Fair Trading Act 1987 No 68
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have all commenced. See Historical notes Responsible Minister
Minister for Commerce jointly with the Minister for Fair Trading
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45C of the Interpretation Act 1987. File last modified 17 July 2009.

An Act to regulate the supply, advertising and description of
goods and services and, in certain respects, the disposal of interests in
land; to repeal the Consumer Protection Act
1969 and certain other Acts; and for other
purposes. Part 1 Preliminary 1 Name of Act This Act may be cited as the Fair Trading Act
1987. 2 Commencement (1) Sections 1 and 2 shall commence on the date of assent to this
Act. (2) Except as provided by subsection (1), this Act shall commence on
such day as may be appointed by the Governor and notified by proclamation
published in the Gazette.
3 Extent to which Act binds the Crown (1) This Act binds the Crown in right of the State in so far as the
Crown in right of the State carries on a business, whether directly or by an
authority of the State. (2) Nothing in this Act renders the State liable to prosecution for an
offence.
4 Definitions (1) In this Act, except in so far as the context or subject-matter
otherwise indicates or requires:acquire
includes: (a) in relation to goods—acquire by purchase or exchange or by
taking on lease, on hire or on hire-purchase,
(b) in relation to services—accept, and
(c) in relation to an interest in land—acquire by purchase or
exchange or by taking on lease, or in any other manner in which an interest in
land may be acquired for valuable consideration.
advisory
committee means a committee appointed under section
25. advisory
council means any of the councils established by Divisions 5–7
or 9 of Part 2. assisted
person means a person granted legal assistance under section
13. authorised
person means a person authorised by the
Director-General. banning
order means an order in force under section 30 or 31 prohibiting or
restricting the supply of goods. business
includes: (a) a business not carried on for profit, and
(b) a trade or profession.
consumer has
the meaning given by section 5. dangerous,
in relation to goods, means likely to cause death or to cause injury to the
body or health of a person, whether the death or injury is likely to be caused
directly or indirectly and whether or not because of: (a) a failure to include with or on the goods any instructions for
their use,
(b) the inclusion with or on the goods of instructions for the use of
the goods that are inaccurate or inadequate,
(c) a failure of the goods to function in the manner represented by
the manufacturer or supplier,
(d) the goods not being of the quality represented by the manufacturer
or supplier, or
(e) the necessity for, or possibility of, the use of the goods with
other goods.
Department means the Department
of Commerce. Director-General
means: (a) the Commissioner for Fair Trading, Department of Commerce,
or
(b) if there is no such position in the Department—the
Director-General of the Department.
disposal, in
relation to an interest in land, means disposal by sale, exchange or lease or
by any other method by which an interest in land may be disposed of for
valuable consideration. document
includes any source of information, whether or not the information is
available only after the source is subjected to electronic or other
process. goods
includes: (a) ships, aircraft and other vehicles,
(b) animals, including fish,
(c) minerals, trees and crops, whether on, under or attached to land
or not,
(d) gas and electricity, and
(e) any component part of, or accessory to,
goods.
interest, in
relation to land, means: (a) a legal or equitable estate or interest in the
land,
(b) a right of occupancy of the land, or of a building or part of a
building erected on the land, conferred by shares, or by virtue of a contract
to purchase shares, in a corporation that owns the land or the building,
or
(c) a right, power or privilege over, or in connection with, the
land.
investigator means an officer
appointed by the Director-General under section 18 as an
investigator. officer
means: (a) the Director-General or any other member of staff (within the
meaning of the Public Sector Employment and
Management Act 2002) of the Department, or
(b) a member of staff of a public sector agency (within the meaning of
section 85 of the Public Sector Employment
and Management Act 2002) who is transferred to, or who
provides services for, the Department, or
(c) any person engaged by the Director-General (with the approval of
the Minister and on such terms as the Minister thinks fit) to assist in the
exercise of the Director-General’s functions.
price includes
a charge of any description and the price of goods or services acquired by a
person (whether or not by purchase) is the amount paid or payable for them or,
if such an amount is not specified because acquisition of the goods or
services is part only of a transaction for which a total amount is paid or
payable, is: (a) the lowest amount for which the goods or services could reasonably
have been acquired from the supplier at the time of the transaction or, if not
from the supplier, from another supplier, or
(b) if they could not reasonably have been acquired separately from
any supplier—their value at the time of the
transaction.
product information
standard means a standard prescribed by regulations referred to in
section 38. product
safety standard means a standard prescribed by regulations referred
to in section 26. Products Safety
Committee means the Products Safety Committee established under
section 24. public
authority means a public or local authority constituted by an Act
(whether or not a statutory body representing the Crown), a Government
Department or an administrative office. published,
in relation to a statement, includes: (a) inserted in a newspaper or other publication,
(b) publicly exhibited:(i) in, on, over or under a building, vehicle, aircraft or ship, or in
any other place (whether or not a public place and whether on land or water),
or
(ii) in the air in view of persons who are, or are passing, in or on a
street or public place,
(c) contained in a document sent or given to a person or thrown or
left upon, or at, premises occupied by a person,
(d) broadcast by radio or television,
(e) reproduced electronically, and
(f) made verbally.
regulations means regulations
made under section 92. send includes
deliver. services
includes any rights (including rights in relation to, and interests in, real
or personal property), benefits, privileges or facilities that are, or are to
be, provided, granted or conferred in trade or commerce, and without limiting
the generality of the foregoing, includes the rights, benefits, privileges and
facilities that are, or are to be, provided, granted or conferred
under: (a) a contract for or in relation to:(i) the performance of work (including work of a professional nature),
whether with or without the supply of goods,
(ii) the provision of gas or electricity or the provision of any other
form of energy,
(iii) the provision, or making available for use, of facilities for
amusement, entertainment, recreation or instruction, or
(iv) the conferring of rights, benefits or privileges for which
remuneration is payable in the form of a royalty, tribute, levy or similar
exaction,
(b) a contract of insurance,
(c) a contract between a banker and a customer of the banker entered
into in the course of the carrying on by the banker of the business of
banking,
(d) a contract for or in relation to the lending of
money,
(e) a residential tenancy agreement (within the meaning of the Residential Parks Act 1998) under
which the residential premises consist of a residential site in a residential
park or a moveable dwelling on such a residential site (within the meaning of
that Act), or
(f) a service contract (within the meaning of the Retirement Villages Act
1999),
but does not include rights or benefits being the supply of goods or the
performance of work under a contract of service.statement
includes a representation of any kind, whether made by means of: (a) words, maps, plans or drawings, or
(b) pictorial representation or design,
or by any combination of those means.supplier
means a person who, in the course of a business, supplies goods or
services. supply
includes: (a) in relation to goods:(i) supply (including re-supply) by way of sale, exchange, lease, hire
or hire-purchase, and
(ii) exhibit, expose or have in possession for the purpose of sale,
exchange, lease, hire or hire-purchase or for any purpose of manufacture or
trade,
(b) in relation to services—provide, grant or render for
valuable consideration, and
(c) in relation both to goods and to services—donate for
promotional purposes.
this Act
includes regulations. trade or
commerce includes any business or professional
activity. Tribunal
means the Consumer, Trader and Tenancy Tribunal established by the Consumer, Trader and Tenancy Tribunal Act
2001. unsolicited
goods means goods sent to a person without any request for the goods
being made by, or by the authority of, the person. unsolicited
services means services supplied to a person without any request for
the services being made by, or by the authority of, the
person. (2) In this Act:(a) a reference to the supply or acquisition of goods includes a
reference to agreeing to supply or acquire goods,
(b) a reference to the acquisition of goods includes a reference to
the acquisition of property in, or rights in relation to, goods upon a supply
of the goods,
(c) a reference to the supply or acquisition of services includes a
reference to agreeing to supply or acquire services,
(d) a reference to the supply or acquisition of goods includes a
reference to the supply or acquisition of goods together with
services,
(e) a reference to the supply or acquisition of services includes a
reference to the supply or acquisition of services together with
goods,
(f) a reference to goods or services includes a reference to goods and
services,
(g) a reference to the disposal or acquisition of an interest in land
includes a reference to agreeing to dispose of or acquire such an interest,
whether or not the agreement is in writing or evidenced by writing,
and
(h) a reference to the disposal or acquisition of an interest in land
includes a reference to the disposal or acquisition of such an interest
together with goods.
(3) For the purposes of this Act:(a) the obtaining of credit by a person in connection with the
acquisition of goods or services by the person is an acquisition by the person
of services, and
(b) any amount by which the price of the goods or services is
increased because credit was obtained is the price of the services represented
by the obtaining of credit.
(4) In this Act:(a) a reference to conduct is a reference to an act or a refusal to
act, including in either case an act that constitutes, or would but for the
refusal constitute, making or giving effect to a provision of a contract or
arrangement, arriving at or giving effect to a provision of an understanding,
or requiring or entering into a covenant,
(b) a reference to refusing to do an act includes:(i) a reference to refraining (otherwise than inadvertently) from
doing the act, and
(ii) a reference to making it known that the act will not be done,
and
(c) a reference to a person offering to do an act, or to do an act on
a particular condition, includes a reference to the person making known a
willingness to accept applications, offers or proposals for the person to do
the act or to do that act on the condition.
(5) In this Act:(a) a reference to loss or damage, other than a reference to the
amount of any loss or damage, includes a reference to injury,
and
(b) a reference to the amount of any loss or damage includes a
reference to damages in respect of an injury.
(6) Where a provision of this Act is inconsistent with a provision of
an Act specified in Schedule 1 or prescribed for the purposes of this
subsection, or a provision of an instrument made under an Act so specified or
prescribed, the provision of the Act so specified or prescribed, or of the
instrument, prevails. (7) In this Act, a reference to the making of a representation
includes a reference to the publishing of a
statement. (8) In this Act:(a) a reference to a function includes a reference to a power,
authority and duty, and
(b) a reference to the exercise of a function includes, where the
function is a duty, a reference to the performance of the
duty.
5 Meaning of “consumer” (1) In this Act, a reference to a consumer is a reference to a person
who:(a) acquires goods or services from a supplier, or
(b) acquires an interest in land, other than land used, or intended to
be used, or apparently intended for use, for industrial or commercial
purposes.
(2) Goods or services referred to in subsection (1) do not (except for
the purposes of section 43) include goods or services acquired, or held out as
being acquired, for re-supply or, in the case of goods, in the course of a
business other than a farming undertaking for the purpose of:(a) consuming or transforming them by a process of manufacture or
production, or
(b) using them for the repair or treatment of other goods or of
fixtures on land.
(3) In this section:farming
undertaking includes: (a) the raising of stock to provide meat or other food for human
consumption, and
(b) any agricultural, pastoral, horticultural, orcharding or
viticultural undertaking.
5A Extraterritorial application (1) This Act is intended to have extraterritorial application in so
far as the legislative powers of the State permit. (2) Without limiting subsection (1), this Act extends to conduct
either in or outside the State that:(a) is in connection with goods or services supplied in the State,
or
(b) affects a person in the State, or
(c) results in loss or damage in the State.
Part 2 Administrative matters Division 1 Director-General and staff 6 Control and direction by Minister The Director-General is, in the exercise of functions as
Director-General, subject to the control and direction of the Minister except
in relation to the contents of a report or
recommendation. 7 (Repealed) 8 Delegation by Director-General (1) The Director-General may delegate to any person or committee the
exercise of any of the functions conferred or imposed on the Director-General
by or under the following:(a) this Act,
(b) (Repealed)
(b1) Fitness Services (Pre-paid Fees)
Act 2000,
(c) Home Building Act
1989,
(d) Motor Dealers Act
1974,
(e) Motor Vehicle Repairs Act
1980,
(f), (g) (Repealed)
(h) any other Act administered by the Minister,
(i) any other Act prescribed by the regulations for the purposes of
this section (or the prescribed provisions of any other prescribed
Act),
(j) the regulations under any such Act.
(2) A delegate of the Director-General may sub-delegate a function if
authorised in writing to do so by the
Director-General. (3) This section does not apply to the functions of the
Director-General under section 64A.
9 Functions of the Director-General (1) The Director-General may:(a) advise persons in relation to the provisions of this Act, and of
any other legislation administered by the Minister, and take action for
remedying infringements of, or for securing compliance with, those provisions,
whether on complaint or otherwise,
(b) make available to consumers, and persons dealing with consumers,
general information with respect to:(i) this Act and other legislation administered by the Minister,
and
(ii) matters affecting the interests of
consumers,
(c) receive complaints from persons on matters (including fraudulent
or unfair practices) relating to the supply of goods or services, or the
acquisition of interests in land, and deal with any such complaint (whether or
not under paragraph (d)) in such manner as the Director-General considers to
be appropriate,
(d) investigate the matter the subject of a complaint received under
paragraph (c) or refer the complaint to a public authority, or any other body,
that the Director-General considers to be best able to take action, or provide
advice, in relation to the complaint, and
(e) make known, for the guidance of consumers and persons dealing with
consumers, the rights and obligations arising under laws relating to the
interests of consumers.
(2) The Director-General shall:(a) keep under critical examination, and from time to time report to
the Minister on, the laws in force, and other matters, relating to the
interests of consumers, and
(b) report to the Minister on matters relating to the interests of
consumers that are referred to the Director-General by the
Minister,
and, for those purposes, may conduct research and make
investigations. (3) Where a complaint is received under subsection (1) (c), the
Director-General may:(a) investigate the complaint even if it has been referred to a public
authority or to another body, or
(b) refer the complaint to a public authority, or any other body, even
if an investigation of the matter has been commenced or completed by the
Director-General.
9A Exchange of information (1) The Director-General may enter into an arrangement (an information
sharing arrangement) with a relevant agency for the purposes of
sharing or exchanging information held by the Director-General and the
agency. (2) The information to which an information sharing arrangement may
relate is limited to the following:(a) information concerning investigations, law enforcement, assessment
of complaints, licensing or disciplinary matters,
(b) probity assessments and reference checks concerning persons who
provide, or propose to provide, goods or services to
consumers,
(c) any other information affecting the interests of
consumers.
(3) Under an information sharing arrangement, the Director-General and
the relevant agency are, despite any other Act or law of the State,
authorised:(a) to request and receive information held by the other party to the
arrangement, and
(b) to disclose information to the other
party,
but only to the extent that the information is reasonably necessary to
assist in the exercise of functions under this Act (or any other Act
administered by the Minister for Fair Trading, whether solely or jointly with
another Minister) or the functions of the relevant agency
concerned. (4) The Director-General may also (whether as part of an information
sharing arrangement or otherwise):(a) refer any matter (including any complaint) with respect to fair
trading or that affects the interests of consumers to a fair trading agency or
law enforcement agency, and
(b) receive any such matter from a fair trading agency or law
enforcement agency, and
(c) conduct a joint investigation into any such matter with a fair
trading agency or law enforcement agency.
(5) Any such fair trading agency or law enforcement agency is, despite
any other Act or law of the State, authorised to refer such a matter to the
Director-General or to conduct an investigation into the matter jointly with
the Director-General. (6) This section does not limit:(a) the functions that may be exercised by the Director-General under
section 9, or
(b) the operation of any other Act under which a relevant agency is
authorised or required to disclose information to another person or
body.
(7) In this section:fair
trading agency means an agency of the State, or of the Commonwealth,
another State or Territory or an overseas jurisdiction, that exercises
functions under an enactment with respect to fair trading. law
enforcement agency means: (a) the NSW Police Force or the police force of another State or
Territory or of an overseas jurisdiction, or
(b) the Australian Federal Police, or
(c) the New South Wales Crime Commission, or
(d) the Australian Crime Commission, or
(e) any other authority or person responsible for the investigation or
prosecution of offences against the laws of the State or of the Commonwealth,
another State or Territory or an overseas
jurisdiction.
relevant
agency means: (a) a fair trading agency, or
(b) a law enforcement agency, or
(c) any other agency of the State or of the Commonwealth, another
State or Territory or an overseas jurisdiction, or
(d) any other person or body that exercises functions, in the public
interest, that involve protecting the interests of
consumers.
10 Exclusion of liability (1) No liability is incurred by the Crown and no personal liability is
incurred by:(a) the Minister, the Director-General, an investigator or any other
officer,
(b) a member of the Products Safety Committee, or
(c) a member of an advisory committee or advisory
council,
for any act done or omitted, or for any statement made or issued, by any
of them or by a committee or council referred to in paragraph (b) or (c) in
good faith in the course of the administration or execution of this
Act. (2) No liability is incurred by a person for publishing in good
faith:(a) a statement referred to in subsection (1), or
(b) a fair report or summary of such a
statement.
(3) In this section:liability includes
liability for defamation.
