NOw is the final part THREE of the report++++++++
Part 3 of the report++++++++
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III. TRANSPARENCY
As DHS priorities are being formulated, challenged, and reevaluated, the Department’s decision-making processes become increasingly critical. Do stakeholders understand how policies are being made? Is there ample inter-agency coordination to ensure implementation of a cohesive department-wide agenda? Are agencies arriving at consistent interpretations of the law, and are headquarters decisions uniformly operationalized in the field? Does the Department seek and incorporate meaningful input from field officers and immigrant advocates who engage with DHS policies on a day-to-day basis? Do stakeholders know how to access these processes for voicing their concerns? The answers to these questions guide this report’s assessment of DHS’s and its component agencies’ policy-making procedures. Overall, DHS does an adequate job of engaging communities, but with varying outcomes. While USCIS and ICE have made some strides in their efforts to increase transparency, CBP largely continues to keep itself inaccessible and its decision-making behind closed doors.
A. USCIS
1. Stakeholder Engagement
As last year’s DHS Progress Report noted, of all the DHS immigration agencies, USCIS has taken the lead in soliciting meaningful public input on a wide range of issues. The USCIS Office of Public Engagement (OPE) coordinates numerous public stakeholder meetings, including quarterly meetings with Director Mayorkas, plus collaboration sessions to gather technical advice on more specific topics. It also hosted listening sessions and webinars in English and Spanish throughout the year. This stakeholder engagement was particularly important during the aftermath of the Haitian earthquake. USCIS quickly used its network to disseminate information by national teleconference about Haiti, including the registration process for TPS, and provided much-needed clarity about how deferred action and prosecutorial discretion would be employed for Haitians, as well as the process for paroling Haitian orphans into the country. The utility of strong public engagement was also evidenced in USCIS’s outreach to engaged stakeholders regarding the Office of Citizenship’s plans to launch a public-education campaign on the rights, responsibilities, and importance of U.S. citizenship.
It can be easy to take for granted the significance of public outreach, as in many ways the public should expect the government to listen and respond to concerns, but the level of commitment to gathering stakeholder input at USCIS marks a new stage in public engagement. Although Washington-based organizations generally have some access to the agencies, USCIS has expanded outreach and access to stakeholders around the country, bringing Washington and regional NGOs to the table at the same time. Moreover, it has provided a broader platform for input from all stakeholders—including internal stakeholders—in two complementary ways.
First, in April 2010, USCIS launched a Policy Review Survey to re-examine its adjudication and customer-service policies. The USCIS workforce and external stakeholders were invited to participate to determine priorities for this review. By July, nearly 5,600 stakeholders had responded and helped dictate the first ten areas under review. Internal working groups were formed to begin a comprehensive review of all related policy memoranda. USCIS sees this Policy Review as part of its obligation to effectively administer the immigration system with “fair, consistent, and prompt decisions for the public it serves.”
Second, USCIS commenced an innovative memo review process that invites the public to comment on draft and interim memos before they go permanently into effect. Both the draft memoranda and the final versions are catalogued online; a total of 15 final memoranda were issued in 2010. The Office of Public Engagement, which manages the program for the agency, is currently evaluating its impact. Informally, however, it appears that the process has the potential to not only provide more meaningful contributions from the public, but also to give rank-and-file agency employees a chance to comment on national policy decisions. This process offers an opportunity to institutionalize more give and take within the agency, serving as a reminder that policymakers must be mindful of a wider audience than the Department in making decisions. Putting these procedures in place now also paves the way for meaningful engagement when comprehensive immigration reform finally passes, potentially avoiding some of the hasty interpretations and bad policy that arose following both the 1986 legalization program and the 1996 immigration overhaul.
These initiatives help demonstrate USCIS’s commitment to reviewing the consistency and fairness of current agency policies. Among USCIS Director Mayorkas’ top strategic goals for 2011 is to “promote quality and consistency in the administration of our immigration laws.” He acknowledged that “[USCIS has] a considerable amount of work to perform to achieve the consistency the public deserves. In fact, there are areas in which our policies are not necessarily consistent or consistently applied…. [C]onsistency is a critical attribute.” Stakeholder input in this process is extremely valuable, but it is worth little if memoranda subsequently get mired in internal bureaucracy and therefore cannot be issued in a timely way. Recognizing that memo drafting and issuance is a deliberative process, USCIS must be sure to strike the appropriate balance between proceeding with caution and not proceeding at all.
An additional challenge going forward is finding the best way to ensure continued public engagement. As the initial review of the public comment process occurs, USCIS should continue to examine making comments public, weighing what issues are more appropriately matters for regulation rather than memorandum, and ensuring that USCIS staff are fully engaged in vetting and thinking through relevant comments.
2. Administrative Appeals Office Precedent Decisions
In another departure from the status quo, the AAO conducted its first listening session with stakeholders in October, at which time the AAO issued its first two precedent decisions in 12 years and expressed its intention to issue many more. Precedent decisions are issued with the concurrence of the Attorney General and, once published by the Department of Justice, establish a binding rule for DHS employees. For the most part, the issuance of more precedent decisions is a welcome development since they should provide clear guidance and promote more consistent adjudications. Director Mayorkas himself said, in regard to the issuance of precedent decisions, that there is a “need for guideposts that not only achieve consistency but predictability when coming before the agency.”
Additional engagement from the AAO is an important goal and bears watching, given that its precedent decisions can be another vehicle for policy-making that is less regulated. Critics have noted that the AAO engages in a de novo review of facts and law, but rarely provides parties an opportunity to brief the issues not considered below. In addition, the AAO does not operate according to detailed regulations, as does the Board of Immigration Appeals. It does, however, offer a 16-page document online that provides an overview of the precedent-decision process. The AAO also consults regularly with the USCIS Office of the Chief Counsel on interpretations of law, thereby placing the agency and arbiter in inappropriate ex parte contact. Finally, and perhaps most importantly, the development of law and policy via AAO precedent decision can be disproportionately determined by the skill of the attorney (or applicant pro se) filing the appeal.
3. Freedom of Information Act (FOIA) Disclosure Concerns
The general impetus towards revising and creating policy with the public in mind is worth applauding. In terms of numbers, USCIS should be commended for the resources it has dedicated towards reducing the FOIA backlog, from over 88,000 cases in 2006 to approximately 8,000 cases by the end of FY 2010—despite an increase in the number of FOIA requests. While these figures demonstrate an improvement in the quantity of FOIA requests more timely processed, advocates have been disappointed with the quality of the resulting disclosure. Despite USCIS assurances that it has adopted a presumption in favor of disclosure—“When in doubt, openness prevails,”—it continues to be difficult to obtain substantive information about current practices or policy, leading unnecessarily to litigation. Advocates charge that there is a lack of consistency over whether and how information is disclosed and point out that costly and unnecessary litigation is sometimes required.
For example, USCIS released incomplete and heavily redacted documents in response to an AILA FOIA request for documents concerning the adjudication of H-1B temporary-worker petitions, including guidance issued to field adjudicators about processing H-1B petitions, issuance of RFEs, its H-1B Fraud Referral Sheet, and its Compliance Review Worksheet for on-site inspections of businesses. Because of USCIS’s inadequate response, the Legal Action Center (LAC) of the American Immigration Council filed a complaint on behalf of AILA in district court in July 2010 to seek to compel release of the requested information. This case currently remains pending, although following suit, a limited number of additional documents were released by USCIS. Meanwhile, H-1B adjudications remain governed by the undisclosed guidance. The FOIA problems presented in this case do not stand alone. TechServe Alliance, a company that recruits information technology (IT) workers, filed suit against DHS and USCIS to compel disclosure of H-1B-related policies, after they refused to respond to a FOIA request. More than three months later, USCIS released 286 documents in full, 71 in part, and 695 blank pages without adequate explanation of the limited disclosure.
USCIS’s commitment to transparency must be a two-way street. Stakeholder engagement is a means for the public to share information with the agency and for the agency to illuminate its procedures and policies. But this commitment must penetrate all offices, most especially FOIA. As LAC aptly stated in its court complaint, the “reliability and fairness of an adjudication process…can only be evaluated if the procedures and actions of the government agency are transparent.”
