaeh Material* for CXC Spaakars Buraau
i
-C-
o Rasoonslbla Cara* Ads in Stata X Local
Covarnaant publications o Mailing* to Officials on Rasponaibla Cara*
47,4*0
-a-
o Support Organization ef Stata Advisory Panal*
-0-
a CXC Block Grant Progt-se
-0-
1 47,935
S. Federal Officials o Rasponclbla Cara Advartlsaaants
4. Madia
a Staff 1 Ralatad Expanses a National K Ragional Spaakars Forum o Expand Madia Tour a Raspenslbla Cara Editor Mailing a Rasponclbla CareS Madia Guidelines o Funding of Envlronmantal Reporting Forum a Association Cu--mnlcatlon Rataarch
* -e-
* 2*0 25,*00
-a-
A,2*0 3,300 50,000
-*{ 64,/CO
7. Local and National Public Xntarast Croups a Staff X Ralatad Expansas a Clobal Tomorrow Coalition Printed Hatarlals
t -05,*00
1 ------ STEW
6. Educators 3 Student* a Staff X Ralatad Expansas - Support Staff o Staff X Ralatad Expansas - Other a Enhancements to ChamEaology o Enhance Quality of Science Education e Support for Education Organisations In T6 o Davalop Chair Endowment Modal o Support for Science Education Through CIC Federation System
o Ewend Catalyst Awards o Educators Travel
* 30,10* 2,4*0
203,2** 106,4*0
1,4*0 1*
48,40*
-f1
4. Shareholders and Analysts o Staff and Ralatad Expanses Heatings X Correspondence
* 600
-a-
1----- ----------- 773
10.
Qeneral Public a Staff and Ralatad Expansas a Nonmadia Costs Placement Coat* a Canaral Print, Art X graphics a Public Outraaeh Consulting ACS Advertising
* 13,700 324,400
0 ,103,400 -0-
14,500
-ot & ,459,000
Public Opinion Research 0 Staff and Related Expansas > Advertising Tracking Study and Tasting a Valera* Research a Community Advisory Penal Survay
TOTAL EXPENSES t
* -0-
181,700
-0-01 ' IBI',78 0 A ? ,525,500
Approved FT '42/93 Budget
*10 ,000,000 in ,000,09a
* 5,100 20,*00 42,400
44,400 -0-
-0-ft20 ,ooe 40,000 T-- zi.2,4`5*
25,000
30,000 3ft,000 100,000
-0-
* 10.000
a 33,500
15,000 15,000
4,500 -0-
50,000 -0-
# US,WO
t -05,000 s.ooo
r 10,000
* 34,400 4,800
205,000 220,000
5,0*0 5,009
100,000 47,500 -0-
5754,200
* 2,500 2.000
3---------4755
5,00* 454,200
7 ,480.400 30,000 40,000 -0-
1 A ,530,900
* 2,100 172,400 -e-
1/P,DUO FlD/BOO/ftBO
Projected FY 92/43 Ra1 cults
9,400,000 4,40*,oW
4 5,500 12,400 34,000
41,000 4,000 -0-
16,700 -9-
35,000 40,000 1 212,600
0 42,100
47,400 40,000 101,000
-0i --5717573
* 10,000
33,500 10,000 15,000 4,500
-0-
50,000 5,000
f 1X87575
* -05,000 2,59ft
' 7,596
$ 35,490 5,400
265,000 220,000
2,090 10ft
100,000 104,100
10 ,000 V rsrpnru
* 2,09* 1,000
t 57775
8,300 1,041,060 2,140,900 30,000 50,000 250,000
t 37539750
* 2,100 272,400 160,000 30,000
l 45,OO0 i 5,419,00*
Prelieinary FY 43/44 Budget
*10,000,000 "1373337333
5,100 37,300 45,000
65,000 -0-
*0-ft40,000
4 212.400
-ft-
-ft-ftiss.eoo * 165,000
* 10,000
0 33,500 15,000 15,000 4,500 -050,000
-0-
1 11s,Me
1.500 5,000 3,000
3 9.300
* 39,400 4,600
285,000 225,000
5,000
-0-
100,000 104,500
10,400 3 TTpTSTD
* 2,500 2,000
~t 4,500
0 13,500 1,*20,0*0 7,223,4(0 30,000 45,300 -0-
* 2,100 390,000 -030,000
T 312,1*3 31773377733
[ AUTHORIZED PERSONNEL
1 11