11 Annual report The annual report of the Department prepared under the Annual Reports (Departments) Act
1985 for a financial year shall include a report on the
operations of the Director-General during that year. Division 2 Legal assistance 11A Definition of court In this Division:court
includes a tribunal. 12 Making of application for legal assistance (1) A person who claims to be a consumer and who:(a) wishes to bring legal proceedings (other than criminal
proceedings) arising out of the supply to the person of goods or services or
the disposal to the person of an interest in land, or
(b) wishes to make an appeal or seek judicial review in relation to
legal proceedings of a kind referred to in paragraph (a),
or
(c) is a party to legal proceedings or proceedings relating to an
appeal or review referred to in paragraph (a) or
(b),
may apply to the Director-General for assistance in the conduct of the
proceedings. (2) An application under subsection (1) shall:(a) be in or to the effect of a form approved by the
Director-General,
(b) include the particulars required to complete the form,
and
(c) be verified in the manner required by the
Director-General.
13 Grant of legal assistance (1) The Director-General may grant an application made under section
12 if:(a) the Director-General is satisfied that the applicant has
reasonable grounds for bringing, or being a party to, the proceedings to which
the application relates,
(b) the Director-General is of the opinion that it is desirable, in
the general interests of consumers or of any class of consumers, that
assistance should be granted, and
(c) (Repealed)
(d) the Director-General has received the written approval of the
Minister to grant the assistance applied for.
(2) The Director-General may refuse assistance if of the opinion that
it should not be granted because of the applicant’s financial
position. (3) The Director-General shall notify an applicant under section 12 of
the grant or refusal of the application and, where an application is
granted:(a) the applicant shall not, without the consent of the
Director-General, withdraw from the proceedings or discharge any Australian
legal practitioner to whom the case is assigned under section 14, or any
Australian legal practitioner acting in the proceedings,
(b) the applicant shall not, except to the extent authorised or
required by the Director-General, interfere, or be involved, in the case,
and
(c) the Director-General has, to the exclusion of the successful
applicant, the same control over and the same rights in respect of the case
(including the right to settle or compromise any claim arising in the case)
as, but for that exclusion, would have been available to the assisted
person.
(4) Assistance granted under this Division does not extend to expenses
other than:(a) the costs of legal representation, and
(b) prescribed expenses.
(5) Expenses incurred in the provision of assistance under this
Division, court fees and any costs required to be met by the Director-General
under section 16 shall be met out of money to be provided by
Parliament.
14 Assignment to Australian legal practitioner of case of
assisted person (1) On granting assistance to a person under section 13, the
Director-General shall assign the person’s case:(a) with the consent of the Legal Aid Commission of New South
Wales—to the Chief Executive Officer of that Commission or a member of
its staff,
(b) to an Australian legal practitioner employed in the
Department,
(c) with the consent of the Department Head of another Government
Department—to an Australian legal practitioner employed in that
Government Department, or
(d) to an Australian legal practitioner practising on his or her own
account who has indicated to the Director-General a willingness to undertake
the conduct of the cases of assisted persons,
and shall give to the assisted person written notification of the
relevant particulars of the Australian legal practitioner to whom the case has
been assigned. (2) The Australian legal practitioner to whom a person’s case is
assigned under this section may, on behalf of the person, appear in any court
and conduct any matter or proceeding relating to the case, either personally
or, with the consent of the Director-General, by another Australian legal
practitioner. (3) An Australian legal practitioner to whom a case has been assigned
under this section may not terminate the assignment without the leave of the
Director-General.
15 Court proceedings to which assisted person is a
party (1) If proceedings have been brought in a case to which an Australian
legal practitioner has been assigned under section 14, the Australian legal
practitioner shall, as soon as practicable after the assignment and before
taking any other step in the proceedings:(a) serve on the other party or parties to the proceedings,
and
(b) file in the court in which the proceedings are
pending,
a notice to the effect that he or she is undertaking the conduct of the
case. (2) If a notice is filed under subsection (1):(a) the proceedings are stayed for a period of 14 days,
and
(b) unless otherwise ordered by the court—time fixed for the
doing of any act or taking any step in the proceedings does not run during
that period.
(3) The filing of a notice under subsection (1) does not
prevent:(a) the making of any interlocutory order which, in the opinion of the
court, is necessary to prevent injustice, or
(b) unless otherwise ordered by the court, the institution or
continuance of proceedings to obtain, enforce or otherwise carry into effect
any such order.
(4) The period during which proceedings are stayed by subsection (2)
may be reduced or extended by order of the court. (5) A fee is not payable for the filing of a notice under subsection
(1). (6) If, in proceedings for which a person has been granted assistance
under section 13:(a) a party makes a counterclaim, or pleads a set-off,
and
(b) the counterclaim or set-off does not relate to the supply of goods
or services, or the disposal of an interest in land, to the assisted
person,
the court may, on the application of the Director-General, order that the
counterclaim or set-off be dealt with separately, and may make such other
orders or give such directions as it thinks fit.
16 Costs and expenses etc relating to proceedings to which
assisted person is a party (1) If a person is granted assistance under section 13, the court
shall, in making an order for costs:(a) in favour of the assisted person—make the same order (except
against another assisted person) as the court would have made in favour of the
assisted person if the person had not been an assisted person,
or
(b) against the assisted person—make the same order (except in
favour of another assisted person) as the court would have made against the
assisted person if the person had not been an assisted
person.
(2) If an order for costs is made in accordance with subsection (1)
(a):(a) the costs are payable to the Director-General instead of the
person in whose favour the order is made,
(b) the costs may be recovered by the Director-General as a debt due
to the Crown, and
(c) the costs, upon being paid to or recovered by the
Director-General, shall be paid into the Consolidated
Fund.
(3) If an order for costs is made in accordance with subsection (1)
(b), the costs shall be paid by the
Director-General. (4) Except in the case of costs payable to the Director-General, money
awarded by a court in favour of an assisted person is payable to the person
without deduction.
17 Privilege attaching to certain relationships The same privileges as those which arise from the relationship of
client and Australian legal practitioner acting in his or her professional
capacity and in the course of his or her professional employment arise from
the relationship between:(a) a person who has applied for assistance under section 12 or who
has been granted that assistance under section 13, and
(b) the Director-General and the Australian legal practitioner (if
any) to whom the person’s case is assigned under section
14,
and from the relationship between the Director-General and the Australian
legal practitioner. Division 3 Investigators 18 Office and identification of investigator (1) The Director-General may, by order in writing, appoint an officer
as an investigator for the purposes of this Act and of any other legislation
administered by the Minister and shall provide the officer with a certificate
of identification as an investigator. (2) An investigator who exercises in any place or on any land a
function conferred by section 19, 19A or 20 shall produce his or her
certificate of identification if requested so to do by a person apparently in
charge there, or apparently in charge of any work being carried on
there. (3) An investigator shall produce his or her certificate of
identification if requested so to do by a person required to comply with a
notice under section 20. (4) A requirement under any other legislation administered by the
Minister that a person who is authorised to exercise a function under the
legislation is to produce his or her certificate of identification (however
described) before exercising the function is taken to have been complied with
if:(a) the person authorised is an investigator, and
(b) the person produces his or her certificate of identification as an
investigator.
19 Powers of entry (1) The powers conferred by this section may be exercised for the
purposes of this Act and any other legislation administered by the Minister
but may not be exercised for any other purpose. (2) The power to enter a place or land conferred by this section does
not include a power to enter a place that is a dwelling-house or other
residential premises unless:(a) the occupier consents, or
(b) some manufacture, business or trade is carried on
there.
(3) An investigator may, at a reasonable time, enter any place that he
or she believes on reasonable grounds to be a place where goods are
manufactured, prepared or supplied or a place where services are supplied or
arranged and:(a) inspect any goods or partly manufactured goods and make such other
inspections as he or she considers to be necessary,
(b) take any goods, or partly manufactured goods, for which he or she
pays a fair price,
(c) take a sample of anything from which goods are manufactured or
produced in that place, or
(d) make inquiries of any person employed or engaged in that
place.
(4) If the Director-General believes on reasonable grounds that there
are on any premises documents evidencing conduct in contravention of this Act
or any other legislation administered by the Minister, an investigator may,
with the written authority of the Director-General, enter the premises,
inspect any documents and make copies of them or take extracts from
them. (5) An investigator may:(a) at a reasonable time:(i) enter any place that he or she believes on reasonable grounds to
be a place where transactions involving the disposal of interests in land are
effected, or
(ii) enter any land if he or she believes on reasonable grounds that an
interest in the land is being, or is proposed to be, disposed
of,
(b) inspect any documents that are in the place and relate to an
interest in land or are on the land and relate to the disposal of an interest
in the land, and
(c) make inquiries of any person employed or engaged in the place or
on the land.
19A Powers of search and seizure under search
warrant (1) In this section:authorised
officer has the same meaning as in the Law Enforcement (Powers and Responsibilities) Act
2002. place
includes a vehicle, vessel or aircraft. (2) An investigator may apply to an authorised officer for the issue
of a search warrant if the investigator believes on reasonable grounds that
there is evidence of a contravention of a provision of this Act on any place
or land. (3) An authorised officer to whom such an application is made may, if
satisfied that there are reasonable grounds for doing so, issue a search
warrant authorising any investigator:(a) to enter the place or land specified in the warrant,
and
(b) to search for evidence of a contravention of a provision of this
Act, and
(c) to exercise the powers of an investigator under subsection
(4).
(4) An investigator executing a search warrant issued under this
section may:(a) examine anything (whether or not specified in the warrant) that
the investigator believes on reasonable grounds may provide evidence of a
contravention of a provision of this Act, and
(b) seize anything (whether or not specified in the warrant) that the
investigator believes on reasonable grounds is connected with a contravention
of a provision of this Act.
(5) The power to seize anything that is connected with a contravention
of a provision of this Act includes a power to seize anything that will
provide evidence of the contravention. (6) Anything seized by an investigator under the authority of a search
warrant issued under this section must be returned to the person who had
lawful possession of the thing before it was seized if its retention as
evidence in proceedings for an offence against this or any other Act is not
required. (6A) The Director-General may order that anything seized by an
investigator under the authority of a search warrant issued under this section
be sold, destroyed or otherwise disposed of, if:(a) the thing is no longer required to be retained as evidence in
proceedings for an offence against this or any other Act,
and
(b) the person who had lawful possession of the thing before it was
seized cannot be found or does not wish to have the thing
returned.
(6B) If the thing is disposed of by way of sale, the proceeds of sale
are to be paid to the Treasurer for payment into the Consolidated
Fund. (7) Division 4 of Part 5 of the Law
Enforcement (Powers and Responsibilities) Act 2002 applies to
a search warrant issued under this section. (8) Nothing in this section limits any of the other functions that may
be exercised by an investigator under this
Division.
20 Power to obtain information, documents and
evidence (1) This section applies only to a person who is, on reasonable
grounds, believed by the Director-General to be capable of giving information,
producing documents or giving evidence in relation to:(a) a possible contravention of this Act or any other legislation
administered by the Minister, or
(b) a matter that may lead to the reference of a question to the
Products Safety Committee or an advisory committee, or
(c) a matter that is the subject of a complaint received by the
Director-General under section 9 (1) (c), or
(d) a matter that is the subject of an investigation by the
Director-General under section 9 (2).
(2) An investigator or the Director-General may, by notice in writing
served on a person to whom this section applies, require the person:(a) to give an investigator or the Director-General, by writing signed
by the person (or, in the case of a body corporate, by a competent officer of
the body corporate) and within the time and in the manner specified in the
notice, any information referred to in subsection (1) of which the person has
knowledge,
(b) to produce to an investigator or the Director-General, in
accordance with the notice, any documents referred to in subsection (1),
or
(c) to appear before an investigator, the Director-General or an
authorised person at a time and place specified in the notice and give either
orally or in writing any evidence referred to in subsection (1) and produce
any documents so referred to.
(3) A person shall not:(a) refuse or fail to comply with a notice under this section to the
extent that the person is capable of complying with it, or
(b) in purported compliance with such a notice, knowingly give
information or produce a document, or give evidence, that is false or
misleading.
Maximum penalty: 20 penalty
units. (4) A person is not excused from giving information or producing a
document, or from giving evidence, in response to a notice under this section
on the ground that the information, document or evidence may tend to
incriminate the person. (5) Any information, document or evidence obtained from a person in
response to a notice under this section is inadmissible against the person in
criminal proceedings other than proceedings for a contravention of subsection
(3). (6) Despite section 8 of this Act, the Director-General may only
delegate his or her functions under this section to a person who is an
officer. (7) If requested to do so by a person required to comply with a notice
given under this section by a delegate of the Director-General, the delegate
must provide the person with evidence of that person’s identity and
evidence of the delegation that enables the delegate to give the
notice.
21 Inspection of documents by Director-General and
others (1) The Director-General, an authorised person or an investigator may
inspect a document produced in response to a notice under section 20 or 23A
and may make copies of, or take extracts from, the
document. (2) The Director-General or an investigator may:(a) take possession, and
(b) retain possession for as long as is necessary for the purposes of
this Act,
of a document produced in response to a notice under section 20 or 23A if
the person otherwise entitled to possession of the document is supplied, as
soon as practicable, with a copy certified by an officer to be a true
copy. (3) A certified copy provided under subsection (2) is receivable in
all courts as if it were the original. (4) Until a certified copy of a document is provided under subsection
(2), the person having possession of the document shall, at such times and
places as he or she thinks appropriate, permit the person otherwise entitled
to possession of the document, or a person authorised by the person so
entitled, to inspect the document and make copies of, or take extracts from,
the document.
22 Preservation of secrecy (1) Except as provided by subsection (4), a person engaged in the
administration of this Act shall not:(a) in the course of that administration, disclose to another person
so engaged any information or evidence given, or the contents of any document
produced, in response to a notice under section 20 or 23A without informing
the other person that the information or evidence was so given, or the
document so produced, or
(b) otherwise than in the course of that administration, disclose any
such information, evidence or contents to any person without the written
permission of the Minister given in relation to the
disclosure.
Maximum penalty: 20 penalty
units. (2) A person who was, but is no longer, engaged in the administration
of this Act shall not, without the written permission of the Minister,
disclose to any other person any information or evidence given, or the
contents of any document produced, in response to a notice under section 20 or
23A that came to his or her knowledge in the course of that
administration.Maximum penalty: 20 penalty
units. (3) The Minister may grant the permission referred to in subsection
(1) or (2) only if the Minister is satisfied that to do so would be in the
public interest. (4) It is not a contravention of subsection (1) or (2):(a) if the Director-General communicates to the appropriate Minister
or officer of the Crown in right of this or any other State, or of the
Commonwealth or any of its Territories, any information or evidence given, or
the contents of any document produced, in response to a notice under section
20 or 23A, or
(b) if, in any legal proceedings, a person discloses any such
information, evidence or contents in answering a question that the person is
compellable to answer in those proceedings.
23 Obstruction etc of officers (1) A person shall not:(a) hinder or obstruct an officer in a manner that interferes with the
performance by the officer of his or her duties,
(b) assault an officer performing his or her duties,
or
(c) being the occupier or person in charge of any place or land
entered by an officer under a power conferred by this Act, fail to provide the
officer with all reasonable facilities and assistance for the effective
exercise of the officer’s powers under this
Act.
Maximum penalty: 20 penalty units or imprisonment for 6 months, or
both. (2) The reference in subsection (1) to an officer is a reference to
any officer and is not limited to an officer who is an
investigator.
Division 3A Substantiation of claims and
representations 23A Power to require proof of claims and
representations (1) The Director-General may require a person who, in trade or
commerce, published or caused to be published a statement promoting, or
apparently intended to promote, the supply of goods or services or the sale or
grant of an interest in land, to provide the Director-General with proof of
any claim or representation (express or implied) made in the
statement. (2) Such a requirement is to be made by notice in writing served on
the person. (3) The notice must:(a) specify the claim or representation to which the notice applies,
and
(b) specify a time within which the person is required to provide the
Director-General with proof of the claim or representation,
and
(c) indicate that it is an offence to:(i) fail to provide proof sufficient to support the claim or
representation, or
(ii) fail to provide that proof within the time specified in the
notice, or
(iii) provide the Director-General with information that is false or
misleading in a material particular.
(4) The Director-General may, by a further notice in writing served on
the person, extend the time within which the person is required to provide the
Director-General with proof of the claim or representation
concerned. (5) (Repealed)
23B Implied representation that goods or services will be
able to be supplied at advertised price (1) When a person, in trade or commerce, publishes or causes to be
published a statement advertising goods or services for supply at a specified
price, the statement is taken to include a representation that the person will
be able to offer the goods or services for supply at the advertised price for
a period that is, and in quantities that are, reasonable having regard to the
nature of the market in which the person carries on business and the nature of
the advertisement. (2) Accordingly, a notice under section 23A can relate to such a
representation. (3) The representation applies only for the purposes of this
Division. (4) The claims and representations to which a notice under section 23A
can apply are not limited by this section.