Overall, USCIS’s transparency initiatives are to be commended. The ultimate success of these initiatives will turn on how well the process is incorporated into actual decision-making at the agency. The process has met with some frustration from USCIS employees who find it unnecessarily time consuming and inefficient. Balancing the demands of the internal and external stakeholders and creating a system that gives the public ample room to comment, while maintaining the government’s deliberative process protections, will be an important challenge in the coming year, but one worth pursuing. The value of the exercise has not been lost on other agencies; for instance, ICE recently posted its draft removal policy for Haitians for public comment. As with the USCIS critique, the sincerity of the engagement will only be evident as it becomes clear how much the comments are actually taken into account.
4. Waivers, Fees, and Funding
USCIS also advanced transparency through improvements to several key waiver procedures that were previously shrouded in mystery. For instance, the USCIS Ombudsman found that Form I-601, Waivers of Inadmissibility, required major revisions, because the waiver process was so challenging that many applicants were discouraged from applying and immigration attorneys counseled clients against filing for waivers. Limited information was available about one’s case status or where to file, and no standard process existed for expediting waiver processing. The Ombudsman also observed that there was inconsistent interpretation of the “extreme hardship” standard when adjudicating the inadmissibility waivers.
USCIS has taken many positive steps towards improving the I-601 waiver process, in advance of and in response to the Ombudsman’s report. USCIS revised Form I-601, developed a quality-assurance pilot program and an adjudicative checklist to better standardize adjudications. Its overseas case management system, “CAMINO,” became operable for International Operations staff as of August 2010, making case processing times more accessible abroad. As of October, the agency was evaluating different organizational models and the prospect of concurrently filing the I-130 petition and I-601 waiver to determine the most efficient way to process waivers submitted around the world. Interim guidance on criteria to consider for requests to expedite was issued to overseas field offices and that guidance was made available for public comment. USCIS routed many Forms I-601 filed overseas to domestic offices for adjudication, thereby reducing the total number of pending waivers by 42% in FY 2010. In conjunction with the issuance of more specific RFEs and caseload management improvements at the Ciudad Juarez Field Office (where the majority of Forms I-601 are filed), the Ombudsman expected that applicants would begin to see significant improvements.
In late November 2010, USCIS introduced the first-ever standardized fee-waiver request form, Form I-912. The proposed form was vetted in the Federal Register in July and received significant stakeholder input. It was issued with corresponding guidance on how to consistently process these new requests, and web-based training sessions followed. As of February 2011, the approval rate of fee-waiver requests over the previous six months averaged 84%.
In addition to the fee-waiver request form, USCIS made other efforts to institutionalize its existing processes, including formalizing longstanding policies to expedite naturalization applications for members of the military. These streamlined procedures facilitated USCIS’s ability to naturalize the highest number of service members since 1955—a total of 11,146 members of the U.S. armed forces were naturalized in FY 2010. The agency also conducted extensive outreach to members of the military and their families through seminars at military installations. USCIS should be commended for its commitment to those who serve in the U.S. armed forces and for clarifying the naturalization processes that apply to them.
The new fee-waiver form was implemented in conjunction with a new fee schedule that took effect November 23, 2010. Fees increased by a weighted average of 10%. The N-400 naturalization application fee did not change. Immigration advocates were dismayed by the fee increase on several counts. First, there continues to be debate over whether some of the expenses included in the cost analysis, such as fraud and security costs, are fairly attributable to the application being adjudicated and should instead be funded through the appropriations process. Second, the 10% fee increase comes only three years after fees were increased by an average of 66%, putting many benefits increasingly out of the reach of indigent applicants. Third, although the USCIS Ombudsman claims that the reduction in new receipts has enabled the agency to cut processing times on certain petitions and applications, many advocates maintain that since fees were raised in 2007, the corresponding level of improvement in the quality or efficiency of adjudicative services has not kept pace.
As a fee-funded agency, the struggle to ensure that USCIS has the funds it needs to operate remains a point of controversy. The Obama Administration has recognized the need for greater appropriations, although the ongoing budget debate has seriously threatened existing appropriations for USCIS. The Administration’s FY 2011 budget included requests for more appropriated funds for refugee and asylum processing, military naturalization, and E-verify, and $18 million dollars for the Office of Citizenship, much of which was slated to fund the citizenship grants program discussed above. There are some mixed messages about the importance of these funds, however. Director Mayorkas told stakeholders in June that USCIS had requested greater appropriations for FY 2011, but then testified before the House of Representatives Subcommittee on Immigration, Citizenship, Refugees, Border Security, and International Law that “the agency would be able to remain true to its self-funding mandate by reducing costs through improved efficiency and modernization, and reap advantages through Transformation.” In its Annual Report to Congress, however, the Ombudsman called into question whether the agency could indeed continue to rely largely on self-funding, noting how difficult it is for the agency to accurately predict fee revenue several years in advance.
5. Transformation Initiative
USCIS continues to steadily move forward with “Transformation,” its effort to convert to online account-based systems that receive and track benefit applications electronically. The first phase is expected to roll out in Fall 2011 with the creation of initial accounts and core case-management capabilities on registrations for Temporary Protected Status (TPS), applications to extend or change status, employment authorization documentation requests, and applications for travel documents, among others. Four subsequent phases will expand implementation across all immigration benefits and services. All in all, the digitization of files and applications, as well as the online accessibility of a customer’s pending matters, will eventually improve individuals’ comprehension of how immigration processes proceed.
To its credit, USCIS has sought meaningful stakeholder input through a series of feedback sessions across the country in 2009 and 2010. Additional webinars were planned for early March 2011. Immigration attorneys and advocates have expressed concerns about access to the requisite technology, and privacy concerns about data contained in individual accounts and at public kiosks. Additionally, the private bar wants USCIS to ensure that customers using public kiosks get adequate time, space, and support while completing applications and conducting business online.
Some accusations have arisen that Transformation has been mismanaged, is over budget, and is behind schedule. The program was originally due to be completed in 2013 and is now set for 2022. The original Transformation contract was awarded to IBM for $491.1 million and has been re-budgeted several times to an estimated $2.2 billion. USCIS also reportedly had Congressional Appropriations Subcommittee reporting requirements that went unfulfilled. Moreover, according to the DHS Assistant Inspector General for Information Technology, USCIS was not doing an adequate job of executing or capturing useful information from Transformation-related pilot programs due to “ineffective planning, management challenges, insufficient staffing, and limited post-implementation performance reviews.” USCIS disputes these claims, stating that Transformation is not currently over budget; the federal IT dashboard that tracks all major information technology projects includes figures for the underlying contract as well as other costs, such as government salaries, general expenses, program management support contracts, and infrastructure upgrades. Director Mayorkas further explained that any increase in budget figures was the result of reporting the true cost of the initiative (including personnel, overhead, and other expenses, rather than just contract costs), “resequencing” the project, costs shifting in time, and a contract protest beyond the agency’s control.
Stakeholders are being repeatedly assured that their concerns are paramount as Transformation progresses and that the new systems will be deployed slowly, carefully, and thoughtfully. The Office of Transformation Coordination has explained in response to criticism that Transformation does not include a new strategy for issuance of Notices to Appear (NTAs) and that ICE will continue to have the same access to information as it currently does—though, presumably, the information will be more precise and complete than it is at present. Transformation does indeed look promising, but until the new system is rolled out, it is too early to tell whether stakeholder recommendations have been incorporated. In the meantime, USCIS will continue to be challenged by its outdated information and case-management ************.
B. ICE
1. Stakeholder Engagement
Although ICE has not gone to the same lengths as USCIS to promote stakeholder engagement, it has markedly increased its willingness to meet with NGOs on enforcement-related issues. The Obama Administration has continued the work of the Enforcement Working Group, established during the previous Administration, to maintain communication between DHS and the NGO community. The Working Group meets quarterly and provides a forum for NGOs to direct questions to the appropriate people within the agencies. The Enforcement Working Group has become one of the primary means for obtaining information from ICE on issues including state and local law enforcement of federal immigration laws, detainers, worksite enforcement, prosecutorial discretion, and detention. Small subgroups of the Enforcement Working Group have also met with appropriate ICE and DHS staff on an ad hoc basis on discrete issues, including immigration detainers, the asylum-seeker parole memo, and the Secure Communities program.
