An Act to secure the health, safety and welfare of persons in
connection with coal operations; to repeal the Coal Mines Regulation Act 1982; to
amend certain Acts; and for other purposes.
Part 1 Preliminary
1 Name of Act
This Act is the Coal Mine
Health and Safety Act 2002.
2 Commencement
This Act commences on a day or days to be appointed by
proclamation.
3 Definitions
In this Act:abandoned coal
operation includes a discontinued coal operation, a closed coal
operation (other than a suspended coal operation) and a former coal
operation.
Board means the Coal
Competence Board constituted by section 130.
Board of
Inquiry means a Board of Inquiry constituted under section
113.
certificate
of competence means a certificate granted under section 136 that is
in force.
check
inspector means a site check inspector, an electrical check
inspector or an industry check inspector.
Chief
Inspector means the person appointed as Chief Inspector under
section 145.
coal includes oil
shale and kerosene shale, but does not include peat.
coal exploration
site means:
(a) a place where drilling from the surface is undertaken for the
purpose of discovering or proving the existence of coal,
or
(b) a place where drilling from the surface is undertaken for a mining
purpose in connection with the mining of coal, or
(c) a place where bulk sampling is done under an exploration licence
or assessment lease granted under the Mining
Act 1992, or
(d) a place being prepared for a use referred to in paragraph
(a)–(c), or
(e) a place formerly used for a purpose referred to in paragraph
(a)–(c) and that is presently being restored.
coal
mining industry code of practice means a coal mining industry code
of practice under Part 11.
coal
operation means a place at which coal is mined that is a place of
work to which this Act applies and includes the places that are taken to be
part of a coal operation under section 4.
Note. This Act applies to all places of work that are within a colliery
holding, a coal exploration site or the subject of a licence to mine coal
under the Offshore Minerals Act
1999.
coal preparation
plant means land, buildings and works that are, or may be, used for
or in connection with:
(a) the treatment of coal to improve it as a marketable product,
and
(b) the dispatch of the coal after it has been so
treated.
colliery
holder means the person identified in the register of colliery
holdings kept by the Director-General under section 163 of the Mining Act 1992 as the colliery
holder for the holding.
colliery
holding means a colliery holding registered in accordance with
section 163 of the Mining Act
1992.
competent means
having appropriate experience, knowledge, skills and
capabilities.
contractor, in
relation to a coal operation, means a person who is not an employee employed
to work at a coal operation, who undertakes work at the coal operation, but
does not include the operator of the coal operation.
contractor
management plan for a coal operation means a contractor management
plan prepared for the coal operation under section 39.
Department means
the Department of Mineral Resources.
direction
includes any instruction, order or requirement authorised by this Act to be
given or made by the Minister or an inspector.
Director-General means the
Director-General of the Department.
drift means a roadway
driven in stone or alluvial matter, but does not include a
shaft.
electrical
check inspector for a coal operation means a person elected under
section 172 as an electrical check inspector for the coal
operation.
emergency
management system for a coal operation means an emergency management
system prepared for the coal operation under section 45.
employee means an
individual who works under a contract of employment or
apprenticeship.
employer means a
person who employs persons under contracts of employment or
apprenticeship.
evidence of
competence means a certificate of competence or other evidence of
competence acceptable to the Minister.
exercise a
function includes perform a duty.
exploration
holder means a person registered as the holder of:
(a) an authority granted under the Mining Act 1992,
or
(b) a licence granted under the Offshore Minerals Act
1999.
flammable gas
means methane, carbon monoxide or hydrogen.
function includes
power, duty and authority.
government
official means a person appointed under section 145.
health and safety
management system for a coal operation means a health and safety
management system prepared for the coal operation under section
20.
industry check
inspector means a person appointed under section 173.
inspector means a
person appointed as an inspector under section 145.
investigator
means a person appointed as an investigator under section 145 or
147.
involved
union means a Federal or State industrial organisation of employees
of which a person employed to engage in work at a coal operation is a member,
where that person is qualified to be such a member by virtue of the work that
the person performs in his or her employment at the coal
operation.
major
hazard management plan for a coal operation means a major hazard
management plan prepared for the coal operation under section
35.
management
structure for a coal operation means the management structure
prepared for the coal operation under section 37.
manager of electrical
engineering for a coal operation means the person nominated as the
manager of electrical engineering for the coal operation in the management
structure for the coal operation.
manager of mechanical
engineering for a coal operation means the person nominated as the
manager of mechanical engineering for the coal operation in the management
structure for the coal operation.
manager of
mining engineering for a coal operation means the person nominated
as the manager of mining engineering for the coal operation in the management
structure for the coal operation.
methane includes
ethane, propane and similar hydrocarbon gases.
mine:
(a) when used as a noun, means any coal operation within which coal is
disturbed in its natural place of formation, and
(b) when used as a verb, means disturb, remove, cart, carry, crush or
otherwise deal with coal or stone for the purpose of obtaining coal for profit
or improving coal or carry out such other activities as may be prescribed by
the regulations, but does not include:(i) to explore for coal by drilling from the surface,
or
(ii) to blend coal where this is done elsewhere than within a colliery
holding.
mine safety
officer means a person appointed as a mine safety officer under
section 145.
open cut mine
means a mine in which persons are not employed underground when the mine is
being worked.
operator:
(a) in relation to a coal operation that is a place within a colliery
holding, means:(i) the colliery holder, if the colliery holder nominated himself,
herself or itself as the operator of the coal operation under section 17 and
that nomination was not rejected, or
(ii) the person nominated by the colliery holder as the operator of the
coal operation, and not rejected by the Chief Inspector, under section 17,
or
(iii) (Repealed)
(b) in relation to any other coal operation, means the person with the
day to day management of the coal operation.
outlet, in relation
to a mine, means a means of access to or exit from the mine for persons,
materials, coal or stone.
place of work
means premises where people work.
plant includes any
machinery, equipment (including scaffolding), appliance, implement or tool and
any component or fitting of, or accessory to, any machinery, equipment,
appliance, implement or tool.
premises includes
any place, and in particular includes:
(a) any land, building or part of any building,
and
(b) any vehicle, vessel or aircraft, and
(c) any installation on land, on the bed of any waters or floating on
any waters, and
(d) any tent or moveable structure.
previous
offender, in relation to the maximum penalty for an offence, means a
person who has, at any time before being sentenced for that offence, been
convicted of any other offence of any kind against:
(a) this Act, or
(b) the Coal Mines Regulation Act
1982, or
(b1) the Work Health and Safety Act
2011, or
(c) the Occupational Health and
Safety Act 2000, or
(d) the Occupational Health and
Safety Act 1983, or
(e) the Mines Inspection Act
1901, or
(f) the Mine Health and Safety Act
2004.
risks—see
section 6.
roadway means any
passageway in a mine formed by the removal of coal or stone and through which
is passed or is proposed to be passed coal, stone, persons, materials or
ventilation.
safe work
method statement for a coal operation means a safe work method
statement prepared under section 73.
shaft includes a
staple shaft.
site check
inspector, in relation to a coal operation, means a person elected
under section 157 as a site check inspector for the coal
operation.
stone includes rock,
clay, shale, soil and sand, but does not include coal.
stop work
order means an order under section 118.
subcontractor means a contractor
who has been contracted by a person other than the coal
operator.
supervisor means
a person nominated as a supervisor in the management structure for a coal
operation.
underground
mine means a mine in which persons are employed underground when the
mine is being worked.
vehicle includes
any mechanically driven machine capable of moving under its own
power.
4 Certain things are part of a coal operation
For the purposes of this Act, any building, structure, pit, shaft,
drive, level, drift, excavation or work within a colliery holding:(a) that is in the course of construction and that is intended to be
part of a coal operation, or
(b) that is a part of a coal operation and that is in the course of
being abandoned, or
(c) that is a part of a coal operation the operations at or in which
are in the course of being discontinued,
is taken to be part of a coal operation.
5 When a person is at work
For the purposes of this Act, a person is at work at a coal
operation throughout the time when the person is at the coal operation, but
not otherwise.
6 Risks arising from activities at work
For the purposes of this Act, risks arising out of the activities of
people at work include risks attributable to:(a) the manner of conducting an undertaking, or
(b) the plant or substances used for the purposes of an undertaking,
or
(c) the condition of premises (or any part of premises) used for the
purposes of an undertaking.
7 Notes
Notes included in this Act do not form part of this
Act.
Part 2 Application of Act
8 Application of Act
(1) This Act applies to all places of work that are:(a) within a colliery holding, or
(b) a coal exploration site, or
(c) the subject of a licence to mine coal under the Offshore Minerals Act
1999.
(2) This Act also applies to abandoned coal operations and emplacement
areas.
(3) This Act does not apply to:(a) any place that is of a class prescribed by the regulations or in
circumstances or during time periods prescribed by the regulations,
or
(b) any place specified by the Minister in a notice published in the
Gazette.
(4) The Minister is to notify any other Minister administering the
Work Health and Safety Act
2011 if any notice under subsection (3) (b) is published in
the Gazette. However, failure to notify that other Minister does not affect
the validity of the notice published in the
Gazette.
9 Act to bind Crown
This Act binds the Crown in right of New South Wales and, in so
far as the legislative power of Parliament permits, the Crown in all its other
capacities.
Part 3 Objects of Act
10 Objects of Act
The objects of this Act are:(a) to assist in securing the objects of the Work Health and Safety Act 2011 in
relation to coal operations (including the object of securing and promoting
the health, safety and welfare of people at work at coal operations or related
places), and
(b) to put in place special provisions necessary for the control of
particular risks arising from the mining of or exploration for coal,
and
(c) to ensure that effective provisions for emergencies are developed
and maintained at coal operations and related
places.
Part 4 Application of Work
Health and Safety Act 2011
Note. The Work Health and Safety Act
2011 is the main Act that deals with the health, safety and
welfare of persons at work. This Part explains how this Act fits in with the
Work Health and Safety Act
2011. Basically, this Act creates additional protections,
rights and obligations necessary because of the special risks associated with
coal operations. This Part makes it clear that this Act provides for an
increase in the standard of protection of persons at work at coal operations
and does not result in less protection than the Work Health and Safety Act 2011
would otherwise provide.
11 Act to be read in conjunction with WHS Act
This Act is to be read in conjunction with the Work Health and Safety Act
2011.
12 Act adds to protection provided by WHS Act
(1) If a provision of the Work
Health and Safety Act 2011 or the regulations made under that
Act applies to coal operations, that provision continues to apply, and must be
observed, in addition to this Act or the regulations made under this
Act.Note. For example, Part 2 of the Work
Health and Safety Act 2011 imposes duties relating to health,
safety and welfare at coal operations. So does Part 5 of this Act. The
provisions of this Act apply in addition to those of the WHS Act and do not
remove any WHS protections, rights or obligations.
(2) Without limiting subsection (1) or any other provision of this
Act, the failure by an operator to comply with a provision of this Act or the
regulations does not affect any liability of any other person under this Act
or the regulations or under the Work Health
and Safety Act 2011 or the regulations under that
Act.
13 WHS Act prevails
(1) The provisions of the Work
Health and Safety Act 2011 and the regulations under that Act
prevail, to the extent of any inconsistency, over the provisions of this Act
and the regulations under this Act.Note. For example, if a provision of this Act deals with a certain
matter and a provision of the Work Health
and Safety Act 2011 deals with the same matter and it is not
possible to comply with both provisions, then a person must comply with the
Work Health and Safety Act
2011 and not with this Act. If provisions of both Acts deal
with the same matter but it is possible to comply with both provisions, then a
person must comply with both Acts.
(2) This section is subject to section 122.
14 Compliance with this Act is no defence to prosecution
under WHS Act
Compliance with this Act or the regulations, or with any
requirement imposed under this Act or the regulations, is not in itself a
defence in any proceedings for an offence against the Work Health and Safety Act 2011 or
the regulations under that Act.
15 Evidence of contraventions of this Act and WHS
Act
Evidence of a relevant contravention of this Act or the
regulations is admissible in any proceedings for an offence against the
Work Health and Safety Act
2011 or the regulations under that
Act.
16 No double jeopardy
Where an act or omission constitutes an offence:(a) under this Act or the regulations, and
(b) under the Work Health and Safety
Act 2011 or the regulations under that
Act,
the offender is not liable to be punished twice in relation to the
offence.
16A (Repealed)
Part 5 Duties relating to health, safety and welfare at coal
operations
Note. Part 2 of the Work Health and
Safety Act 2011 imposes duties relating to health, safety and
welfare at work. Those duties apply to work at coal operations.This Part imposes extra duties.
Division 1 Duties of colliery holders
17 Duty to nominate the operator of a coal
operation
(1) A colliery holder must not undertake any mining, or allow any
other person to undertake any mining, at a coal operation within the colliery
holding unless the colliery holder has nominated one person who is the
employer with the day to day control of the coal operation as the operator of
the coal operation.Note. Because of the definition of mine (as a verb), this
obligation applies to coal mines and preparation plants but not coal
exploration sites.
(2) A nomination must be made in writing to the Chief
Inspector.
(3) A colliery holder may nominate himself, herself or itself as the
operator of a coal operation in the colliery
holding.
(4) If there is more than one separate and distinct coal operation
within a colliery holding, the colliery holder may nominate the person who is
the employer with the day to day control of each coal operation within the
colliery holding.
(5) A nomination under this section must be in the form prescribed by
the regulations.
(5A) The Chief Inspector may require a colliery holder to provide
further information concerning a nomination.
(6) The Chief Inspector must tell the colliery holder who made the
nomination if the nomination has been rejected. This must be done within 28
days of receiving the nomination or within any further time specified by the
Chief Inspector when the Chief Inspector requests further information under
subsection (5A).
(7) The Chief Inspector may reject a nomination under this
section:(a) if the Chief Inspector believes that the nominated operator is not
the employer with the day to day control of the coal operation,
or
(b) if more than one nominated operator is nominated and the Chief
Inspector believes:(i) that allowing the number of persons nominated to be operators
would be detrimental to the safety of one or more coal operations,
or
(ii) that the different parts of the colliery holding nominated under
subsection (4) are not sufficiently distinct to warrant the appointment of
separate operators, or
(c) in circumstances prescribed by the
regulations.
(8) If a nomination is rejected it is taken, on and from the time the
rejection is notified to the operator, not to have been
made.
(9) If an operator whose nomination has not been rejected under this
section ceases to be the employer with the day to day control of the coal
operation, the colliery holder must not undertake any mining, or allow any
other person to undertake any mining, at the coal operation unless the
colliery holder has nominated another operator of the coal operation. This
section applies to a further nomination in the same way as it applies to an
initial nomination.
(10) This section does not require a colliery holder to nominate an
operator if a previous colliery holder of the colliery holding nominated an
operator other than himself, herself or itself and that nomination was
accepted.
(11) The regulations may provide for when a person is taken to cease to
be the employer with the day to day control of a mine for the purposes of this
section.
(12) Subject to the regulations, the fact that an operator was not,
when nominated as the operator under this section, the employer with the day
to day control of the mine concerned does not affect the operator’s
obligations under this Act.
(13) Subject to the regulations, the fact that an operator has ceased
to be the employer with the day to day control of the mine does not affect the
operator’s obligations under this Act.
18 Colliery holder must give operator health and safety
information
(1) If a colliery holder nominates a person other than himself,
herself or itself as the operator of a coal operation, the colliery holder
must provide the person nominated with all information available to the
colliery holder that may reasonably be relevant to the development and
implementation of a health and safety management system for the coal operation
(including any major hazard management plans that form part of that
system).
(2) The regulations may prescribe the information that must be
provided under this section.
19 Penalty for offence against this Division
A colliery holder who contravenes, whether by act or omission, a
provision of this Division is guilty of an offence against that
provision.Maximum penalty: 250 penalty
units.
Division 2 Duties of operators of coal operations
Subdivision 1 Health and safety management systems
20 Duty of operator to prepare health and safety management
system
(1) The operator of a coal operation at which mining is carried out
must prepare a statement in accordance with this Act and the regulations,
stating how the health and safety of the people who work at the coal
operation, or who are directly affected by the coal operation, will be
protected. This is a health
and safety management system.
(2) For the purposes of this section, a person may be directly
affected by a coal operation even if the person is not inside the coal
operation.
(3) The regulations may specify which people are directly affected by
a coal operation for the purposes of this
Subdivision.
(4) This section does not require an operator to prepare a mine safety
management plan for a mine if:(a) a previous operator of the mine prepared a plan that complies with
this Act and the regulations, and
(b) the plan is adopted by the subsequent
operator.
21 No mining without health and safety management
system
The operator of a coal operation must ensure that mining is not
carried out by any person at the coal operation unless a health and safety
management system that complies with this Act and the regulations is
implemented for the coal operation.Note. Because of the definition of mine (as a verb), this
Subdivision applies to coal mines and preparation plants but not coal
exploration sites.
22 Duty of operator to ensure compliance with health and
safety management system
The operator of a coal operation must ensure that mining at the
coal operation is carried out in compliance with the health and safety
management system for the coal operation. This includes activities undertaken
by contractors who undertake work at the coal
operation.
23 Contents of health and safety management system
(1) The purpose of a health and safety management system must be to
provide the primary means by which an operator ensures the health, safety and
welfare of employees and others at a coal operation and of people directly
affected by a coal operation, including people who are not at the coal
operation.
(2) A health and safety management system for a coal operation must
provide:(a) the basis for the identification of hazards, and of the assessment
of risks arising from those hazards, by the operator of the coal operation,
and
(b) for the development of controls for those risks,
and
(c) for the reliable implementation of those
controls.
(3) A health and safety management system must include:(a) system elements (which must include, but are not limited to,
health and safety policy, risk management, training and competence,
information control and system evaluation), and
(b) any major hazard management plans required for the coal operation
under Subdivision 2, and
(c) the management structure of the coal operation required under
Subdivision 3, and
(d) any contractor management plan required for the coal operation
under Subdivision 4, and
(e) any other matter prescribed by the
regulations.
(4) The regulations may require a health and safety management system
to be consistent with any management system standard specified in the
regulations.
(5) The regulations may specify matters that do not need to be
included in a health and safety management system.
24 Consultation
The people who work at the coal operation must be consulted, in
the manner required by the regulations, during the preparation of the health
and safety management system and before its amendment.
25 Information to be supplied to Chief Inspector and industry
check inspector
(1) Information relating to the health and safety management system
for a coal operation must be supplied by the operator of the coal operation to
the Chief Inspector and an industry check
inspector.
(2) The regulations may specify:(a) the form and content of information to be supplied, which may
include, but is not limited to, the elements of the health and safety
management system to be supplied, and
(b) whether any summary of the health and safety management system is
to be supplied and, if so, what summary.