23C Offences in relation to failing to provide proof of claim
or representation (1) A person on whom a notice under section 23A is served is guilty of
an offence if the person:(a) fails to provide proof sufficient to support the claim or
representation, or
(b) fails to provide that proof within the time specified in the
notice, or
(c) provides any information to the Director-General that is false or
misleading in a material particular.
(2) (Repealed) (3) It is a defence to a prosecution under subsection (1) (c) if the
defendant proves that the defendant did not know and could not reasonably be
expected to have known that the information was false or
misleading.
23D Self incrimination (1) A person is not excused from providing information in response to
a notice under section 23A on the ground that the information may tend to
incriminate the person. (2) Any information provided by a person (whether a natural person or
a corporation) in response to a notice under section 23A is inadmissible in
criminal proceedings against the person other than proceedings for an offence
under this Division.
23E Division does not prevent other action being
taken This Division does not prevent action being taken under any other
provision of this Act or any other law in relation to a claim or
representation made in a published statement. 23F Certain publishers not affected This Division does not apply to a person whose business it is to
publish or arrange for the publication of advertisements in respect of the
publication of a statement by the person that was received for publication in
the ordinary course of that business. 23G Transitional This Division does not apply to any statement published before the
commencement of this Division. Division 4 Products Safety Committee and advisory
committees 24 Products Safety Committee (1) There shall be established a Products Safety Committee having the
functions conferred or imposed on it by this Act. (1A) Without limiting subsection (1), the Products Safety Committee has
the following functions:(a) to provide advice to the Minister on such issues in relation to
the operation of Divisions 2 and 3 of Part 3 as are referred to it by the
Minister,
(b) to review recall orders made under Division 3 of Part
3.
(2) The Products Safety Committee shall consist of:(a) an officer appointed by the Minister as Chairperson of the
Committee,
(b) an officer appointed by the Minister as Executive Officer of the
Committee, and
(c) such other persons appointed by the Minister as, in the opinion of
the Minister, have expertise in product safety.
(3) If the Chairperson is unable to exercise the functions of
Chairperson, they shall be exercised by an officer appointed by the Minister
as acting Chairperson. (4) The provisions of Schedule 4 apply in relation to the Products
Safety Committee.
25 Advisory committees (1) The Minister may appoint committees for the purpose of advising
the Director-General in relation to matters arising under section 9
(2). (2) An advisory committee:(a) shall comprise such number of persons as the Minister thinks
fit,
(b) may include an officer or officers,
(c) has such functions in relation to the provision of advice as the
Minister directs, and
(d) may, except to the extent that the Minister otherwise directs,
regulate its own procedure for the calling of meetings and the conduct of its
business at those meetings.
(3) The Minister may, at any time:(a) terminate the appointment of a person as a member of an advisory
committee, or
(b) dissolve an advisory committee.
(4) A member of an advisory committee:(a) is entitled to receive such travelling expenses,
and
(b) except in the case of an officer, is entitled to receive such fees
for attending meetings and transacting business of the
committee,
as are fixed by the Minister.
Division 5 Fair Trading Advisory Council 25A Establishment There is established by this Act a council called the Fair Trading
Advisory Council. 25B Membership (1) The Fair Trading Advisory Council is to consist of not less than
6, but not more than 16 members. (2) The members of the Fair Trading Advisory Council are:(a) the Director-General or a nominee of the Director-General,
and
(b) not less than 5, but not more than 15 persons appointed by the
Minister and having, in the opinion of the Minister, expertise or
qualifications appropriate to its functions (as consumer or industry
representatives or otherwise).
(3) Schedule 4A has effect with respect to the members and procedure
of the Fair Trading Advisory Council.
25C Functions The functions of the Fair Trading Advisory Council are to furnish
advice to the Minister:(a) as to such fair trading and consumer protection issues as it
thinks fit or as are referred to it by the Minister, and
(b) in particular, as to any issues relevant to any legislation
administered by the Minister (including issues about which any other advisory
committee or advisory council has functions).
Division 6 Motor Vehicle Industry Advisory Council 25D Establishment There is established by this Act a council called the Motor
Vehicle Industry Advisory Council. 25E Membership (1) The Motor Vehicle Industry Advisory Council is to consist of not
less than 6, but not more than 16 members. (2) The members of the Motor Vehicle Industry Advisory Council
are:(a) the Director-General or a nominee of the Director-General,
and
(b) not less than 5, but not more than 15 other persons appointed by
the Minister and having, in the opinion of the Minister, expertise appropriate
to its functions (as consumer or industry representatives or
otherwise).
(3) Schedule 4A has effect with respect to the members and procedure
of the Motor Vehicle Industry Advisory Council.
25F Functions (1) The functions of the Motor Vehicle Industry Advisory Council are
to furnish advice to the Minister:(a) as to any issues relevant to the motor trade as it thinks fit or
as are referred to it by the Minister, and
(b) in particular:(i) as to the development of policy relating to the motor trade,
and
(ii) as to any issues relevant to any legislation administered by the
Minister for Fair Trading and relating to the motor trade,
and
(iii) as to education or research programs relating to the motor trade,
that are or might be government funded.
(2) In this section:motor
trade means the industry of trading motor vehicles and the motor
vehicle repair and maintenance industry. motor
vehicle means any motor car, motor carriage, motor cycle or other
vehicle propelled wholly or partly by any volatile spirit, steam, gas, oil or
electricity, and includes a trailer, but does not include: (a) a vehicle used on a railway or tramway, or
(b) a vehicle that is constructed or adapted otherwise than for the
carriage of passengers or goods over public roads, or
(c) anything prescribed by the regulations for the purposes of this
definition.
Division 7 Property Services Advisory Council 25G Establishment There is established by this Act a council called the Property
Services Advisory Council. 25H Membership (1) The Property Services Advisory Council is to consist of not less
than 6, but not more than 16 members. (2) The members of the Property Services Advisory Council are:(a) the Director-General or a nominee of the Director-General,
and
(b) not less than 5, but not more than 15 persons appointed by the
Minister and having, in the opinion of the Minister, expertise appropriate to
its functions (as consumer or industry representatives or
otherwise).
(3) Schedule 4A has effect with respect to the members and procedure
of the Property Services Advisory Council.
25I Functions (1) The functions of the Property Services Advisory Council are to
furnish advice to the Minister:(a) as to such issues relating to the property services industry as it
thinks fit or as are referred to it by the Minister, and
(b) in particular:(i) as to any issues relevant to any legislation administered by the
Minister for Fair Trading and relating to the property services industry,
and
(ii) as to education or research programs relating to the property
services industry, that are or might be government
funded.
(2) In this section:property services
industry includes: (a) the business of selling, managing, valuing or otherwise dealing
with property (including businesses) that is subject to licensing,
registration or regulation under the Property, Stock and Business Agents Act
2002 or the Valuers Act
2003, or
(b) the carrying out of conveyancing work as defined by the Conveyancers Licensing Act
2003,
and includes anything prescribed by the regulations as being within this
definition, but does not include anything prescribed as excluded from
it.
Division 8 25J–25L(Repealed) Division 9 Retirement Villages Advisory Council 25M Establishment There is established by this Act a council called the Retirement
Villages Advisory Council. 25N Membership (1) The Retirement Villages Advisory Council is to consist of not less
than 6, but not more than 16 members. (2) The members of the Retirement Villages Advisory Council
are:(a) the Director-General or a nominee of the Director-General,
and
(b) not less than 5, but not more than 15 persons appointed by the
Minister and having, in the opinion of the Minister, expertise appropriate to
its functions (as consumer or industry representatives or
otherwise).
(3) Schedule 4A has effect with respect to the members and procedure
of the Retirement Villages Advisory Council.
25O Functions (1) The functions of the Retirement Villages Advisory Council are to
advise the Minister:(a) as to such issues relating to retirement villages as it thinks fit
or as are referred to it by the Minister, and
(b) in particular:(i) as to the development of policy relating to retirement villages
and the retirement village industry, and
(ii) as to any issues relevant to any legislation administered by the
Minister for Fair Trading and relating to retirement villages or the
retirement village industry.
(2) In this section:retirement
village has the same meaning as it has in the Retirement Villages Act
1999. retirement village
industry includes: (a) the businesses of designing, developing, managing, operating and
providing services to retirement villages, and
(b) any other business prescribed by the regulations for the purposes
of this definition,
but does not include any business declared by the regulations to be
excluded from this definition.
Part 3 Safe design and construction of goods Division 1 Safety standards 26 Safety standards (1) The regulations may prescribe a product safety standard for a
specified kind of goods. (2) A product safety standard for goods shall consist of such
requirements as to:(a) performance, composition, contents, methods of manufacture or
processing, design, construction, finish or packaging of the
goods,
(b) the testing of the goods during, or after the completion of,
manufacture or processing,
(c) the form and content of markings, warnings or instructions to
accompany the goods or be placed on a vending machine for the goods or a
display stand or sign adjacent to the goods, and
(d) equipment or accessories to be supplied with the
goods,
as are reasonably necessary to prevent or reduce risk of injury to a
person.
27 Prohibition on supply of goods not complying with safety
standards (TPA s 65C) (1) A person shall not, in trade or commerce, supply goods:(a) that are intended to be used, or are of a kind likely to be used,
by a consumer, and
(b) in relation to which there is a product safety
standard,
unless the goods comply with the standard. (2) If:(a) a person supplies goods in contravention of subsection (1),
and
(b) another person suffers loss or damage because of a defect in, or a
dangerous characteristic of, the goods, or by not having particular
information in relation to the goods, but would not have suffered it if the
goods had complied with the product safety
standard,
the person who suffers the loss or damage shall be deemed, for the
purposes of this Act, to have suffered it by the supplying of the
goods.
Division 2 Prohibition or restriction on supply of dangerous
goods 28 Reference of certain questions to Products Safety
Committee (1) The Minister, or the Director-General with the approval of the
Minister, may refer to the Products Safety Committee for consideration the
question whether the supply of goods of a kind specified in the reference or
any particular goods so specified should:(a) because they are dangerous, or are a possible source of danger, be
prohibited, or
(b) be allowed only subject to conditions or restrictions to be
specified by the Committee.
(2) Subsection (1) does not apply to goods the supply of which is
prohibited or regulated by or under an Act specified in Schedule 2 or an Act
prescribed for the purposes of this subsection. (3) (Repealed) (4) The Minister may, upon a question being referred under subsection
(1), cause particulars of the question to be notified to the public in such
manner as the Minister thinks fit. (5) The Committee shall consider any such question referred to it and
make a report and recommendations to the Minister in relation to the
question. (6) Even if the Committee has not completed consideration of a
question, it may, in the interests of public safety, recommend to the Minister
the making under section 30 of an interim order prohibiting or restricting
supply of the goods to which the question relates. (7) The Director-General shall, if requested to do so by the
Committee, give to the Committee to enable it to consider a question referred
to it:(a) any information in the possession of the Director-General which
relates to the question, and
(b) any other assistance which the Committee may require, and which
the Director-General has power to give, in relation to the
question.
(8) If a member of the Committee dissents from a decision of the
Committee in respect of a question referred to it, the Chairperson shall
record in the report a note of that dissent and of any reasons for
it. (9) The Committee, in considering a question referred to it:(a) may make such investigations as it considers necessary to enable
it to make a recommendation with respect to the question,
(b) shall take into account any representations made to it by any
person who, in its opinion, has a substantial interest in the subject-matter
of the question or by any body which, in its opinion, represents a substantial
number of persons who have such an interest, and
(c) unless the Committee does not consider that it is reasonably
practicable to do so, shall permit any such person or body to be heard by the
Committee, or by a member of the Committee nominated by it for the
purpose.
(10) The Committee may determine its own procedure for considering a
question referred to it, and in particular may determine:(a) the extent, if any, to which persons interested or claiming to be
interested in the question are allowed to be present or to be heard, either by
themselves or by their representatives, or to cross-examine witnesses or
otherwise participate in the consideration of the question,
and
(b) the extent, if any, to which the Committee shall hold its
proceedings in public.
(11) In determining its procedure under subsection (10), the Committee
shall act in accordance with Schedule 4 and any general directions which may
be given it by the Minister.
29 Attendance of witnesses and production of
documents (1) For the purpose of considering a question referred to it, the
Products Safety Committee may, by notice in writing signed by the Chairperson
or by a member of the Committee on behalf of the Chairperson:(a) require any person to attend at a time and place specified in the
notice and to give evidence before the Committee or a member of the Committee
nominated by it for the purpose, or
(b) require any person to produce, at a time and place specified in
the notice, to the Committee or to a member of the Committee nominated by it
for the purpose, any goods or documents described in the notice that are in
the custody, or under the control, of the person and are relevant to the
question.
(2) The Products Safety Committee may take goods so produced, after
paying a fair price for them, and cause to be conducted such tests and
examinations with respect to them as it considers necessary for the purpose of
determining whether or not they may be dangerous. (3) A person is not compellable to give any evidence before, or
produce any document to, the Products Safety Committee which the person could
not be compelled to give or produce in civil proceedings before the Supreme
Court. (4) A person is not required to attend in response to a notice under
subsection (1) (a) unless the reasonable expenses of attendance are paid or
tendered to the person. (5) A person shall not:(a) without reasonable excuse, refuse or fail to do anything required
of the person by a notice under subsection (1),
(b) in response to such a notice, knowingly give evidence that is
false or misleading because it includes false or misleading matter or omits
material matter, or
(c) alter, suppress or destroy any document which the person is
required by such a notice to produce.
Maximum penalty (subsection (5)): 20 penalty
units.
30 Interim order prohibiting or restricting the supply of
goods (1) The Minister may make an interim order conditionally or
unconditionally prohibiting or restricting the supply of specified goods or of
goods of a specified kind if:(a) the Minister or the Director-General has referred, or proposes to
refer, to the Products Safety Committee a question relating to the
goods,
(b) the Products Safety Committee recommends the making of such an
order before completing its consideration of a question referred to it in
relation to the goods, or
(c) if the supply or use of the goods has been prohibited or
restricted on an interim basis under another law of the State, a law of the
Commonwealth or a law in force elsewhere in Australia, in the interests of
public safety,
and the Minister considers that the goods are so dangerous that their
supply should, in the interests of public safety, be prohibited or restricted
immediately. (2) If an interim order is made under subsection (1), the Minister
may:(a) give a supplier written notice of the order,
(b) publish notice of the order in the Gazette, or
(c) do both.
(3) If notice of an interim order:(a) has not been published in the Gazette and is given to a
supplier—the order takes effect when the notice is given to the supplier
and, unless sooner revoked, expires 42 days later, or
(b) is published in the Gazette (whether or not it has been, or is
then or later, given to a supplier)—the order takes effect upon its
publication and, unless sooner revoked, expires on a day specified in the
Gazette notice that is not less than 42 days, and not more than 3 months,
after its publication.
(4) After being renewed once, an interim order may be replaced only by
an order made under section 31 before the interim order expires or is
revoked. (5) An order made under section 31 revokes an interim order that it
replaces.
31 Order (other than interim order) prohibiting or
restricting the supply of goods (1) The Minister may make a conditional or unconditional order
prohibiting or restricting the supply of specified goods or goods of a
specified kind:(a) after considering a report and any recommendation of the Products
Safety Committee relating to the goods,
(b) after considering a report of an authority of the State relating
to the goods and deciding to make the order without referring a question to
the Products Safety Committee, or
(c) if a like prohibition or restriction is in force under another law
of the State, a law of the Commonwealth or a law in force elsewhere in
Australia because the goods are dangerous.
(1A) An order made under this section must be published in the
Gazette. (2) Sections 40 and 41 of the Interpretation Act 1987 apply to an
order made under subsection (1) as if it were a statutory rule to which those
sections apply. Editorial
note. For orders under this section see the Historical notes at the end
of this Act.
32 Offence to contravene certain orders (1) A person shall not supply goods in contravention of an order in
force under section 30 of which the person has been given
notice. (2) A person shall not supply goods in contravention of an order
published in the Gazette and in force under section 30 or
31. (3) If:(a) a person supplies goods in contravention of subsection (1) or (2),
and
(b) another person suffers loss or damage because of a defect in, or a
dangerous characteristic of, the goods or by not having particular information
as to a characteristic of the goods,
the person who suffers the loss or damage shall be deemed, for the
purposes of this Act, to have suffered it by the supplying of the
goods.