Advocates generally appreciate these working group meetings as opportunities to relay questions and concerns to the agency and to hear from agency officials. However, advocates sometimes question the sincerity of ICE’s efforts to be transparent, and the impact that advocates’ feedback has had on policymaking. Of course, at issue is the fact that many advocates question DHS’s overall strategy with respect to immigration enforcement, and it is difficult to have meaningful dialogue about the specifics of how policies are implemented when there is little buy-in from the advocacy community to the notion that enforcement must be prioritized and expanded.
2. Transparency of the Detention Reform Process
Since the Obama Administration’s October 2009 announcement of detention reforms, the large Working Group has created two subgroups, one on health issues in immigration detention, and a more general detention subgroup. The detention subgroups meet on a monthly basis with ICE’s Office of Detention Policy and Planning (ODPP) and discuss issues including the online detainee locator system, a Risk Assessment Tool, Alternatives to Detention, the need for legal orientation programs, and general issues surrounding civil detention. In particular, the working group has pressed ICE and ODPP to make immigration detention more safe and humane, and pushed the agency to reconsider the types of immigrants placed in detention.
Positive accomplishments for ICE in 2010 include the hiring of 42 detention service managers, holding a roundtable to learn about mental health issues within immigration detention, and developing a medical classification tool to be used by medical staff at detention centers. While some may question whether these accomplishments fit into the category of transparency, they represent concrete efforts to expand both the personnel who work with advocates and the tools they use to create a more transparent and accountable system.
While these results show a greater commitment to tackling structural issues within detention, results are more mixed with specific programs announced by ICE and DHS. For instance, advocates have called for a tool which would fairly assess an individual’s potential flight risk or public safety risk, and would release individuals who do not represent threats of that nature. ICE is automating a Risk Assessment Tool that assesses the level and type of supervision or custody best suited for the immigrant based on their risk of flight and potential danger to the community, but advocates have not seen the tool and worry that it will continue to presume detention and require an immigrant to prove eligibility for release or other alternatives to detention.
Similar issues plague ICE’s Alternatives to Detention (ATD) Program, a reform identified in the 2008 Transition Blueprint. The ATD program, according to ICE, is designed to provide an alternative to detention for those immigrants who pose little flight or safety risk, as determined by the risk assessment tool. While DHS completed successful pilots of the ATD program, it has yet to be implemented nationwide. Advocates have voiced a number of concerns about the piloted ATD programs: that ICE uses ATDs on people who pose no flight or public safety risk and who could be released on recognizance or bond; that ATDs do not accurately gauge an individual’s risk to the level of supervision; that the program may place individuals in ATDs after they have already posted bond; and that instead of providing a true alternative, the program “treats people like detainees” by relying heavily on electronic monitoring as opposed to case management. ICE estimated that to put an immigrant in the ATD programs costs at most $14 per day and may cost as little as $8.88, while placing them in detention costs about $122 per day, separates them from their family and caretakers, and imposes severe restrictions on access to lawyers.
Yet another area where policy and implementation are at odds with the efforts to revise Performance Based National Detention Standards (PBNDS), which govern the treatment of detainees and involve issues such as searches, transportation, and access to appropriate food, medical care, and legal information. Advocates continue to criticize the basic assumptions of the standards, which are based on a penal rather than a civil model of detention. Moreover, the standards are not judicially enforceable (making it difficult for detainees and advocates to challenge abuse) and don’t even apply to state and local jails holding immigration detainees unless doing so is explicitly written into the Intergovernmental Service Agreement with ICE. Finally, the 2010 standards have not been implemented at any ICE detention centers, and even the 2008 standards have not been fully implemented nationwide. The 2010 standards were scheduled to be implemented at facilities holding 55% of the detained population by the end of 2010, and for 85% of the detained population by the end of 2011, but this schedule has been delayed—ICE claims by labor-management negotiations. Whatever the reasons, these failings and implementation setbacks have led, according to the Detention Watch Network, to “repeated, consistent and widespread complaints of human rights violations in detention facilities.”
The problems with the current PBNDS framework came to a head in August 2010, when it was revealed that a male guard employed by the Corrections Corporation of America (CCA) groped a number of female detainees between April 2009 and May 2010 (he recently pleaded guilty to several charges). The harassment occurred while the guard transported female detainees from the detention facility to an airport for release—a violation of CCA’s contract with ICE, which mandates that detainees only be transported by members of the same sex. The conduct was shocking enough in this lone instance, and the fact that similar incidents have happened before at the same facility makes it even more egregious that it occurred. Clearly, ICE must prioritize bringing the PBNDS process to completion, as ensuring well-being and safety of detainees is a critical responsibility of the agency.
Generally speaking, the detention subgroup meetings with ICE have increased the level of transparency and communication between the agency and advocates. Information has been shared on a regular basis, ICE takes the time to listen to the advocates’ questions and concerns, and the agency has made adjustments to its plans based on NGO input. However, by isolating ODPP issues, the detention subgroup is unable to influence broader enforcement issues that do not fall under ODPP’s purview, such as a reduction in overall detention numbers and the detention of immigrants who do not need to be detained. Future progress relies on not only the continuation of current dialogues, but openness on the part of ICE to reconsider positions currently set in stone.
3. Transparency of the Secure Communities Program
Since its inception, there has been a marked lack of transparency surrounding the Secure Communities program. Advocates and local communities have received little information about how the program works, how prioritization takes place, and for what crimes the “criminal aliens” identified through the program have been charged or convicted. The lack of information about the Secure Communities program has also resulted in serious questions about localities’ ability to decline to participate in the program and DHS’s willingness to be truthful and transparent about the program. Given ICE’s stated intention to eventually install the system in all state and local detention facilities nationwide, it has been unclear whether the program will be mandatory or optional for all law-enforcement agencies, or if there are penalties for law-enforcement agencies that opt not to participate.
Although Secure Communities relies on the participation and cooperation of local jurisdictions, it became increasingly clear in 2010 that local authorities have little control over how the program functions. For instance, the Secure Communities Memorandum of Agreement (MOA) that implements the program is an agreement between DHS and states, not the local jurisdictions. It increasingly appears that a state can force local jurisdictions to participate in the program without input.
In 2010, several local jurisdictions—including the Santa Clara (CA) Board of Supervisors, the Arlington County (VA) Board, and the Sheriff of San Francisco—asked to opt-out of Secure Communities, and were given different and conflicting responses from DHS. In August 2010, ICE released a memo (which has since been removed from the ICE website) setting forth an opt-out policy, and DHS Secretary Napolitano later confirmed that process to be accurate. However, in a September 30, 2010, Washington Post article, a senior ICE official stated that:
Secure Communities is not based on state or local cooperation in federal law enforcement. The program’s foundation is information sharing between FBI and ICE. State and local law enforcement agencies are going to continue to fingerprint people and those fingerprints are forwarded to FBI for criminal checks. ICE will take immigration action appropriately.
When asked about opting out of Secure Communities during an October 6, 2010, press conference, Secretary Napolitano confirmed that ICE could work with jurisdictions to delay implementation, but she did not see Secure Communities as an “opt-in/opt-out” program.
New documents released by DHS in response to a FOIA request from the National Day Laborer Organizing Network (NDLON), the Center for Constitutional Rights, and Cardozo Law School Immigration Justice Clinic highlight internal shifts regarding the voluntary or mandatory nature of the Secure Communities program, as well as a lack of transparency about the program. These internal documents indicate that ICE was purposefully vague and misleading about its definition of “voluntary” program and “opting out” so that they could deploy Secure Communities as widely as possible before communities began to question it. The documents also indicate that DHS continues to search for a clear legal basis for making Secure Communities mandatory. To date, no legal analysis supporting ICE’s ability to coerce localities into the program has been made public. At the same time, the newly released documents indicate that it is, in fact, technically possible to opt out of the program.
These internal documents are troubling in terms of the substance of the Secure Communities program and the lack of transparency they demonstrate. If DHS is truly interested in creating a well-functioning program and getting buy-in from local communities, they must be much more open and truthful with the information they provide.