26 Chief Inspector may object
(1) The Chief Inspector may object to a health and safety management
system if he or she forms the view:(a) that the health and safety management system does not comply with
the requirements of this Act or the regulations, or
(b) that there was insufficient or inadequate consultation in the
preparation of the health and safety management system, or
(c) that the health and safety management system is insufficient to
protect the health and safety of those who work at the coal operation or those
affected by the coal operation.
(2) If the Chief Inspector has an objection to a health and safety
management system for a coal operation, the Chief Inspector must notify the
operator of the coal operation in writing of the objection. The health and
safety management system must not be implemented until the objection has been
resolved.
(3) If the Chief Inspector notifies an operator of an objection, the
operator must revise the health and safety management system, taking into
account any matters raised in the objection, and submit it to the Chief
Inspector within the time prescribed by the
regulations.
(4) If the Chief Inspector has not notified the operator of an
objection within 21 days after receiving information concerning the system, or
within any other period prescribed by the regulations, the operator may
implement a health and safety management system. The system may not be
implemented before that period ends.
27 Industry check inspector may object
(1) An industry check inspector may raise objections with the Chief
Inspector regarding the content of a health and safety management
system.
(2) The Chief Inspector must have regard to any objection raised under
this section.
(3) Nothing in this section prevents an industry check inspector from
raising matters concerning the content of a health and safety management
system for a coal operation directly with the operator of the coal
operation.
28 Health and safety management system must be
reviewed
(1) The operator of a coal operation at which mining is carried out
must regularly review the health and safety management system for the coal
operation, including any major hazard management plans, the management
structure and any contractor management plan. That review must occur at least
once every 3 years.
(2) In addition to that regular review, an operator must immediately
review the health and safety management system:(a) as at 12 months after the commencement of mining at the coal
operation, or
(b) if there is a fatality at or arising directly from the coal
operation, or
(c) if there is a dangerous incident at the coal operation that could
reasonably have been expected to result in a fatality, or
(d) if there is a significant change in operations that may affect
health and safety, or
(e) if required to do so by the Chief Inspector in writing,
or
(f) if required to do so by the
regulations.
(3) A review under subsection (2) is required to consider only the
relevant parts of the health and safety management
system.
(4) The people who work at the coal operation must be consulted, in
the manner prescribed by the regulations, as part of the
review.
(5) A review must be completed within 6 months after it is required by
this section.
29 Amendment of health and safety management
system
(1) If a health and safety management system for a coal operation is
amended after it is in operation, information concerning the amended system
must, if the regulations require it, be sent by the operator of the coal
operation to the Chief Inspector and an industry check inspector before the
proposed commencement of the amendment.
(2) Sections 23, 24 and 25 apply to an amendment to a health and
safety management system in the same way as they apply to a health and safety
management system.
(3) If the Chief Inspector is of the view:(a) that the amended health and safety management system does not
comply with the requirements of this Act or the regulations,
or
(b) that there was insufficient or inadequate consultation concerning
the amendment of the health and safety management system,
or
(c) that the amended health and safety management system is
insufficient to protect the health and safety of those at the coal operation
or those affected by the coal operation,
the Chief Inspector may object to the amended health and safety
management system.
(4) If the Chief Inspector notifies an operator of an objection, the
operator must either withdraw or revise the amendment to the health and safety
management system, taking into account any matters raised in the objection,
and submit it to the Chief Inspector within the time prescribed by the
regulations.
(5) The operator may implement the amended health and safety
management system immediately after informing the Chief Inspector of the
amendment, unless the amendment is of a kind that the regulations provide
cannot be implemented during a prescribed period after informing the Chief
Inspector.
30 Access to health and safety management system
(1) An up-to-date copy of the health and safety management system for
a coal operation must be kept at the on-site office of the coal operation by
the operator of the coal operation and must be made available for inspection
by:(a) a government official, or
(b) a check inspector who is entitled to exercise functions in
relation to the coal operation, or
(c) any person who works at the coal
operation.
(2) The operator of a coal operation must immediately supply the Chief
Inspector with an up-to-date copy of the health and safety management system
for the coal operation if the Chief Inspector requests a
copy.
31 Former operator must return information
If a person ceases to be the operator of a coal operation, that
person must return to the colliery holder any information provided to the
person under section 18 or otherwise obtained by the person in the course of
exercising the functions of an operator prescribed by the regulations, whether
or not updated by the operator. That information must be returned as soon as
practicable after the person ceases to be the
operator.
Subdivision 2 Major hazard management plans
32 Regulations may prescribe “major
hazard”
The regulations may prescribe a hazard to people (whether or not
they are at work) as a major hazard to which
this Subdivision applies.
33 Minister may require other major hazards to be
identified
(1) The Minister may declare by notice published in the Gazette that
the operator of a coal operation, or the operators of a class of coal
operations, must undertake a specified process or processes to identify any
major hazard that affects the coal operation.
(2) A major hazard so identified is a major hazard to which this
Subdivision applies.
(3) An operator of a coal operation must not fail to comply with a
requirement imposed by a declaration under this
section.
34 Minister may declare operation is subject to risk of major
hazard
The Minister may declare by notice in the Gazette that a coal
operation, or a class of coal operations, is subject to a risk from mining
from a major hazard to which this Subdivision applies.
35 Duty to prepare one or more major hazard management
plans
(1) If a risk from mining at a coal operation arises from a major
hazard to which this Subdivision applies, the operator must establish and
maintain a major hazard management plan for each such major hazard as a part
of the health and safety management system for the coal
operation.
(2) In addition, an operator must establish a major hazard management
plan for each major hazard identified by the operator in the operator’s
assessment of risks arising from the coal operation carried out in the
preparation or implementation of the health and safety management system for
the coal operation.
(3) A separate major hazard management plan must be prepared for each
major hazard.
36 Contents of major hazard management plans
(1) A major hazard management plan must state how the health and
safety of the people who work at or are affected by the coal operation will be
protected from the major hazard.
(2) A major hazard management plan must also make provision for the
matters prescribed by the regulations.
(3) A major hazard management plan may refer to or incorporate, with
or without modification, a document prepared or published by a body specified
in the plan, as in force at a particular time or from time to
time.
Subdivision 3 Management structure
37 Operator must prepare management structure
(1) As part of the health and safety management system for a coal
operation, the operator of the coal operation must prepare a document that
sets out the management structure of the coal
operation.
(2) The management structure must nominate people within the structure
by position and must outline their areas of responsibility and
accountability.
(3) The management structure for a coal operation that is a mine must
include a competent person to perform the functions of the manager of mining
engineering.
(4) The management structure must include competent people with
appropriate mining, electrical and mechanical engineering
competence.
(5) The management structure for an underground mine must include
competent people to perform the functions of the manager of electrical
engineering and the manager of mechanical
engineering.
(6) The management structure for a coal operation must include
competent people to perform the functions of supervisors of the
operation.
(7) An operator must take all reasonable steps to maintain the
management structure. This includes having others acting in, and the timely
filling of, vacant positions in the structure.
(8) During an emergency, the management structure of a coal operation
may be suspended and a different management structure may be put into place
for the duration of the emergency.
38 Register of persons occupying positions
(1) The operator of a coal operation must keep a register at the
on-site office of the coal operation containing the names of people occupying
positions in the management structure for the
operation.
(2) The register must cover both current occupants of positions and
occupants for the previous 5 years (including any period before the
commencement of this section).
(3) The register is to be made available for inspection on request by
a government official, an industry check inspector, a site check inspector or
by any person who works at the coal operation.
Subdivision 4 Duties regarding contractors
39 Operator to prepare contractor management plan
As part of the health and safety management system for a coal
operation, the operator of a coal operation at which contractors are proposed
to be used must prepare a contractor management plan, stating how the risks
arising from the use of contractors at the coal operation will be
managed.
40 Content of contractor management plan
A contractor management plan for a coal operation must make
provision for the matters prescribed by the
regulations.
41 Operator to ensure contractor’s familiarity with
systems
The operator of a coal operation at which any contractor proposes
to work must ensure, before that work commences, that consultation occurs with
the contractor so that:(a) the contractor is familiar with the relevant parts of the health
and safety management system and the contractor management plan for the coal
operation, and
(b) the contractor’s arrangements for health and safety
management are consistent with the health and safety management system for the
coal operation.
42 Duties of operator regarding contractors
(1) The operator of a coal operation must ensure that each contractor
who proposes to work at the coal operation provides the operator, or a person
designated by the operator, with:(a) a written safe work method statement for the work to be carried
out by the contractor, and
(b) if section 75 applies to the contractor, a site-specific work
health and safety management plan.
These must be provided before the contractor commences work at the
coal operation.
(2) A safe work method statement must:(a) describe how work is to be carried out, and
(b) identify the work activities assessed as having safety and health
risks, and
(c) identify the safety and health risks, and
(d) describe the control measures that will be applied to the work
activities, and
(e) make provision for the matters required by the
regulations.
(3) An operator must ensure:(a) that a contractor is directed to comply with:(i) the safe work method statement that the contractor has provided,
and
(ii) the requirements of this Act and the regulations, of the Work Health and Safety Act 2011 and
of the regulations made under that Act, and
(b) that the activities of a contractor are monitored to the extent
necessary to determine whether or not the contractor is complying with:(i) the safe work method statement that the contractor has provided,
and
(ii) the requirements of this Act and the regulations, of the Work Health and Safety Act 2011 and
of the regulations made under that Act, and
(c) if the contractor is not so complying, that the contractor is
directed to take action immediately to comply with the safe work method
statement or the requirements of this Act and the regulations, of the Work Health and Safety Act 2011 and
of the regulations made under that Act, and
(d) that if a risk to the health or safety of a person arises because
of the non-compliance, the contractor is directed to stop work immediately and
not to resume work until the safe work method statement or those requirements,
or both, are complied with, unless an immediate cessation of work is likely to
increase the risk to health or safety, in which event the contractor must be
directed to stop work as soon as it is safe to do
so.
(4) A failure by an operator to give a direction, or to ensure that a
direction is given, under this section does not affect any liability of the
contractor under this Act or the regulations or under the Work Health and Safety Act 2011 or
the regulations made under that Act.
43 Contractor must be given copy of health and safety
management system
The operator of a coal operation must ensure that a contractor
does not commence work at the coal operation unless the contractor has been
provided with a copy of the parts of the operator’s health and safety
management system for the place of work that are relevant to the
contractor.
Subdivision 5 Emergency management systems
44 Meaning of “emergency”
For the purposes of this Subdivision, an emergency exists at a
coal operation when a situation is not controlled by a health and safety
management system for the coal operation and there is a threat to the life or
physical well-being of people at or outside the coal
operation.
45 Operator must prepare emergency management
system
The operator of a coal operation must ensure that an emergency
management system that complies with this Subdivision is prepared for the coal
operation.
46 No mining without emergency management system
The operator of a coal operation must ensure that mining is not
carried out at the coal operation unless an emergency management system that
complies with this Subdivision is implemented for the coal
operation.Note. Because of the definition of mine (as a verb), this
Subdivision applies to coal mines and preparation plants but not coal
exploration sites.
47 Contents of emergency management system
(1) An emergency management system must contain an up-to-date plan of
the coal operation and any other plan required by the
regulations.
(2) An emergency management system must adequately address, but is not
limited to addressing, the following matters:(a) the identification of the nature of risks at a coal operation that
could result in an emergency if control measures fail,
(b) the description of the measures to be taken to prevent or limit
the harmful consequences of incidents associated with each of the identified
risks, including measures to identify the location of people who may be at
risk,
(c) the identification of the equipment, facilities and communication
systems necessary to control or limit the consequences of those incidents and
the arrangements for ensuring that they are readily
available,
(d) the description of the procedures necessary to control or limit
these incidents and the competence required by people to undertake the
procedures in an emergency setting,
(e) the identification of the control structure that is to apply in
the event of an emergency and the means by which that structure is to be
communicated throughout the operation,
(f) the identification of key personnel and resources (both internal
and external) available to be called on in the case of an
emergency,
(g) the identification of the procedures for testing the effectiveness
of the system and ensuring that all necessary equipment, facilities, systems,
procedures and training are maintained,
(h) any other matter prescribed by the
regulations.
48 Consultation
The people who work at the coal operation must be consulted, in
the manner prescribed by the regulations, during the preparation of the
emergency management system and before its amendment.
49 Information to be supplied to Chief Inspector and industry
check inspector
(1) Information relating to the emergency management system for a coal
operation must be supplied by the operator of the coal operation to the Chief
Inspector and an industry check inspector before the emergency management
system is implemented.
(2) The regulations may specify:(a) the form and content of information to be supplied, which may
include, but is not limited to, the elements of the emergency management
system to be supplied, and
(b) whether any summary of the emergency management system is to be
supplied and, if so, what summary.
(3) If an emergency management system for a coal operation is amended
after it is in operation, information concerning the amended system must, if
the regulations require it, be sent by the operator of the coal operation to
the Chief Inspector and an industry check inspector. That information must be
sent before the amendment to the emergency management system is
implemented.
50 Copy to be made available
(1) An up-to-date copy of the emergency management system for a coal
operation must be kept at the on-site office of the coal operation by the
operator of the coal operation and must be made available for inspection
by:(a) a government official, or
(b) a check inspector who is entitled to exercise functions in
relation to the coal operation, or
(c) any person who works at the coal
operation.
(2) The operator of a coal operation must immediately supply the Chief
Inspector with an up-to-date copy of the emergency management system for the
coal operation if the Chief Inspector requests a
copy.
51 Competence and training of personnel
The operator of a coal operation must ensure that the people
required to perform duties as part of the emergency management system for the
coal operation are competent to carry out those duties and are given
appropriate training.
52 Review
(1) The operator of a coal operation must ensure that the emergency
management system for the coal operation is reviewed:(a) as soon as practicable after any emergency has occurred at the
coal operation, and
(b) whenever the health and safety management system for the coal
operation is reviewed.
(2) The people who work at the coal operation must be consulted, in
the manner prescribed by the regulations, during the
review.
(3) A review under this section is required only to consider the
relevant parts of the emergency management system.
Subdivision 6 High risk activities
53 Meaning of “high risk activity”
(1) The regulations may prescribe an activity as a high risk
activity to which this Subdivision
applies.
(2) The regulations may provide that an activity being carried out at
the time that it is prescribed as a high risk activity can continue without
being subject to this Subdivision.
54 Requirement to notify high risk activities
(1) The operator of a coal operation must ensure that a high risk
activity to which this Subdivision applies is not carried out at or in
relation to the coal operation unless, before the activity is
commenced:(a) the operator has given notice of the activity to the Chief
Inspector, an industry check inspector and the site check inspector for the
coal operation, and
(b) such waiting period as may be prescribed by the regulations in
relation to the activity has elapsed.
(1A) The waiting period in relation to a particular high risk activity
may be varied by the Chief Inspector so long as the industry check inspector
who has been notified of the activity is consulted by the Chief Inspector in
relation to the variation.
(2) Notice under this section must be given in the form prescribed by
the regulations and must be accompanied by any information required by the
regulations.
(3) Notice is taken to have been given when it is received by both the
Chief Inspector and an industry check inspector.
Subdivision 7 Keeping of records and reporting
55 Keeping of records by operators
The operator of a coal operation must keep the records concerning
health and safety that are required by the regulations, in the manner required
by the regulations and for at least the time required by the
regulations.
56 Reporting by operators
The operator of a coal operation must make the reports concerning
health and safety that are required by the regulations, in the manner required
by the regulations.
Subdivision 8 Penalties
57 Penalty for offence against this Division
An operator or former operator of a coal operation who
contravenes, whether by act or omission, a provision of this Division is
guilty of an offence against that provision.Maximum penalty:
(a) in the case of a corporation (being a previous
offender)—7,500 penalty units, or
(b) in the case of a corporation (not being a previous
offender)—5,000 penalty units, or
(c) in the case of an individual (being a previous offender)—750
penalty units or imprisonment for 2 years, or both, or
(d) in the case of an individual (not being a previous
offender)—500 penalty units.
Subdivision 9 Saving of certain notices and
directions
58 Saving of certain notices and directions
(1) If a notice or direction is given under this Act to a person as
the operator of a coal operation and that person is replaced as operator by
another person, any notice or direction is taken to have been given to the new
operator.
(2) Nothing in this section affects any liability for an offence
committed by a person when the person was an operator of a coal
operation.
Division 3 Duties and rights of employees
59 Duties of employees
(1) An employee who works at any coal operation must:(a) comply with the health and safety management system for the coal
operation, and
(b) follow the operator’s procedures for emergencies as set out
in the emergency management system for the coal
operation.
(2) An employee who works at a coal operation must inform the operator
of any circumstances that the employee considers may lead to a loss of control
of a major hazard.
(3) An employee who works at a coal operation must immediately report
to his or her immediate supervisor any situation that the employee believes
could present a risk to health and safety and that is not within the
employee’s competence to control. If the employee’s supervisor is
not immediately available, the employee must instead immediately report to
another senior person at the coal operation.
Maximum penalty:
(a) in the case of a previous offender—45 penalty units,
or
(b) in any other case—30 penalty
units.
60 Rights of employees
An employee who works at a coal operation has the right to remove
himself or herself from any location at the coal operation when circumstances
arise that appear to the employee, with reasonable justification, to pose a
serious danger to his or her own health, safety or
welfare.
61 Unlawful dismissal or other victimisation of
employee
(1) An employer of any person who works at a coal operation must not
dismiss an employee, injure an employee in his or her employment or alter an
employee’s position to his or her detriment because:(a) the employee participates in a consultation process required by
this Act or the regulations,
(b) the employee exercises rights under this Act or the
regulations,
(c) the employee performs functions or complies with duties under this
Act or the regulations or assists a government official,
(d) the employee is a check inspector.
(2) In proceedings for an offence against this section, if all the
facts constituting the offence other than the reason for the defendant’s
action are proved, the onus of proving that the dismissal, injury or
alteration was not actuated by the reason alleged in the charge lies on the
defendant.
(3) If a person is found guilty by a court of contravening this
section, the court may order the person:(a) to pay the employee a specified sum by way of reimbursement for
the salary or wages lost by the employee, and
(b) to reinstate the employee to his or her usual position or a
similar position.
(4) Such a person must give effect to an order of the court under
subsection (3).
Maximum penalty (subsections (1) and (4)):
(a) in the case of a corporation (being a previous offender)—375
penalty units, or
(b) in the case of a corporation (not being a previous
offender)—250 penalty units, or
(c) in the case of an individual (being a previous offender)—225
penalty units, or both, or
(d) in the case of an individual (not being a previous
offender)—150 penalty units.
62 Division applies to employees of contractor
This Division applies to an employee of a contractor who works at
a coal operation, to the extent that it applies to work done by the employee,
in the same way as it applies to an employee of an
operator.
Division 4 Duties of those in management positions
63 Duties of manager of mining engineering
(1) The manager of mining engineering for a coal operation must advise
the operator of health and safety standards and practices in the
manager’s discipline.
(2) The manager of mining engineering for a coal operation must bring
any significant deviation from those standards and practices, and any risks to
health and safety that he or she becomes aware of, to the attention of the
operator.