33 (Repealed) Division 3 Product recall etc 34 Definitions In this Division:defective
goods means goods that: (a) do not comply with a product safety standard for the goods,
or
(b) are the subject of a banning order, or
(c) are, in the opinion of the Director-General, of a kind that may
cause death or injury to any person.
recall
order means an order made by the Director-General under section
35. 35 Recall orders by Director-General (1) The Director-General may, by order published in the Gazette,
require the supplier of defective goods to do any one or more of the
following:(a) recall the goods in the manner, and within the period, specified
in the order,
(b) disclose to the public, or to a class of persons specified in the
order, in the manner and within the period so specified, any one or more of
the following:(i) the nature of any defect in, or dangerous characteristic of, the
goods identified in the order,
(ii) the circumstances in which the use of the goods is
dangerous,
(iii) procedures for disposing of the goods,
(c) notify the public, or a class of persons specified in the order,
in the manner and within the period so specified, that the supplier undertakes
to do whichever of the following the supplier thinks is appropriate:(i) except where the order identifies a dangerous characteristic of
the goods—repair the goods,
(ii) replace the goods,
(iii) refund to a person to whom the goods were supplied (whether by the
supplier or by another person) the price of the
goods.
(2) A recall order ceases to have effect at the end of the period of
28 days immediately following the date on which it was published in the
Gazette unless the order is, before the end of that 28-day period, confirmed
by the Minister by notice published in the Gazette. (3) Subsection (2) does not apply if a request is made under section
36 for a review of the recall order. (4) Sections 40 and 41 of the Interpretation Act 1987 apply to a
recall order as if it were a statutory rule to which those sections
apply.
36 Review of recall orders (1) The Minister or the supplier of goods to which a recall order
relates may, within 14 days of the date on which the order was published in
the Gazette, request the Products Safety Committee to review the
order. (2) If any such request is made, the Products Safety Committee is to
conduct the review of the order and report to the Minister on the outcome of
the review. (3) The provisions of sections 28 (7)–(11) and 29 apply to and
in respect to the review of a recall order by the Products Safety Committee
under this section in the same way as those provisions apply to the
consideration of a question that is referred to the Committee under section 28
(1). (4) Accordingly:(a) a reference in those provisions to a question that is referred to
the Committee includes a reference to a recall order that the Committee has
been requested to review, and
(b) a reference in those provisions to the consideration by the
Committee of such a question includes a reference to the conducting of a
review of a recall order.
(5) On receiving the Committee’s report in relation to a recall
order, the Minister may, by order published in the Gazette:(a) confirm the recall order, or
(b) amend the recall order in accordance with the terms of the
Committee’s report, or
(c) repeal the order.
36A Reduction of refund in certain circumstances If:(a) in accordance with a recall order, a supplier undertakes to refund
the price of goods, and
(b) a period of more than 12 months has elapsed since a person
(whether or not the person to whom the refund is to be made) acquired the
goods from the supplier,
the amount of the refund may be reduced by an amount, calculated in
accordance with the order, that is attributable to the use that a person has
had of the goods. 36B Undertaking to repair or replace goods (1) If, in accordance with a recall order, a supplier undertakes to
repair goods, the supplier must cause the goods to be repaired so that:(a) any defect in the goods as identified in the order is rectified,
and
(b) if there is a product safety standard for goods of that
kind—the goods comply with the standard.
(2) If, in accordance with a recall order, a supplier undertakes to
replace goods, the supplier must replace the goods with like goods
that:(a) if a defect in, or a dangerous characteristic of, the goods to be
replaced was identified in the order—do not contain that defect or have
that characteristic, and
(b) if there is a product safety standard for goods of that
kind—comply with the standard.
(3) If, in accordance with a recall order, a supplier undertakes to
repair or replace goods, the cost of the repair or replacement, including any
necessary transportation costs, is to be borne by the
supplier.
36C Compliance with recall order A supplier of goods to which a recall order relates must
not:(a) fail to comply with a requirement of the order,
or
(b) if the order identifies a defect in, or a dangerous characteristic
of, the goods—supply goods of the kind to which the order relates and
that contain that defect or have that characteristic, or
(c) in any case other than a case referred to in paragraph
(b)—supply goods of the kind to which the order relates,
or
(d) fail to carry out an undertaking given by the supplier under
section 35 (1) (c), or
(e) having given such an undertaking to repair or replace
goods—fail to comply with section 36B.
36D Notification of voluntary recall (1) If a supplier takes action to recall goods otherwise than as
required by a recall order, the supplier must, within 2 days after the action
is taken, give the Director-General a notice in writing:(a) stating that the goods are subject to recall,
and
(b) if the goods contain a defect or have a dangerous
characteristic—stating the nature of the defect or dangerous
characteristic, and
(c) if the goods do not comply with a product safety standard for the
goods—stating the nature of the
non-compliance.
Maximum penalty: 100 penalty units in the case of a corporation or
20 penalty units in any other case. (2) If a person who would otherwise be required to give notice under
subsection (1) has given notice of the matter under section 65R of the Trade Practices Act 1974 of the
Commonwealth, the person is not required to give notice under subsection
(1).
36E Requirement to notify recall of goods to persons outside
New South Wales If any goods are recalled in accordance with a recall order or are
voluntarily recalled under section 36D, a person who has supplied any of the
goods to another person outside New South Wales must, as soon as practicable
after the supply of those goods, give a notice in writing to that other
person:(a) stating that the goods are subject to recall,
and
(b) if the goods contain a defect or have a dangerous
characteristic—stating the nature of the defect or dangerous
characteristic, and
(c) if the goods do not comply with a product safety standard for the
goods—stating the nature of the
non-compliance.
Maximum penalty: 100 penalty units in the case of a corporation or
20 penalty units in any other case. 36F Certain amounts recoverable as debt or damages (1) If a supplier fails to carry out an undertaking given under
section 35 (1) (c) to refund the price of goods, the amount that should have
been refunded is recoverable as a debt due by the supplier to the person to
whom the undertaking was given. (2) If a supplier fails to carry out an undertaking given under
section 35 (1) (c) to repair or replace goods, the supplier is taken to have
given instead an undertaking, notified under section 35 (1) (c), to refund the
price of the goods within the period specified for the repair or replacement
of the goods. (3) If:(a) a person:(i) fails to comply with a requirement of a recall order,
or
(ii) supplies goods in contravention of a recall order identifying a
defect in, or dangerous characteristic of, the goods,
and
(b) another person suffers loss or damage:(i) because of a defect in, or dangerous characteristic of, the goods,
or
(ii) by not having particular information as to a characteristic of the
goods,
the person who suffered the loss or damage is, for the purposes of this
Act, taken to have suffered the loss or damage because of the failure or
contravention.
37 Certain action not to affect insurance
contracts (TPA s 65T) The liability of an insurer under a contract of insurance with a
person, being a contract relating to the recall of goods supplied or proposed
to be supplied by the person or to the liability of the person with respect to
possible defects in goods supplied or proposed to be supplied by the person,
shall not be affected only because the person gives to the Minister, to the
Products Safety Committee or to an officer information relating to any goods
supplied or proposed to be supplied by the person.
Part 4 Consumer protection Division 1 Product information 38 Prescribing of product information standards (1) The regulations may prescribe a product information standard to be
used for a specified kind of goods. (2) A product information standard for goods shall consist of
requirements for, and for the form and manner of, disclosure of such
information as to:(a) the price, performance, composition, contents, methods of
manufacture or processing, design, construction, finish or packaging of the
goods,
(b) the place of manufacture or production of the
goods,
(c) the identity of the manufacturer, producer or supplier of the
goods,
(d) the date of the manufacture or production, or the durable life, of
the goods, and
(e) care and storage of the goods,
as is reasonably necessary to give persons using the goods information as
to their origin, quantity, quality, nature, durability or
value.
39 Compliance with product information standard (1) A person shall not, in trade or commerce, supply goods:(a) that are intended to be used, or are of a kind likely to be used,
by a consumer, and
(b) in relation to which there is a product information
standard,
unless the person has complied with the standard in relation to the
goods. (2) If:(a) a person supplies goods in contravention of subsection (1),
and
(b) another person suffers loss or damage by not having particular
information relating to the goods but would not have suffered it if the
product information standard had been complied with in relation to the
goods,
the person who suffers the loss or damage shall be deemed, for the
purposes of this Act, to have suffered it by the supplying of the
goods.
Division 2 Dual pricing 40 Dual pricing (1) A supplier shall not sell goods to which more than one price is
appended at a price that is greater than the lower, or lowest, of the
prices.Maximum penalty: 50 penalty
units. (2) In subsection (1), a reference to a price appended to goods
includes a reference to a price:(a) that is annexed or affixed to, or is written, printed, stamped or
located on, or otherwise applied to, the goods or any band, ticket, covering,
label, reel or thing used in connection with the goods,
(b) that is used in connection with the goods or anything on which the
goods are mounted for display or exposed for sale,
(c) that is determined on the basis of anything encoded on or in
relation to the goods,
(d) that is published in relation to the goods in a catalogue
available to the public if:(i) a time is specified in the catalogue as the time after which the
goods will not be sold at that price and that time has not passed,
or
(ii) in any other case—the catalogue may reasonably be regarded
as not out-of-date, or
(e) that is in any other way represented in a manner from which it may
reasonably be inferred that the price represented is a price applicable to the
goods.
(3) Where a price appended to goods is written, stamped or located
wholly or partly over another price, or other prices, appended to the goods,
all the prices are, for the purposes of subsection (1), prices appended to the
goods. (4) In this section:price
includes any representation that may reasonably be inferred to be a
representation of a price and does not include an amount expressed in a
currency other than Australian currency.
Division 3 Direct commerce 40A Definitions (1) In this Division:cooling-off
period, in relation to a direct commerce contract, means the period
within which the consumer is, under section 40E or under the contract,
entitled to cancel the contract. dealer means a person who,
in the course of direct commerce: (a) enters into negotiations with another person with a view to the
making of a contract for the supply of goods or services to that other person,
or
(b) calls on, or telephones, another person for the purpose of
entering into such negotiations,
whether or not that person is or is to be the supplier of the goods or
services.direct
commerce means the practice under which: (a) a person:(i) goes from place to place, or
(ii) makes telephone calls,
seeking out persons who may be prepared to enter, as consumers, into
contracts for the supply of goods or services, and
(b) that person (or some other person) enters into negotiations with
those prospective consumers with a view to the making of such
contracts.
direct commerce
contract—see section 40B. negotiation includes
any discussion or dealing directed towards the making of a contract (whether
or not the terms of the contract are open to negotiation). related contract
or instrument, in relation to a direct commerce contract,
means: (a) a contract of guarantee or indemnity that is related to the
contract, or
(b) an instrument related to the contract that creates a mortgage or
charge in favour of the supplier or dealer (or a person nominated by the
supplier or dealer), or
(c) another contract or instrument (not being an instrument of the
kind referred to in paragraph (b)) that is collateral or related to the
contract.
(2) In this Division:(a) a reference to the consumer or supplier under a contract for the
supply of goods or services extends to any person to whom the rights of the
original consumer or supplier under the contract are assigned or transferred,
or pass by operation of law, and
(b) a reference to negotiation of a direct commerce contract is a
reference to negotiation of a contract that would, when made, be a direct
commerce contract.
(3) For the purposes of this Division, a contract is a contract for
the supply of goods or services to a person who is a party to the contract if
it provides for the supply of goods or services either to that person or to
someone else but on the order of that person.
40B Meaning of “direct commerce
contract” (1) For the purposes of this Division, a contract is a direct commerce
contract if:(a) it is for the supply of goods or services to a consumer who is an
individual, and
(b) negotiations leading to the making of the contract (whether or not
they are the only negotiations that precede the making of the contract) take
place between the dealer and the consumer:(i) in each other’s presence at a place other than the business
or trade premises of the supplier, or
(ii) over the telephone, and
(c) the dealer has called at that place or made that telephone call in
the course of direct commerce, and
(d) the consumer did not invite the dealer to call at that place or
make that telephone call for the purpose of entering into those negotiations,
and
(e) the total consideration payable by the consumer under the
contract:(i) is not ascertainable at the time of the making of the contract,
or
(ii) is ascertainable at the time of the making of the contract (but is
more than $100 or such other amount as may be prescribed by the regulations
for the purposes of this section).
(2) Despite subsection (1), a direct commerce contract does not
include any contract of a kind that is excluded from the operation of this
Division by the regulations. (2A) The regulations may also exempt any direct commerce contract or
class of direct commerce contracts from the operation of particular provisions
of this Division. (3) If:(a) 2 or more contracts relate substantially to the same transaction,
and
(b) the transaction could have been effected by a single contract that
would, in that case, have constituted a direct commerce
contract,
then each of the contracts that would not, if it stood alone, constitute
a direct commerce contract becomes a direct commerce contract and, for the
purpose of ascertaining the cooling-off period in relation to such a contract,
the contract is taken to have been made when the last of the contracts was
made.
40C Prohibition of certain contractual terms (1) A direct commerce contract must not contain any provision that
purports:(a) to exclude, restrict or modify any right conferred on a consumer
under this Division, or
(b) to provide that the contract, or any proceedings arising from the
contract, is governed by the law of a jurisdiction other than New South
Wales.
(2) If a direct commerce contract contains a provision contrary to
subsection (1), the provision is void and the supplier and dealer are each
guilty of an offence.Maximum penalty: 100 penalty
units. (3) For the purposes of this section, a reference to a direct commerce
contract includes a related contract or instrument.
40D Consumer must be informed of right to cancel direct
commerce contract (1) Before a direct commerce contract is made, the consumer must be
given information as to the following:(a) that the consumer has a right to cancel the contract during the
cooling-off period,
(b) the manner in which that right may be exercised by the
consumer,
(c) such other matters as may be prescribed by the regulations for the
purposes of this section.
(2) In the case of a direct commerce contract that is made in the
presence of both the dealer and the consumer, the information referred to in
subsection (1) must be given to the consumer in
writing. (3) In the case of a direct commerce contract that is made over the
telephone, the information referred to in subsection (1) must:(a) be given to the consumer over the telephone,
and
(b) be subsequently given to the consumer in
writing.
(4) The regulations may make provision for or with respect to the form
and manner in which the information referred to in subsection (1) must be
given. (5) If this section and any regulation made under subsection (4) are
not complied with in relation to a direct commerce contract, the supplier and
the dealer are each guilty of an offence.Maximum penalty: 100 penalty
units. (6) The supplier under a direct commerce contract cannot enforce the
contract against the consumer if this section and any regulation made under
subsection (4) are not complied with.
40E Right of consumer to cancel direct commerce contract
during cooling-off period (1) The consumer under a direct commerce contract may cancel the
contract by giving written notice of cancellation to the supplier:(a) in the case of a contract that is made in the presence of both the
dealer and the consumer—within 5 clear business days from the day on
which the contract was made, or
(b) in the case of a contract that is made over the
telephone—within the period commencing on the day the contract was made
and ending 5 clear business days from the day on which the information
referred to in section 40D (1) is given to the consumer in writing,
or
(c) in the case of either such contract—within such longer
period as the contract may provide.
(2) A notice of cancellation may be given:(a) by delivering it personally to the supplier,
or
(b) by delivering it, or sending it by post, in an envelope addressed
to the supplier, to the supplier’s address, or
(c) by faxing it to the supplier’s address,
or
(d) in such other manner as may be prescribed by the
regulations.
(3) A notice of cancellation sent by post to a supplier is taken to
have been given to the supplier at the time of
posting. (4) A right of cancellation conferred by this section may be
exercised:(a) despite affirmation of the contract by the consumer,
and
(b) even though the contract has been fully
executed.
(5) If a direct commerce contract is cancelled by the consumer under
this section, any related contract or instrument is
void.
40F Consequences of cancellation of direct commerce
contract (1) If a direct commerce contract is cancelled by the consumer during
the cooling-off period under this Division:(a) the consumer must immediately:(i) return to the supplier any goods received from the supplier under
the contract, or
(ii) notify the supplier of the place where the supplier may collect
the goods, and
(b) the supplier must, after receiving the goods or any such notice,
immediately return or refund to the consumer any consideration (or the value
of any consideration) given by the consumer under the contract or a related
contract or instrument.