C. CBP
Problems with transparency continue to plague CBP. Few outside the agency understand CBP’s priorities or processes. Advocates and DHS officials alike report that CBP is loathe to go on the record about its policies and procedures. CBP has made some efforts to liaise with the private bar through twice yearly meetings with the AILA CBP Committee, and met with NGOs for the first time in two and a half years in March 2011. CBP headquarters staff have also indicated that they hope to create local port liaison contacts to better address problems that arise at a particular POE. Moreover, there are reports that CBP will be putting port specialists in place who have specialized immigration knowledge to assist CBP officers whose foundational expertise is in customs law. One such port specialist was placed temporarily in Seattle as of December 2010. While that program has since been terminated, it is hoped that it will be reinstated at Seattle and other ports of entry.
An additional, less formal conduit for information-sharing related to CBP is the DHS-managed social network and blog, “Our Border,” launched in August 2009. The site provides a forum for stakeholder engagement with DHS employees, border residents, and others with an interest in border issues. By the end of 2010, Our Border boasted more than 1,700 members.
These initiatives are welcome and provide an avenue for advocates to report problems and concerns, but the agency generally fails to elaborate whether and how specific issues will be handled thereafter. CBP does not share its “musters” (guidance to employees), leaving the public guessing as to whether an issue was resolved, what guidance was given to the field, and whether the necessary training was given to ensure implementation.
Although other agencies have published their operations manuals, such as the USCIS Adjudicator’s Field Manual and ICE’s Detention and Removal Officer’s Field Manual, CBP has failed to publish its Inspector’s Field Manual (IFM). The public can only view those copies made available by third parties who have successfully received redacted portions of the IFM following requests and appeals under FOIA. As a result, it becomes difficult for the vast number of immigrants and nonimmigrants affected by the procedures in this manual to educate themselves about the applicable inspections and admissions practices. Moreover, there is no way to know whether the information found online on third party sites is accurate and up to date. Reportedly, a more complete version of the IFM is available for a fee, which may make it difficult for indigent individuals to access.
This refusal to publish the IFM and other important policy documents online disregards instructions from President Obama, the Office of Management and Budget (OMB), and the Attorney General to make efforts to improve transparency. Immediately after taking office in January 2009, President Obama issued a memorandum directing the heads of executive departments and agencies to disclose information to the public in order to enhance engagement and collaboration. That same day, President Obama separately directed agencies to work proactively in the context of information disclosure and “use modern technology to inform citizens what is known and done by their Government.” OMB elaborated more specific actions that should be taken pursuant to the President’s orders in December 2009. Finally, Attorney General Eric Holder had issued revised FOIA guidelines to establish a presumption of openness by the U.S. Government in consideration of FOIA requests. Although CBP has in fact released a substantial portion of the IFM to individual requesters through a prolonged FOIA process, it seems illogical that CBP has not made the manual public, following the practice of its sister agencies which have already done so.
CBP problems with FOIA are not limited to the IFM. Often times, applicants for admission are not provided a copy of the Record of Intercept or other sworn statements the applicant signed during the admission process. When FOIA requests are made, the responses are so heavily redacted for law enforcement or security reasons that an individual cannot meaningfully address problems or understand the allegations for the applicant’s inadmissibility. In light of these challenges, CBP should revisit its disclosure and record-sharing policies to foster a more just and transparent process.
Similarly, although administered by the Transportation Security Administration (TSA) and not CBP, travelers encounter other opaque processes through the DHS Traveler Redress Inquiry Program (DHS TRIP), to which travelers are directed when they seek resolution of concerns such as watch-list issues, airport-screening problems, and unfair boarding delays. Rather than issuing a letter confirming, denying, or explaining adverse information against a complainant, standardized letters often are issued which do none of the above. In an effort to increase transparency, CBP reported that additional letters with improved language regarding how to handle non-watch-list-related problems had been authorized for use in April 2010. Despite these new templates, advocates continue to observe redress problems due to a lack of transparency in the complaint process. The better that travelers understand the problem they face, the better able they are to produce documents to overcome it.
IV. INTER-AGENCY COORDINATION
With more than 200,000 employees and 21 separate agencies, coordination at DHS is a monumental—and especially critical—task. This challenge is most acutely felt among DHS’s three immigration agencies, all formerly a part of the INS. When disputes arise, or more commonly, diverging interpretations and applications of the law occur, DHS is tasked with taking the reins and facilitating resolution of discrepancies. Proactive and effective leadership by DHS would be instrumental in avoiding inconsistencies and resolving inter-agency disagreements that are otherwise at an impasse.
CBP presents one of the many examples of inconsistent action that disregards competing interpretations of law within DHS. For instance, in the case of a Canadian visitor without an I-94 card, the USCIS Adjudicators Field Manual and the Department of State’s Foreign Affairs Manual indicate that the individual will not accrue unlawful presence so long as the person remains in valid status, even if the stay in the U.S. exceeds six months. CBP disagrees with this interpretation and begins to attribute unlawful presence to such an individual if s/he stays in the U.S. over six months. Attorneys have reported internal inconsistencies at CBP as well, such as different ports of entry near the U.S.-Canada border making contradictory determinations about whether proposed activities in the U.S. can be performed by a B-1 business visitor or require employment authorization through a TN visa. CBP should issue guidance to the field requiring ports to defer to earlier ports’ determinations except in the case of fraud.
A. A Call for Leadership
By most accounts there has been a leadership void at DHS in terms of coordinating the policies and operations of its immigration agencies. While DHS has strong and knowledgeable leaders in place, in many cases they lack the authority to actually require the agencies to comply with broader DHS policy goals and objectives. Specific examples of this are provided in the case studies relating to Haiti and Refugee/Asylum issues, but one example demonstrates how even the smallest and most innocuous of actions can create a major crisis in the Department.
In August of 2010, reports surfaced that ICE had begun closing certain immigration court cases where the individual in proceedings also had an application pending with USCIS. To head off criticism, ICE released its memo on the issue, characterizing it as an effort to address major immigration court backlogs. The August 20th memorandum, “Guidance Regarding the Handling of Removal Proceedings of Aliens with Pending or Approved Applications or Petitions,” reflected a cooperative arrangement between ICE and USCIS that requires the agencies to coordinate actions in cases where both agencies have an interest. Under the terms of the memo, ICE officers were directed to notify USCIS when a non-citizen is in removal proceedings who also has an application for relief before USCIS. USCIS, for its part, agreed to resolve the pending application within 30 days for non-citizens in detention and 45 days for non-citizens who are not detained. ICE would move to dismiss cases where a non-citizen appears eligible for immediate relief from USCIS and the non-citizen is not a national security or public-safety risk, has no criminal convictions, and is not suspected of fraud.
Only about 17,000 people were expected to benefit from the new policy, but Administration critics such as Senator Charles Grassley quickly labeled it as an attempt to circumvent Congress and give a “free pass” to illegal immigrants. In fact, the memo represented a common-sense solution to overcrowded dockets and a rare example of coordination between ICE and USCIS. Unfortunately, while this should have been an action supported by the Department and reinforced by USCIS, ICE officials received little back up publicly—and, in fact, reverted to the standard explanation that this small effort at streamlining shouldn’t be confused with the overall level of record deportations to date. It took USCIS an additional six months to release the companion memo providing guidance on how applications or petitions for individuals in proceedings should be handled. While it might be argued that the controversy had died down by the time that USCIS released its memo, the broader concern is that the lack of a publicly coordinated plan for rolling out the memo gave immigration critics an easy opportunity to mischaracterize the Administration’s efforts.
While it may oversimplify the issue to call this a case of bad messaging, it reflects the long-running criticism which predates the Obama Administration that DHS lacks clear lines of communication and authority for resolving immigration issues. Many say that coordination was easier and more consistent in the days of the INS, when immigration functions were at least housed together and decision-making had an integrated chain of command. At present-day DHS, immigration benefit and enforcement functions are siloed, with separate entities in separate buildings, all of whose leadership have a direct line to the Secretary. Structurally, DHS’s reporting chain is flawed and exacerbates many of the INS-era problems with coordination. While the DHS Office of Policy claims to be tasked with leading the coordination of department-wide policies, the organizational reality is that none of the immigration components are required to report to the Assistant Secretary for Policy. The Secretary’s plate is too full tending to the range of Homeland Security duties to meaningfully engage with or resolve every operational, policy, or legal dispute related to immigration. The creation of an Under-Secretary for Immigration would be a strong start towards better coordination and mediation of inter-agency disagreements.