(3) A failure by the manager of mining engineering to bring such a
deviation to the operator’s attention does not affect any liability of
the operator under this Act or the regulations or under the Work Health and Safety Act 2011 or
the regulations made under that Act.
64 Duties of manager of electrical engineering
(1) The manager of electrical engineering for a coal operation must
advise the operator of health and safety standards and practices in the
manager’s discipline.
(2) The manager of electrical engineering for a coal operation must
bring any significant deviation from those standards and practices, and any
risks to health and safety that he or she becomes aware of, to the attention
of the operator.
(3) A failure by the manager of electrical engineering to bring such a
deviation to the operator’s attention does not affect any liability of
the operator under this Act or the regulations or under the Work Health and Safety Act 2011 or
the regulations made under that Act.
65 Duties of manager of mechanical engineering
(1) The manager of mechanical engineering for a coal operation must
advise the operator of health and safety standards and practices in the
manager’s discipline.
(2) The manager of mechanical engineering for a coal operation must
bring any significant deviation from those standards and practices, and any
risks to health and safety that he or she becomes aware of, to the attention
of the operator.
(3) A failure by the manager of mechanical engineering to bring such a
deviation to the operator’s attention does not affect any liability of
the operator under this Act or the regulations or under the Work Health and Safety Act 2011 or
the regulations made under that Act.
66 Those in management positions must comply with health and
safety management system
A person who holds a management position at a coal operation must
comply with the health and safety management system for the coal
operation.
67 Those in management positions must inform operator of
non-compliance
(1) A person who holds a management position at a coal operation must
inform the operator of the coal operation if he or she is aware that the
conduct of the coal operation does not conform with the Work Health and Safety Act 2011 or
the regulations made under that Act or with this Act or the regulations made
under this Act.
(2) A failure by a person to inform the operator under this section
does not affect any liability of the operator under the Work Health and Safety Act 2011 or
the regulations made under that Act or under this Act or the regulations made
under this Act.
68 Penalty for offence against this Division
A person who contravenes, whether by act or omission, a provision
of this Division is guilty of an offence against that
provision.Maximum penalty:
(a) in the case of a previous offender—75 penalty units,
or
(b) in any other case—50 penalty
units.
Division 5 Duties of supervisors
69 Supervisor must comply with health and safety management
system
A supervisor at a coal operation must comply with the health and
safety management system for the coal operation.
70 Supervisor must inform operator of
non-compliance
(1) A supervisor at a coal operation must inform the operator of the
coal operation if he or she is aware that the conduct of the coal operation
does not conform with the Work Health and
Safety Act 2011 or this Act or the regulations under either
Act.
(2) A failure by a supervisor to inform the operator under this
section does not affect any liability of the operator under the Work Health and Safety Act 2011 or
this Act or the regulations under either Act.
71 Penalty for offence against this Division
A person who contravenes, whether by act or omission, a provision
of this Division is guilty of an offence against that
provision.Maximum penalty:
(a) in the case of a previous offender—75 penalty units,
or
(b) in any other case—50 penalty
units.
Division 6 Duties of contractors
72 Contractor must comply with operator’s health and
safety management system
A contractor who works at a coal operation must comply with the
health and safety management system of the operator for the coal operation to
the extent that it applies to work done by the
contractor.
73 Duties of contractors regarding safe work method
statement
(1) A contractor must not commence work at a coal operation unless the
contractor:(a) has undertaken an assessment of the risks associated with the work
to be carried out by the contractor, and
(b) has prepared a written safe work method statement that includes a
copy of the assessment of risks, and
(c) has provided a copy of that statement to a person designated by
the operator of the coal operation.
(2) A contractor:(a) must maintain and keep up-to-date the contractor’s safe work
method statement for a place of work, and
(b) must provide a person designated by the operator with any changes
made to the safe work method statement.
Note. The requirements for a safe work method statement are set out in
section 42.
74 Contractor to ensure work carried out in accordance with
safe work method statement
(1) A contractor must ensure that all work carried out by the
contractor, or by an employee of the contractor, at a coal operation is
carried out in accordance with the safe work method statement prepared by the
contractor in relation to that coal operation.
(2) If a risk to the health or safety of a person arises because of
non-compliance with the statement, a contractor must ensure that work is
stopped immediately and does not resume until the statement is complied
with.
(3) However, if the immediate cessation of work is likely to increase
the risk to health or safety, the contractor is not required to stop the work
immediately but must stop the work as soon as it is safe to do
so.
(4) If there is a conflict between the health and safety management
system for a coal operation and the safe work method statement of a
contractor, the health and safety management system
prevails.
75 Contractor must prepare and implement WHS management
plan
(1) This section applies to contractors of a class prescribed by the
regulations.
(2) A contractor must ensure that, before commencing work at a coal
operation, a site-specific work health and safety management plan is prepared
for that coal operation.
(3) A contractor must ensure that the work health and safety
management plan includes:(a) a statement of responsibilities, listing the names, positions and
responsibilities of all people who will have specified responsibilities at the
coal operation for work health and safety in relation to the
contractor’s work, and
(b) details of the arrangements for managing work health and safety
incidents, including the means of informing the coal operator in a timely
fashion, and
(c) any work specific safety rules and details of the arrangements for
ensuring that all persons involved in the work are informed of the rules,
and
(d) safe work method statements for all work activities assessed as
having safety or health risks, and
(e) any other matters required by the
regulations.
(4) A contractor must supply a copy of the work health and safety
management plan to the operator of the coal operation prior to work commencing
at the coal operation.
(5) If requested, a contractor must supply a copy of the work health
and safety management plan to a government official or a check inspector as
soon as practicable after the request. Such a request may be made before or
after work commences.
(6) A contractor must ensure that a copy of the work health and safety
management plan is available for inspection during the course of work:(a) by any person working at the place of work concerned and by any
person about to commence work at that place, and
(b) by a representative of the coal operator, a government official or
a check inspector.
(7) A contractor must ensure that work carried out by the contractor
at the coal operation is carried out in compliance with the work health and
safety management plan for the coal operation.
(8) If there is a conflict between the health and safety management
system for a coal operation and the work health and safety management plan of
a contractor, the health and safety management system
prevails.
76 Contractor’s duties regarding
subcontractors
(1) A contractor who works at a coal operation must ensure that any
subcontractor of the contractor provides the operator of the coal operation,
or a person nominated by the operator, with:(a) a written safe work method statement for the work to be carried
out by the subcontractor, and
(b) if section 75 applies to the subcontractor, a site-specific work
health and safety management plan.
These must be provided before the subcontractor commences work at
the coal operation.
(2) A contractor who works at a coal operation must ensure that any
subcontractor of the contractor complies with the health and safety management
system of the operator of the coal operation.
(3) A contractor to whom section 75 applies must ensure that a copy of
any parts of the contractor’s work health and safety management plan
that are relevant to a subcontractor contracted by the contractor or employee
employed by the contractor are provided to the subcontractor or employee
before the subcontractor or employee commences work at the place of work
concerned.
(4) A contractor to whom section 75 applies must ensure that, if any
change is made to the work health and safety management plan during the course
of work, a copy of any part of the plan that has been changed and that is
relevant to a subcontractor or employee of the contractor is provided to the
subcontractor or employee as soon as practicable after the change is
made.
(5) A contractor must ensure that, if any change is made to the safe
work method statement during the course of work, a copy of any part of the
statement that has been changed and that is relevant to a subcontractor or
employee of the contractor is provided to the subcontractor or employee as
soon as practicable after the change is made.
77 Penalty for offence against this Division
A person who contravenes, whether by act or omission, a provision
of this Division is guilty of an offence against that
provision.Maximum penalty:
(a) in the case of a corporation (being a previous
offender)—7,500 penalty units, or
(b) in the case of a corporation (not being a previous
offender)—5,000 penalty units, or
(c) in the case of an individual (being a previous offender)—750
penalty units or imprisonment for 2 years, or both, or
(d) in the case of an individual (not being a previous
offender)—500 penalty units.
Division 7 Duties of exploration holders and others to give
notice
78 Duty to give notice of drilling operations
(1) An exploration holder must not commence drilling operations unless
the exploration holder has given the Chief Inspector at least 7 days’
written notice of the operations.
(1A) If notice has been given of drilling operations on particular
land, no further notice is required if other related drilling operations are
later commenced on that land.
(2) That notice must contain the details required by the
regulations.
(3) In this section:drilling
operation means any drilling operation carried out from the surface
in the course of searching for coal or the mining of coal and includes:
(a) drilling carried out under the authority of section 81 of the
Mining Act 1992,
and
(b) drilling done for mining purposes in connection with the mining of
coal, and
(c) the preparation of a drill site, and
(d) the restoration of a drill site.
79 Other duties to give notice
(1) The regulations may require a person, or a person of a specified
class, to give notice to the Chief Inspector of the commencement or
discontinuation of operations or activities at a coal operation that are
prescribed by the regulations.
(2) The regulations may prescribe the amount of notice to be given and
the details that are required to be contained in the
notice.
(3) A person who is required to give notice must comply with the
regulations made under this section.
80 Penalty for offence against this Division
A person who contravenes, whether by act or omission, a provision
of this Division is guilty of an offence against that
provision.Maximum penalty:
(a) in the case of a corporation (being a previous offender)—750
penalty units, or
(b) in the case of a corporation (not being a previous
offender)—500 penalty units, or
(c) in the case of an individual (being a previous offender)—375
penalty units or imprisonment for 2 years, or both, or
(d) in the case of an individual (not being a previous
offender)—250 penalty units.
Division 8 General
81 Person may have more than one duty
A person on whom a duty is imposed under this Part may be subject
to more than one duty under this Part.
82 Relationship between duties under this Part and
regulations
(1) Compliance with the regulations is not in itself a defence in any
proceedings for an offence against this Part.
(2) However, a relevant contravention of the regulations is admissible
in evidence in any proceedings for an offence against this
Part.
(3) This section is subject to any regulations under section 197 or
198.
Note. See Part 11 for provisions relating to the use of approved coal
mining industry codes of practice in proceedings for offences against this
Part.
83 (Repealed)
84 Multiple contraventions of general duties under this
Part
(1) More than one contravention of a provision of this Part by a
person that arise out of the same factual circumstances may be charged as a
single offence or as separate offences.
(2) This section does not authorise contraventions of 2 or more of
those provisions to be charged as a single offence.
(3) A single penalty only may be imposed in respect of more than one
contravention of any such provision that is charged as a single
offence.
85 Civil liability not affected by this Part
(1) Nothing in this Part is to be construed:(a) as conferring a right of action in any civil proceedings in
respect of any contravention, whether by act or omission, of any provision of
this Part, or
(b) as conferring a defence to an action in any civil proceedings or
as otherwise affecting a right of action in any civil
proceedings.
(2) Subsection (1) does not affect the extent (if any) to which a
breach of duty imposed by the regulations is actionable (including any
regulation that adapts a provision of this Part).
Part 6 Safety of coal operations
Division 1 Methods or systems of working mines
86 Barriers and protective pillars
(1) The operator of a coal operation that is a mine must not mine or
cause to be mined any seam of coal in the mine without leaving a barrier of
the specified width:(a) against the external boundaries of the colliery holding in which
the mine is situated, and
(b) against any outcrop of the seam, and
(c) between any underground workings and any open cut working situated
within the colliery holding in which the mine is
situated.
(2) For the purposes of subsection (1), the specified width is 20
metres or any other distance that the Minister may specify in a direction
given to the operator of the coal operation.
(3) In giving a direction under subsection (2), the Minister:(a) may fix the width of a barrier in respect of any seam or portion
of a seam within a mine and specified in the direction or in respect of all
the seams within a mine or all seams within a mine other than those so
specified, and
(b) must so fix the width of a barrier in respect of any seam so that
a barrier of not less than 40 metres must be maintained between workings of
adjacent mines.
(4) A person must not fail to comply with a direction under this
section.
87 Minister may give directions regarding barriers and
pillars
(1) The Minister may direct the operator of a coal operation:(a) to leave in any mine that forms part of the coal operation a
barrier of the width that is specified in the direction against the mean high
water mark of tidal waters, and
(b) to leave in the mine that forms part of the coal operation a
protective pillar of the dimensions that are specified in the direction
against surface improvements or features, whether natural or artificial,
including mine workings, whether discontinued or
otherwise.
(2) In giving a direction under subsection (1), the Minister:(a) may fix the width of a barrier in respect of any seam or portion
of a seam within a mine and specified in the direction or in respect of all
the seams within a mine or all seams within a mine other than those so
specified, and
(b) must so fix the width of a barrier in respect of any seam so that
a barrier of not less than 40 metres must be maintained between workings of
any mine adjoining the mine.
(3) An operator must not fail to comply with a direction given to the
operator under this section.
88 Minister may direct carrying out of works
(1) If any workings in a mine encroach on any barrier or protective
pillar required to be provided pursuant to:(a) this Division, or
(b) any conditions contained in any lease granted under the Mining Act 1992 or any licence
granted under the Offshore Minerals Act
1999,
the Minister may, if of the opinion that it is necessary to do so in
order to ensure the safety of people working in the mine or in any mine
adjoining the mine, direct the operator to carry out any works that the
Minister thinks fit within the time specified in the
direction.
(2) An operator must not fail to comply with a direction given to the
operator under this section.
(3) This section applies whether the lease or licence is granted
before or after the commencement of this section.
89 Minister may grant approval to mine barrier or
pillar
(1) The Minister may grant approval, subject to any conditions that
the Minister considers necessary, to the operator of a coal operation to mine
any barrier or protective pillar provided pursuant to this
Division.
(2) An operator must not fail to comply with a condition of an
approval given to the operator under this section.
90 Penalty for offence against this Division
An operator of a coal operation who contravenes, whether by act or
omission, a provision of this Division is guilty of an offence against that
provision.Maximum penalty:
(a) in the case of a corporation (being a previous
offender)—3,750 penalty units, or
(b) in the case of a corporation (not being a previous
offender)—2,500 penalty units, or
(c) in the case of an individual (being a previous offender)—375
penalty units, or
(d) in the case of an individual (not being a previous
offender)—250 penalty units.
Division 2 Closing of shafts and outlets in abandoned
mines
91 Application of this Division
If there is no operator for a coal operation within a colliery
holding, the obligations imposed on an operator by this Division are imposed
on the colliery holder or the person on whose application the relevant land
was last registered as, or recorded as part of, a colliery
holding.
92 Closing of shafts and outlets
(1) The operator of a mine must:(a) cause every shaft or outlet at a mine, when it ceases to be used,
to be securely fenced off as soon as practicable and to be fully sealed or
filled in a manner approved by the Chief Inspector, or provided with an
enclosure, barrier, plug or seal approved by the Chief Inspector, within 30
days after the mine ceases to be used, and
(b) cause the seal, fill, enclosure, barrier or plug to be properly
maintained, and
(c) before abandoning the mine, cause every shaft or outlet at the
mine to be fully sealed or filled in a manner approved by the Chief Inspector,
or provided with an enclosure, barrier, plug or seal approved by the Chief
Inspector.
(2) If the operator of a mine is not the occupier of the land on which
work is required to be carried out under subsection (1), the operator of the
mine must give reasonable notice to the occupier of the land before causing
the work to be carried out.
93 Chief Inspector may require further work
(1) The Chief Inspector may, by notice in writing, require an operator
or former operator of a mine that has ceased to be used before or after it is
abandoned, to carry out work to ensure that:(a) a shaft or outlet at that mine is fully sealed or filled,
or
(b) a shaft or outlet at that mine is provided with an enclosure,
barrier, plug or seal approved by the Chief Inspector, or
(c) any existing seal, fill, enclosure, barrier or plug at that mine
remains effective.
(2) A person to whom a notice has been given under this section must
comply with the notice within the time specified by the
notice.
(3) If the former operator of a mine is not the occupier of the land
on which work is required to be carried out under subsection (1), the former
operator of the mine must give reasonable notice to the occupier of the land
before causing the work to be carried out.
94 Obstruction of operator of mine
An occupier of land or other person must not wilfully obstruct the
operator of a mine or any other person in doing any act required to be done by
or under section 92 (1) or 93 (1).
95 Certain unenclosed shafts or outlets to be public
nuisances
Any shaft or outlet of a mine that is not fully sealed or filled
in a manner approved by the Chief Inspector, or provided with an approved
enclosure, barrier, plug or seal, as required by section 92 (1) or 93 (1) and
that:(a) is within 50 metres of any highway, road, footpath or place of
public resort, or
(b) is in open or unenclosed land,
is taken to be a public nuisance for the purposes of section 125 of the
Local Government Act
1993.
96 Owners of land on which abandoned mines are situated may
be required to close shafts and outlets
(1) The Minister may cause to be served on the owner of land on which
is situated any shaft or outlet of an abandoned mine that is not fully sealed
or filled in a manner approved by the Chief Inspector, or provided with an
approved enclosure, barrier, plug or seal, a direction requiring the
owner:(a) to fully seal or fill the shaft or outlet in a manner approved by
the Chief Inspector, or
(b) to provide the shaft or outlet with an enclosure, barrier, plug or
seal approved by the Chief Inspector,
within the period specified in the direction.
(2) A person to whom a direction is given under subsection (1) must
comply with the direction.
(3) If a person to whom a direction is given under subsection (1) does
not comply with the direction within the period specified in the direction,
the Minister may cause the work specified in the direction to be carried
out.
(4) Any costs or expenses incurred by or on behalf of the Minister
under subsection (3) in carrying out any work specified in a direction given
under subsection (1) is a debt due to the Crown by the person to whom the
direction was given.
(5) In any proceedings instituted for the recovery from a person of a
debt due by that person to the Crown under subsection (4), a certificate of
the Minister that a specified amount is the amount of the debt so due is
evidence of that fact.
(6) A debt due by any person to the Crown under subsection (4) is
recoverable despite the fact that that person is convicted of an offence under
subsection (2).
(7) A person to whom a direction is given under subsection (1), or any
person authorised by the Minister for the purposes of subsection (3), may,
upon giving reasonable notice to the occupier of the land, enter on or remain
on any land for the purpose of complying with the direction or with subsection
(3), as the case may require.
(8) This section does not apply to the owner of land on which is
situated:(a) a mine abandoned before 26 March 1984, or
(b) a mine the subject of a mining lease granted under the Mining Act 1992 in respect of
coal.
97 Penalty for offence against this Division
A person who contravenes, whether by act or omission, a provision
of this Division is guilty of an offence against that
provision.Maximum penalty:
(a) in the case of a corporation (being a previous
offender)—3,750 penalty units, or
(b) in the case of a corporation (not being a previous
offender)—2,500 penalty units, or
(c) in the case of an individual (being a previous offender)—375
penalty units, or
(d) in the case of an individual (not being a previous
offender)—250 penalty units.