i ---------------------- --------------------------------------------- ---------------------------------------------------------------------------------------- 1------------------------------------1----------------------------------- {
-79-
1
700976.0984
CHEMICAL MANUFACTURERS ASSOCIATION Responsible Care Partner Company Sales Report and Worksheet for Calculating
and Remitting Partnership Fees
Under the criteria for Responsible Care Partner Companies, the Partner fee as established annually by CMATs Board of Directors is assessed for the
fiscal year which extends from June 1 to May 31. The basis for the fee is the preceding calendar year chemical-related sales of each Partner Compa ny. Chemical-related sales are those sales derived from the manufacture, use, formulation, distribution, transportation-storage, and/or treatmentdisposal of chemicals. Annually, each Partner Company is required to com plete and submit this worksheet reporting their sales along with their check in payment of their Responsible Care Partner Fee.
PLEASE COMPLETE THE FOLLOWING INFORMATION and forward THIS FORM WITH YOUR CHECK made payable to "Chemical Manufacturers Association".
TO: Vice President-Treasurer, CMA
According to the above definition of chemical-related sales, this compa ny's sales dollar volume for calendar year 1992 and annual fee for the
fiscal year beginning June 1, 1993 is:
Fee Classification Calendar Year 1992 Sales - S Million
Fixed Fee (A)
Calendar Year 1992 Actual Chemical-Related
Sales
Rate
Variable Fee CB)
Under $10.0 10.0 - 25.0 25.0 - 100.0
100.0 - 200.0 200.0 - 300.0 300.0 - 400.0 400.0 and Over
$ 1,000 $ 3,000 $ 5,000 $10,000 $20,000 $30,000 $30,000
($ ($ (S C$ ($ ($ c$
X .00625%) == $ X .00625%) =* $ X .00625%) = S X .00625%) == $ X .00625%) == $ X .00625%) -= $ X .0125%) := $
Our total annual fixed plus variable fee (A+B) from the appropriate line above is $
NAME OF COMPANY:_______________________________________________________
SIGNED:
DATE:
UPON COMPLETION. PLEASE RETURN WITH YOUR CHECK TO:
Mr. Gary C. Herrman Vice President-Treasurer Chemical Manufacturers Association 2501 M Street, NW Washington, DC 20037
-86-
700976.0987 VEX
CHEMICAL MANUFACTURERS ASSOCIATION APPROVED BUDGET - HISTORY OF PROCRAM EXPENSES
CMA ADVOCACY PROCRAMS REGULATORY AFFAIRS DEPARTMENTS
Clean' Air rrogrwi Surface Hater Ci-widn<ap [Including SONAI huarOout Vaata nan*9aaan< (RCRA) HaMrdoua Waste Claaw (Swr<undl Pollution Prevention Preprea
Responsible Corot Pollution Prevention Code
lexica Use Reduction (TUR) rrodget Itannlihlp ond TSCA lawoncibla Coroe Product Stewardship Code Risk Aumaiant, Risk henapsasnt
Public od Dceupotienal Health Responsible Coro* Eaoloyaa Hoolth 8 Safety Cede Public and Occupational Safety Raspons1bio Carat CAER Coda Engineering A Operations
Responsible Care* Process Safety Code
Distribution Safety, Economies ( E--rpency Response Responsible Caro* Distribution Code
DEPARTMENT TOTALJ
FY 66/61 Audited Results X 569~HB
233,500 124,160 310,800 266,*00
-0-
-0415,600
-0-c-
413,600 -0-
241,000 437,400 111,400
-0372,700
-8-
r-s-;uB7CTB
FY 81/10 Audited Results r~ 4Z4,ZI8