B. Regulations and Information Sharing
Additional institutional flaws exist within the DHS structure that have significantly affected immigration enforcement and benefits adjudication. Most notably, the DHS process for handling immigration-related regulations has essentially ground to a halt. During calendar year 2010, DHS published nine technical or administrative regulations, none of which were on a matter of substantive immigration law: seven pertained to Privacy Act exemptions, one related to electronic signatures on Form I-9, Employment Eligibility Verification, and one amended the rules governing professional conduct of immigration practitioners. The immigration agencies faired no better: USCIS promulgated only three regulations in 2010, including a new fee schedule and more obscure changes affecting employment authorization for dependents of certain employees of foreign governments and international organizations and treaty investors in the Commonwealth of Northern Mariana Islands (CNMI). CBP issued four regulations, pertaining to Visa Waiver traveler fees, administrative procedures related to seizures and forfeitures, and eligibility requirements for customs broker license exams. The only rule that pertained to ICE was one that changed its and CBP’s official names to drop “Bureau” from their original titles. All other changes to policy and practice were done by memorandum, whether externally vetted or not. For instance, in lieu of a regulation implementing the American Competitiveness in the 21st Century Act (AC21), all interpretations and guidance since 2005 have been offered by policy memo.
This trickle of regulations is particularly disappointing considering that so many critical regulations have been needed, anticipated, drafted, and stalled. Regulations on ineffective assistance of counsel following the Attorney General’s 2009 decision in Matter of Compean have been in the works for over two years and remain unissued. A regulation pertaining to application of the persecutor bar following the Supreme Court’s decision in Negusie v. Holder has also failed to move through DHS after two years of drafting. Even further overdue are the EB-5 (employment-based preference category for foreign investors) regulations to implement legislation from 2002. Despite a mandate from Congress to promulgate regulations by 2003, these regulations have been sitting for years. And, of course, regulations on gender-based asylum claims and particular social group have been stuck for over 10 years.
It may be encouraging that DHS announced plans, just prior to publication of this report, to conduct a retrospective review of all DHS rules “to make DHS’s regulatory program more effective or less burdensome in achieving its regulatory objectives.” The Department published a Notice and Request for Comments in the Federal Register on March 14, 2011, to comply with Executive Order 13563, “Improving Regulation and Regulatory Review,” which aims to make Federal regulations more affordable and less intrusive. One of the mandates of Executive Order 13563 is to encourage public participation in this review. It remains to be seen whether DHS will use this exchange with the public to exclusively focus on budgetary concerns and ways to improve the Department’s bottom line, or whether it will take this opportunity to meaningfully jump-start the DHS regulatory process. Hopefully, the Department will recognize that the absence of long-overdue and much-needed regulations most certainly does not improve agency effectiveness.
As the prior discussion on transparency makes clear, there is also an extremely uneven application of basic information-sharing within DHS. While there is greater openness prospectively, much of the basic information attorneys need to serve their clients, or which policy analysts need to evaluate DHS programs objectively, are difficult to obtain without going through the FOIA process or resorting to litigation.
V. Recommendations
Reform never occurs in a vacuum. The continuing fiscal pressures of a struggling economy, the demands of mid-term election politics, and the changing fortunes of many key players in the efforts to reform our immigration system all contributed to a year that began with promise, but ended in defeat. Neither the President nor Congress could muster the votes necessary to pass even modest immigration reform, such as the DREAM Act. Instead, more funds were appropriated for border enforcement, more resources were put into interior-enforcement programs like Secure Communities, and very little was done to create a better system from the laws currently in place. As this survey of the DHS’s efforts in 2010 demonstrates, there are good ideas and initiatives aplenty, but they tend to get short shrift. The Administration is caught in a mixed message—elegant and sincere speeches that emphasize the importance of immigration as a tool for advancing our economic and cultural future, but tremendous pride in deporting more people than ever before.
Breaking this pattern has proven more difficult than many believed, not only because of the politics of immigration, but because of the rigidity of DHS as an institution after only eight years in existence. Efforts focused on reform, such as those within the detention arena, have been frustrated by internal pushback from employees. Other efforts that started off well, such as policy reviews, seem to have been overcome by inertia. And, more often than not, good ideas are pushed aside for fear that Congress will give the Department or its agencies a hard time.
If immigration reform is to take place under the Obama Administration, the executive branch must put much more energy into reforming the institutions and practices currently in place, as well as pushing for reform of the law. While this is a tall order, it is the duty of the executive branch to press for reforms that make the most of the law that it has to work with, even when that law is less than ideal. It is insufficient to argue that DHS is all about enforcing the law when enforcement is only directed at deportation. Enforcing the law is also about ensuring that everyone is given the best possible chance to qualify for benefits, that our immigration system is infused with integrity and respect for the individual, and that all applicants or petitioners be given the full opportunity to share in the American dream. In that respect, 2010 has been a disappointing year.
Marked improvement in 2011 could be accomplished by meeting the following recommendations:
Bring practice in line with priorities: Particularly in enforcement programs such as Secure Communities and I-9 audits, DHS has repeatedly emphasized that it has put in place priorities that instruct officers to focus on the most egregious offenders and most dangerous criminals. In reality, however, current practices generally fail to distinguish between those who pose a genuine threat to society and those who are non-criminal immigrants, between employers with paperwork violations and employers with criminal violations of labor and employment laws. There is little evidence that equities such as length of residence in the United States, community ties, or membership in a mixed-status family have any bearing on charging decisions. Once an immigrant in the country illegally is placed into immigration-court proceedings, the likelihood of deportation is almost certain, regardless of priority status. Consequently, DHS should take steps that limit the chances that non-priority individuals are caught in enforcement actions:
DHS should ensure that priorities for immigration enforcement established in 2009 and 2010 are followed by ICE officials and by state and local partners where applicable. At the federal level, this requires more rigorous application of the priorities, ensuring that those who truly seek to do our country harm are the target of enforcement actions. The number of removals must become less important than the threat level associated with the persons removed.
State and local law-enforcement partnerships must be carefully monitored and supervised to ensure that individuals who are not ICE priorities are not caught up in the net of Secure Communities or 287(g) programs. Implementing clear detainer standards, including advice regarding local jurisdiction’s discretion to release individuals, is essential.
Detention reform cannot be allowed to stall. Continuing to engage with nongovernmental organizations to improve the process is critical, as is working through internal conflicts. The public critique of ICE tools such as the national detention standards, the risk assessment tool, and alternatives to detention should be taken seriously and incorporated into the final programs. Ensuring the health and safety of detainees must remain an ICE priority and is most likely to occur with consistent and meaningful dialogue between all stakeholders, including government officials, ICE rank and file, and NGOs .
Extensive public engagement and public comment on policies was an important development in 2010 and should continue. CBP, in particular, must engage in greater and more meaningful dialogue with stakeholders.
Promoting better funding for immigration services, particularly immigrant integration, must be treated as an investment in the future. The Obama Administration has demonstrated a genuine commitment to reforming the USCIS fee structure, shifting a higher percentage of services to appropriated funds in each subsequent budget request. While the House has stripped funding for the Office of Citizenship from the most recent Continuing Resolution, DHS should push for the restoration of funds and should push even harder for the support provided in the FY 2012 budget.
DHS must assert its executive branch authority, even in the face of Congressional challenges. There is much evidence that DHS has been reluctant to move forward on administrative measures that could reform the system because it feared that such actions could lead to backlash in Congress or jeopardize comprehensive immigration reform efforts. Even if that strategy had merit in the early years of the Obama Administration, the likely deadlock over immigration matters in Congress demands a new direction for reforms that can be accomplished administratively. Such reforms are not end runs around Congress, but are instead critical exercises in interpreting, implementing, and enforcing existing law within the context of changed circumstances. Numerous groups, including Members of Congress, have asked for administrative action. These requests range from formalizing a process for deferring removal of students who would qualify for lawful permanent resident status under the DREAM Act, redesignation of TPS for Haitians to cover a broader period of first entry into the country, and revisiting current policies affecting waivers for the spouses of U.S. citizens who entered the country unlawfully long ago. DHS should also continue to push forward on broadening its exercise of exemption authority to ensure that protection for legitimate refugees and asylum seekers is neither delayed nor denied based on the application of overly broad terrorism-related inadmissibility grounds.