Division 3 Control of emplacement areas
98 Definitions
(1) In this Division:emplacement area
means:
(a) any pile, heap, hole, excavation or place in which or on which
reject (whether in a solid state or in a solution or suspension) is piled,
heaped, dumped, accumulated, deposited or placed, and
(b) any wall or other structure that retains or confines reject,
whether or not that wall or structure is itself composed of
reject,
but does not include an accumulation or deposit of reject situated
underground.occupier of an emplacement
area means the occupier of any land on which the emplacement area is situated,
whether the emplacement area is in use or not.
reject
means any carbonaceous material, whether it is mixed with or attached to stone
or not, that is left after the treatment of coal in a coal preparation plant
or that is not dealt with as coal by the occupier of a
mine.
(2) For the purposes of this Division, an emplacement area:(a) is taken to be in use if its use has not been discontinued,
and
(b) is taken to be kept secure if:(i) it is not unstable, and
(ii) it is not on fire, and
(iii) no noxious water is escaping from it.
99 Minister may direct occupier of land to make emplacement
area safe
(1) The Minister may direct an occupier of land on which there is an
emplacement area or, where there is no occupier, the land owner, to make the
emplacement area safe.
(2) An occupier or land owner must comply with a direction under this
section.
100 Establishment of emplacement areas
(1) A person must not establish any emplacement area except with the
approval of the Minister and in the manner and subject to any conditions that
the Minister may determine.
(2) The Minister’s approval under subsection (1) may be granted
without limit as to time or may be for a specified
period.
(3) A person applying for the Minister’s approval under this
section must furnish any information, documents and plans relevant to the
approval that the Minister may require.
101 Discontinuance of use of emplacement areas
(1) A person who has established an emplacement area pursuant to an
approval granted under section 100 must not discontinue use of that
emplacement area without the Minister’s
approval.
(2) Despite subsection (1), the Chief Inspector may grant approval to
discontinue use of an emplacement area established pursuant to an approval
granted under section 100 for a period not exceeding 6 months subject to any
conditions that the Chief Inspector may determine.
(3) A person must not recommence using an emplacement area that the
person has ceased using by virtue of an approval granted under subsection (2)
without the consent of the Chief Inspector.
102 Construction and use of emplacement areas
(1) This section applies to emplacement areas whether established
before or after 26 March 1984.
(2) An occupier must ensure that an emplacement area:(a) is constructed, or the construction of the emplacement area is
continued, as the case may be, in accordance with sound engineering practice,
and
(b) is compatible with the environment, and
(c) is kept secure.
(3) The occupier of an emplacement area must take any steps that may
be necessary to ensure that the occupier is at all times in possession of all
information relevant to the performance of the occupier’s duties under
this section.
(4) The Chief Inspector may, by notice served on the occupier of an
emplacement area, require the occupier, whether the emplacement area is in use
or not, to carry out any tests relating to the safety and security of the
emplacement area that the Chief Inspector may specify in the
notice.
(5) The occupier of an emplacement area must furnish to the Chief
Inspector the results of any tests carried out in compliance with subsection
(4).
(6) The Chief Inspector may, by notice served on the occupier of an
emplacement area that is in use, require the occupier to furnish plans of the
emplacement area and plans of future dumping
operations.
103 Date of effect of decisions and notices
If there is a right of appeal or objection against a decision or
notice under this Division, the decision or notice takes effect:(a) where no appeal or objection is lodged within the period
prescribed by the regulations—from the expiration of that period,
or
(b) where an appeal or objection is lodged and the decision or notice
is not revoked—from the date of the final decision made on that appeal
or objection,
and, if varied or amended on appeal or objection, takes effect as varied
or amended.
104 Penalty for offence against this Division
A person who contravenes, whether by act or omission, a provision
of this Division is guilty of an offence against that
provision.Maximum penalty:
(a) in the case of a corporation (being a previous
offender)—3,750 penalty units, or
(b) in the case of a corporation (not being a previous
offender)—2,500 penalty units, or
(c) in the case of an individual (being a previous offender)—375
penalty units, or
(d) in the case of an individual (not being a previous
offender)—250 penalty units.
Division 4 Tourist and educational activities
105 Definitions
In this Division:mine includes
an abandoned coal operation or part of a coal operation.
permit means
a permit that has been issued under section 107 and that has not been revoked
under section 108 or taken to have been revoked under the
regulations.
106 Tourist activities in mines or use of mines for
educational purposes not allowed without a permit
A person must not conduct tourist activities in or about a mine or
use a mine principally for educational purposes unless:(a) the tourist activities are, or the use of the mine principally for
educational purposes is, authorised by a permit issued to that person,
and
(b) the person complies with the conditions (if any) to which the
permit is subject.
Maximum penalty:
(a) in the case of a corporation (being a previous offender)—750
penalty units, or
(b) in the case of a corporation (not being a previous
offender)—500 penalty units, or
(c) in the case of an individual (being a previous offender)—375
penalty units, or
(d) in the case of an individual (not being a previous
offender)—250 penalty units.
107 Issue of tourist and educational permits
(1) Any of the following persons may apply for a permit in relation to
a mine:(a) if, in the case of a mine that is located on land subject to a
mining lease in respect of coal under the Mining Act 1992, the mining lease
holder owns the land—the mining lease holder or another person with that
holder’s consent,
(b) if, in relation to a mine that is located on land subject to a
mining lease in respect of coal under the Mining Act 1992, the mining lease
holder does not own the land—the mining lease holder with the land
owner’s consent or another person with the consent of both the mining
lease holder and the land owner,
(c) in the case of a mine that is not located on land subject to a
mining lease under the Mining Act
1992—the owner of the land on which the mine is located
or another person with the land owner’s
consent.
(2) The Minister may, on application being made to the Minister in
writing, issue a permit that:(a) authorises tourist activities to be conducted in or about the
mine, or
(b) authorises the mine to be used principally for educational
purposes,
or both, subject to any conditions that the Minister may specify in the
permit and any conditions that may be prescribed by the
regulations.
(3) An application for a permit is to be in the form approved by the
Minister and must be accompanied by any particulars or documents required by
that form or prescribed by the regulations (or
both).
(4) The Minister may require an applicant for a permit to furnish
additional information within a time specified by the Minister and may refuse
to issue a permit if such information is not furnished in that
time.
(5) An application for a permit is to be accompanied by the fee
determined by the Minister under section 219.
(6) In determining an application, the Minister may consult with any
persons, government agencies or other bodies that the Minister considers
appropriate.
(7) A permit must not be issued under this section in respect of a
mine unless the Minister is satisfied that all necessary precautions will be
taken by the applicant to protect the health and safety of persons entering
the mine.
108 Revocation or variation of permits
(1) The Minister:(a) may revoke a permit if a condition to which the permit is subject
is breached or if the Minister is satisfied that persons cannot enter the mine
to which the permit relates:(i) without risk to their safety or health that is higher than that
which is reasonably acceptable for tourist or educational activities,
or
(ii) without risk to their health or safety that is not properly
managed by the holder of the permit, and
(b) may from time to time attach conditions or additional conditions
to a permit or vary the conditions to which a permit is
subject.
(2) A revocation of a permit, a variation of conditions to which a
permit is subject or the attachment of conditions or additional conditions to
a permit does not take effect until notice of the revocation, variation or
attachment is served on the occupier of the mine to which the permit relates.
However, if the Minister forms the view that an emergency exists, the Minister
is not required to give notice and the revocation or variation or attachment
of conditions takes effect immediately.
(3) A variation may be made under subsection (1) (b) by way of
addition, amendment or deletion of conditions.
(4) The regulations may provide that a permit is taken to be
automatically revoked during any period of non-compliance with specified
conditions or conditions of a specified class.
109 Minister and certain other persons not liable in certain
circumstances
(1) This section applies if:(a) the Minister has issued a permit in relation to a mine to a
person, and
(b) that person, or any other person, suffers any injury or incurs any
loss as a result of any person entering the mine pursuant to the
permit.
(2) The Crown, the Minister and any officer of the Department are not
liable for any loss arising out of any injury or loss suffered or incurred by
any person who enters the mine pursuant to the
permit.
Part 7 Notification of incidents
Division 1 Notification of certain incidents
110 Notification of certain incidents and other
matters
(1) The operator of a coal operation must give the Chief Inspector and
an industry check inspector notice in accordance with this section of any of
the following incidents (notifiable
incidents):(a) any incident at the coal operation that has resulted in a person
being killed,
(b) any other incident at the coal operation of a kind prescribed by
the regulations for the purposes of this paragraph,
(c) any incident or other matter occurring at or in relation to the
coal operation that the regulations declare to be an incident or matter that
is required to be notified.
(2) An exploration holder must give the Chief Inspector and an
industry check inspector notice in accordance with this section of any of the
following incidents (notifiable
incidents):(a) any incident at the exploration site that has resulted in a person
being killed,
(b) any other incident at the exploration site of a kind prescribed by
the regulations for the purposes of this paragraph,
(c) any incident or other matter occurring at or in relation to the
exploration site that the regulations declare to be an incident or matter that
is required to be notified.
(3) Any notice under this section must be given:(a) as soon as practicable (but not later than 7 days) after the
operator becomes aware of the notifiable incident, and
(b) in writing and, if a form has been prescribed by the regulations,
in that form.
(4) Any notice must, in the case of a notifiable incident referred to
in subsection (1) (a) or (b) or (2) (a) or (b), also be given:(a) immediately the operator or exploration holder becomes aware of
the incident, and
(b) by the quickest available means.
This subsection does not apply if the operator or exploration
holder is aware that another person has given the required notice of the
incident.
(5) The regulations may vary the obligations under this section with
respect to the person required to give notice and the time and manner in which
the notice is to be given.
111 Non-disturbance of plant involved in notifiable incidents
(and of surrounding area)
(1) This section applies if a notifiable incident referred to in
section 110 (1) (a) or (b) or (2) (a) or (b) has occurred at a coal operation
or exploration site.
(2) The operator of a coal operation and an exploration holder must
take measures to ensure that:(a) plant at that coal operation or exploration site is not used,
moved or interfered with after it has been involved in a notifiable incident,
and
(b) the area and environment at that coal operation or exploration
site that is connected with the notifiable incident is not
disturbed.
(3) If the regulations prescribe measures that satisfy the
requirements of this section, the operator or exploration holder is taken to
have satisfied those requirements if the operator has taken the measures so
prescribed.
(4) This section does not prevent any action:(a) to help or remove a trapped or injured person or to remove a body,
or
(b) to avoid injury to a person or damage to property,
or
(c) for the purposes of any police investigation,
or
(d) in accordance with a direction of an inspector or with the
permission of both an inspector and an industry check inspector,
or
(e) in any other circumstances that may be prescribed by the
regulations.
(5) The requirements of this section in relation to any particular
occurrence apply only for the period ending 24 hours after notification of the
incident in accordance with section 110 or only in any other period prescribed
by the regulations.
112 Penalty for offence against this Division
A person who contravenes, whether by act or omission, a provision
of this Division is guilty of an offence against that
provision.Maximum penalty:
(a) in the case of a corporation (being a previous offender)—750
penalty units, or
(b) in the case of a corporation (not being a previous
offender)—500 penalty units, or
(c) in the case of an individual (being a previous offender)—375
penalty units, or
(d) in the case of an individual (not being a previous
offender)—250 penalty units.
Division 2 Inquiries
113 Boards of Inquiry
(1) This section applies if it appears to the Minister that an
investigation of any of the following is necessary:(a) any event or dangerous occurrence causing death or serious injury
at a coal operation and its causes and circumstances,
(b) any dangerous occurrence at a coal operation and its causes and
circumstances,
(c) any practice at a coal operation that, in the opinion of the
Minister, adversely affects or is likely to adversely affect the safety or
health of persons employed at the coal operation,
(d) any matter relating to the safety, health, conduct or discipline
of persons at or in relation to a coal operation.
(2) If this section applies, the Minister may constitute a person as a
Board of Inquiry to conduct a special inquiry into the event, occurrence,
practice or matter.
(3) A Board of Inquiry may, at a special inquiry conducted by it, take
evidence on oath or affirmation and, for that purpose, the person constituting
the Board:(a) may require a person appearing at the inquiry to give evidence, to
take an oath or to make an affirmation in a form approved by the person
presiding, and
(b) may administer an oath to, or take an affirmation from, a person
appearing at the inquiry.
(4) In conducting a special inquiry, a Board of Inquiry:(a) is not bound to act in a formal manner, and
(b) is not bound by the rules of evidence and may inform itself on any
matter in any way that it considers appropriate.
(5) If the Board of Inquiry agrees, an agent (including a legal
practitioner) may represent a person or body at the special
inquiry.
(6) A Board of Inquiry, when conducting, and making a determination in
respect of, a special inquiry is to sit with an assessor or 2 or more
assessors appointed by the Minister for the purposes of the
inquiry.
(7) An assessor sitting with a Board of Inquiry has the power to
advise the Board of Inquiry but not to adjudicate on any matter before the
Board of Inquiry.
(8) A Board of Inquiry has the right to consult, either collectively
or individually, and either in public or in private, with assessors sitting
with it.
(9) A Board of Inquiry conducting a special inquiry may be assisted by
a legal practitioner appointed by the Minister for the purposes of the
inquiry.
(10) A Board of Inquiry is to determine its own procedure, except as
provided by this Act.
114 Witnesses and evidence at special inquiries
(1) A Board of Inquiry may summon a person to appear at a special
inquiry conducted by the Board to give evidence and to produce any documents
that are specified in the summons.
(2) A Board of Inquiry may require a person appearing at a special
inquiry to produce a document.
(3) A person served with a summons to appear at a special inquiry and
to give evidence must not, without reasonable excuse, fail to attend as
required by the summons.
(4) A person appearing at a special inquiry to give evidence must not,
without reasonable excuse:(a) when required to be sworn or affirmed—fail to comply with
the requirement, or
(b) fail to produce a document that the person is required to produce
under this section.
(5) A person attending as a witness before a Board of Inquiry is to be
paid expenses of the amount or at the rate approved by the Minister for the
purposes of this section.
(6) A Board of Inquiry may require a person appearing at a special
inquiry to answer questions.
(7) A person appearing at a special inquiry must answer any such
questions.
(8) A person is not excused from a requirement under this section to
answer a question on the ground that the answer might incriminate the person
or make the person liable to a penalty.
(9) However any answer given by a natural person in compliance with a
requirement under this section is not admissible in evidence against the
person in criminal proceedings (except proceedings for an offence under this
section) if the person objected at the time to answering the question on the
ground that it might incriminate the person or the person was not warned on
that occasion that the person may object to answering the question on the
ground that it might incriminate the person.
(10) Further information obtained as a result of an answer given under
this section is not inadmissible on the ground that the answer had to be given
or that the answer might incriminate the person.
115 Report by Board of Inquiry
(1) A Board of Inquiry must, within the period required by the
Minister, prepare a report as to:(a) the causes of the event or dangerous occurrence, if the special
inquiry concerns an event or dangerous occurrence, or
(b) its findings in relation to the practice or matter, if the inquiry
concerns a practice at a coal operation or a matter relating to the safety,
health, conduct or discipline of persons in a coal
operation.
(2) The Minister may, if the Minister thinks fit, publish the report
at the time and in the manner determined by the
Minister.
116 No appeal against exercise of functions by Boards of
Inquiry
No appeal lies from any decision or determination of a Board of
Inquiry on a special inquiry.
117 Penalty for offence against this Division
A person who contravenes, whether by act or omission, a provision
of this Division is guilty of an offence against that
provision.Maximum penalty:
(a) in the case of a corporation (being a previous offender)—750
penalty units, or
(b) in the case of a corporation (not being a previous
offender)—500 penalty units, or
(c) in the case of an individual (being a previous offender)—375
penalty units, or
(d) in the case of an individual (not being a previous
offender)—250 penalty units.
Part 8 Stop work orders
118 Minister to make stop work orders
(1) If the Minister is of the opinion that any action is being, or is
about to be, carried out at a place of work to which this Act applies that
involves, or is likely to result in, a serious breach of a provision
of:(a) the Work Health and Safety Act
2011 or the regulations made under that Act,
or
(b) this Act or the regulations made under this
Act,
the Minister may order that the person who is carrying out or about to
carry out the action is to cease or not to carry out the action and that no
action, other than any action that may be specified in the order, is to be
carried out in or in the vicinity of the place, or a specified part of the
place, within a period not exceeding 28 days after the day of the
order.
(2) An order takes effect on and from the time at which:(a) if the order relates to a colliery holding—a copy is
provided to the colliery holder by the Minister, or
(b) if the order relates to a coal operation—a copy is provided
to the operator of the coal operation by the Minister, or
(c) if the order relates to coal mine workings the subject of a
licence to mine coal under the Offshore
Minerals Act 1999—a copy is provided to the licensee by
the Minister, or
(d) if the order relates to a coal exploration site—a copy is
provided to the most senior person at the coal exploration site by the
Minister, or
(e) (Repealed)
(f) the person carrying out or about to carry out the action the
subject of the order is notified by the Minister that the order has been
made,
whichever is the sooner.
(3) In this Part, a reference to action being, or about to be, carried
out includes a reference to action that should be, but is not being, carried
out and the Minister may make an order, in accordance with this Part, that any
such action is to be carried out.
(4) The regulations may modify this Part in relation to its
application to a stop work order that specifies actions that must be carried
out.
(5) Without limiting the Minister’s delegation powers under
section 212, the Minister may, by instrument in writing, delegate to any or
all government officials the functions of giving notice or affixing copies of
an order under this section.
119 Prior notification of making of stop work order not
required
The Minister is not required, before making a stop work order, to
notify any person who may be affected by the order.
120 Extension of stop work order
(1) The Minister may extend a stop work order for any further period
or periods of no more than 28 days each that the Minister thinks
fit.
(2) An order extending a stop work order takes effect in the same way
as the original order, that is, on and from the time referred to in section
118 (2).
121 Consultation about modification of proposed detrimental
action
After the Minister makes a stop work order, the Director-General
must immediately consult with the person carrying out or proposing to carry
out the action the subject of the order to determine whether any modification
of the action may be sufficient to avoid a serious breach of a provision of
any Act or regulation referred to in section 118.
122 Stop work order prevails over other
instruments
(1) A non-disturbance notice, improvement notice or prohibition notice
issued under the Work Health and Safety Act
2011 that requires or permits work or an activity the subject
of a stop work order in force under this Part to be significantly affected is
inoperative to the extent of any inconsistency with the stop work
order.
(2) An approval, notice, order or other instrument made or issued by
or under any other Act that requires or permits work the subject of a stop
work order in force under this Part to be significantly affected is
inoperative to the extent of any inconsistency with the stop work
order.
(3) This section has effect whether the approval, notice, order or
other instrument concerned was made or issued before or after the making of
the stop work order.