(2) If:(a) the consumer gives notice to the supplier under subsection (1) (a)
(ii), and
(b) the supplier does not collect the goods within 28 days after the
cancellation of the contract,
the goods become the property of the consumer free of any other right or
interest. (3) If the consumer returns goods to the supplier under this section
but has failed to take reasonable care of the goods, the consumer is liable to
pay compensation to the supplier for the damage to or depreciation in the
value of the goods. However, the consumer is not liable for any such damage or
depreciation attributable to normal use of the goods or circumstances beyond
the control of the consumer. (4) The obligations imposed by this section may be enforced by action
in any court of competent jurisdiction. (5) A court that convicts a supplier of an offence against this
Division may, on the application of the prosecutor, make orders for the
enforcement of obligations imposed by this section. (6) A person who fails to comply with an order under subsection (5) is
guilty of an offence. Maximum penalty: 100 penalty
units.
40G Waiver of rights A consumer under a direct commerce contract is not competent to
waive any right conferred by this Division. 40H Fees for services during cooling-off period
prohibited A supplier or dealer must not, in relation to a direct commerce
contract or a related contract or instrument, collect any fees during the
cooling-off period for services provided by the dealer or supplier during that
period.Maximum penalty: 100 penalty
units. 40I Prohibited hours for direct commerce A dealer must not call on, or telephone, any person:(a) after 8 pm on any day, or
(b) before 9 am on any day,
for the purpose of negotiating a direct commerce contract (or for an
incidental or related purpose) unless the dealer has made an appointment with
the person.Maximum penalty: 100 penalty
units. 40J Other requirements in relation to dealers (1) A dealer who is carrying on negotiations on the telephone with a
person (the
prospective consumer) for the purpose of making a direct commerce
contract (or for an incidental or related purpose) must cease those
negotiations immediately on the request of the prospective
consumer. (2) If any such request is made by the prospective consumer:(a) the dealer, or
(b) if the dealer was acting on behalf of a supplier when carrying on
negotiations with the prospective consumer—the supplier or any other
person acting on behalf of the supplier,
must not contact the prospective consumer for the purpose of negotiating
a direct commerce contract (or for an incidental or related purpose) for at
least 30 days after the prospective consumer made the
request. (3) A dealer who calls at any premises for the purpose of negotiating
a direct commerce contract (or for an incidental or related purpose) must
leave the premises at the request of the occupier of the premises as soon as
it is practicable to do so. (4) A dealer who calls on any person for the purpose of negotiating a
direct commerce contract (or for an incidental or related purpose) must, as
soon as it is practicable to do so:(a) advise the person of the purpose of the call,
and
(b) produce to the person a document setting out:(i) the dealer’s full name, and
(ii) the supplier’s address (not being a post office box address)
and, if the dealer is not the supplier, the supplier’s full
name.
Maximum penalty: 100 penalty
units.
40K Prohibition of certain actions (1) If a direct commerce contract has been cancelled (or is capable of
being cancelled) by the consumer under this Division, a person must not, for
the purpose of recovering an amount alleged to be payable by the consumer
under the contract or a related contract or instrument:(a) bring, or assert an intention to bring, legal proceedings against
the consumer, or
(b) place the name of the consumer, or cause the name of the consumer
to be placed, on any list of defaulters or debtors, or assert an intention of
placing the name of the consumer, or causing the name of the consumer to be
placed, on any such list, or
(c) take any other action against the
consumer.
Maximum penalty: 100 penalty
units. (2) Subsection (1) (a) does not prohibit:(a) the bringing of, or the asserting of an intention to bring, legal
proceedings to determine whether or not a direct commerce contract has been,
or is capable of being, cancelled under this Division, or
(b) the continuation of such proceedings (for the purpose of
recovering an amount alleged to be payable by the consumer under the contract
or a related contract or instrument) where it is determined that the contract
has not been, or is not capable of being, so cancelled, or
(c) the bringing of, or the asserting of an intention to bring, legal
proceedings as referred to in section 40F (4).
(3) If a person is convicted of an offence against subsection (1) (b),
the court may order the person responsible for keeping any list on which the
name of the consumer has been wrongfully placed to remove the name from that
list. (4) A person who fails to comply with an order under subsection (3) is
guilty of an offence.Maximum penalty: 100 penalty
units.
Division 4 Conditions and warranties in consumer
transactions 40L Interpretation and application (TPA s 66) (1) A reference in this Division to goods or services is a reference
to goods or services of a kind ordinarily acquired for personal, domestic or
household use or consumption. (2) In this Division:(a) a reference to the quality of goods includes a reference to the
state or condition of the goods, and
(b) a reference to negotiations in relation to a contract for the
supply by a person of goods to a consumer is a reference to any negotiations
or arrangements conducted or made with the consumer by another person in the
course of a business carried on by the other person in respect of which the
consumer was induced to make the contract or that otherwise promoted the
transaction to which the contract relates.
(3) For the purposes of this Division, goods of any kind are of
merchantable
quality if they are as fit for the purpose or purposes for which
goods of that kind are commonly bought as it is reasonable to expect, having
regard to any description applied to them, the price (if relevant) and all
other relevant circumstances. (4) This Division does not apply to or in respect of a contract made
before the commencement of this Division.
40M Application of provisions not to be excluded or
modified (TPA s 68) (1) A term of a contract (including a term that is not set out in the
contract but is incorporated in the contract by another term of the contract)
that purports to exclude, restrict or modify or has the effect of excluding,
restricting or modifying:(a) the application of all or any of the provisions of this Division,
or
(b) the exercise of a right conferred by such a provision,
or
(c) any liability of a person for breach of a condition or warranty
implied by such a provision, or
(d) the application of section 40N,
is void. (2) A term of a contract is not to be considered as excluding,
restricting or modifying the application of a provision of this Division or
the application of section 40N unless the term does so expressly or is
inconsistent with that provision or section. (3) This section is, with respect to a term of a contract for the
supply of recreation services within the meaning of section 5N of the Civil Liability Act 2002, subject to
that section.
40N Rescission of contracts (TPA s 75A) (1) If:(a) a person (the supplier)
supplies goods to a consumer in the course of a business,
and
(b) there is a breach of a condition that is, by reason of a provision
of this Division, implied in the contract for the supply of the
goods,
the consumer is, subject to this section, entitled to rescind the
contract by:(c) causing to be served on the supplier a notice in writing signed by
the consumer giving particulars of the breach, or
(d) causing the goods to be returned to the supplier and giving to the
supplier, either orally or in writing, particulars of the
breach.
(2) If a consumer purports to rescind under this section a contract
for the supply of goods by a person, the purported rescission does not have
any effect if:(a) the notice is not served or the goods are not returned within a
reasonable time after the consumer has had a reasonable opportunity of
inspecting the goods, or
(b) in the case of a rescission effected by service of a
notice—after the delivery of the goods to the consumer but before the
notice is served:(i) the goods were disposed of by the consumer, were lost, or were
destroyed otherwise than by reason of a defect in the goods,
or
(ii) the consumer caused the goods to become unmerchantable or failed
to take reasonable steps to prevent the goods from becoming unmerchantable,
or
(iii) the goods were damaged by abnormal use,
or
(c) in the case of a rescission effected by return of the
goods—while the goods were in the possession of the consumer:(i) the consumer caused the goods to become unmerchantable or failed
to take reasonable steps to prevent the goods from becoming unmerchantable,
or
(ii) the goods were damaged by abnormal use.
(3) If a contract for the supply of goods by a person (the supplier) to a
consumer has been rescinded in accordance with this section:(a) if the property in the goods had passed to the consumer before the
notice of rescission was served on, or the goods were returned to, the
supplier—the property in the goods re-vests in the supplier on the
service of the notice or the return of the goods, and
(b) the consumer may recover from the supplier, as a debt, the amount
or value of any consideration paid or provided by the consumer for the
goods.
(4) The right of rescission conferred by this section is in addition
to, and not in derogation of, any other right or remedy under this or any
other Act or law.
40O Implied undertakings as to title, encumbrances and quiet
possession (TPA s 69) (1) In a contract for the supply of goods by a person (the supplier) to a
consumer (other than a contract to which subsection (3) applies) there
is:(a) an implied condition that, in the case of a supply by way of sale,
the supplier has a right to sell the goods, and, in the case of an agreement
to sell or a hire-purchase agreement, the supplier will have a right to sell
the goods at the time when the property is to pass, and
(b) an implied warranty that the consumer will enjoy quiet possession
of the goods except so far as it may lawfully be disturbed by the supplier or
by another person who is entitled to the benefit of any charge or encumbrance
disclosed or known to the consumer before the contract is made,
and
(c) in the case of a contract for the supply of goods under which the
property is to pass or may pass to the consumer—an implied warranty that
the goods are free, and will remain free until the time when the property
passes, from any charge or encumbrance not disclosed or known to the consumer
before the contract is made.
(2) A person is not, in relation to a contract for the supply of
goods, in breach of the implied warranty referred to in subsection (1) (c) by
reason only of the existence of a floating charge over assets of the person
unless and until the charge becomes fixed and enforceable by the person to
whom the charge is given. (3) In a contract for the supply of goods to a consumer in the case of
which there appears from the contract or is to be inferred from the
circumstances of the contract an intention that the supplier should transfer
only such title as the supplier or a third person may have, there is:(a) an implied warranty that all charges or encumbrances known to the
supplier and not known to the consumer have been disclosed to the consumer
before the contract is made, and
(b) an implied warranty that:(i) the supplier, and
(ii) in a case where the parties to the contract intend that the
supplier should transfer only such title as a third person may have—that
person, and
(iii) anyone claiming through or under the supplier or that third person
otherwise than under a charge or encumbrance disclosed or known to the
consumer before the contract is made,
will not disturb the consumer’s quiet possession of the
goods.
40P Supply by description (TPA s 70) (1) In a contract for the supply (otherwise than by way of sale by
auction or sale by competitive tender) by a person in the course of a business
of goods to a consumer by description, there is an implied condition that the
goods will correspond with the description and, if the supply is by reference
to a sample as well as by description, it is not sufficient that the bulk of
the goods corresponds with the sample if the goods do not also correspond with
the description. (2) A supply of goods is not prevented from being a supply by
description for the purposes of this section by reason only that, being
exposed for sale or hire, they are selected by the
consumer.
40Q Implied undertakings as to quality or fitness (TPA s 71) (1) If a person supplies (otherwise than by way of sale by auction)
goods to a consumer in the course of a business, there is an implied condition
that the goods supplied under the contract for the supply of the goods are of
merchantable quality, except that there is no such condition by reason only of
this section:(a) as regards defects specifically drawn to the consumer’s
attention before the contract is made, or
(b) if the consumer examines the goods before the contract is
made—as regards any defect that the examination ought to have
revealed.
(2) If a person (the supplier) supplies
(otherwise than by way of sale by auction) goods to a consumer in the course
of a business and the consumer, expressly or by implication, makes
known:(a) to the supplier, or
(b) to the person by whom any negotiations are
conducted,
any particular purpose for which the goods are being acquired, there is
an implied condition that the goods supplied under the contract for the supply
of the goods are reasonably fit for that purpose, whether or not that purpose
is one for which such goods are commonly supplied, except where the
circumstances show that the consumer does not rely, or that it is unreasonable
for the consumer to rely, on the skill or judgment of the supplier or the
person conducting the negotiations. (3) Subsections (1) and (2) apply to a contract for the supply of
goods made by a person who in the course of a business is acting as agent for
the supplier in the same way as they apply to a contract for the supply of
goods made by a person in the course of a business, except where that person
is not supplying in the course of a business and either the consumer knows
that fact or reasonable steps are taken to bring it to the notice of the
consumer before the contract is made.
40R Supply by sample (TPA s 72) If in a contract for the supply (otherwise than by way of sale by
auction or sale by competitive tender) by a person in the course of a business
of goods to a consumer there is a term in the contract, expressed or implied,
to the effect that the goods are supplied by reference to a sample:(a) there is an implied condition that the bulk will correspond with
the sample in quality, and
(b) there is an implied condition that the consumer will have a
reasonable opportunity of comparing the bulk with the sample,
and
(c) there is an implied condition that the goods will be free from any
defect, rendering them unmerchantable, that would not be apparent on
reasonable examination of the sample.
40S Warranties in relation to supply of services (TPA s 74) (1) In every contract for the supply by a person in the course of a
business of services to a consumer there is an implied warranty that the
services will be rendered with due care and skill and that any materials
supplied in connection with those services will be reasonably fit for the
purpose for which they are supplied. (2) If a person supplies services (other than services of a
professional nature provided by a qualified architect or engineer) to a
consumer in the course of a business and the consumer, expressly or by
implication, makes known to the person any particular purpose for which the
services are required or the result that the consumer desires the services to
achieve, there is an implied warranty that the services supplied under the
contract for the supply of the services and any materials supplied in
connection with those services will be reasonably fit for that purpose or are
of such a nature and quality that they might reasonably be expected to achieve
that result. (3) Subsection (2) does not apply if the circumstances show:(a) that the consumer does not rely, or
(b) that it is unreasonable for the consumer to
rely,
on the skill or judgment of the person.
Division 5 Actions against manufacturers and importers of
goods 40T Interpretation (TPA s 74A) (1) In this Division:express
warranty, in relation to goods, means an undertaking, assertion or
representation in relation to: (a) the quality, performance or characteristics of the goods,
or
(b) the provision of services that are or may at any time be required
in respect of the goods, or
(c) the supply of parts that are or may at any time be required for
the goods, or
(d) the future availability of identical goods, or of goods
constituting or forming part of a set of which the goods in relation to which
the undertaking, assertion or representation is given or made form
part,
given or made in connection with the supply of the goods or in connection
with the promotion by any means of the supply or use of the goods, the natural
tendency of which is to induce persons to acquire the goods.manufactured includes
grown, extracted, produced, processed and assembled. (2) In this Division:(a) a reference to goods is a reference to goods of a kind ordinarily
acquired for personal, domestic or household use or consumption,
and
(b) a reference to a person who acquires goods from a consumer does
not include a reference to a person who acquires goods for the purpose of
re-supply, and
(c) a reference to the quality of goods includes a reference to the
state or condition of the goods, and
(d) a reference to negotiations in relation to the acquisition of
goods by a consumer is a reference to any negotiations or arrangements
conducted or made with the consumer by another person in the course of a
business carried on by the other person in respect of which the consumer was
induced to acquire the goods or which otherwise promoted the acquisition of
the goods by the consumer.
(3) If a person:(a) holds himself, herself or itself out to the public as the
manufacturer of goods, or
(b) causes or permits:(i) the name of the person, or
(ii) a name by which the person carries on business,
or
(iii) a brand or mark of the person,
to be applied to goods supplied by the person, or
(c) causes or permits another person:(i) in connection with the supply or possible supply of goods by that
other person, or
(ii) in connection with the promotion by that other person by any means
of the supply or use of goods,
to hold out the person to the public as the manufacturer of the
goods,
the person is, for the purposes of this Division, taken to have
manufactured the goods. (4) If:(a) goods are imported into this State by a person who was not the
manufacturer of the goods, and
(b) at the time of the importation the manufacturer of the goods does
not have a place of business in this State,
the person is, for the purposes of this Division, taken to have
manufactured the goods. (5) For the purposes of subsection (3) (b):(a) a name, brand or mark is taken to be applied to goods if
it:(i) is woven in, impressed on, worked into or annexed or affixed to
the goods, or
(ii) is applied to a covering, label, reel or thing in or with which
the goods are supplied, and
(b) if the name of a person, a name in which a person carries on
business or a brand or mark of a person is applied to goods, it is to be
presumed, unless the contrary is established, that the person caused or
permitted the name, brand or mark to be applied to the
goods.
(6) The reference in subsection (5) to a covering includes a reference
to a stopper, glass, bottle, vessel, box, capsule, case, frame or wrapper and
the reference in that subsection to a label includes a reference to a band or
ticket. (7) If goods are imported into this State on behalf of a person, the
person is, for the purposes of this Division, taken to have imported the goods
into this State. (8) For the purposes of this Division, goods are taken to be supplied
to a consumer despite the fact that, at the time of the supply, they are
affixed to land or premises.
40U Actions in respect of unsuitable goods (TPA s 74B) (1) If:(a) a person (the supplier), in
trade or commerce, supplies goods manufactured by the supplier to another
person who acquires the goods for re-supply, and
(b) a person (whether or not the person who acquired the goods from
the supplier) supplies the goods (otherwise than by way of sale by auction) to
a consumer, and
(c) the goods are acquired by the consumer for a particular purpose
that was, expressly or by implication, made known to the supplier, either
directly, or through the person from whom the consumer acquired the goods or a
person by whom any negotiations in connection with the acquisition of the
goods were conducted, and
(d) the goods are not reasonably fit for that purpose, whether or not
that is a purpose for which such goods are commonly supplied,
and
(e) the consumer or a person who acquires the goods from, or derives
title to the goods through or under, the consumer suffers loss or damage by
reason that the goods are not reasonably fit for that
purpose,
the supplier is liable to compensate the consumer or that other person
for the loss or damage and the consumer or that other person may recover the
amount of the compensation by action against the supplier in a court of
competent jurisdiction. (2) Subsection (1) does not apply:(a) if the goods are not reasonably fit for the purpose referred to in
that subsection by reason of:(i) an act or default of any person (not being the supplier or an
employee or agent of the supplier), or
(ii) a cause independent of human control,
occurring after the goods have left the control of the supplier,
or
(b) if the circumstances show that the consumer did not rely, or that
it was unreasonable for the consumer to rely, on the skill or judgment of the
supplier.