DHS must expand its coordination functions to prevent conflicts in the interpretation of law and policy. Despite efforts to coordinate through DHS Policy, there remains a lack of mutual agreement and coordination among the three immigration agencies. This criticism has been levied against DHS since its inception, but as the cultures of ICE, USCIS, and CBP become ever more distinct, the lack of a final arbiter to ensure that immigration laws are enforced and implemented with consistency and fairness is detrimental to DHS and to the citizens and immigrants it serves. The Secretary of DHS must empower political appointees at the headquarters level with the necessary operational control over the agencies. There must be DHS officials who can ensure that the immigration agencies are both coordinating and in compliance with the policies and expectations of the Department. Immigration reporting and command functions within the Department should be reorganized to ensure that the key point person on immigration is empowered to block operational decisions that are inconsistent with Department policy.
DHS must also improve and streamline its regulatory process, which is widely acknowledged to be virtually impossible to navigate. Without a working regulatory review process, implementing laws and holding the agencies accountable for their actions becomes ever more difficult
VI. CONCLUSION
Twice within the last year, President Obama has spoken of a new vision for immigration policy that acknowledges the hard work of immigrants who built this country and the hard work of immigrants who are helping fuel the economic recovery. The need to change the immigration mindset—from one that focuses on punitive enforcement measures to one that looks at immigration as a boon to our economy and our future—is a difficult transition. The President’s attempts to reshape that dialogue are admirable, but in many ways the continued actions of DHS undermine that grander vision. DHS cannot fulfill that function as long as it brags about record removals and issues fewer deferrals of removal than during the Bush era. Change starts from within, and DHS will need to change significantly in the coming year or risk sliding further down the deportation-only rabbit hole.
CASE STUDY ONE: REFUGEES AND ASYLUM
The first half of 2010 saw two distinct efforts to tackle the challenges of prioritization and transparency encountered in the Asylum and Refugee Programs. On the legislative front, in March 2010 Senators Patrick Leahy (D-VT) and Carl Levin (D-MI) introduced the Refugee Protection Act of 2010 (S. 3113).[1] The bill focused on filling gaps in several areas of U.S. asylum and refugee-resettlement laws and policies, including eliminating the asylum filing deadline, revising statutory definitions in the “terrorism” bars to be more targeted, improving decision-making procedures and conditions of immigration detention, and correcting some of the procedural and evidentiary challenges that have emerged in the past decade through case law and legislation. Although hearings were held in May, the bill failed to get out of committee and died with the end of the 111th Congress.[1] On the administrative side, the USCIS Office of the Ombudsman issued a number of recommendations for improving the U.S. Refugee Admissions Program (USRAP), focused largely on making the adjudicative and appeals process more transparent and accessible. While USCIS has been responsive to the Ombudsman, the agency has failed to seize opportunities to be an advocate for itself and the immigrants it serves in the midst of legislative debates that could have affected its programs profoundly. In lieu of successful legislative reform, DHS’s immigration agencies should actively consider ways in which they can use their discretion and the regulatory process to improve their programs.
A. PRIORITIZATION
1. Applicability of Terrorism-Related Inadmissibility Grounds (TRIG)
The Refugee Protection Act tried to tackle one of the foremost challenges facing the refugee and asylum programs: the mislabeling of bona fide refugees and asylees as terrorists under the overly broad definitions in the terrorism-related inadmissibility grounds. Under section 212(a)(3) of the Immigration and Nationality Act (INA), “terrorist activity” includes virtually any unlawful use of a weapon against persons or property, even if the actions were taken against a dictator or the United States supported such efforts. Although this legal provision has existed since 1990, it has taken on new meaning since the terrorist attacks of September 11, 2001. The USA PATRIOT Act of 2001 and REAL ID Act of 2005 created expanded definitions of “terrorist organizations” and “material support” of these organizations. Specifically, the new, sweeping category of “undesignated terrorist organizations” (or “Tier III organizations”) includes almost any group of two or more individuals who engage in terrorist activity. While national security provisions in the INA do serve a legitimate purpose, the excessive statutory language casts too wide a net, often ensnaring refugees whose involvement was tangential, immaterial, involuntary, or occurred in the course of routine commercial or medical services.
After legislating such sweeping provisions, Congress gave the executive branch authority to make the tough calls as to who gets pulled out of that net, but authorized the exercise of that authority in a way that is extremely cumbersome, slow, and deliberative. In 2007, Congress expanded the executive branch’s authority to issue “exemptions” from most of the terrorism-related grounds, but thus far that expanded authority has been exercised on only a handful of occasions, in part due to bureaucratic delays. In order to exercise its waiver authority under INA 212(d)(3)(B)(i), DHS and the Department of State (in consultation with the Department of Justice) have to confer and agree—at the Secretary level—on who may benefit. As a result, in 2010 several thousand cases remained on hold, most often involving already-granted asylees and refugees who have resided in the U.S. for years, present no threat to the security of the United States, and now seek to become lawful permanent residents. These delays have left refugees, asylees, and asylum seekers in legal limbo, keeping them separated from their families or prevented from becoming lawful permanent residents and, in the case of asylum seekers, in lengthy adjudications and, in some instances, in prolonged and unnecessary detention.
As applied to the USRAP overseas, refugee applicants are placed at particularly grave risk while their applications sit in limbo pending resolution of admissibility concerns. Moreover, the risk of DHS denying or holding cases based on an overly broad TRIG application has virtually shut down the ability of United Nations High Commissioner for Refugees (UNHCR) to refer certain individual cases or groups of refugees to the USRAP. Instead, UNHCR turns to third countries with a more reasonable approach to protection. For example, Iraqi refugees, as well as U.S.-affiliated Iraqis (who are eligible for special immigrant visas), face excessive delays in the processing of background checks—five months or longer—making it virtually impossible to provide protection in a timely manner.
In the absence of legislative reform, the White House-led Inter-Agency Working Group (which includes DHS) made some strides by revising the Foreign Affairs Manual to tighten the definition of an undesignated terrorist organization. Whereas a “subgroup” of such an organization was previously interpreted very broadly, it now must entail one group directing another. DHS met its announced calendar year 2010 goal of releasing from hold for processing over 50% of the 6,700 cases that were on hold as of May 2010. Approximately 4,000 cases are currently on hold, including 700 new cases placed on hold since mid-2010. Most recently, DHS exempted aliens (such as child soldiers) who, under duress, received military-type training from a terrorist organization, as well as those who, also under duress, solicited funds or members for a terrorist organization. Advocates continue to press the Department to revisit its interpretation of what kind of support is truly “material,” despite the difficulties with establishing a bright-line rule for determining what is and is not actually de minimus in a variety of situations. Additional exemptions are being sought for routine commercial transactions and medical care.
At this point, the Inter-Agency Working Group’s focus is primarily on identifying and reviewing the remainder of the over 350 groups that meet the Tier III definition, such as the All India Sikh Students Federation–Bittu Faction (AISSF-Bittu) and the All Burma Students Democratic Front (ABSDF), which were recently exempted from application of INA 212(a)(3). The Group has committed to releasing from hold the cases associated with the remaining groups within Calendar Year 2011 and prioritizing those countries that have the largest number of groups and cases. The challenge going forward, however, is that many of the “easiest” groups have already been exempted; some not-yet-exempted “freedom fighter” groups have a history of targeting civilians or ethnic minorities, whether or not any one person being affiliated with the group was involved.
2. One-Year Filing Deadline
The Refugee Protection Act (S. 3113) also sought to eliminate the one-year filing deadline for asylum seekers, since it prevents many legitimate refugees in the United States from receiving the protection they need. A separate bill on the House side, the Restoring Protection to Victims of Persecution Act (H.R. 4800), introduced in March of 2010, simply eliminated the filing deadline and did not attempt to tackle the many other areas of reform addressed by the Refugee Protection Act. H.R. 4800 was able to gain some bipartisan support in the 111th Congress, but stalled after introduction. When the filing deadline was enacted as part of the Illegal Immigration Reform and Immigrant Responsibility Act of 1996, it was assumed that “real refugees” would come forward within one year of arrival in the United States to apply for asylum. Instituting the one-year filing deadline was viewed as a mechanism for combating fraud within the asylum program, although that fraud had largely been addressed through regulatory reforms prior to the enactment of the 1996 immigration law. In reality, however, there are myriad reasons why a legitimate refugee does not come forward in a timely way, such as language barriers, lack of knowledge about the asylum system or deadlines, trauma from persecution faced abroad, or difficulty finding and affording legal counsel to help navigate the process. Furthermore, the filing deadline does not serve a meaningful fraud-prevention purpose. A 2010 study showed that, since April 1998, more than 15,000 affirmative asylum applications (involving 21,000 refugees) were rejected that otherwise would have been granted on the merits. The filing deadline also presents USCIS with unnecessary costs, with precious adjudicator time spent on receiving and considering testimonial and documentary evidence to establish one’s date of arrival, rather than on an applicant’s eligibility for asylum. The filing deadline also causes cases to be referred, unnecessarily, to the backlogged immigration courts for further adjudication of issues that could have otherwise been resolved by the USCIS Asylum Office. For these reasons, the Administration supports legislative elimination of the filing deadline.