123 Costs of enforcing stop work order
(1) If a person on whom a stop work order is imposed does not comply
with the order within the period specified in the order, the Minister may
cause work to be carried out for the purpose of stopping the work specified in
the order.
(2) Any costs or expenses incurred by or on behalf of the Minister
under this section are a debt due to the Crown by the person who was carrying
out or proposing to carry out the action to which the order
relates.
(3) In any proceedings instituted for the recovery from a person of a
debt due by that person to the Crown under this section, a certificate of the
Minister that a specified amount is the amount of the debt so due is evidence
of that fact.
(4) A debt due by any person to the Crown under this section is
recoverable whether or not the person is convicted of an offence under section
124.
(5) A person on whom a stop work order is imposed, or any person
directed by the Minister to take action for the purposes of subsection (1),
may, upon giving reasonable notice to the occupier of the land, enter on or
remain on any land for the purpose of complying with the direction of the
Minister or with the stop work order, as the case may
require.
(6) A court that convicts a person of an offence under section 124
may, on the application of the prosecutor, order the person to pay to the
Crown the amount that the court is satisfied the Crown is entitled to recover
from the person under this section in respect of the failure to which the
offence relates. Any amount paid by a person under such an order is taken to
have been recovered from the person under subsection (2) and is to be dealt
with accordingly.
(7) For the purposes of subsection (6), a court that makes a finding
that a person is guilty of an offence under section 124 without proceeding to
a conviction is taken to have convicted the person of the
offence.
(8) For the purposes of this section, a stop work order is taken to
have been imposed on the person or persons carrying out the action, or
proposing to carry out the action, to which the order
relates.
124 Offence: failure to comply with a stop work
order
A person who, without reasonable excuse, fails to comply with a
requirement imposed by a stop work order is guilty of an
offence.Maximum penalty:
(a) in the case of a corporation (being a previous
offender)—1,500 penalty units and in the case of a continuing offence, a
further penalty not exceeding 750 penalty units for each day the offence
continues, or
(b) in the case of a corporation (not being a previous
offender)—1,000 penalty units and in the case of a continuing offence, a
further penalty not exceeding 500 penalty units for each day the offence
continues, or
(c) in the case of an individual not acting in the capacity of an
employee (being a previous offender)—750 penalty units and in the case
of a continuing offence, a further penalty not exceeding 375 penalty units for
each day the offence continues, or
(d) in the case of an individual not acting in the capacity of an
employee (not being a previous offender)—500 penalty units and in the
case of a continuing offence, a further penalty not exceeding 250 penalty
units for each day the offence continues, or
(e) in the case of an individual acting in the capacity of an employee
(being a previous offender)—45 penalty units and in the case of a
continuing offence, a further penalty not exceeding 20 penalty units for each
day the offence continues, or
(f) in the case of an individual acting in the capacity of an employee
(not being a previous offender)—30 penalty units and in the case of a
continuing offence, a further penalty not exceeding 15 penalty units for each
day the offence continues.
Part 9 Competence standards
Division 1 Key obligations
125 Regulations may specify functions to which this Part
applies
(1) The regulations may specify a function as one to which this Part
applies (a specified
function).
(2) The regulations may specify, or authorise the Minister to
determine, what will be sufficient evidence of competence to perform a
function to which this Part applies (specified
evidence of competence).
126 Operator to ensure only competent people employed to
perform specified functions
(1) The operator of a coal operation must not employ a person at the
coal operation to perform a specified function unless the person holds
specified evidence of competence to perform that
function.
(2) The operator of a coal operation must ensure that no other person
at the coal operation performs a specified function unless the person holds
specified evidence of competence to perform that
function.
127 Contractor to ensure only competent people employed to
perform specified functions
A contractor must not employ a person at a coal operation to
perform a specified function unless the person holds specified evidence of
competence to perform that function.
128 Only competent people to perform specified
functions
A person at a coal operation must not perform a specified function
unless the person holds specified evidence of competence to perform that
function.
129 Penalty for offence against this Division
A person who contravenes, whether by act or omission, a provision
of this Division is guilty of an offence against that
provision.Maximum penalty:
(a) in the case of a corporation—250 penalty units,
or
(b) in the case of an individual—25 penalty
units.
Division 2 Coal Competence Board
130 Constitution of Coal Competence Board
(1) There is constituted by this Act a body corporate with the
corporate name of the Coal Competence Board.
(2) The Coal Competence Board represents the
Crown.
131 Ministerial control of Board
The Board is subject to the control and direction of the
Minister.
132 Membership of Board
(1) The Board is made up of the following people appointed by the
Minister:(a) the Chairperson of the Board (who is not to be an officer of the
Department), and
(b) 2 employer representatives selected from a panel of 4 submitted to
the Minister by a body or bodies representing employers,
and
(c) 2 employee representatives selected from a panel of 4 submitted to
the Minister by a body or bodies representing employees,
and
(d) between 2 and 4 persons who have expertise in the development and
assessment of competence or people performing functions at coal operations,
and
(e) 2 officers of the Department.
(2) The regulations may make provision for or with respect to the
submission of representatives under this section and the appointment of
members of the Board.
133 Procedure of Board
(1) The regulations may make provision for or with respect to the
procedure of the Board.
(2) The Board may make rules about the procedure of the Board that are
not inconsistent with this Act or the regulations. Those rules are subject to
any direction of the Minister.
Division 3 Functions of Board
134 Functions of Board
(1) The Board has the functions conferred or imposed on it by or under
this Act.
(2) Without limiting subsection (1), the functions of the Board
include the following:(a) to oversee the development of competence standards for people
performing functions at coal operations that may impact on health and
safety,
(b) to undertake initial and ongoing assessments of the competence of
people performing functions at coal operations,
(c) to advise the Minister on matters related to the competence
required of people to perform functions at coal
operations,
(d) any other functions that the Minister may confer on the Board from
time to time.
(3) Without limiting subsection (2), the Board may do any or all of
the following for the purpose of carrying out its functions:(a) engage consultants,
(b) develop competence standards or cause competence standards to be
developed,
(c) assess a person’s competence, cause a person’s
competence to be assessed or accept an assessment of a person’s
competence.
135 Annual report
The Board must, at any time or within any period that the Minister
may direct, make an annual report of its proceedings during the preceding year
to the Minister.
Division 4 Certificates of competence
136 Certificates of competence may be granted
The Minister may, in accordance with the regulations and any
orders made under section 138, grant a certificate of competence to perform a
specified function. That certificate may be granted unconditionally or subject
to conditions.
137 Regulations concerning competence standards
The regulations may make provision for or with respect to any or
all of the following:(a) the development of competence standards,
(b) the assessment of the competence standards of people, including
the conduct of examinations,
(c) the granting and replacement of certificates of
competence,
(d) the maintenance of competence by those to whom a certificate of
competence has been granted,
(e) the suspension or cancellation of certificates of competence,
including suspension or cancellation by reason of incompetence or
negligence,
(f) the imposition of conditions on certificates of
competence,
(g) the restoration of certificates of competence that have been
suspended or cancelled,
(h) the circumstances in which a certificate of competence granted by
an authority outside New South Wales will be accepted as being sufficient
qualification for the grant of a certificate of competence under this Act and
the circumstances in which it will not be accepted,
(i) the range of specified functions that the holder of specified
evidence of competence is allowed to perform without breaching this
Part,
(j) the keeping of a register of certificates of
competence,
(k) the appointment and functions of examiners,
(l) the charging of fees for any service provided by the Minister, the
Board or any other person in relation to this Part.
138 Ministerial orders
(1) The Minister may make orders, not inconsistent with this Act or
the regulations, for or with respect to any or all of the following:(a) the qualifications to be held by a person in order for the grant
to the person of a certificate of competence to be
recommended,
(b) the experience that a person applying for a certificate of
competence must have in order for the grant to the person of a certificate of
competence to be recommended,
(c) the age that a person must have attained before the person may be
granted a certificate of competence,
(d) the course of instruction to be undertaken by an applicant for a
certificate of competence,
(e) the nature and type of examinations to be undertaken by an
applicant for a certificate of competence and the manner of their
conduct,
(f) the circumstances in which the Board may grant to an applicant for
a certificate of competence an exemption from complying with the rules in
respect of the undertaking of examinations, the holding of qualifications, the
possession of experience and the attendance of courses of
instruction,
(g) the matters to be included in an application for a certificate of
competence,
(h) the declaration by the Minister that a person’s competence
is not recognised,
(i) any other matters that may be prescribed by the
regulations.
(2) The Board may make recommendations to the Minister concerning the
making, amendment or revocation of orders under this
section.
(3) An order must be published in the Gazette. An order takes effect
on the date on which it is published in the Gazette or on any later date
specified in the order.
(4) Sections 42–45 of the Interpretation Act 1987 apply to an
order made under this section in the same way as they apply to statutory rules
within the meaning of that Act.
Division 5 Offences
139 Offences: certificates of competence
A person must not, with intent to deceive:(a) use a certificate of competence granted under this Act,
or
(b) lend to another person a certificate of competence granted under
this Act, or
(c) allow to be used by another person a certificate of competence
granted under this Act.
140 Offence of forging or having forged document
A person must not:(a) make a document so closely resembling a certificate of competence
granted under this Act as to be calculated to deceive, or
(b) have in the person’s possession a document so closely
resembling a certificate of competence granted under this Act as to be
calculated to deceive.
141 False or misleading statements
A person must not make a statement that the person knows to be
false or misleading in a material particular or recklessly make a statement
that is false or misleading in a material particular, or produce, furnish,
send or otherwise make use of a document that is false or misleading in a
material particular for the purposes of obtaining for himself, herself or
another person:(a) the grant of any certificate of competence or the issue of a
duplicate certificate of competence or the restoration of any such
certificate, or
(b) employment at a coal operation to perform functions for which a
certificate of competence is required.
142 Offences if a person’s competence is declared as
not recognised
(1) A person whose competence has been declared by the Minister, in
accordance with the regulations, as not recognised is guilty of an offence if
the person continues to perform functions for which that competence was
required.
(2) An operator who requires or permits functions to be performed by a
person whose competence is declared as not recognised is guilty of an
offence.
143 Penalty for offence against this Division
A person who contravenes, whether by act or omission, a provision
of this Division is guilty of an offence against that
provision.Maximum penalty:
(a) in the case of a corporation (being a previous offender)—750
penalty units, or
(b) in the case of a corporation (not being a previous
offender)—500 penalty units, or
(c) in the case of an individual (being a previous offender)—375
penalty units, or
(d) in the case of an individual (not being a previous
offender)—250 penalty units.
Part 10 Oversight of coal operations
Division 1 Outline of this Part
144 Outline of this Part
(1) This Part provides for the appointment, functions and powers of
the following people, who are called government
officials in this Act:(a) the Chief Inspector,
(b) inspectors,
(c) mine safety officers,
(d) investigators.
(2) This Part also provides for the election or appointment of the
following people, who are called check inspectors
in this Act, to carry out inspections as representatives of the workforce at
coal operations:(a) site check inspectors,
(b) electrical check inspectors,
(c) industry check inspectors.
Division 2 Inspections by government officials
Subdivision 1 Appointment of government officials
145 Appointment of government officials
(1) The Minister may appoint a person employed under Chapter 2 of the
Public Sector Employment and Management Act
2002 as:(a) the Chief Inspector, or
(b) an inspector, or
(c) a mine safety officer, or
(d) an investigator.
(2) An instrument appointing a person under this section may limit the
functions that the person has.
(3) A person appointed under this section is to be issued with an
identification card under section 157 of the Work Health and Safety Act
2011.
146 Qualifications of inspectors
A person may be appointed as an inspector only if the Minister
considers that the person has:(a) a professional engineering qualification relevant to coal mining
operations from an Australian university or any equivalent qualification,
and
(b) appropriate competencies, and adequate experience, in coal mining
operations, to effectively perform the functions of an
inspector.
147 Appointment of consultants as investigators
(1) The Minister may appoint a consultant:(a) as an investigator for the purposes of carrying out investigations
under this Act, or
(b) to assist an investigator in carrying out such
investigations.
(2) A consultant appointed under this section has, while exercising
the functions for which the consultant was appointed, the same functions as an
investigator has under this Act and the regulations and the provisions of this
Act and the regulations apply in respect of the consultant in the same way as
they apply in respect of an inspector and anything done by an
inspector.
148 Absence of Chief Inspector
If the Chief Inspector is absent from duty, or on duty but outside
the State, the Minister may appoint an inspector to exercise the functions of
the Chief Inspector.
Subdivision 2 Functions of government officials
149 Functions of Chief Inspector
(1) The functions of the Chief Inspector are:(a) the control and direction of inspectors and mine safety officers,
and
(b) reviewing appeals from notices issued by inspectors and mine
safety officers, and
(c) the other functions that are conferred on the Chief Inspector by
this Act or the regulations, and
(d) any other function conferred by the Minister from time to
time.
(2) For the purposes of this Act, the Chief Inspector is an
inspector.
150 Bringing concerns regarding health, safety or welfare to
the attention of operators
(1) This section applies if:(a) a government official exercises any of the powers conferred on him
or her at or in connection with a coal operation or other workplace to which
this Act applies, and
(b) as a result of the exercise of those powers, he or she obtains any
information or becomes aware of any practice at a coal operation that may, in
his or her opinion, be relevant to the continued safe operation of a coal
operation or the health, safety or welfare at work of the people who work at a
coal operation.
(2) In that case, the government official must, as soon as possible,
so advise the most senior person in the management structure of the coal
operation who is at work.
151 Consideration and investigation of complaints
(1) A government official must consider any complaint made to the
government official by an industry check inspector or by a site check
inspector for a coal operation, being a complaint concerning the health,
safety or welfare at work of the people who work at the coal
operation.
(2) A government official may investigate any such complaint if he or
she considers it appropriate to do so.
(3) A government official must report to the industry check inspector
or site check inspector who made a complaint to the government official
concerning the results of the official’s consideration or investigation
of the complaint.
(4) Nothing in this section prevents an industry check inspector or
site check inspector from raising matters directly with the operator of a coal
operation.
152 Audit and review of health and safety management
systems
(1) A government official may at any time audit and review the health
and safety management system for a coal operation.
(2) Such an audit and review may occur periodically, after the
occurrence of an event prescribed by the regulations or at any other time that
the government official thinks is appropriate.
153 Additional functions
A government official has the following additional
functions:(a) in the case of a government official other than the Chief
Inspector, to provide advice to the Chief Inspector on matters relating to the
health, safety and welfare of people at work at coal
operations,
(b) to make reports on incidents or other matters at coal operations
and to make recommendations for further action based on those
reports.
Subdivision 3 Powers of government officials
Note. Section 156A of the Work Health
and Safety Act 2011 provides that a person appointed as a
government official under this Act is deemed to have been appointed as an
inspector for the purposes of the WHS Act and has the powers of an inspector
under that Act in relation to coal workplaces.
154 (Repealed)
155 Power of entry at any time
Despite Part 9 of the Work
Health and Safety Act 2011, a government official may enter
any place to which this Act applies at any time.
156 Power to require plan
(1) A government official may require the operator of a coal operation
to provide the government official with a plan of the coal operation marked
with information that the government official considers necessary for an
investigation or inquiry that the government official is
making.
(2) An operator must not fail to comply with a requirement made under
this section.Maximum penalty: 100 penalty
units.
Division 3 Inspections on behalf of work force
Subdivision 1 Site check inspectors
157 Site check inspectors
(1) For the purpose of enabling inspections to be carried out at a
coal operation on behalf of the people at work at the coal operation, an
individual may be elected as a site check inspector for the coal
operation.
(2) More than one person may be elected as a site check inspector if
the operator agrees or the Chief Inspector directs.
158 Trigger for election
An election of a site check inspector for a coal operation must be
held if one or more positions are vacant and:(a) a person employed in or about the coal operation requests in
writing that an election be held, or
(b) the Chief Inspector directs that an election be
held.
159 Conduct of election of site check inspectors
(1) An election for a site check inspector for a coal operation may be
conducted:(a) if there is only one involved union in relation to the coal
operation—by that involved union, or
(b) if there is more than one involved union and all the involved
unions are in agreement that a specified one of those unions should conduct
the election—by that specified union, or
(c) if there is no involved union in relation to the coal operation or
agreement under paragraph (b) cannot be reached—by a person authorised
by the Chief Inspector to conduct elections under this
section.
(2) A person employed in or about the coal operation may be a
candidate in the election if and only if:(a) the person is not disqualified under section 161,
and
(b) the person is employed at the coal operation and has at least 3
years’ experience working at the coal operation or at a coal operation
of the same type or has the other practical experience required by the
regulations.
(3) However, a person with less than 3 years’ experience may be
a candidate for election if the Chief Inspector determines that the 3-year
requirement is impractical in a particular case.
(4) Subject to the regulations, all individuals employed in or about
the coal operation are entitled to vote in the
election.
(5) Where there is only one candidate for the election, that person is
taken to have been elected.
(6) Where a person is elected as the site check inspector for a coal
operation, the involved union or other person authorised under subsection (1)
to conduct the election must, as soon as practicable after the person has been
so elected, inform the Chief Inspector, the industry check inspector and the
operator of the coal operation.
(7) As soon as practicable after being so informed, the operator of
the coal operation must cause a notice that the person so elected is the site
check inspector for the coal operation to be displayed in a prominent place at
the coal operation, that will allow all of the persons working in or about the
coal operation to be notified of the election.
Maximum penalty: 10 penalty
units.
160 Term of office
Subject to sections 161 and 162, a site check inspector for a coal
operation holds office for 2 years after the date on which he or she was
elected but is eligible to be elected for further terms of
office.
161 Disqualification of site check inspectors
(1) An application for the disqualification of a site check inspector
for a coal operation may be made to the Chief Inspector by the operator of a
coal operation, by all the individuals employed in or about a coal operation
or by an involved union in relation to the coal operation, on one or both of
the following grounds:(a) that action taken by the site check inspector in the exercise or
purported exercise of a power under this Act was taken:(i) with the intention of causing harm to the operator of the coal
operation or to an undertaking of the operator, or
(ii) unreasonably, capriciously or otherwise than for the purpose for
which the power was conferred on the site check
inspector,
(b) that the site check inspector has intentionally used, or disclosed
to another person, for a purpose that is not connected with the exercise of a
power of a site check inspector, information acquired from the operator of a
coal operation.
(2) If, after receiving an application under subsection (1), the Chief
Inspector is satisfied that the site check inspector has acted in a manner
referred to in subsection (1) (a) or (b), the Chief Inspector may, after
having regard to:(a) the harm (if any) that was caused to the operator of the coal
operation or to an undertaking of the operator as a result of the action of
the site check inspector, and
(b) the past record of the site check inspector in exercising the
powers of a site check inspector, and
(c) the effect (if any) on the public interest of the action of the
Chief Inspector, and
(c1) the views of the site check inspector, and any involved union that
represents the site check inspector, concerning the disqualification,
and
(d) any other matters that the Chief Inspector thinks relevant to his
or her investigation,
disqualify the site check inspector, for a specified period not exceeding
5 years, from being a site check inspector for any coal
operation.