40V Actions in respect of false descriptions (TPA s 74C) (1) If:(a) a person (the supplier), in
trade or commerce, supplies goods manufactured by the supplier to another
person who acquires the goods for re-supply, and
(b) a person (whether or not the person who acquired the goods from
the supplier) supplies the goods (otherwise than by way of sale by auction) to
a consumer by description, and
(c) the goods do not correspond with the description,
and
(d) the consumer or a person who acquires the goods from, or derives
title to the goods through or under, the consumer suffers loss or damage by
reason that the goods do not correspond with the
description,
the supplier is liable to compensate the consumer or that other person
for the loss or damage and the consumer or that other person may recover the
amount of the compensation by action against the supplier in a court of
competent jurisdiction. (2) Subsection (1) does not apply if the goods do not correspond with
the description referred to in that subsection by reason of:(a) an act or default of any person (not being the supplier or an
employee or agent of the supplier), or
(b) a cause independent of human control,
occurring after the goods have left the control of the
supplier. (3) A supplier is not liable to compensate a person for loss or damage
suffered by the person by reason that goods do not correspond with a
description unless the description was applied to the goods:(a) by or on behalf of the supplier, or
(b) with the consent of the supplier, whether express or
implied.
(4) If the goods referred to in subsection (1) are supplied to the
consumer by reference to a sample as well as by description, it is not a
defence to an action under this section that the bulk of the goods corresponds
with the sample if the goods do not also correspond with the
description. (5) A supply of goods is not prevented from being a supply by
description for the purposes of subsection (1) by reason only that, being
exposed for sale or hire, they are selected by the
consumer.
40W Actions in respect of goods of unmerchantable
quality (TPA s 74D) (1) If:(a) a person (the supplier), in
trade or commerce, supplies goods manufactured by the supplier to another
person who acquires the goods for re-supply, and
(b) a person (whether or not the person who acquired the goods from
the supplier) supplies the goods (otherwise than by way of sale by auction) to
a consumer, and
(c) the goods are not of merchantable quality, and
(d) the consumer or a person who acquires the goods from, or derives
title to the goods through or under, the consumer suffers loss or damage by
reason that the goods are not of merchantable
quality,
the supplier is liable to compensate the consumer or that other person
for the loss or damage and the consumer or that other person may recover the
amount of the compensation by action against the supplier in a court of
competent jurisdiction. (2) Subsection (1) does not apply:(a) if the goods are not of merchantable quality by reason of:(i) an act or default of any person (not being the supplier or an
employee or agent of the supplier), or
(ii) a cause independent of human control,
occurring after the goods have left the control of the supplier,
or
(b) as regards defects specifically drawn to the consumer’s
attention before the making of the contract for the supply of the goods to the
consumer, or
(c) if the consumer examines the goods before that contract is made,
as regards defects that the examination ought to
reveal.
(3) For the purposes of this section, goods of any kind are of
merchantable
quality if they are as fit for the purpose or purposes for which
goods of that kind are commonly bought as it is reasonable to expect having
regard to:(a) any description applied to the goods by the supplier,
and
(b) the price received by the supplier for the goods (if relevant),
and
(c) all the other relevant circumstances.
40X Actions in respect of non-correspondence with samples
etc (TPA s 74E) (1) If:(a) a person (the supplier), in
trade or commerce, supplies goods manufactured by the supplier to another
person who acquires the goods for re-supply, and
(b) a person (whether or not the person who acquired the goods from
the supplier) supplies the goods (otherwise than by way of sale by auction) to
a consumer, and
(c) the goods are supplied to the consumer by reference to a sample,
and
(d) the bulk of the goods does not correspond with the sample in
quality or the goods have a defect, rendering them unmerchantable, that is
not, or would not be, apparent on reasonable examination of the sample,
and
(e) the consumer or a person who acquires the goods from, or derives
title to the goods through or under, the consumer suffers loss or damage by
reason that the bulk does not correspond with the sample in quality or by
reason that the goods have that defect,
the supplier is liable to compensate the consumer or that other person
for the loss or damage and the consumer or that other person may recover the
amount of the loss or damage by action against the supplier in a court of
competent jurisdiction. (2) Subsection (1) does not apply if:(a) the sample is not supplied by the supplier, or
(b) the supply by sample is made without the express or implied
concurrence of the supplier, or
(c) the failure of the bulk of the goods to correspond with the sample
in quality or the existence of the defect is due to:(i) an act or default of any person (not being the supplier or an
employee or agent of the supplier), or a cause independent of human control,
occurring after the goods have left the control of the supplier,
or
(ii) other circumstances that were beyond the control of the supplier
and that it could not reasonably be expected to have
foreseen.
40Y Actions in respect of failure to provide facilities for
repairs or parts (TPA s 74F) (1) If:(a) a person (the supplier), in
trade or commerce, supplies goods (otherwise than by way of sale by auction)
manufactured by the supplier to a consumer, or
(b) a person (the supplier), in
trade or commerce, supplies goods manufactured by the supplier to another
person who acquires the goods for re-supply and a person (whether or not the
person who acquired the goods from the supplier) supplies the goods (otherwise
than by way of sale by auction) to a consumer,
and:(c) at a time (in this section referred to as the relevant time)
after the acquisition of the goods by the consumer:(i) the goods need to be repaired but facilities for their repair are
not reasonably available to the consumer or a person who acquires the goods
from, or derives title to the goods through or under, the consumer,
or
(ii) a part is required for the goods but the part is not reasonably
available to the consumer or a person who acquires the goods from, or derives
title to the goods through or under, the consumer,
and
(d) the supplier acted unreasonably in failing to ensure that
facilities for the repair of the goods were, or that the part was, reasonably
available to the consumer or that other person at the relevant time,
and
(e) the consumer or that other person suffers loss or damage by reason
of the failure of the supplier to ensure that facilities for the repair of the
goods were, or that the part was, reasonably available to the consumer or that
other person at the relevant time,
the supplier is liable to compensate the consumer or that other person
for the loss or damage and the consumer or that other person may recover the
amount of the compensation by action against the supplier in a court of
competent jurisdiction. (2) Subsection (1) does not apply if the supplier took reasonable
action to ensure that the consumer acquiring the goods would be given notice
at or before the time when the consumer acquired the goods that:(a) the supplier did not promise that facilities for the repair of the
goods, or that parts for the goods, would be available, or
(b) the supplier did not promise that facilities for the repair of the
goods, or that parts for the goods, would be available after a specified
period, being a period that expired before the relevant
time.
(3) If the supplier took reasonable action to ensure that the consumer
acquiring the goods would be given notice at or before the time when the
consumer acquired the goods that the supplier did not promise that:(a) facilities for the repair of the goods, being facilities of a kind
specified in the notice, would be available, or
(b) parts for the goods, being parts of a kind specified in the
notice, would be available, or
(c) facilities for the repair of the goods would be available at, or
parts for the goods would be available from, a place or places specified in
the notice,
the supplier is not liable to compensate the consumer or a person who
acquires the goods from, or derives title to the goods through or under, the
consumer for loss or damage suffered by the consumer or that other person by
reason of the failure of the supplier to ensure that facilities of the kind
specified in the notice, or parts of the kind specified in the notice, were
available, or that facilities for the repair of the goods were available at,
or parts for the goods were available from, a place or places specified in the
notice, as the case may be. (4) In determining whether a supplier acted unreasonably in failing to
ensure that facilities for the repair of goods were, or that a part was,
reasonably available to a person at the relevant time, a court is to have
regard to all the circumstances of the case, and in particular to the
existence, at the relevant time, of circumstances that prevented those
facilities or that part being so available, being circumstances beyond the
control of the supplier.
40Z Actions in respect of non-compliance with express
warranty (TPA s 74G) (1) If:(a) a person (the supplier), in
trade or commerce:(i) supplies goods (otherwise than by way of sale by auction)
manufactured by the supplier to a consumer, or
(ii) supplies goods manufactured by the supplier to another person who
acquires the goods for re-supply and a person (whether or not the person who
acquired the goods from the supplier) supplies the goods (otherwise than by
way of sale by auction) to a consumer, and
(b) the supplier fails to comply with an express warranty given or
made by the supplier in relation to the goods, and
(c) the consumer or a person who acquires the goods from, or derives
title to the goods through or under, the consumer suffers loss or damage by
reason of the failure,
the supplier is liable to compensate the consumer or that other person
for the loss or damage and the consumer or that other person may recover the
amount of the compensation by action against the supplier in a court of
competent jurisdiction. (2) For the purposes of any action instituted by a person against a
supplier under this section, if:(a) an undertaking, assertion or representation was given or made in
connection with the supply of goods or in connection with the promotion by any
means of the supply or use of goods, and
(b) the undertaking, assertion or representation would, if it had been
given or made by the supplier or a person acting on the supplier’s
behalf, have constituted an express warranty in relation to the
goods,
it is to be presumed that the undertaking, assertion or representation
was given or made by the supplier or a person acting on the supplier’s
behalf unless the supplier proves that the supplier did not give or make, and
did not cause or permit the giving or making of, the undertaking, assertion or
representation.
40ZA Right to recover against manufacturer or
importer (TPA s 74H) If:(a) a person (the
seller) is under a liability to another person (the consumer) in
respect of loss or damage suffered by the consumer as a result of a breach of
a condition or warranty implied by a provision of Division 4 in a contract for
the supply of goods by the seller to the consumer, and
(b) a third person (the manufacturer)
is liable to compensate the consumer in respect of the same loss or damage by
reason of a provision of this Division,
the manufacturer is liable to indemnify the seller in respect of the
liability of the seller to the consumer and the seller may, in respect of the
manufacturer’s liability to indemnify the seller, institute an action
against the manufacturer in a court of competent jurisdiction for such legal
or equitable relief as the seller could have obtained if the liability of the
manufacturer to indemnify the seller had arisen under a contract of indemnity
made between the manufacturer and the seller.
40ZB Time for commencing actions (TPA s 74J) (1) This section does not apply to a cause of action to which Division
6 of Part 2 of the Limitation Act
1969 applies. (2) An action under a provision of this Division may be commenced at
any time within 3 years after the day on which the cause of action
accrued. (3) For the purposes of this section, a cause of action is taken to
have accrued:(a) in the case of an action other than an action under section 40ZA,
on the day on which the consumer or a person who acquired the goods from, or
derived title to the goods through or under, the consumer first became aware,
or ought reasonably to have become aware:(i) in the case of an action under section 40U—that the goods
were not reasonably fit for the purpose referred to in that section,
or
(ii) in the case of an action under section 40V—that the goods
did not correspond with the description referred to in that section,
or
(iii) in the case of an action under section 40W—that the goods
were not of merchantable quality, or
(iv) in the case of an action under section 40X—that the bulk of
the goods did not correspond with the sample in quality or the goods had the
defect referred to in that section, or
(v) in the case of an action under section 40Y—that the goods
needed to be repaired or that the part was required for the goods, as the case
may be, or
(vi) in the case of an action under section 40Z—of the failure of
the supplier to comply with the express warranty referred to in that section,
or
(b) in the case of an action under section 40ZA, on:(i) the day, or the first day, as the case may be, on which the seller
referred to in that section made a payment in respect of, or otherwise
discharged in whole or in part, the liability of that seller to the consumer
referred to in that section, or
(ii) the day on which a proceeding was instituted by that consumer
against that seller in respect of that liability or, if more than one such
proceeding was instituted, the day on which the first such proceeding was
instituted,
whichever was the earlier.
(4) In an action under a provision of this Division, it is a defence
if the defendant proves that the action was not commenced within 10 years
after the time of the first supply to a consumer of the goods to which the
action relates.
40ZC Application of Division not to be excluded or
modified (TPA s 74K) (1) Any term of a contract (including a term that is not set out in
the contract but is incorporated in the contract by another term of the
contract) that:(a) purports to exclude, restrict or modify, or
(b) has the effect of excluding, restricting or
modifying,
any liability of a person to compensate or indemnify another person that
may arise under this Division, is void. (2) A term of a contract is not to be taken to exclude, restrict or
modify the application of a provision of this Division unless the term does so
expressly or is inconsistent with that provision.
Part 5 Fair trading 41 Interpretation (TPA s 51A) (1) For the purposes of this Part, where a person makes a
representation with respect to any future matter (including the doing of, or
the refusing to do, any act) and the person does not have reasonable grounds
for making the representation, the representation shall be taken to be
misleading. (2) The onus of establishing that a person had reasonable grounds for
making a representation referred to in subsection (1) is on the
person. (3) Subsection (1) shall not be taken to limit by implication the
meaning of a reference in this Part to a misleading representation, a
representation that is misleading in a material particular or conduct that is
misleading or is likely or liable to mislead.
42 Misleading or deceptive conduct (TPA s 52) (1) A person shall not, in trade or commerce, engage in conduct that
is misleading or deceptive or is likely to mislead or
deceive. (2) Nothing in this Part shall be taken as limiting by implication the
generality of subsection (1).
43 Unconscionable conduct (TPA s 52A) (1) A supplier shall not, in trade or commerce, in connection with the
supply or possible supply of goods or services to a consumer, engage in
conduct that is, in all the circumstances,
unconscionable. (2) Without limiting the matters to which the Supreme Court may have
regard for the purpose of determining whether a supplier has contravened
subsection (1) in connection with the supply or possible supply of goods or
services, the Court may have regard to:(a) the relative strengths of the bargaining positions of the supplier
and the consumer,
(b) whether, as a result of conduct engaged in by the supplier, the
consumer was required to comply with conditions that were not reasonably
necessary for the protection of the legitimate interests of the
supplier,
(c) whether the consumer was able to understand any documents relating
to the supply or possible supply of the goods or services,
(d) whether any undue influence or pressure was exerted on, or any
unfair tactics were used against, the consumer (or a person acting on behalf
of the consumer) by the supplier or a person acting on behalf of the supplier
in relation to the supply or possible supply of the goods or services,
and
(e) the amount for which, and the circumstances under which, the
consumer could have acquired identical or equivalent goods or services from a
person other than the supplier.
(3) A supplier shall not be taken for the purposes of this section to
engage in unconscionable conduct in connection with the supply or possible
supply of goods or services to a consumer only because the supplier institutes
legal proceedings in relation to that supply or possible supply or refers a
dispute or claim in relation to that supply or possible supply to
arbitration. (4) For the purpose of determining whether a supplier has contravened
subsection (1) in connection with the supply or possible supply of goods or
services to a consumer:(a) the Supreme Court shall not have regard to any circumstances that
were not reasonably foreseeable at the time of the alleged contravention,
and
(b) the Court may have regard to conduct engaged in, or circumstances
existing, before the commencement of this Act.
(5) (Repealed) (6) A reference in this section to the supply or possible supply of
goods includes a reference to the supply or possible supply of goods for the
purpose of re-supply or for the purpose of using them up or transforming them
in trade or commerce.
44 False representations (TPA s 53) A person shall not, in trade or commerce, in connection with the
supply or possible supply of goods or services or in connection with the
promotion by any means of the supply or use of goods or services:(a) falsely represent that goods are of a particular standard,
quality, value, grade, composition, style or model or have had a particular
history or particular previous use,
(b) falsely represent that services are of a particular standard,
quality, value or grade,
(c) falsely represent that goods are new,
(d) falsely represent that a particular person has agreed to acquire
goods or services,
(e) represent that goods or services have sponsorship, approval,
performance characteristics, accessories, uses or benefits they do not
have,
(f) represent that the person has a sponsorship, approval or
affiliation the person does not have,
(g) make a false or misleading representation concerning the price of
goods or services,
(h) make a false or misleading representation concerning the
availability of facilities for the repair of goods or of spare parts for
goods,
(i) make a false or misleading representation concerning the place of
origin of goods,
(j) make a false or misleading representation concerning the need for
any goods or services,
(k) make a false or misleading representation concerning the
existence, exclusion or effect of any condition, warranty, guarantee, right or
remedy,
(l) make a false or misleading representation concerning a
person’s rights or obligations under a residential tenancy agreement
(within the meaning of the Residential
Parks Act 1998) under which the residential premises consist
of a residential site in a residential park or a moveable dwelling on such a
residential site (within the meaning of that Act), or
(m) make a false or misleading representation concerning a
person’s rights or obligations under a village contract (within the
meaning of the Retirement Villages Act
1999), or
(n) make a false or misleading representation concerning a
person’s rights or obligations under an occupation agreement (within the
meaning of the Holiday Parks (Long-term
Casual Occupation) Act 2002) under which the residential
premises consist of a site in a holiday park (within the meaning of that
Act).