211,700 1*4,600 216,300 210,600 116,640
-0371,100
-055,760
773,900 -0-
170,6*0 277,600 266,100
-0 -
674,160 -0-
>
fy t#/ti Audited
50,70* SU>N* 250,000 All,TOO
121,A00
101.100 116,000
-0157,BOO 250,000 252,600
-0722,700
FEDERAL GOVERNMENT RELATIONS DEPARTMENTs Internationa TraiTo Taxation -
Energy A PetrocheoicaX Feedstocfcs/Clobal Cllpete International Affairs
Econoelc Advoeoey X Analysis Federal Legislative Advocacy X Coalitioning Grassroots Preprea Political Activities Propraa
DEPARTMENT TOTALS
* 157,900
114,000 203,200
61,400
315,200 1,309,100
201,600 -0-
r~z7<.5y;zog
0 113,600
116,100 261,100 223,6*0
554,1*0
2,131,3*0 230,20* -0-
i 3,79c,ze6
* 322,700 212,700 263,600 321.100 511.100
1,102,100 211,200
i 6,/anrw
STATE AFFAIRS DEPARTHEWT; State Legislative 1 Regulatory Advocacy Federation of State Chaelcel Associations Stats Initiatives Propraa
DEPARTMENTAL TOTALS
OFFICE OF GENERAL COUNSEL; Staff end belated Lapel Services Third-Party Subpoena Response X Defendwvt
Lltipatlon Outside Purchased Services Intellectual Property Insurance Aaicus Brief Propraa DMA Tort Litjpetien Creip Liability Aaicus Propraa
DEPARTMENT TOTAL:
COMMUNICATIONS DEPARTMENT (ADVOCACY)S heals CoB>unicetlons
DEPARTMENTAL SUBTOTAL: CMA TRADITIONAL ADVOCACY EMPHASIS PROCRAMS-SUMMARY CHI OUTREACH X SERVICE PROCRAMS:
COMMWigAngKS PEPAHTHEtfr <OUTREACH X SERVICES!: Targeted issue 1 Hsiesr Csssuniestion Public Dutroseh Propraa -
DEPARTMENT TOTAL:
RESPONSIBLE CARE# DEPARTMENT: Responsible Caret Propraa
< 746,1*0 1,*34,6*0
62,000
626,3*0
H/A
H/A
648,100 rT7K27TO
0 1,364,400 1,723,860
2,261,560 16,500
N/A M/A N/A 6 3,664,400
131,100 1,356,360
16,7*0
N/A
N/A N/A
r sTzsrmi
1,563,200
* 2,396,600 213,007
* 1,550,30* i 2,463,300
Lb *200
0 >0-
-0-
2,645,1*6
l -3- < 2,846,lOO
212,400 712,500
t 661,1*0 1,511,800 N/A
t 3,39T9W
* 1,680,100
376,200 1,212,600
37,300 N/A N/A N/A
t 5,507,2*0
1,531,700 I 2.663,760 817,501,1*6
1,630,700 * 1,436" 7ffB
X 177,100
TECHNICAL SERVICES DEPARTMENT: CHEHTREii/CHEHNti x AOainistretion CHEMSTAR Division
CKEMSTAR Business Councils CHEMSTAR Panels
DEPARTMENT TOTAL (Net of Revenue I:
* 1,457,300 * 1,613,260
(22,200)
42,100
N/A
N/A
N/A
N/A
2" 1", 4357100 1,735.300
C 2,036,000 (30,100)
N/A
N/A r"2,007,100
(^ALLOCATED MANAGEMENT AMD SUPPORT: Executive Coordination-and Support" Meetlnps and Convention* Acceuntinp end Finance Business Services Coeeuter end Inforaation Services Printing and Distribution
UNALLOCATED SUPPORT TOTAL: CMA OUTREACH X SERVICE PROGRAM EXPENSES:
TOTAL EXPENSES:
REVENUE: HonborsKip Fees Public Outreach Asaasaeent CHENTREC Registration Fees Investeent Revenue X All Other
TOTAL CENERAL REVENUE: CONTRIBUTION TO (Use of) RESERVES
* 1,400,700
233,5*0 584,4*0 231,500
583,1*0
261,000 2"'3TT937B02
147941:306 817,146,600
0 1,224,100
271,3*0 560,300 257,700 686,400
212.400 ( 3,293,000
* 6,56.700
024,076,900
017,073,000 -0-
-0-
1.786.700 m,B59,7trc l,,8|ira
*21,416,400
350 ,400 2,137,000 Z3,983,600
* 1,537,600 333,4*0 681,400 316,300 766,200 351,600
r 4,514,700 i 6,630,40*
?b i XiH bC0
022,171,600 1,630,700 1,244,100 2,305,100
rnTzziTEir?