162 Vacation of office of site check inspector
(1) A person ceases to be the site check inspector for a coal
operation if:(a) the person resigns as the site check inspector,
or
(b) the person ceases to be employed in or about the coal operation,
or
(c) the person’s term of office expires without the person
having been elected to be the site check inspector for the coal operation for
a further term, or
(d) the person is disqualified under section
161.
(2) A person may resign as the site check inspector for a coal
operation:(a) if the person was last elected as the site check inspector in an
election conducted by an involved union in relation to the coal
operation—by notice in writing delivered to the involved union that
nominated the person as a candidate in the election, or
(b) in any case—by notice in writing delivered to the operator
of the coal operation.
(3) If a person has resigned as the site check inspector for a coal
operation:(a) if subsection (2) (a) applies—the involved union to which
the notice of resignation was delivered, or
(b) in any other case—the operator of the coal
operation,
must notify the persons employed at or about the coal operation, and, in
a case to which subsection (2) (a) applies, the operator of the coal
operation, of the resignation.
(4) If a person has ceased to be the site check inspector for a coal
operation because of subsection (1) (b), the person must notify the following
persons in writing that the person has ceased to be the site check inspector
for that coal operation:(a) the persons employed at or about the coal
operation,
(b) the operator of the coal operation,
(c) if the person was last elected as the site check inspector in an
election conducted by an involved union in relation to the coal
operation—the involved union, in relation to the coal operation, that
nominated the person as a candidate in the
election.
163 Notification of election
A person elected as a site check inspector for a coal operation
must:(a) notify the operator of the coal operation of the person’s
election, and
(b) give to the operator the person’s address and telephone
number (including any mobile telephone number).
Maximum penalty: 5 penalty
units.
164 Functions of site check inspectors
The functions of a site check inspector for a coal operation are
as follows:(a) to keep under review the measures taken to ensure the health,
safety and welfare of people at the coal operation, including procedures to
control risks,
(b) to investigate any matter that may be a risk to health and safety
at the coal operation,
(c) to request an investigation by an inspector if a health, safety or
welfare matter is not resolved after attempts to do so,
(d) to inspect a coal operation to assess the level of risk to which
employees are exposed,
(e) to inspect documents and plans relating to health, safety and
welfare that are required to be kept at the coal operation by this Act or the
regulations or by the Work Health and Safety
Act 2011 or the regulations made under that
Act,
(f) any other functions prescribed by the
regulations.
165 Training of site check inspectors
(1) A site check inspector for a coal operation must undertake a
course of training relating to work health and safety that is accredited by
the Minister for the purposes of this section.
(2) The operator of a coal operation must permit the site check
inspector for the coal operation to take any time off work, without loss of
remuneration or other entitlements, that is necessary to undertake the
training.
166 Rights of site check inspectors
(1) A site check inspector:(a) has the right to be present when an inspector makes a formal
report to the operator concerning a health, safety or welfare matter at the
coal operation, and
(b) has the right to accompany an employee, at the request of the
employee, during any interview with the operator or a contractor about a
health, safety or welfare matter at the coal operation,
and
(c) has the right to observe any formal in-house investigation of an
event or other occurrence at the coal operation that must be notified to the
Chief Inspector, and
(d) has the right to require assistance and access to facilities that
are reasonably necessary for the exercise of his or her
functions.
(2) A person must not obstruct a site check inspector in the exercise
of any right conferred on the inspector by this Act.Maximum penalty: 100 penalty
units.
167 Duties of operators in relation to site check
inspectors
The operator of a coal operation must:(a) on being requested to do so by a site check inspector for the coal
operation, consult with the site check inspector on the implementation of
changes at the coal operation, being changes that may affect the health or
safety of persons at work at the coal operation, and
(b) permit the site check inspector to make any inspection of the coal
operation that the site check inspector is entitled to make under this Act,
and to accompany an investigator during any investigation at the coal
operation by the investigator, and
(c) if there is no health and safety committee (established under the
Work Health and Safety Act
2011) in respect of the operator’s employees at the coal
operation—on being requested to do so by the site check inspector,
consult with the site check inspector concerning the development,
implementation and review of measures to ensure the health or safety of
persons at work at the coal operation, and
(d) permit the site check inspector to be present at any interview at
which the site check inspector is entitled to be present under this Act,
and
(e) provide the site check inspector with access to any information to
which the site check inspector is entitled to obtain access in accordance with
this Act and to which access has been requested, and
(f) provide the site check inspector with reasonable time, during
normal working hours, to exercise the functions of the site check inspector
without loss of remuneration or other entitlements, and
(g) provide the site check inspector with access to any facilities
that are:(i) prescribed for the purposes of this paragraph,
or
(ii) necessary for the purposes of exercising the powers of a site
check inspector.
Maximum penalty: 100 penalty
units.
168 Duties of contractors in relation to site check
inspectors
A contractor carrying out work at a coal operation must:(a) on being requested to do so by a site check inspector for the coal
operation, consult with the site check inspector on the implementation of
changes at any coal operation at which employees of the contractor perform
work for the contractor, being changes that may affect the health or safety at
work of the employees, and
(b) permit the site check inspector to make any inspection of the coal
operation that the site check inspector is entitled to make under this Act,
and to accompany an investigator during any investigation at the coal
operation by the investigator, and
(c) if there is no health and safety committee (established under the
Work Health and Safety Act
2011) in respect of the contractor’s employees at the
coal operation—upon being requested to do so by the site check
inspector, consult with the site check inspector concerning the development,
implementation and review of measures to ensure the health or safety at work
of those employees, and
(d) permit the site check inspector to be present at any interview at
which the site check inspector is entitled to be present under this Act,
and
(e) provide the site check inspector with access to any information to
which the site check inspector is entitled to obtain access in accordance with
this Act and to which access has been requested, and
(f) if the site check inspector is an employee of the contractor,
provide the site check inspector with reasonable time, during normal working
hours, to exercise the functions of the site check inspector, without loss of
remuneration or other entitlements.
Maximum penalty: 100 penalty
units.
169 Assistance to site check inspectors
The operator of a coal operation and all other people at the coal
operation must afford every facility and assistance to a site check inspector
for the purposes of an inspection of the coal operation by the site check
inspector.Maximum penalty: 100 penalty
units.
170 Reports by site check inspectors
(1) A site check inspector for a coal operation must, within 7 days
after making an inspection of the coal operation or of any part of the coal
operation, send to the operator of the coal operation a report of the results
of the inspection.Maximum penalty: 5 penalty
units.
(2) A report under subsection (1) in respect of a coal operation or a
part of a coal operation must be kept at the coal operation by the operator of
the coal operation for at least 12 months after it is made.Maximum penalty: 100 penalty
units.
171 Reporting of dangers
(1) A report of the finding, during any inspection by a site check
inspector for a coal operation, of:(a) noxious or flammable gas, or
(b) the existence of self-heating by coal or other material,
or
(c) any other condition from which danger to the coal operation or to
the safety or health of persons employed at the coal operation may be
apprehended,
must be recorded by the site check inspector in a book or other form of
records (to be kept at the coal operation by the operator for that purpose) on
the day of the inspection and before the site check inspector leaves the coal
operation following the inspection.
(2) If any report recorded under subsection (1) in respect of a coal
operation states the existence, or suspected existence, of any danger, the
operator must immediately inform the Chief Inspector of the contents of the
report and cause a copy of the report to be sent to the Chief
Inspector.
(3) The regulations may prescribe how the Chief Inspector is required
to be informed under this section and what must be reported to the Chief
Inspector.
Subdivision 2 Electrical check inspectors
172 Electrical check inspectors
(1) For the purpose of enabling inspections to be carried out on
electrical equipment at a coal operation on behalf of the people at the coal
operation, a person may be elected as the electrical check inspector for the
coal operation.
(2) One electrical check inspector may be elected for each coal
operation.
(3) A person elected under this section must be:(a) the holder of the evidence of competence prescribed by the
regulations, or
(b) an electrical tradesperson with at least 5 years’ experience
in coal mines in New South Wales.
(4) Subdivision 1 applies to the election of electrical check
inspectors in the same way as it applies to site check inspectors. However, an
electrical check inspector need not work at the coal operation for which he or
she is elected and the same person may be elected as an electrical check
inspector for 2 or more coal operations.
(5) Subdivision 1 applies to the functions of electrical check
inspectors in the same way as it applies to site check inspectors, except that
the functions of electrical check inspectors are limited to electrical
equipment and issues and risks arising from its
use.
Subdivision 3 Industry check inspectors
173 Appointment of industry check inspectors
(1) The Minister must appoint a person as an industry check inspector
if the person:(a) is nominated by the Construction, Forestry, Mining and Energy
Union (Mining and Energy Division), and
(b) is an authorised industrial officer within the meaning of Part 7
(Entry and inspection by officers of industrial organisations) of Chapter 5 of
the Industrial Relations Act
1996, and
(c) has the qualifications prescribed by the
regulations.
(2) However, the Minister is not required to appoint a person if there
are already 4 people appointed as industry check
inspectors.
(3) If a person ceases to comply with subsection (1), that
person’s appointment as industry check inspector is
revoked.
(4) An appointment under this section must be made in
writing.
174 Functions of industry check inspectors
The functions of an industry check inspector are:(a) to review the content and functioning of the health and safety
management system required under this Act or the regulations,
and
(b) to investigate any complaint from an employee at a coal operation
regarding health or safety, and
(c) to participate in investigations of events, occurrences or
notifiable incidents, and
(d) to assist in the training of site check inspectors,
and
(e) any other functions prescribed by the
regulations.
175 Powers of industry check inspectors to suspend
operations
(1) This section applies if an industry check inspector is of the
opinion that:(a) there has been a failure to comply with a provision of the Work Health and Safety Act 2011,
this Act, the regulations under either of those Acts or any applicable health
and safety management system, and
(b) because of that failure there is a danger to the safety or health
of persons at work at a place at the coal
operation.
(2) If this section applies, the industry check inspector may serve on
the operator of the coal operation a notice:(a) stating that the industry check inspector is of the opinion
referred to in subsection (1), and
(b) giving particulars of the industry check inspector’s reasons
for being of that opinion, and
(c) giving particulars of the action which, in the industry check
inspector’s opinion, should be taken to remove the
danger.
(3) That notice may direct that any operations being carried on at the
place be suspended.
(4) The notice must, if a form has been prescribed by the regulations
for the purposes of this section, be in that form.
(5) An operator who is given a direction must immediately:(a) comply with the direction, and
(b) advise an inspector of the giving of the
direction.
(6) A direction ceases to have effect:(a) on attendance by an inspector and an assessment of matters to
which the direction relates, or
(b) on withdrawal, by instrument in writing, of the direction by the
industry check inspector by whom it was given.
(7) An operator who fails to comply with a direction given to the
person is guilty of an offence.Maximum penalty:
(a) in the case of a corporation (being a previous offender)—750
penalty units, or
(b) in the case of a corporation (not being a previous
offender)—500 penalty units, or
(c) in the case of an individual (being a previous offender)—375
penalty units, or
(d) in the case of an individual (not being a previous
offender)—250 penalty units.
(8) Despite a direction being given to an operator, the operator may
cause work to be carried out in the place to which the direction relates for
the purpose of preventing or mitigating danger.
176 Industry check inspector may delegate functions to site
check inspector
(1) An industry check inspector may delegate his or her functions
under section 175 to a site check inspector.
(2) A delegation must be in writing and must be sent to the site check
inspector, the operator of the relevant coal operation and the Chief
Inspector.
(3) A site check inspector may only exercise delegated power under
this section if:(a) the site check inspector has received any required training
prescribed by the regulations, and
(b) the industry check inspector is not available or it is not
practicable for him or her to attend at short
notice.
177 Care to be taken
In the exercise of a function under this Division, an industry
check inspector must do as little damage as possible.
178 Identification of industry check inspectors
(1) Every industry check inspector is to be issued with an
identification card by the Minister.
(2) The identification card must:(a) state that it is issued under this Act, and
(b) give the name of the person to whom it is issued,
and
(c) state the date (if any) on which it expires,
and
(d) bear the signature of the Minister or an officer approved by the
Minister for the purposes of this paragraph.
Subdivision 4 Inspections on behalf of work force
179 Inspections by check inspectors
A check inspector for a coal operation may:(a) at any time go into and inspect the shafts, roadways, working
places, old workings and machinery and equipment at the coal operation,
and
(b) inspect any documents or plans that by virtue of the Work Health and Safety Act 2011 or
the regulations made under that Act, or by virtue of this Act or the
regulations made under this Act, are required to be kept at the office of the
coal operation, and
(c) when there is at the coal operation an event or other occurrence
(being an event or occurrence for which notice is required by or under this
Act to be given), inspect the place where the event or other occurrence
happened and, so far as is necessary for the purpose of ascertaining its
cause:(i) inspect any other part of the coal operation and any machinery,
apparatus or other thing at the coal operation, or
(ii) test the atmosphere at the place where the event or other
occurrence happened.
180 Check inspector may be accompanied by operator’s
representative
For the purposes of an inspection of a coal operation under
section 179, a check inspector may be accompanied by the operator or a
representative of the operator, if the operator thinks
fit.
181 Check inspector must not leave work without prior
notice
A check inspector employed at a coal operation must not leave his
or her place of work for the purpose of exercising functions as a check
inspector under this Subdivision unless the check inspector gives reasonable
notice to the operator of the coal operation of his or her intention to do so.
For this purpose, notice given to a supervisor is taken to have been given to
the operator.Maximum penalty: 20 penalty
units.
Division 4 Offences
182 Offence of failing to comply with requirement of
government official
A person must not, without reasonable excuse, refuse or fail to
comply with a requirement made by a government official in accordance with
this Act.Maximum penalty:
(a) in the case of a previous offender—150 penalty units,
or
(b) in any other case—100 penalty
units.
183 Offence of interfering with check inspector or government
official
A person must not, without reasonable excuse, wilfully interfere
with a check inspector or a government official in exercising his or her
functions under this Act.Maximum penalty:
(a) in the case of a corporation (being a previous offender)—750
penalty units, or
(b) in the case of a corporation (not being a previous
offender)—500 penalty units, or
(c) in the case of an individual (being a previous offender)—225
penalty units, or
(d) in the case of an individual (not being a previous
offender)—150 penalty units.
184 Offence of impersonating a check inspector or government
official
A person must not impersonate, or falsely represent that the
person is, a check inspector or a government official.Maximum penalty: 100 penalty
units.
Part 11 Coal mining industry codes of practice
185 Purpose of industry codes of practice
The purpose of a coal mining industry code of practice is to
provide practical guidance to operators and others who have duties under Part
5 of this Act or Part 2 of the Work Health
and Safety Act 2011 in relation to work health, safety and
welfare at coal operations.
186 Minister may prepare draft codes
(1) The Minister may prepare, or cause to be prepared, draft coal
mining industry codes of practice.
(2) A draft coal mining industry code of practice may refer to or
incorporate, with or without modification, a document prepared or published by
a body specified in the code, as in force at a particular time or from time to
time.
187 Consultation on draft codes
The Minister is to arrange for any organisations or people that
the Minister may think appropriate to be consulted about a draft coal mining
industry code of practice.
188 Approval of codes by Minister
The Minister may approve a coal mining industry code of
practice.
189 Publication, commencement and availability of
codes
(1) An approved coal mining industry code of practice:(a) is to be published in the Gazette, and
(b) takes effect on the day on which it is so published or, if a later
day is specified in the code for that purpose, on the later day so
specified.
(2) The following are to be made available for public inspection
without charge at an office of the Department designated by the
Director-General during normal office hours:(a) a copy of each approved coal mining industry code of
practice,
(b) if an approved coal mining industry code of practice has been
amended, a copy of the code as so amended,
(c) if an approved coal mining industry code of practice refers to or
incorporates any other document prepared or published by a specified body, a
copy of each such document.
190 Amendment or revocation of codes
An approved coal mining industry code of practice may be amended
or revoked by an instrument prepared, approved and published in accordance
with the relevant procedures of this Part with respect to industry codes of
practice.
191 Use of codes
(1) In any proceedings for an offence against this Act or the
regulations or against the Work Health and
Safety Act 2011 or the regulations made under that Act:(a) an approved coal mining industry code of practice that is relevant
to any matter that it is necessary for the prosecution to prove to establish
the commission of the offence by a person is admissible in evidence in those
proceedings, and
(b) the person’s failure at any material time to observe the
code is evidence of the matter to be established in those
proceedings.
(2) A person is not liable to any civil or criminal proceedings by
reason only that the person has failed to observe an approved coal mining
industry code of practice.
Part 12 Regulations
192 Regulations: general power
(1) The Governor may make regulations, not inconsistent with this Act,
for or with respect to any matter that by this Act is required or permitted to
be prescribed or that is necessary or convenient to be prescribed for carrying
out or giving effect to the objects of this Act.
(2) Any specific power to make regulations under this Act does not
limit the generality of subsection (1).