44A Country of origin representations (1) If:(a) a person makes a representation as to the country of origin of
goods, and
(b) the goods have been substantially transformed in that country,
and
(c) 50% or more of the cost of producing or manufacturing the goods is
attributable to production or manufacturing processes that occurred in that
country, and
(d) the representation is not a representation referred to in
subsection (2) or (3),
the person does not contravene section 42 or 44 (i) by reason only of
making the representation. (2) If:(a) a person makes a representation that goods are the produce of a
particular country (whether the representation uses the words “product
of”, “produce of” or any other grammatical variation of the
word “produce”), and
(b) the country was the country of origin of each significant
ingredient or significant component of the goods, and
(c) all, or virtually all, processes involved in the production or
manufacture occurred in that country,
the person does not contravene section 42 or 44 (i) by reason only of
making the representation. (3) If:(a) a person makes a representation as to the country of origin of
goods by means of a logo specified in the regulations made under subsection
(4), and
(b) the goods have been substantially transformed in the country
represented by the logo as the country of origin of the goods,
and
(c) the prescribed percentage of the cost of producing or
manufacturing the goods is attributable to production or manufacturing
processes that occurred in that country,
the person does not contravene section 42 or 44 (i) by reason only of
making the representation. (4) The regulations may, in relation to a specified logo, prescribe a
percentage in the range of 51% to 100% as the percentage applicable to the
goods for the purposes of subsection (3) (c). (5) For the purposes of this section, goods are substantially
transformed in a country if they undergo a fundamental change in
that country in form, appearance or nature such that the goods existing after
the change are new and different goods from those existing before the
change. (6) Without limiting subsection (5), the regulations may
prescribe:(a) changes (whether in relation to particular classes of goods or
otherwise) that are not fundamental changes for the purposes of that
subsection, and
(b) examples (in relation to particular classes of goods or otherwise)
of changes that are fundamental changes for the purposes of that
subsection.
(7) For the purposes of this section, the cost of producing or
manufacturing goods is to be determined in accordance with the
regulations. (8) If in any proceedings against a person for contravening section 42
or 44 (i) the person seeks to rely on a provision of this section or the
regulations made under this section, the onus is on the person to establish
the matters set out in the provision on which the person seeks to
rely.
45 False representations and other misleading or offensive
conduct in relation to land (TPA s 53A) (1) A person shall not, in trade or commerce, in connection with the
sale or grant, or the possible sale or grant, of an interest in land or in
connection with the promotion by any means of the sale or grant of an interest
in land:(a) represent that the person has a sponsorship, approval or
affiliation the person does not have,
(b) make a false or misleading representation concerning the nature of
the interest in the land, the price payable for the land, the location of the
land, the characteristics of the land, the use to which the land is capable of
being put or may lawfully be put or the existence or availability of
facilities associated with the land, or
(c) offer gifts, prizes or other free items with the intention of not
providing them or of not providing them as offered.
(2) A person shall not use physical force or undue harassment or
coercion in connection with the sale or grant, or the possible sale or grant,
of an interest in land or the payment for an interest in
land. (3) Nothing in this section shall be taken as implying that other
provisions of this Act do not apply in relation to the supply or acquisition,
or the possible supply or acquisition, of interests in
land.
46 Misleading conduct in relation to employment (TPA s 53B) A person shall not, in relation to employment that is to be, or
may be, offered by the person or by another person, engage in conduct that is
liable to mislead persons seeking the employment as to the availability,
nature, terms or conditions of, or any other matter relating to, the
employment.
47 Cash price to be stated in certain
circumstances (TPA s 53C) A person shall not, in trade or commerce, in connection with the
supply or possible supply of goods or services or in connection with the
promotion by any means of the supply or use of goods or services, make a
representation with respect to an amount that, if paid, would constitute a
part of the consideration for the supply of the goods or services unless the
person also specifies the cash price for the goods or
services.
48 Offering gifts and prizes (TPA s 54) A person shall not, in trade or commerce, in connection with the
supply or possible supply of goods or services or in connection with the
promotion by any means of the supply or use of goods or services, offer gifts,
prizes or other free items with the intention of not providing them or of not
providing them as offered.
49 Certain misleading conduct in relation to goods (TPA s 55) A person shall not, in trade or commerce, engage in conduct that
is liable to mislead the public as to the nature, the manufacturing process,
the characteristics, the suitability for their purpose or the quantity of any
goods.
50 Certain misleading conduct in relation to
services (TPA s 55A) A person shall not, in trade or commerce, engage in conduct that
is liable to mislead the public as to the nature, the characteristics, the
suitability for their purpose or the quantity of any
services.
51 Bait advertising (TPA s 56) (1) A person shall not, in trade or commerce, advertise goods or
services for supply at a specified price if there are reasonable grounds, of
which the person is aware, or ought reasonably to be aware, for believing that
the person will not be able to offer for supply those goods or services at
that price for a period that is, and in quantities that are, reasonable having
regard to the nature of the market in which the person carries on business and
the nature of the advertisement. (2) A person who has, in trade or commerce, advertised goods or
services for supply at a specified price shall offer the goods or services for
supply at that price for a period that is, and in quantities that are,
reasonable having regard to the nature of the market in which the person
carries on business and the nature of the
advertisement. (3) In a prosecution of a person under Part 6 in relation to a failure
to offer goods or services to a person (in this subsection referred to as the
customer) in accordance
with subsection (2), it is a defence if it is established that:(a) the defendant offered to supply, or to procure another person to
supply, goods or services of the kind advertised to the customer within a
reasonable time, in a reasonable quantity and at the advertised price,
or
(b) the defendant offered to supply immediately, or to procure another
person to supply within a reasonable time, equivalent goods or services to the
customer in a reasonable quantity and at the price at which the
first-mentioned goods or services were advertised,
and, in either case, where the offer was accepted by the customer, the
defendant has so supplied, or procured another person to supply, goods or
services.
51A Prohibition on mock auctions (1) A person must not promote or conduct or assist in the promotion or
conduct of an auction:(a) at which:(i) goods are sold to a person at a price lower than the highest bid
for the goods, or
(ii) part of the price for the sale of goods to a person is repaid or
credited to the person or is stated to be so repaid or credited,
or
(b) at which the right to bid for goods is restricted or is stated to
be restricted to persons who have bought or agreed to buy other goods,
or
(c) at which any goods or services are given away or offered as
gifts.
(2) Subsection (1) (a) does not apply if the lower price, repayment or
credit is because of:(a) a defect that the person conducting the auction became aware of
after the highest bid was made, or
(b) damage sustained after the bid was
made.
(3) For the purposes of this section:(a) any bid stated to have been made at an auction is, in the absence
of evidence to the contrary, taken to have been made and to have been a bid of
the amount stated, and
(b) a reference to the sale of goods to a person who has made a bid
for them includes a reference to a purported sale of those goods to a person
stated to have made a bid for them (whether or not that person exists),
and
(c) anything done in or about the place where an auction is held, if
done in connection with the auction, is taken to be done at the auction
whether or not it is done at the time of the auction or before or after the
auction.
(4) In this section:auction
means any sale of goods at which some or all of the persons present compete
for the purchase of goods, whether by way of increasing bids or by the offer
of goods to be bid for at successively decreasing prices or
otherwise. stated in
relation to an auction means stated by or on behalf of the person conducting
the auction by way of an announcement made to the persons for the time being
present at the auction.
52 Referral selling (TPA s 57) A person shall not, in trade or commerce, induce a consumer to
acquire goods or services by representing that the consumer will, after the
contract for the acquisition of the goods or services is made, receive a
rebate, commission or other benefit in return for giving the person the names
of prospective customers or otherwise assisting the person to supply goods or
services to other consumers, if receipt of the rebate, commission or other
benefit is contingent on an event occurring after that contract is
made.
53 Accepting payment without intending or being able to
supply as ordered (TPA s 58) A person shall not, in trade or commerce, accept payment or other
consideration for goods or services where, at the time of the
acceptance:(a) the person intends:(i) not to supply the goods or services, or
(ii) to supply goods or services materially different from the goods or
services in respect of which the payment or other consideration is accepted,
or
(b) there are reasonable grounds, of which the person is aware, or
ought reasonably to be aware, for believing that the person will not be able
to supply the goods or services within the period specified by the person or,
if no period is specified, within a reasonable
time.
54 Misleading statements about certain business
activities (TPA s 59) (1) A person shall not, in trade or commerce, make a representation
that is false or misleading in a material particular concerning the
profitability or risk or any other material aspect of any business activity
that the person has represented as one that can be, or can be to a
considerable extent, carried on at or from any place of
residence. (2) Where a person, in trade or commerce, invites, whether by
advertisement or otherwise, other persons to engage or participate, or to
offer or apply to engage or participate, in a business activity requiring the
performance by the other persons of work, or the investment of money by the
other persons and the performance by them of work associated with the
investment, the inviter shall not make, with respect to the profitability or
risk or any other material aspect of the business activity, a representation
that is false or misleading in a material
particular.
55 Harassment and coercion (TPA s 60) A person shall not use physical force or undue harassment or
coercion in connection with the supply or possible supply of goods or services
to a consumer or the payment for goods or services by a
consumer.
56 (Repealed) 57 Unsolicited credit and debit cards (TPA s 63A) (1) A person shall not send a prescribed card to another person
except:(a) in pursuance of a request in writing by the person who will be
under a liability to the person who issued the card in respect of the use of
the card, or
(b) in renewal or replacement of, or in substitution for:(i) a prescribed card of the same kind previously sent to that other
person in pursuance of a request in writing by the person who was under a
liability to the person who issued the card previously so sent in respect of
the use of that card, or
(ii) a prescribed card of the same kind previously sent to that other
person and used for a purpose for which it was intended to be
used.
(2) Subsection (1) applies only in relation to the sending of a
prescribed card by or on behalf of the person who issued the
card. (3) A person shall not take any action that enables another person who
has a credit card or a debit card to use the card as a debit card or a credit
card, as the case may be, except in accordance with a request in writing by
the other person. (4) In this section:article
includes a token, card and document. credit
card means an article of a kind commonly known as a credit card or a
similar article intended for use in obtaining cash, goods or services on
credit, and includes an article of a kind commonly issued by persons carrying
on business to customers or prospective customers of those persons for use in
obtaining goods or services from those persons on credit. debit
card means an article intended for use by a person in obtaining
access to an account held by the person for the purpose of withdrawing or
depositing cash or obtaining goods or services. prescribed
card means a credit card, a debit card or an article that may be
used as a credit card and a debit card.
58 Assertion of right to payment for unsolicited goods or
services, or for making entry in directory (TPA s 64) (1) A person shall not, in trade or commerce, assert a right to
payment from another person for unsolicited goods unless the person asserting
the right has reasonable cause to believe that there is a right to
payment. (2) A person shall not, in trade or commerce, assert a right to
payment from another person for unsolicited services unless the person
asserting the right has reasonable cause to believe that there is a right to
payment. (3) A person shall not assert a right to payment from another person
of a charge for the making in a directory of an entry relating to the other
person, or to the profession, business, trade or occupation of the other
person, unless the person asserting the right knows, or has reasonable cause
to believe, that the other person has authorised the making of the
entry. (4) A person is not liable to make any payment to another person, and
is entitled to recover by action in a court of competent jurisdiction against
another person any payment made by the person to the other person, in full or
part satisfaction of a charge for the making of an entry in a directory unless
the first-mentioned person has authorised the making of the
entry. (5) For the purposes of this section, a person shall be taken to
assert a right to payment from another person for unsolicited goods or
unsolicited services, or of a charge for the making of an entry in a
directory, if the first-mentioned person:(a) makes a demand for the payment or asserts a present or prospective
right to the payment,
(b) threatens to bring any legal proceedings with a view to obtaining
the payment,
(c) places or causes to be placed the name of the other person on a
list of defaulters or debtors, or threatens to do so, with a view to obtaining
the payment,
(d) invokes or causes to be invoked any other collection procedure, or
threatens to do so, with a view to obtaining the payment,
or
(e) sends any invoice or other document stating the amount of the
payment or setting out the price of the goods or services or the charge for
the making of the entry, and the invoice or document does not contain a
warning statement complying with subsection (5A).
(5A) For the purposes of subsection (5) (e), a warning statement
must:(a) be printed in upper case and a type not smaller than 18 point and
be located at the top of the first page of the invoice or document,
and
(b) state “THIS IS NOT A BILL. YOU ARE NOT REQUIRED TO PAY ANY
MONEY.”.
(6) A person shall not be taken for the purposes of this section to
have authorised the making of an entry in a directory unless:(a) a document authorising the making of the entry has been signed by,
or with the authority of, the person,
(b) the document specifies:(i) the name of the directory,
(ii) the name and address of the person publishing the
directory,
(iii) particulars of the entry, and
(iv) the amount of the charge for the making of the entry or the basis
on which the charge is, or is to be, calculated,
and
(c) a copy of the document has been given to the person before the
right to payment of a charge for the making of the entry is
asserted.
(7) For the purposes of this section, an invoice or other document
purporting to have been sent by or on behalf of a person shall be deemed to
have been sent by that person unless the contrary is
established. (8) In a proceeding against a person in respect of a contravention of
this section:(a) in the case of a contravention constituted by asserting a right to
payment from another person for unsolicited goods or unsolicited
services—the burden lies on the defendant of proving that the defendant
had reasonable cause to believe that there was a right to payment,
or
(b) in the case of a contravention constituted by asserting a right to
payment from another person of a charge for the making of an entry in a
directory—the burden lies on the defendant of proving that the defendant
knew or had reasonable cause to believe that the other person had authorised
the making of the entry.
(9) In this section:directory
includes any publication of a similar nature to a directory but does not
include a newspaper published in good faith as a newspaper at regular
intervals or a publication published, or to be published, by or under the
authority of the Australian Telecommunications Commission. making, in
relation to an entry in a directory, means including, or arranging for the
inclusion of, the entry.
58A Assertion of right to payment for unauthorised
advertisements (1) A person must not, in trade or commerce, assert a right to payment
from another person for an advertisement relating to the other person, or the
profession, business, trade or occupation of the other person placed in a
publication, unless the person asserting the right knows, or has reasonable
cause to believe, that the other person has authorised in writing the
placement of the advertisement. (2) A person is not liable to make any payment to another person, and
is entitled to recover by action in a court of competent jurisdiction against
another person any payment made by the person to the other person, in full or
part satisfaction of a charge for the placement of any such advertisement
unless the first-mentioned person has authorised in writing the placement of
the advertisement. (3) For the purposes of this section, a person is taken to assert a
right to a payment if that person:(a) makes a demand for the payment or asserts a present or prospective
right to the payment, or
(b) threatens to bring any legal proceedings with a view to obtaining
the payment, or
(c) places or causes to be placed on a list of debtors or defaulters
the name of the person against whom the right to payment is being asserted, or
threatens to do so, with a view to obtaining the payment,
or
(d) invokes or causes to be invoked any other collection procedure, or
threatens to do so, with a view to obtaining the payment,
or
(e) sends any invoice or other document stating the amount of the
payment or setting out the charge for the placing of the advertisement, and
the invoice or document does not contain a warning statement complying with
subsection (4).
(4) For the purposes of subsection (3) (e), a warning statement
must:(a) be printed in upper case and a type not smaller than 18 point and
be located at the top of the first page of the invoice or document,
and
(b) state “THIS IS NOT A BILL. YOU ARE NOT REQUIRED TO PAY ANY
MONEY.”.
(5) For the purposes of this section, a person is taken to have given
written authorisation for the placement of an advertisement only if:(a) a document authorising the placing of the advertisement has been
signed by the person or by another person (not being the publisher) authorised
by that person, and
(b) a copy of the signed document has been given to the person before
the right to payment of a charge is asserted, and
(c) the document specifies:(i) the name of the publication, the area of circulation of the
publication and the total number of copies of the publication to be
circulated, and
(ii) the name and business address of the publisher,
and
(iii) the name and address of the person on whose behalf the publication
is published, and
(iv) particulars of the advertisement, and
(v) the date or dates on which the advertisement is to appear in the
publication, and
(vi) the amount of the charge for the placement of the advertisement or
the basis on which the charge is, or is to be,
calculated.