FY ti/t2 Audited Result*
529.300 20,200
343.700 311.000 301.000
75,too
189.300
631,100 416,6*0
231.100 103.100 277,800
111,7*0 79,200
5,677,1PB
Prelected FY 12/13 Results
171.100 22,100
720.600 311.100
*1,100 154.100
IB,100 269,200 230,300 519.600 128,760
57,100 101.100 111.100 321,100 166.600
555.160 123.160 > i'.sion
* 229,860 255.200 110.200 331.000 520.000
1,818,100 101,100 16,100
* 232,660 111,166 223,100 315,600 557,2*4
1,610,100
507,500 111,700
0 3,161,200
1,161,6*0
1,177,200 N/A
r`g73grrw6
* 1,1*9,600
1,126,500
TAB 610 X"Z';Z7/7BEB
* 2,125,1*0
352,6*0 1,2*1,2*0
-*N/A N/A N/A
f'5,6aiVTfft
* 2,241,4*6
2*0,666 1,35*,36*
26,56* TAB 611 TAB 21 TAB 611 t 3 ",'6Z'57gEE
0 1,330,700 X 173367763
0 1,835,600 0 1,655,600
1,181,600
1,325,600 I14,51S;ZB
765,700 5,111,000 t 6,16L,7T0
0 1,111,160 * 1,134,400
* 2,561,700 (103,160) TAB BIT
TAB 618 1 Z,4367566
2,506,600 -0-
TAB 617 TAB BIB 2,506,600
* 1,767,400 347,1*0 613,200 356,2*0 643,400 424,500
5 IT,452,600
*16,5367600
t 2,477,800
332,600 620,100
310,400 1,050.6*0
441,100 t .5361606 *15,546,700 833,3U,400
022,212,500 10,252,600
2,563,300
2,031,600 4,940,000 l_l.ibbb.iz5B
*21.610,000 9,1*0,000 2,543.700 1,616,100 ,10t ,600
l
ft t3/ee Budget I *1,011,500
523.100 25,200
711.200 *26,000 100.100 629,600 715,700 226,100 366.100 580,500 337,300 286.100
66,000 256,1o o 301.200 367.100 535.100 110.100 8 6,010 ,300
0 226,200 *166,700 211,200 331.100 515.100
2,029,100 510,000 116,200
1,324,500 1,*61,100 TAB 610
r 77665,COT
* 2,333,700
225,000 1,*10,500
26,500 TAB *11 TAB *11 TAB ill * 3,995,7C3
* 1,683,100 * 1,663,400
841,100 10,000,000
t 1,406,000
2,627,8*0 -0-
TAB 817 TAB *16 * 2,627,600
t 1,459,500 325,1*0 950,600 540,700
1,061,600 460,200
* 4,797,756 *19,9 2574 0 0 4o,6/VT6oo
026,162,000 7,000 ,000 2,711,900 1 ,196,400
TT77T7TTrXfl6 lf2,6D573Dfl
-117-
700976.098*