193 Regulations: specific miscellaneous powers
Regulations may be made for or with respect to any of the
following matters:(a) the safety, health, welfare, convenience and conduct of people at
coal operations,
(b) critical controls for major hazards at coal
operations,
(c) controls for risks of lesser consequence at coal
operations,
(d) the records that must be kept and the reports that must be made by
an operator of a coal operation to the Chief Inspector concerning the health
and safety performance of the coal operation,
(e) the matters in a health and safety management
system,
(f) the matters in a major hazard management plan,
(g) the matters in an emergency management system,
(h) the matters in a safe work method statement,
(i) the equipment, facilities and communication systems that must be
provided in relation to an emergency management system,
(j) the training that must be provided in relation to an emergency
management system,
(k) regulating or prohibiting:(i) the design, manufacture, supply or use of any plant at or in
relation to a coal operation, and
(ii) the design, manufacture, supply, storage, transport or use of any
substance at or in relation to a coal operation, and
(iii) the carrying on of any process or the carrying out of any activity
at or in relation to a coal operation,
(l) requiring people to identify hazards to the health and safety of
people, and to assess risks, arising from work at or in relation to a coal
operation (including risks arising from the place of work or from any plant or
substance for use at work),
(m) designating the people (whether employers, self-employed people,
contractors or other people) who are to be responsible for compliance with the
obligations imposed by the regulations,
(n) the register of persons occupying positions,
(o) prohibiting, absolutely or conditionally, the carrying out of
specified activities or classes of activities at or in relation to a coal
operation,
(p) requiring a person, before commencing to carry out work of a
particular kind at a place of work at or in relation to a coal operation, to
give the Minister or other people notice of the proposed work in accordance
with the regulations,
(q) requiring people at a coal operation, in any circumstances
involving a risk to their health, to undergo a biological, hearing or other
test,
(r) requiring people at a coal operation to not eat, drink or smoke in
any circumstances involving an increased risk to their
health,
(s) measures for detecting and investigating cases in which the health
of people has been affected, including medical examinations, the making of
biological, hearing or other tests and the notification of absences from
work,
(t) prohibiting, absolutely or conditionally, the use of specified
materials or classes or types of material at or in relation to a coal
operation,
(u) prohibiting, absolutely or conditionally, the use of specified
equipment or classes or types of equipment at or in relation to coal
operations,
(v) the design, construction, installation, maintenance, use, testing,
repair, adjustment, alteration and examination of plant used at or in relation
to coal operations,
(w) the design, use, construction and maintenance of buildings and
structures at coal operations,
(x) the design, use, construction and maintenance of equipment used in
connection with shafts and roadways in coal operations,
(y) prohibiting the installation at a coal operation of plant not
constructed so as to comply with the regulations,
(z) the construction, design, material and strength of foundations to
which any machinery or apparatus at a coal operation is or is to be
anchored,
(aa) the provision of security measures at a coal operation to prevent
access to shafts, drifts and surface buildings when
unattended,
(ab) the provision of blast doors or other devices capable of assisting
in the sealing off of coal operations,
(ac) inspections or monitoring for the presence of noxious or flammable
gas, spontaneous combustion or heating or for the absence of oxygen, including
provisions for or with respect to the installation in coal operations or the
supply to people employed in coal operations of devices, systems or equipment
for the detection, monitoring or testing of flammable or noxious gases or for
detecting or monitoring the absence of oxygen,
(ad) the support of the roof and sides of working places and roadways
in coal operations and the withdrawal of that support,
(ae) the maintenance and inspection of shafts and roadways at coal
operations,
(af) working practices employed at a coal
operation,
(ag) the circumstances in which consultation must be undertaken by an
operator of a coal operation or by a contractor,
(ah) the mode of consultation by the operator of a coal operator or by
a contractor,
(ai) prohibiting the working of a coal operation affected by dust or
prescribing the conditions under which any such coal operations must be
worked,
(aj) requiring the use in a coal operation of prescribed apparatus in
relation to dust,
(ak) requiring steps to be taken and working practices to be adopted to
minimise dust in a coal operation,
(al) preventing the accumulation in a coal operation of potentially
explosive dust,
(am) the prevention, detection and combating of fires at, and
spontaneous heatings occurring in, a coal operation including provisions for
or with respect to:(i) the establishment and maintenance at a coal operation of any
arrangement that may be necessary for the prevention, detection and combating
of fires and spontaneous heatings and the training of any person within that
arrangement, and
(ii) the provision and maintenance at a coal operation of suitable and
sufficient apparatus for the prevention, detection and combating of fires and
spontaneous heatings,
(an) the design, installation, operation and maintenance of methane
drainage systems in a coal operation and the treatment, storage and disposal
of methane,
(ao) the requirements to be observed and the precautions to be taken in
mining any location, including:(i) under the ocean, a river, a lake, an estuary, a reservoir or an
aquifer, and
(ii) near any place or strata that is likely to contain a dangerous
accumulation of gas or water or material that flows when
wet,
(ap) the control of the supply, storage and use of blasting materials,
blasting devices and flammable materials at a coal
operation,
(aq) requiring the surveying, and the preparation of plans, of barriers
and protective pillars in a coal operation and prescribing the time in which
any such surveys or plans must be made or prepared,
(ar) the waiver, remission or refund of fees charged under the Act or
the regulations and the interest payable for late payment of such
fees,
(as) the registration of any plant, material or thing before it may be
used in, installed in or taken into a coal operation or connected to, or used
with, any other plant, material or thing used or installed in a coal
operation,
(at) the generation, storage, transformation, transmission and use of
electricity at a coal operation,
(au) the circumstances in which the supply of electricity into the
underground parts of a coal operation or part of a coal operation or any
apparatus in a coal operation must be cut off and the type, nature and design
of apparatus to be used to cut off the supply of
electricity,
(av) requiring the installation in coal operations of any electrical
apparatus that may be prescribed and the type, nature and design of any such
apparatus,
(aw) the circumstances in which the supply of electricity must not be
connected to the underground parts of a coal operation or part of a coal
operation and the type, nature and design of any apparatus to be used to
prevent the supply of electricity being connected,
(ax) requiring communication systems to be provided in a coal
operation,
(ay) the supply and maintenance of first aid equipment, facilities and
locations at a coal operation,
(az) the employment at a coal operation of people trained to administer
first aid to people injured,
(ba) the conveyance of people injured within a coal operation from the
coal operation to their homes or hospital,
(bb) the provision, location, care and maintenance of sanitary
conveniences at a coal operation,
(bc) the control of rats, mice, other vermin and insects in or about
coal operations,
(bd) the provision, design, location, care and maintenance of bath and
change houses at a coal operation,
(be) the supply of drinking water at a coal
operation,
(bf) the provision of facilities for the taking of meals both on the
surface and underground at a coal operation,
(bg) the supply and maintenance of safety equipment for the use of
people employed at a coal operation,
(bh) the transport of people and materials in a coal
operation,
(bi) requiring people employed in a coal operation who carry out
prescribed functions that may affect the safety or health of other people to
hold any evidence of competence that may be prescribed,
(bj) the ventilation of coal operations,
(bk) the environmental working conditions in a coal
operation,
(bl) the control of the temperature and humidity in a coal
operation,
(bm) lighting in or about coal operations,
(bn) prohibiting the taking into coal operations of items that may
affect the safety of people at coal operations,
(bo) searching people, before entry into coal operations, for items
referred to in paragraph (bn) and the confiscation and disposal of any such
items found,
(bp) the fencing, enclosing or sealing of abandoned coal operations or
parts of coal operations,
(bq) requiring the provision of information, and the means of
information provision, at a coal operation and prescribing:(i) the number, design, construction, size and location of those means
of information provision,
(ii) the matters that must be displayed or provided,
and
(iii) the class or classes of persons to whom information is to be
provided,
(br) prescribing the type, size, content and location of signs and
notices to be displayed at a coal operation,
(bs) the preparation, maintenance, keeping and preservation of plans,
sections and drawings of coal operations (including abandoned coal operations)
and of workings in or about coal operations and of related documents,
including provisions for or with respect to the preparation of those plans,
sections and drawings by the Director-General and the recovery of the cost of
their preparation, maintenance, keeping and preservation,
(bt) surveys of coal operations (including abandoned coal
operations),
(bu) the furnishing or production of copies of plans, sections and
drawings of coal operations (including abandoned coal operations) and the
furnishing of information relevant to the preparation of those plans, sections
or drawings to the Director-General, to inspectors and to other
people,
(bv) the supply of, or the furnishing of information from, copies of
plans, sections or drawings filed with the Director-General to
people,
(bw) prescribing, in respect of emplacement areas, engineering,
environmental and safety standards and practices to be adopted in constructing
and using emplacement areas and steps to be taken to keep emplacement areas
secure,
(bx) the provision, retention, maintenance and inspection of records at
a coal operation,
(by) the obligations of land owners and land occupiers at or in the
vicinity of coal operations or abandoned coal operations,
(bz) regulating the number and class of people who may be employed at a
coal operation or part of a coal operation,
(ca) the functions of the Chief Inspector,
(cb) the functions of inspectors, investigators or mine safety
officers, including provisions for or with respect to the production of
identification cards by inspectors, investigators or mine safety officers and
the warnings to be administered to people in the course of an
inspection,
(cc) the functions of industry check inspectors, site check inspectors
and electrical check inspectors, including provisions for or with respect to
the production of identification cards by such people,
(cd) the regulation of coal preparation plants,
(ce) the analysis of any substance,
(cf) the fees chargeable or payable for doing any act or providing any
service in connection with this Act or the regulations,
(cg) forms for the purposes of this Act or the
regulations,
(ch) the manner of serving notices under this Act or the
regulations,
(ci) the review of actions and determinations of an inspector or other
person,
(cj) any information to be provided to any person by an inspector or
other person exercising functions under this Act,
(ck) the people, or class of people, entitled to vote at an election
under this Act,
(cl) the manner in which an election under this Act must be
held,
(cm) the fitness for work of those who work at coal
operations,
(cn) working time arrangements of those who work at coal
operations,
(co) the consumption of alcohol or other drugs by those who work at
coal operations or who visit mines or abandoned mines under the authority of a
permit under Division 4 of Part 6,
(cp) the content and operation of a management structure for a coal
operation,
(cq) supervision of those who work at coal
operations,
(cr) disclosure of financial interests by government
officials,
(cs) the dimensions of roadways and pillars in coal operations that are
underground mines,
(ct) regulating or preventing the provision of any financial benefit or
financial incentive to a person for the purpose of discouraging that person
from reporting a health or safety matter,
(cu) regulating tourist activities and the use of coal operations for
educational purposes,
(cv) the lodgment of applications under this Act,
(cw) the transfer of any permit within the meaning of section
105,
(cx) the duration of any such permit, which may be indefinite or of
specified length,
(cy) modifying the requirements of Part 5 so that they apply, with the
prescribed modifications, to and in respect of persons who conduct tourist
activities in or about a mine, or use a mine for educational purposes, under
the authority of a permit issued under Part 6.
194 Regulations regarding classification of underground
mines
Regulations may provide for the classification of underground
mines by reference to the quantity of flammable gas found in the coal
operations.
195 Regulations may require verification by statutory
declaration
A regulation may require an application under this Act to be
verified by a statutory declaration.
196 Regulations may prescribe decisions that are to be
reviewable by Administrative Decisions Tribunal
(1) The regulations may authorise a person to apply to the
Administrative Decisions Tribunal for a review of a decision of a class
prescribed by the regulations that is made under this Act or the
regulations.
(2) The regulations may require any person who applies to the
Administrative Decisions Tribunal for a review of a decision under this Act to
notify any person of that application.
(3) Despite section 60 of the Administrative Decisions Tribunal Act
1997, the regulations may make provision for the operation and
implementation of a decision under review, or pending review, by the
Administrative Decisions Tribunal.
(4) Any such regulation cannot be made without the concurrence of the
Minister administering the Administrative
Decisions Tribunal Act 1997.
197 Regulations: adapting duties under Part 5
The regulations may adapt the provisions of Part 5 to meet the
circumstances of any specified class of case.
198 Regulations concerning application of Part 5 to
contractors
(1) The regulations may specify contractors or classes of
contractors:(a) in relation to whom some or all of Subdivision 4 of Division 2 of
Part 5 does not create any duties or creates duties subject to conditions,
or
(b) to whom some or all of Division 6 of Part 5 does not apply or
applies subject to conditions.
(2) Any regulation made under this section applies only to contractors
who do not undertake mining activities as part of the work that they undertake
in connection with a coal operation.
199 Regulations may adopt other publications
The regulations may apply, adopt or incorporate any publication as
in force at a particular time or from time to time.
200 Regulations may create criminal offences
The regulations may create offences punishable by a penalty not
exceeding 250 penalty units.
201 Exemptions
The regulations may exempt, or provide for the exemption of,
persons, or persons of a prescribed class, or any act, matter or thing, or any
prescribed class of act, matter or thing, either absolutely or subject to
conditions, from any provision of the regulations.
202 Regulations relating to consultation
(1) If a provision of this Act requires consultation to be carried out
with people who work at a coal operation, in the manner required by the
regulations, the regulations may specify the circumstances where it is
sufficient for the health and safety committee for the coal operation
(established under the Work Health and
Safety Act 2011) or the site check inspector for the coal
operation to be consulted about the matter rather than the people who work at
the coal operation.
(2) This section does not limit the mode of consultation that may be
required by the regulations, or the circumstances where consultation may be
required.
Part 13 Miscellaneous
Division 1 Enforcement
Note. Section 229A of the Work Health
and Safety Act 2011 provides for offences under this Act and
the regulations to be prosecuted under that Act.
203 Offences by corporations
(1) If a corporation contravenes, whether by act or omission, any
provision of this Act or the regulations, each person who is a director of the
corporation or who is concerned in the management of the corporation is taken
to have contravened the same provision unless the director or person satisfies
the court that:(a) he or she was not in a position to influence the conduct of the
corporation in relation to its contravention of the provision,
or
(b) he or she, being in such a position, used all due diligence to
prevent the contravention by the corporation.
(2) A person may be proceeded against and convicted under a provision
pursuant to subsection (1) whether or not the corporation has been proceeded
against or has been convicted under the provision.
(3) Nothing in this section affects any liability imposed on a
corporation for an offence committed by the corporation under this Act or the
regulations.
(4) In the case of a corporation that is a local council, a member of
the council (in his or her capacity as such a director) is not to be regarded
as a director or person concerned in the management of the council for the
purposes of this section.
204 Aiding and abetting etc
(1) A person:(a) who aids, abets, counsels or procures, or
(b) who, by act or omission, is in any way directly or indirectly
knowingly concerned in or a party to,
the commission of an offence against this Act or the regulations is taken
to have committed that offence and is punishable
accordingly.
(2) Subsection (1) does not apply to a person who is acting in the
ordinary course of his or her duties as an officer of a Federal or State
industrial organisation of employees or employers.
205 Defence
It is a defence to any proceedings against a person for an offence
against a provision of this Act or the regulations if the person proves
that:(a) it was not reasonably practicable for the person to comply with
the provision, or
(b) the commission of the offence was due to causes over which the
person had no control and against the happening of which it was impracticable
for the person to make provision.
206 Defences to criminal proceedings not affected by this
Act
It is not a defence to an action in any criminal proceedings that
a given course of action was not objected to by the Chief Inspector or the
Department, even if this Act gives the Chief Inspector or the Department an
opportunity to object to that course of action.
Division 2 Information
207 Disclosure of information
A person must not disclose any information obtained in connection
with the administration or execution of this Act unless that disclosure is
made:(a) with the consent of the person from whom the information was
obtained, or
(b) in connection with the administration or execution of this Act (or
any other Act), or
(c) for the purposes of any legal proceedings arising out of this Act
(or any other Act) or of any report of any such proceedings,
or
(d) in accordance with a requirement imposed under the Government Information (Public Access) Act
2009, or
(e) in accordance with a requirement imposed under the Ombudsman Act 1974,
or
(f) with the consent of the Minister, or
(g) with other lawful excuse.
Maximum penalty: 20 penalty
units.
208 False or misleading statements
A person must not, in giving any answer required of the person by
a person under this Act, or in complying with a requirement to make a report
under this Act, to furnish any returns, statistics or other information or to
inform a person of the substance of any instructions, make a statement that
the person knows to be false or misleading in a material particular or
recklessly make a statement that is false or misleading in a material
particular.Maximum penalty:
(a) in the case of a previous offender—150 penalty units,
or
(b) in any other case—100 penalty
units.
209 Defence
A person does not commit an offence against this Division by
giving any answer, information or a document if the person, when giving the
answer, the information or the document:(a) tells the other person, to the best of his or her ability, how it
is false or misleading, and
(b) gives the correct information, in circumstances where the person
has, or can reasonably obtain, the correct
information.
Division 3 Exercise and delegation of functions
210 Chief Inspector subject to Ministerial control
The Chief Inspector is, in the exercise of his or her functions,
subject to Ministerial control and direction.
211 (Repealed)
212 Delegation of functions by the Minister
(1) The Minister may, by instrument in writing, delegate to the
Director-General any of the functions conferred or imposed on the Minister by
or under this Act (other than this power of
delegation).
(2) The Minister may, by instrument in writing, delegate to the Board
any of the functions conferred or imposed on the Minister under Part
9.
213 Delegation of functions by Chief Inspector
The Chief Inspector may, by instrument in writing, delegate to any
inspector any of the functions conferred or imposed on the Chief Inspector by
or under this Act (other than this power of
delegation).
214 Delegation of functions by Director-General
(1) The Director-General may, by instrument in writing, delegate to an
authorised person any function conferred or imposed on the Director-General by
or under this Act, including this power of
delegation.
(2) The Director-General may subdelegate to any authorised person any
function delegated to the Director-General by the Minister if the
Director-General is authorised to do so by the
Minister.
(3) In this section:authorised
person means:
(a) an officer of the Department, or
(b) any other person prescribed by the
regulations.
Division 4 Service of documents
215 Service of documents
(1) A document that is authorised or required by this Act or the
regulations to be served on any person may be served by:(a) in the case of a natural person:(i) delivering it to the person personally, or
(ii) sending it by post to the address specified by the person for the
giving or service of documents or, if no such address is specified, the
residential or business address of the person last known to the person giving
or serving the document, or
(iii) sending it by facsimile transmission to the facsimile number of
the person, or
(b) in the case of a body corporate:(i) leaving it with a person apparently of or above the age of 16
years at, or by sending it by post to, the head office, a registered office or
a principal office of the body corporate or to an address specified by the
body corporate for the giving or service of documents, or
(ii) sending it by facsimile transmission to the facsimile number of
the body corporate.
(2) Nothing in this section affects the operation of any provision of
a law or of the rules of a court authorising a document to be served on a
person in any other manner.
216 Supply of documents to an operator
If this Act or the regulations requires something to be sent or
given to the operator of a coal operation it is enough that it is sent or
given to the most senior person identified in the operator’s management
structure who is at work or given to a person at the on-site office of the
coal operation or at the premises at which the relevant part of the work of
the coal operation is carried out.
217 Supply of documents to Chief Inspector
If this Act or the regulations requires something to be sent or
given to the Chief Inspector, it is enough that it is sent or given to a
person, or left at a place, specified by the Chief Inspector by order
published in the Gazette.
218 Supply of documents to an industry check
inspector
If this Act or the regulations requires something to be sent or
given to an industry check inspector, it is enough that it is sent or given to
a district office, or the national office, of the Construction, Forestry,
Mining and Energy Union (Mining and Energy Division).
Division 5 Fees
219 Fees
(1) The Minister may determine the fees and charges payable:(a) by an applicant for a certificate of competence,
and
(b) by a candidate for an examination conducted by the Board,
and
(c) for any service provided by the Board, and
(d) for the testing of plant or material for registration for the
purpose of this Act or the regulations, and
(e) for the issue of any tourist or educational permit,
and
(f) for any other purpose in connection with this Act authorised by
the regulations.
(2) Any determination made under this section is subject to the
regulations.
Division 6 General
220 Protection from liability
(1) A matter or thing done or omitted to be done by a protected person
does not, if the matter or thing was done or omitted in good faith for the
purpose of executing any provision of this Act or the Work Health and Safety Act 2011,
subject such person personally to any action, liability, claim or
demand.
(2) In this section, protected person
means the following:(a) the Minister,
(b) the Director-General,
(c) the Chief Inspector,
(d) a member of the Board,
(e) a site check inspector,
(f) an electrical check inspector,
(g) an industry check inspector,
(h) an inspector,
(i) a mine safety officer,
(j) an investigator,
(k) a person who constitutes a Board of Inquiry,
(l) an assessor sitting with a Board of Inquiry,
(m) a member of staff of the Department.