Although the only way to resolve both the inefficiency challenges and fill the protection gaps created by the filing deadline is through statutory elimination, DHS can mitigate the harm of the deadline to bona fide applicants through administrative means. As the law currently stands, asylum applicants must demonstrate by “clear and convincing evidence” that the application was filed within one year of arrival; otherwise, they must show changed or extraordinary circumstances that affected eligibility and filing, respectively. DHS can amend the regulations to expand the list of exceptional circumstances that permit an asylum seeker to miss the filing deadline and be able to proceed with an asylum application. While the list of exceptional circumstances included in the regulations is explicitly non-exhaustive, it should incorporate additional reasons (such as those included in Asylum Officer training materials) to minimize disparities in Asylum Officer discretion. Meanwhile, since the regulation process as noted previously has been unduly cumbersome and yields few results, USCIS can adopt a more flexible interpretation of the current regulations under the explicit “non-exhaustive” provision. USCIS should also expand upon its Asylum Officer training materials to require Asylum Officers to consider more evidence to determine the entry date of those who were not inspected. Finally, Asylum Officers should receive additional training on how to probe applicants on the ways in which they may qualify for a filing deadline exception, rather than expect asylum seekers to be able to independently present such reasons on their own.
3. Detention of Asylum Seekers
This past year began on a promising note for some detained asylum seekers, as new parole policy guidance issued by ICE in December 2009 took effect on January 4, 2010. Under the revised guidance, ICE’s process for parole determination now takes effect immediately once an arriving individual is found to have a credible fear, notifies the individual about the parole process, and does not rely on asylum seekers to affirmatively request a parole determination in writing. The new guidance also clarified that certain aliens can meet the “public interest” standard for parole determinations if they are found to have a credible fear of persecution, can establish their identities, pose neither a flight risk nor a danger to the community, and have no additional factors weighing against release. This clarification was designed to promote consistency by standardizing parole determinations across the country.
While these changes were largely seen as a “step in the right direction,” their scope is limited only to those asylum seekers arriving at a port of entry who are determined to have a credible fear of persecution; more than half of those in expedited removal are not considered “arriving” aliens. In addition, over 30 immigrant advocacy organizations, think tanks, and academics submitted a petition for rulemaking in March 2010 that sought the promulgation of parole regulations, rather than guidance. The petition requested that DHS create enforceable rules to establish a presumption that an asylum seeker who passes a “credible fear” interview with an Asylum Officer and has no criminal history should be released from immigration detention. The present standards are not enforceable by law, making it harder to hold local immigration officers accountable. Denials of parole requests can also be appealed to ICE, but there is no independent review of custody decisions by an immigration judge. In December, Secretary Napolitano denied this petition for rulemaking, citing the need to retain greater discretion and flexibility over the statutory mandate to make “case-by-case” decisions. She also noted that the new guidance had only recently taken effect and more time was needed to observe implementation and determine what changes might be needed. Immigrant advocates continue to keep a watchful eye on how the parole guidance is implemented across the country and have renewed a call to promulgate binding regulations. Doing so would improve accountability and ensure that ICE remains mindful of its humanitarian obligations and not its enforcement mandate alone.
4. Expedited Removal
In 2005, the U.S. Commission on International Religious Freedom issued a report focusing on whether asylum seekers’ protection concerns are properly handled and screened when they are subjected to expedited removal (“credible fear screening”). At the time the report was commissioned in the fall of 2003, expedited removal was a process by which an immigration officer could summarily return someone seeking admission at a Port of Entry (POE) if he/she did not establish eligibility to enter. It also applied to undocumented non-Cubans who arrived in the U.S. by sea within the prior two years. Between 2004 and 2006, however, DHS twice expanded expedited removal to cover those found within two weeks of entry and 100 miles of a land border. Problems with the implementation of credible fear screenings for those with protection concerns had not been addressed prior to this expansion. Many more people in new places across the country are now subject to expedited removal and no follow-up study on expanded expedited removal has been conducted. The average pass rate of those referred for a credible fear screening has dropped from 93% in the period 2000-2004, to 59% in FY 2008, suggesting that adjudicative standards have changed. An increasing number of credible fear interviews are conducted by video conference as well. At its June stakeholder meeting, the Asylum Division said that they are working with ICE and CBP to examine their credible fear procedures in order to improve efficiencies without adversely affecting the quality of the decision.
The Asylum Division also reported a “dramatic increase” in reasonable fear cases this year, with some non-citizens reportedly waiting four or five months for a reasonable fear interview. This increase is presumably reflective of the record number of ICE removals of criminal aliens, some of whom are ineligible by law for review of protection concerns by an Immigration Judge. Instead, these individuals are interviewed by an Asylum Officer who determines whether the alien has a reasonable fear of persecution or torture upon return to his home country. The Asylum Division stated that it generally aims to complete these interviews within one month and provided instructions to advocates for contacting local asylum offices in cases where a client has waited longer.
B. Transparency of Process
The Asylum Affairs Division in the Refugee, Asylum, and International Operations Directorate (RAIO) does a better job than most at memorializing its procedures and making them publicly available. For instance, the 250-plus page Affirmative Asylum Procedures Manual (Revised July 2010) is posted online for applicants and advocates to consult. More impressively, all of the training materials from the Asylum Officer Basic Training Course have been available on the USCIS web site for many years. But certain elements of asylum and refugee adjudications have remained elusive, due either to the current status of the law or a lack of procedures in place to share information. Greater clarity is desperately needed on how persecution claims based on membership in a particular social group will be handled. Similarly, USCIS should articulate in greater detail how refugee applications, decisions, and appeals are handled, as well as how the employment authorization clock is calculated for asylum seekers.
1. Particular Social Group Rule
The Refugee Protection Act of 2010 tried to accomplish what should have been remedied by regulation and is long overdue: clarifying the definition of a “particular social group” and the requirements that one’s fear of persecution be “on account of” a protected ground (nexus). In over ten years, DHS and its predecessor agencies have been unable to promulgate the regulatory fix needed to protect many women fleeing domestic violence and other gender-based persecution, despite the fact that DHS finally supported a grant of asylum in 2009 for the petitioner in Matter of R-A- (who had survived horrific domestic violence). Moreover, Board of Immigration Appeals (BIA) case law in recent years has added new elements to the nexus requirement by insisting that asylum seekers demonstrate that a particular social group to which one belongs must be discrete and socially visible. Asylum seekers, as well as the USCIS Asylum Officers and ICE trial attorneys who prosecute their cases in court, are in desperate need of a clear regulation that articulates a consistent and just interpretation of the law.
2. U.S. Refugee Admissions Program Application Process
The USRAP had great success this year in approving nearly 75,000 refugees who were admitted to the U.S. in FY 2010—the highest number since 1999. The program lacks, however, a formal and transparent system for expediting refugee cases where an individual or family faces imminent risk of harm. These concerns were echoed in a list of recommendations released by the USCIS Office of the Ombudsman last year to improve the adjudication of applications to the USRAP. The Ombudsman made four key recommendations. First, USCIS should publicly state the criteria by which the agency expedites certain emergent refugee cases and how applicants can access that process. Second, USCIS should clearly articulate the reason(s) for denying a refugee application. Third, USCIS should issue guidance on how to request reconsideration of a denied refugee application. Finally, the Refugee Affairs Division should acknowledge receipt of such requests for reconsideration. In his July reply to the Ombudsman, USCIS Director Mayorkas informed the Ombudsman that most recommendations had either been implemented or that the USRAP was making plans for implementation, and in cooperation with the Department of State as necessary. The agency’s receptivity to these recommendations is commendable. Advocates look forward to full implementation of these modifications.
3. Fixing the Employment Authorization Asylum Clock
A study by the Penn State Law Center for Immigrant Rights and the American Immigration Council Legal Action Center, released in February 2010, brought attention to problems with how the employment authorization asylum clock is operated by USCIS and the Executive Office for Immigration Review (EOIR). The “clock” calculates the time that passes between filing an asylum application and the critical 150-day marker before an applicant can apply for an employment authorization documents (EAD). In general, USCIS or EOIR can stop the clock when the agency with jurisdiction determines that the applicant has caused a delay in the process. The report focused on the lack of transparency in the management of the clock, as well as the clarity and comprehensiveness of the government’s policy. It also detailed how the existing regulations are misinterpreted and improperly implemented.
While some of the study’s recommendations were directed at EOIR and how it should develop and institutionalize better policy, USCIS was likewise encouraged to implement a policy that correctly interprets the EAD asylum clock regulations for widespread dissemination. In addition, USCIS must have a transparent and accessible system for resolving disputes over clock calculations that asylum offices and applicants can follow. Asylum seekers also need better information about their own EAD asylum clock. Greater transparency about these processes will more effectively guarantee consistent resolution of clock-related issues across asylum offices.
CASE STUDY TWO: HAITI UPDATE
In many ways, DHS’s handling of the January 2010 earthquake in Haiti is emblematic of the triumphs and tribulations echoed throughout this report. DHS earned much praise in 2010 from the Immigration Policy Center and others for its swift and humanitarian response; deportations to Haiti were immediately suspended and Secretary Napolitano quickly designated Haiti for Temporary Protected Status (TPS), thereby enabling thousands of Haitians who had been present in the United States to remain lawfully and receive employment authorization for 18 months. Mid-year, USCIS extended the registration period from six months to a full year to allow more individuals the opportunity to apply. ICE issued guidance to its Field Office Directors on distributing information about TPS registration to Haitian detainees. USCIS conducted extensive outreach in English, French, and Creole to be sure that Haitians already in the U.S. had the information they needed to consider registration for TPS. When the registration deadline arrived in mid-January 2011, more than 53,000 Haitians had applied for TPS (with more than 46,000 approved), though the number of applications is far short of the estimated 100,000 Haitians who are eligible. USCIS was also particularly generous in its consideration of TPS fee waivers.
Many injured and orphaned children were granted humanitarian parole to come to the U.S. for medical care and to resettle with prospective adoptive parents. Applications for parole to further the inter-country adoption process were ceased on April 14, 2010, in response to a request by the Haitian government; normal adoption procedures resumed thereafter. In the end, well over 1,000 parole requests were granted to children available for adoption. Less than two weeks after the Help HAITI Act of 2010 was passed in early December 2010, USCIS issued a timely interim memo to implement procedures for adjusting the status of paroled orphans who were otherwise ineligible for permanent resident status.
By the end of 2010, however, it seemed that the Department was acting at cross-purposes. Without any written notice or formal guidance, ICE decided to resume deportations of certain Haitians. Immigrant advocates were universally outraged by both the callous nature of the decision and the lack of information provided to the community. It seemed that, in the blink of an eye, the Department’s prioritization had shifted to one of extreme enforcement. It has also become apparent that the decision was made with minimal, if any, intra-departmental coordination, and has resulted in the erasing of much of the public goodwill generated at the outset of the catastrophe.
For several months, ICE had only explained this dramatic change in policy verbally; it announced to some community groups in December 2010 that it would initially remove Haitians with serious criminal convictions and anticipated deporting approximately 700 Haitians by the end of 2011. It wasn’t until March 7, 2011, that ICE posted a written policy about removals to Haiti on its website, claiming it to be “pre-decisional/deliberative”—despite the fact that deportations had resumed six weeks earlier. Moreover, ICE initially provided only five business days for public comment, later extending it by one week. Presumably, incorporating the harsh criticism it had received since late January, the draft policy states that there will be a “limited removal of criminal aliens with a focus on serious offenders such as violent felons.” It also said that ICE will not be removing non-criminal aliens unless they are determined to be a significant threat to national security. However, the policy lists “serious offenders” to include persons convicted of simple assault (a misdemeanor), larceny (a non-violent crime), and selling marijuana (as opposed to smuggling or trafficking). A mere “focus” on serious offenders leaves broad discretion to ICE to fill deportation flights to Haiti with as many non-serious offenders as they choose. Experience has also shown that ICE’s definition of “criminal” can be broad, and advocates fear that individuals with very minor criminal histories could be deported.
Unsurprisingly, anxiety abounds in the Haitian community. Given that ICE made its announcement to resume deportations one month before the end of the TPS registration period, some were too afraid to file for TPS out of concern that they would bring themselves to ICE’s attention. As of early January 2011, ICE had detained over 300 Haitians and transferred many to remote detention centers in Louisiana in preparation for removal, leaving detainees far from and less able to communicate with their attorneys and families. The resumption of removals is particularly inhumane given an outbreak of cholera that has sickened 252,640 Haitians and killed 4,672 as of March 10. The outbreak could sicken up to 779,000 Haitians and kill up to 11,100, according to researchers from the University of California, San Francisco. The police detention centers where deportees are routinely held upon arrival in Haiti (under the long-time policy of the Government of Haiti to detain U.S. deportees with criminal records) have no access to clean water or medical care, leaving cholera to run rampant. An utter lack of infrastructure and housing, in addition to post-election political instability and violence, render deportations impracticable and unconscionable, most especially for those Haitians who have long-standing ties to the U.S. and few resources available in Haiti. The U.S. resumption of removals also encouraged the Dominican Republic to do the same, in mass numbers.
The consequences of this renewed push for deportation are real. Ten days after the first group of criminal deportees was removed to Haiti, one man—a lawful permanent resident who had lived in the U.S. for 17 years—reportedly died of cholera-like symptoms in a Haitian jail cell, while another deportee was reportedly showing signs of cholera and released. This horrible incident likely caused ICE to belatedly state in writing in the draft policy that “…it is working in coordination with the Department of State and the Government of Haiti, to resume removals in as safe, humane, and minimally disruptive a manner as possible.” Given that a representative from the Department of State participated in the December announcement to advocates, many remain skeptical that this new statement of intent will translate into any real difference for Haitian deportees. Although immigrants convicted of crimes who have completed their incarceration cannot be held in civil immigration detention indefinitely, the United States is better equipped to handle any public safety concerns they might present than is Haiti, with its crumbled infrastructure and dysfunctional rule of law. Years of experience dealing with Cuban criminals who cannot be removed also provides the template for handling these cases.
Immigrant advocates have pleaded with Secretary Napolitano to halt these deportations. A formal request for an audit by the DHS Office of Inspector General has been made based largely on the lack of transparency. And the Inter-American Commission on Human Rights has vocally sided with the advocates. On February 4, 2011, in response to an emergency petition for precautionary measures filed by rights groups in January, the Inter-American Commission urged the U.S. Government to cease deportations to Haiti for individuals with serious illnesses or family members in the U.S. DHS should heed this recommendation and reverse its decision to resume removals to Haiti.
As Haiti’s designation for TPS approaches its expiration in July 2011, DHS should extend the designation for another 18 months and re-designate Haiti to include those Haitians who have arrived in the United States after January 11, 2010. Most of the Haitians who arrived post-earthquake arrived on tourist visas. On March 14, 2011, 16 members of the House of Representatives, including Rep. Ileana Ros-Lehtinen (Chairwoman of the House Committee on Foreign Affairs) and Rep. John Conyers (Ranking Member of the House Committee on the Judiciary) urged Secretary Napolitano to do exactly that. In addition, DHS should implement a program to grant humanitarian parole to the estimated 55,000 Haitian already approved beneficiaries of family-based visa petitions, just as has been done for Cubans under the Cuban Family Reunification Parole Program. If paroled, visa beneficiaries would be able to await a visa from the safety of the United States, where they have family and where they can earn money to remit to others left behind. DHS should also extend humanitarian parole to parents who want to visit with their children receiving medical care in the United States.
Published On: Tue, Apr 12, 2011
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Hope you all will read this and perhaps get a positive energy out of it!!
Thank YOU!
May God Bless!!
Free-Life