221 No obligation to exercise power
Nothing in this Act, other than a provision creating an offence,
imposes an obligation on a person to exercise any power because the person is
a site check inspector, electrical check inspector or industry check
inspector.
Part 14 Repeals and amendments
222 Repeals
The following are repealed:(a) the Coal Mines Regulation Act
1982,
(b) the Coal Mines
(General) Regulation 1999,
(c) the Coal Mines
(Investigation) Regulation 1999,
(d) the Coal Mines
(Open Cut) Regulation 1999,
(e) the Coal Mines
(Underground) Regulation 1999,
(f) the Courts of Coal Mines Regulation
Rules 1991.
223, 224 (Repealed)
225 Savings, transitional and other provisions
Schedule 3 has effect.
226 Review of Act
(1) The Minister is to review this Act to determine whether the policy
objectives of the Act remain valid and whether the terms of the Act remain
appropriate for securing those objectives.
(2) The review is to be undertaken as soon as possible after the
period of 5 years from the date of assent to this
Act.
(3) A report on the outcome of the review is to be tabled in each
House of Parliament within 12 months after the end of the period of 5
years.
Schedules 1, 2 (Repealed)
Schedule 3 Savings, transitional and other
provisions
(Section 225)
Part 1 General
1 Regulations
(1) The regulations may contain provisions of a savings or
transitional nature consequent on the enactment of the following Acts:this Act
(2) Any such provision may, if the regulations so provide, take effect
from the date of assent to the Act concerned or a later
date.
(3) To the extent to which any such provision takes effect from a date
that is earlier than the date of its publication in the Gazette, the provision
does not operate so as:(a) to affect, in a manner prejudicial to any person (other than the
State or an authority of the State), the rights of that person existing before
the date of its publication, or
(b) to impose liabilities on any person (other than the State or an
authority of the State) in respect of anything done or omitted to be done
before the date of its publication.
Part 2 Provisions consequent on the enactment of this
Act
Division 1 Interpretation
2 Definitions
In this Part:former
Act means the Coal Mines
Regulation Act 1982.
former
Board means the Coal Mining Qualifications Board established by the
former Act.
Division 2 Dissolution of Courts of Coal Mines
Regulation
3 Dissolution of Courts of Coal Mines Regulation
Any Court of Coal Mines Regulation is
dissolved.
4 Court may continue hearing part heard matter
Despite clause 3, if a Court of Coal Mines Regulation constituted
under the former Act was, immediately before the repeal of the former Act,
hearing a matter that had not been finally determined, the Court is to
continue to be constituted and to hear the matter as if the former Act had not
been repealed until that matter is finally determined.
Division 3 Dissolution of former Board
5 Dissolution of former Board
The former Board is dissolved.
6 Members of former Board
(1) A person who, immediately before the repeal of the former Act,
held office as a member of the former Board:(a) ceases to hold office as such on that repeal,
and
(b) is eligible (if otherwise qualified) to be appointed as a member
of the Board constituted under this Act.
(2) A person who ceases to hold office as a member of the former Board
because of the operation of this Act is not entitled to be paid any
remuneration or compensation because of ceasing to hold that
office.
Division 4 Phasing-in of plans and systems
7 Phasing-in of plans and systems
Without limiting clause 1, the regulations may make provision for
plans, systems or other arrangements developed under the former Act and in
force or effect immediately before the repeal of the former Act to be
acceptable as fulfilling any requirement imposed by or under this Act for the
duration of any phasing-in period prescribed by the
regulations.
Division 5 Certificates, directions, approvals and
instruments under former Act
8 Certificates of competency saved
On and from the repeal of the former Act, a certificate of
competency granted under section 19 of the former Act in relation to a
position is taken to have been granted under section 136 of this Act in
relation to the functions ordinarily required to be exercised by the holder of
that position.
9 Saving of prohibitions, restrictions, requirements or
directions under section 63 or 63A of former Act
A prohibition, restriction, requirement or direction in force or
in effect under section 63 or 63A of the former Act immediately before the
repeal of the former Act, or a court order requiring a person to comply with
such a prohibition, restriction, requirement or direction, continues to have
effect as if section 63 or 63A had not been repealed but ceases to have effect
if revoked by the Chief Inspector.
10 Saving of approvals under section 126 of former
Act
An approval under section 126 of the former Act that was in force
immediately before the repeal of the former Act is taken to be an approval
under section 100 of this Act.
11 Saving of approvals under section 138 of former
Act
Subject to the regulations, an approval under section 138 of the
former Act that was in force immediately before the repeal of the former Act
continues in force as if section 138 and the regulations made under that
section had not been repealed. A failure to comply with the conditions of an
approval is an offence against Division 2 of Part 6 of this
Act.
12 Saving of directions under section 139 of former
Act
Subject to the regulations, a direction made under section 139 (2)
or (3) of the former Act that was in force immediately before the repeal of
the former Act is taken to be a direction under section 86 or 87 of this Act,
respectively.
13 Saving of approvals under section 139 of former
Act
Subject to the regulations, an approval under section 139 (6) of
the former Act that was in force immediately before the repeal of the former
Act is taken to be an approval under section 89 of this
Act.
14 Saving of notifications under section 143 of former
Act
A notification given under section 143 of the former Act in
relation to a drilling operation is taken to be notice given under section 78
of this Act.
15 Saving of tourist and educational permits
(1) A permit issued under section 148 of the former Act that was in
force immediately before the repeal of the former Act is taken to be a permit
issued under section 107 of this Act to the person who was the owner (within
the meaning of the former Act) of the mine concerned immediately before the
commencement of this clause.
(2) Sections 108 (4) and 109 of this Act apply to and in respect of
any such permit.
16 Saving of instruments creating exemptions
An instrument made under section 174 (5) of the former Act and in
force immediately before the repeal of the former Act that disapplied any
provision of the regulations made under the former Act is taken to be a
regulation made under section 201 of this Act creating an exemption from the
corresponding provisions of the regulations made under this Act but ceases to
have effect if revoked by the Chief Inspector.
Division 6 Holders of positions in management
structure
17 Holders of positions in management structure
Without limiting clause 1, the regulations may make provision for
a person who held a position in the management of a mine immediately before
the repeal of the former Act to be taken to hold a prescribed position in the
management structure of a coal operation under this
Act.
Division 7 References
18 References to former Act
On and from the commencement of this clause, a reference in any
other Act, in any instrument made under another Act, or in any document of any
kind, to the former Act is to be read as a reference to this
Act.
19 References to Chief Inspector of coal mines
On and from the commencement of this clause, a reference in any
other Act, in any instrument made under another Act, or in any document of any
kind, to the Chief Inspector of coal mines appointed under the former Act is
to be read as a reference to the Chief Inspector within the meaning of this
Act.
Division 8 Notification of events
20 Place of accident or occurrence not to be
disturbed
Section 90 of the former Act continues to apply for 3 days after
the repeal of the former Act as if it had not been
repealed.
21 Notification of certain events and other
matters
Part 7 extends to an event that occurred in the 2 days before the
commencement of the Part.
Division 9 Boards of Inquiry
22 Boards of Inquiry continue
A Board of Inquiry constituted under the former Act and active
immediately before the repeal of the former Act continues under this Act as if
it were constituted under this Act and may continue any special inquiry under
that Act as if the Act had not been repealed. In particular, section 94B of
the former Act continues to apply to such a special inquiry as if it had not
been repealed.
Division 10 Office holders
23 District check inspectors
A person who held office under the former Act as a district check
inspector immediately before the repeal of the former Act is taken to have
been appointed as an industry check inspector under this
Act.
24 Local check inspectors
A person who held office under the former Act as a check inspector
for a mine immediately before the repeal of the former Act is taken to have
been appointed as a site check inspector under this Act for the coal operation
that includes that mine. His or her term of office is taken to have commenced
when he or she was elected.
25 Electrical check inspectors
A person who held office under the former Act as an electrical
check inspector for a mine immediately before the repeal of the former Act is
taken to have been appointed as an electrical check inspector under this Act
for the coal operation that includes the mine. His or her term of office is
taken to have commenced when he or she was elected.
Division 11 Miscellaneous
26 Operation of Part
The operation of this Part is subject to the
regulations.
Historical notes
The following abbreviations are used in the Historical notes:
Am |
amended |
LW |
legislation website |
Sch |
Schedule |
Cl |
clause |
No |
number |
Schs |
Schedules |
Cll |
clauses |
p |
page |
Sec |
section |
Div |
Division |
pp |
pages |
Secs |
sections |
Divs |
Divisions |
Reg |
Regulation |
Subdiv |
Subdivision |
GG |
Government Gazette |
Regs |
Regulations |
Subdivs |
Subdivisions |
Ins |
inserted |
Rep |
repealed |
Subst |
substituted |
Table of amending instruments
Coal Mine Health and Safety Act
2002 No 129. Second reading speech made: Legislative Assembly,
13.11.2002; Legislative Council, 5.12.2002. Assented to 16.12.2002. Date of
commencement (Div 4 of Part 6, Sch 2.7, 2.8, 2.9, 2.10 [1] and 2.15 and cl 15
of Sch 3 excepted), 23.12.2006, sec 2 and GG No 189 of 22.12.2006, p 11542;
date of commencement of Div 4 of Part 6 and cl 15 of Sch 3: not in force; Sch
2.6 was not commenced and was repealed by the Statute Law (Miscellaneous Provisions) Act (No 2)
2005 No 98; Sch 2.7, 2.8, 2.10 [1] and 2.15 were not commenced
and were repealed by the Statute Law
(Miscellaneous Provisions) Act 2008 No 62; date of
commencement of Sch 2.9, 13.6.2003, sec 2 and GG No 97 of 13.6.2003, p 5623.
This Act has been amended as follows:
2003 | No 40 | Statute Law (Miscellaneous
Provisions) Act 2003. Assented to 22.7.2003. Date of commencement of Sch 2.5, assent, sec 2
(2).
|
2004 | No 74 | Mine Health and Safety Act
2004. Assented to 28.9.2004. Date of commencement of Sch 3 [1]–[28] [30]–[44]
[46]–[52] [54]–[64] and [66]–[69], 22.12.2006, sec 2 and GG
No 189 of 22.12.2006, p 11544; date of commencement of Sch 3 [29] [45] [53]
[70], 1.9.2008, sec 2 and GG No 185 of 21.12.2007, p 9815; the amendment made
by Sch 3 [65] was without effect as the Schedule being amended was repealed by
the Statute Law (Miscellaneous Provisions)
Act 2008 No 62.
|
2005 | No 98 | Statute Law (Miscellaneous
Provisions) Act (No 2) 2005. Assented to 24.11.2005. Date of commencement of Sch 2.11, assent, sec 2
(2).
|
2006 | No 58 | Statute Law (Miscellaneous
Provisions) Act 2006. Assented to 20.6.2006. Date of commencement of Sch 1.3 [1]–[3] and [5], assent, sec 2 (2);
date of commencement of Sch 1.3 [4], 22.12.2006, Sch 1.3 and GG No 189 of
22.12.2006, p 11544.
|
2007 | No 27 | Statute Law (Miscellaneous
Provisions) Act 2007. Assented to 4.7.2007. Date of commencement of Sch 2, assent, sec 2
(2).
|
2008 | No 19 | Mining Amendment Act
2008. Assented to 20.5.2008. Date of commencement of Sch 2.1, 15.11.2010, sec 2 and 2010 (617) LW
5.11.2010.
|
| | No 62 | Statute Law (Miscellaneous
Provisions) Act 2008. Assented to 1.7.2008. Date of commencement of Sch 4, assent, sec 2
(1).
|
2009 | No 54 | Government Information (Public
Access) (Consequential Amendments and Repeal) Act 2009.
Assented to 26.6.2009. Date of commencement, 1.7.2010, sec 2 and 2010 (248) LW
18.6.2010.
|
2011 | No 67 | Work Health and Safety
Legislation Amendment Act 2011. Assented to 28.11.2011. Date of commencement of Sch 3: not in force; date of commencement of Sch
4, 1.1.2012, sec 2 (1). Sch 4.2 [3] [4] and [26] were without
effect.
|
Table of amendments
Sec 3 | Am 2004 No 74, Sch 3 [1]–[7]; 2007 No 27, Sch
2.10 [1]; 2008 No 19, Sch 2.1; 2011 No 67, Sch 4.2 [1]. |
Sec 5 | Am 2004 No 74, Sch 3 [8] [9]. |
Sec 8 | Am 2004 No 74, Sch 3 [10]; 2011 No 67, Sch 4.2
[2]. |
Sec 10 | Am 2011 No 67, Sch 4.2 [5]. |
Part 4 | Subst 2011 No 67, Sch 4.2 [6]. |
Part 4, note | Am 2004 No 74, Sch 3 [11]. Subst 2011 No 67, Sch
4.2 [6]. |
Sec 11 | Subst 2004 No 74, Sch 3 [12]; 2011 No 67, Sch 4.2
[6]. |
Sec 12 | Am 2004 No 74, Sch 3 [13]. Subst 2011 No 67, Sch
4.2 [6]. |
Sec 13 | Am 2004 No 74, Sch 3 [14]. Subst 2011 No 67, Sch
4.2 [6]. |
Secs 14–16 | Subst 2011 No 67, Sch 4.2 [6]. |
Sec 16A | Ins 2004 No 74, Sch 3 [15]. Rep 2011 No 67, Sch 4.2
[6]. |
Part 5, note | Subst 2011 No 67, Sch 4.2 [7]. |
Part 5, Div 1, note | Rep 2011 No 67, Sch 4.2 [8]. |
Sec 17 | Am 2004 No 74, Sch 3
[16]–[20]. |
Part 5, Div 2, note | Rep 2011 No 67, Sch 4.2 [9]. |
Sec 20 | Am 2004 No 74, Sch 3 [21]. |
Sec 42 | Am 2011 No 67, Sch 4.2 [10]
[11]. |
Sec 44 | Am 2004 No 74, Sch 3 [22]. |
Sec 54 | Am 2004 No 74, Sch 3 [23]
[24]. |
Part 5, Div 3, note | Rep 2011 No 67, Sch 4.2 [12]. |
Sec 61 | Am 2004 No 74, Sch 3 [25]; 2011 No 67, Sch 4.2
[13]. |
Part 5, Div 4, note | Rep 2011 No 67, Sch 4.2 [14]. |
Sec 63 | Am 2011 No 67, Sch 4.2 [15]. |
Sec 64 | Am 2011 No 67, Sch 4.2 [16]. |
Sec 65 | Am 2011 No 67, Sch 4.2 [17]. |
Sec 67 | Am 2011 No 67, Sch 4.2 [18]. |
Sec 70 | Am 2011 No 67, Sch 4.2 [19]. |
Part 5, Div 6, note | Rep 2011 No 67, Sch 4.2 [20]. |
Sec 75 | Am 2011 No 67, Sch 4.2 [21]. |
Sec 76 | Am 2011 No 67, Sch 4.2 [22]. |
Sec 78 | Am 2003 No 40, Sch 2.5 [1]; 2004 No 74, Sch 3 [26]
[27]. |
Sec 83 | Rep 2004 No 74, Sch 3 [28]. |
Secs 105–109 | Subst 2004 No 74, Sch 3 [29]. |
Sec 118 | Am 2004 No 74, Sch 3 [30]–[38]; 2011 No 67,
Sch 4.2 [23]. |
Sec 120 | Am 2004 No 74, Sch 3 [39]. |
Sec 121 | Am 2004 No 74, Sch 3 [40]. |
Sec 122 | Am 2011 No 67, Sch 4.2 [24]
[25]. |
Sec 123 | Am 2004 No 74, Sch 3 [41]
[42]. |
Sec 145 | Am 2003 No 40, Sch 2.5 [2]; 2011 No 67, Sch 4.2
[27]. |
Sec 149 | Am 2006 No 58, Sch 1.3 [1]. |
Sec 150 | Am 2004 No 74, Sch 3 [43]. |
Part 10, Div 2, Subdiv 3, note | Ins 2004 No 74, Sch 3 [44]. Subst 2011 No 67, Sch
4.2 [28]. |
Sec 154 | Rep 2004 No 74, Sch 3 [45]. |
Sec 155 | Am 2004 No 74, Sch 3 [46]; 2011 No 67, Sch 4.2
[29]. |
Sec 161 | Am 2004 No 74, Sch 3
[47]–[49]. |
Sec 164 | Am 2011 No 67, Sch 4.2 [30]. |
Sec 165 | Am 2011 No 67, Sch 4.2 [31]. |
Sec 167 | Am 2004 No 74, Sch 3 [50]; 2011 No 67, Sch 4.2
[32]. |
Sec 168 | Am 2004 No 74, Sch 3 [50]; 2011 No 67, Sch 4.2
[33]. |
Sec 171 | Am 2007 No 27, Sch 2.10 [2]. |
Part 10, Div 3, Subdiv 3, note | Rep 2011 No 67, Sch 4.2 [34]. |
Sec 173 | Am 2011 No 67, Sch 4.2 [35]. |
Sec 175 | Am 2011 No 67, Sch 4.2 [36]. |
Sec 179 | Am 2011 No 67, Sch 4.2 [37]. |
Sec 185 | Am 2003 No 40, Sch 2.5 [3]. Subst 2011 No 67, Sch
4.2 [38]. |
Sec 191 | Am 2011 No 67, Sch 4.2 [39]. |
Sec 193 | Am 2004 No 74, Sch 3 [51]–[54]; 2006 No 58,
Sch 1.3 [2]; 2007 No 27, Sch 2.10 [2]. |
Sec 194 | Am 2007 No 27, Sch 2.10 [2]. |
Sec 201 | Am 2006 No 58, Sch 1.3 [3]. |
Sec 202 | Am 2004 No 74, Sch 3 [50]; 2011 No 67, Sch 4.2
[40]. |
Part 13, Div 1, note | Subst 2011 No 67, Sch 4.2
[41]. |
Sec 203 | Am 2004 No 74, Sch 3 [55]. |
Sec 204 | Am 2004 No 74, Sch 3 [56]. |
Sec 207 | Am 2009 No 54, Sch 2.9. |
Sec 211 | Rep 2004 No 74, Sch 3 [57]. |
Sec 220 | Am 2004 No 74, Sch 3 [58]; 2006 No 58, Sch 1.3 [4]
[5]; 2011 No 67, Sch 4.2 [42]. |
Secs 223, 224 | Rep 2008 No 62, Sch 4. |
Sch 1 | Am 2004 No 74, Sch 3 [59]–[63]. Rep 2008 No
62, Sch 4. |
Sch 2 | Am 2004 No 74, Sch 3 [66] [67]; 2005 No 98, Sch
2.11; 2007 No 27, Sch 2.10 [3] [4]. Rep 2008 No 62, Sch
4. |
Sch 3 | Am 2004 No 74, Sch 3
[68]–[70]. |