(6) For the purposes of this section, an invoice or other document
purporting to have been sent by or on behalf of a person is taken to have been
sent by the person unless the contrary is
established. (7) This section does not apply to a publication that is published by
a person if the person is:(a) a large proprietary company or a subsidiary of such a company or a
listed corporation or a subsidiary of such a corporation,
or
(b) the publisher of any publication that has an audited circulation
of 10,000 copies or more per week, or a person which is a related body
corporate to such a person, or
(c) a servant of the Crown, a body corporate which represents the
Crown or a local council, or
(d) any other person prescribed by the
regulations.
(8) In a proceeding against a person in respect of a contravention of
this section, the burden lies on the defendant of proving that the defendant
knew or had reasonable cause to believe that the other person had authorised
the placement of the advertisement. (9) In this section:audited
circulation in relation to a publication, means the circulation of
that publication as confirmed by the most recent audit of the publication by a
body approved by the Director-General. large
proprietary company has the same meaning as in the Corporations Act 2001 of the
Commonwealth. listed
corporation has the same meaning as in the Corporations Act 2001 of the
Commonwealth. subsidiary has the same
meaning as in the Corporations Act
2001 of the Commonwealth. (10) This section does not apply in relation to the making of an entry
in a directory.
59 Liability of recipient of unsolicited goods (TPA s 65) (1) A person to whom unsolicited goods are supplied by another person,
in trade or commerce, is not liable to make any payment for the goods and is
not liable for the loss of or damage to the goods other than loss or damage
resulting from the doing of a wilful and unlawful act in relation to the goods
during the period specified in subsection (4). (2) Subject to subsection (3), where a person sends, in trade or
commerce, unsolicited goods to another person:(a) neither the person who sent the goods nor any person claiming
under that person is entitled after the expiration of the period specified in
subsection (4) to take action for the recovery of the goods from the person to
whom the goods were sent, and
(b) upon the expiration of that period the goods become, by force of
this section, the property of the person to whom the goods were sent freed and
discharged from all liens and charges of any
description.
(3) Subsection (2) does not apply to or in relation to unsolicited
goods sent to a person if:(a) the person has at any time during the period specified in
subsection (4) unreasonably refused to permit the sender or the owner of the
goods to take possession of the goods,
(b) the sender or the owner of the goods has within that period taken
possession of the goods, or
(c) the goods were received by the person in circumstances in which
the person knew, or might reasonably be expected to have known, that the goods
were not intended for the person.
(4) The period referred to in subsections (1), (2) and (3) is:(a) if the person who receives the unsolicited goods gives notice with
respect to the goods to the sender in accordance with subsection (5):(i) the period of 1 month next following the day on which the notice
is given, or
(ii) the period of 3 months next following the day on which the person
received the goods,
whichever first expires, and
(b) in any other case—the period of 3 months next following the
day on which the person received the goods.
(5) A notice referred to in subsection (4) shall be in writing and
shall:(a) state the name and address of the person who received the
goods,
(b) state the address at which possession may be taken of the goods if
it is an address other than that of the person, and
(c) contain a statement to the effect that the goods are unsolicited
goods.
60 Application of certain provisions to prescribed
information providers (TPA s 65A) (1) Nothing in section 42, 44, 45, 49, 50 or 54 applies to a
prescribed publication of matter by a prescribed information provider, other
than:(a) a publication of matter in connection with:(i) the supply or possible supply of goods or
services,
(ii) the sale or grant, or possible sale or grant, of interests in
land,
(iii) the promotion by any means of the supply or use of goods or
services, or
(iv) the promotion by any means of the sale or grant of interests in
land,
where:(v) the goods or services were relevant goods or services, or the
interests in land were relevant interests in land, as the case may be, in
relation to the prescribed information provider, or
(vi) the publication was made on behalf of, or pursuant to a contract,
arrangement or understanding with:(A) a person who supplies goods or services of that kind, or who sells
or grants interests in land, being interests of that kind,
or
(B) a body corporate that is related to a body corporate that supplies
goods or services of that kind, or that sells or grants interests in land,
being interests of that kind, or
(b) a publication of an advertisement.
(2) For the purposes of this section, a publication by a prescribed
information provider is a prescribed publication if:(a) in any case—the publication was made by the prescribed
information provider in the course of carrying on a business of providing
information, or
(b) in the case of a person who is a prescribed information provider
by virtue of paragraph (a), (b) or (c) of the definition of prescribed
information provider in subsection (3) (whether or not the person is
also a prescribed information provider by virtue of another operation of that
definition)—the publication was by way of a radio or television
broadcast by the prescribed information provider.
(3) In this section:consortium has the same
meaning as it has in Part IIIB of the Broadcasting
and Television Act 1942 of the Commonwealth. prescribed
information provider means a person who carries on a business of
providing information and, without limiting the generality of the foregoing,
includes: (a) a person to whom, or each of the members of a consortium to which,
a licence has been granted under Part IIIB of the Broadcasting and Television Act 1942 of the
Commonwealth,
(b) the Australian Broadcasting Corporation, and
(c) the Special Broadcasting Service.
relevant goods or
services, in relation to a prescribed information provider, means
goods or services of a kind supplied by the prescribed information provider
or, where the prescribed information provider is a body corporate, by a body
corporate that is related to the prescribed information
provider. relevant interests in
land, in relation to a prescribed information provider, means
interests in land, being interests of a kind sold or granted by the prescribed
information provider or, where the prescribed information provider is a body
corporate, by a body corporate that is related to the prescribed information
provider.
Part 5A Trading stamp schemes and similar schemes 60A Definitions (1) In this Part:stamp
includes any coupon, voucher, token or similar device, but does not include
money. (2) For the purposes of this Part, a trading stamp
scheme is an arrangement by which:(a) a purchaser of goods or services (in this Part called the primary goods or
services) is given one or more stamps as a consequence of the
purchase, and
(b) stamps obtained in that way are able to be traded:(i) for additional goods or services (in this Part called the secondary goods
or services) supplied by persons under the arrangement,
or
(ii) for some discount, concession or advantage in connection with
obtaining goods or services so supplied.
60B Unlawful trading stamp schemes (1) A trading stamp scheme is unlawful unless:(a) the supplier of the secondary goods or services is a person
carrying on a genuine business of supplying those goods by retail, or of
supplying those services, otherwise than under the scheme,
or
(b) it is lawful according to subsection
(2).
(2) A trading stamp scheme is lawful:(a) if, under the scheme, the supplier of the primary goods or
services is the supplier of the secondary goods or services,
or
(b) if the stamps form part of, or are contained in, a newspaper or
other periodical, or
(c) if it is prescribed by the regulations as a lawful trading stamp
scheme.
60C Other unlawful schemes (1) The regulations may declare a scheme of a kind described in the
regulations to be an unlawful scheme. (2) A regulation is not to be made for the purposes of this section
except on the recommendation of the Director-General, who must be satisfied
that the scheme concerned:(a) operates in a way similar to a trading stamp scheme,
and
(b) is likely:(i) to have an inflationary effect on retail prices,
or
(ii) to promote unfair competition between a retailer who is a
participant in the scheme and one who is not, or
(iii) to be prejudicial, in any other respect, to fair trading or to the
public interest.
(3) A declaration, in a regulation made for the purposes of this
section, that it was made on the recommendation of the Director-General is
prima facie evidence that the recommendation was duly
made. (4) A scheme may be declared to be an unlawful scheme even though,
while operating in a way similar to a trading stamp scheme, it employs some
electronic means or other technique in addition to, or instead of, the issue
of stamps. (5) Except to the extent to which the scheme is rendered lawful by or
under section 60B (2), a scheme declared by the regulations to be an unlawful
scheme is to be regarded, for the purposes of this Part, as an unlawful
trading stamp scheme.
60D Offences A person must not:(a) act as a promoter of an unlawful trading stamp scheme,
or
(b) deliver or offer to deliver to another person any stamps or
equipment intended for use in an unlawful trading stamp scheme,
or
(c) supply any goods or services in exchange for stamps or credits, or
partly in exchange for stamps or credits, in accordance with an unlawful
trading stamp scheme, or
(d) publish an advertisement, or cause an advertisement to be
published, which is intended or apparently intended:(i) to induce persons to obtain, give out or trade stamps or credits
in accordance with an unlawful trading stamp scheme, or
(ii) otherwise to further the promotion or operation of such a
scheme.
Part 5B Lay-by sales 60E Meaning of “lay-by” (1) A lay-by is the supply of goods on terms (express or implied)
which provide that:(a) the goods will not be delivered to the consumer until the whole of
the price has been paid, and
(b) the price is required or allowed to be paid by 3 or more
instalments (for this purpose a deposit is considered to be an
instalment).
(2) The fact that the purchase price is allowed to be paid by less
than 3 instalments does not prevent there being a lay-by, so long as payment
by 3 or more instalments is allowed also. (3) A supply of goods which would be a lay-by except for the fact that
the price is required to be paid by less than 3 instalments is taken to be a
lay-by if the supplier has described, represented or advertised it as being a
lay-by. (4) The goods need not be in existence or in the supplier’s
possession when a lay-by is entered into.
60F Consumer must be given written statement of lay-by
terms (1) The consumer under a lay-by must be given a written statement (a
lay-by
statement) containing the terms or a summary of the terms of the
lay-by. (2) The statement must be given to the consumer when the lay-by is
entered into and must be clearly legible, readily understandable and written
in the English language. The statement may be written in another language if
that language is understood by the consumer. (3) The following are examples of some of the matters that the terms
of a lay-by would provide for and which would appear in the lay-by
statement:• the purchase price of the goods
• any deposit paid and balance outstanding
• the dates on which instalments are due
• any cancellation charge payable
• the date by which the final instalment must be
paid.
60G Consumer can cancel lay-by (1) The consumer can cancel a lay-by by notifying the supplier in
writing that the consumer wants to cancel, but this can only be done before
the goods are delivered. (2) The supplier can accept the cancellation of a lay-by even if
cancellation is not notified in writing. (3) Section 60I provides for refunds, cancellation charges and other
matters when a lay-by is cancelled.
60H Supplier can cancel if consumer breaches lay-by
term (1) The supplier can cancel a lay-by if the consumer breaches a term
of the lay-by (for example, by being late with a
payment). (2) However, the supplier must first give the consumer notice that the
lay-by will be cancelled if the consumer does not rectify the breach within a
specified period (in the example, by making the payment). The period specified
must not be less than 7 days. (3) The notice to the consumer must be in writing unless the consumer
accepts notice given in some other way (such as by telephone), but it must not
be a term of the lay-by that the consumer agrees to accept notice given other
than in writing. (4) The lay-by is cancelled at the end of the period specified in the
notice unless the consumer rectifies the breach before then or the supplier
agrees not to cancel. (5) Section 60I provides for refunds, cancellation charges and other
matters when a lay-by is cancelled.
60I What happens when a lay-by is cancelled (1) When a lay-by is cancelled (whether by the supplier or the
consumer):(a) the supplier must refund to the consumer all money paid by the
consumer under the lay-by (except any amount that the supplier is allowed to
keep under paragraph (b)), and
(b) the supplier is allowed to keep the cancellation
charge (the amount specified in the lay-by statement as the amount
the consumer must pay if the consumer cancels or the lay-by is cancelled
because the consumer fails to make a payment), and
(c) the supplier is entitled to recover any unpaid cancellation charge
from the consumer as a debt if the amounts paid by the consumer under the
lay-by are not enough to cover the cancellation
charge.
(2) However, the supplier cannot keep or recover any cancellation
charge (or any other money) if:(a) the supplier has breached any term of the lay-by,
or
(b) the goods were not available for delivery to the consumer when the
terms of the lay-by indicated they would be available, or
(c) the lay-by statement given to the consumer does not comply with
section 60F, is misleading or deceptive or contains a material false
representation as to the terms of the lay-by.
(3) A lay-by statement can provide that the cancellation charge is to
be an amount calculated in a particular way (rather than by providing that it
is to be a particular amount).
60J Supplier’s only remedies are those provided by this
Part (1) If a term of a lay-by is breached by the consumer or the lay-by is
cancelled, the supplier is not entitled to damages or to enforce any other
remedy in respect of the breach or cancellation except the remedies
specifically provided by this Part. (2) In particular, the supplier is not entitled to keep or recover any
money from the consumer except as specifically provided by this
Part.
60K Supplier cannot demand early payment If it is a term of a lay-by that payment in full must be made by a
fixed or ascertainable date, the supplier is not entitled to demand payment
before that date. 60L Cancellation charge cannot exceed a reasonable
amount (1) The cancellation charge that a supplier is allowed to keep or
recover under this Part is not to exceed the sum of the following
amounts:(a) an amount sufficient to recoup the supplier for reasonable selling
costs (including storage costs and administrative expenses) in respect of the
lay-by,
(b) an amount that equates to any loss of value of the goods (whether
due to deterioration or otherwise) between when the lay-by was entered into
and when the lay-by was cancelled.
(2) The supplier has the onus of establishing any loss of value of the
goods and his or her reasonable selling costs. (3) The supplier must also establish that any loss of value could not
have been avoided by the exercise of reasonable diligence on the
supplier’s part, otherwise the loss of value is to be
disregarded.
60M Contracting out etc prohibited (1) A term of a lay-by is void to the extent that it would operate to
exclude, modify or restrict the operation of this
Part. (2) A supplier must not enter into a lay-by if a term of the lay-by
would (but for subsection (1)) operate to exclude, modify or restrict the
operation of this Part.Maximum penalty: 50 penalty
units.
60N Other rights of consumer not affected This Part does not affect any rights that a consumer may have
otherwise than under this Part, such as the right to sue for damages for
breach of a term of the lay-by. 60O Other laws not affected (1) This Part does not affect the operation of any other Act or law
(for example, the Sale of Goods Act
1923) with respect to a lay-by, to the extent that does not
exclude, modify or restrict the operation of this
Part. (2) The terms of a lay-by are not limited by this Part and include any
terms implied by any other Act or law, to the extent that does not exclude,
modify or restrict the operation of this Part.
Part 5C Employment placement services 60P Interpretation (1) In this Part, employment placement
service means a service provided by a person as an agent for the
purpose of:(a) finding or assisting to find a person to carry out work for a
person seeking to have work carried out, or
(b) finding or assisting to find employment for a person seeking to be
employed,
whether or not the employment or work is to be undertaken or carried out
pursuant to a contract of employment. (2) However, employment placement
service does not include the publication of an advertisement for a
person who is seeking to have work carried out or to be employed if that
publication is the only service of a kind referred to in subsection (1) (a) or
(b) that is provided to the person by the person arranging the
publication. (3) This Part does not apply to or in respect of:(a) a model or modelling agency, or
(b) a licensee under the Entertainment Industry Act 1989,
or
(c) a person or class of persons exempted (conditionally or
unconditionally) from this Part by the regulations.
60Q Certain fees and charges prohibited in connection with
employment placement services (1) A person must not demand or receive any fee, charge or other
remuneration from a person seeking employment for the provision of employment
placement services to the person in relation to the seeking of
employment.Maximum penalty: 50 penalty
units. (2) It is immaterial whether the employment is to be carried out or
undertaken pursuant to a contract of employment. (3) If any fee, charge or other remuneration is received in
contravention of this section, the amount concerned may be recovered from the
person to whom it was paid in a court of competent jurisdiction as a debt due
to the person who paid the amount.
60R Information standards (1) The regulations may prescribe an information standard for
employment placement services. (2) A prescribed information standard may contain either or both of
the following:(a) requirements for information relating to employment placement
services to be communicated to a person to whom the services are to be
supplied,
(b) requirements with respect to the type and form of information to
be so communicated and the manner of communication.
(3) A person who provides employment placement services must comply
with the requirements of any information standard prescribed in accordance
with this section.
Part 5D Pyramid selling 60S Definitions In this Part:new
participant, in a pyramid selling scheme, includes a person who has
applied, or been invited, to participate in the scheme. participant
in a pyramid selling scheme means a person who participates in the
scheme. participate
in a pyramid selling scheme means: (a) establish or promote the scheme (whether alone or together with
another person), or
(b) take part in the scheme in any capacity (whether or not as an
employee or agent of a person who establishes or promotes the scheme, or
otherwise takes part in the scheme).
payment, to a
person or received by a person, means: (a) the provision of a financial or non-financial benefit to or for
the benefit of the person, or
(b) the provision of a financial or non-financial benefit partly to or
for the benefit of the person, and partly to or for the benefit of someone
else.
pyramid
selling scheme—see section 60T. 60T Meaning of “pyramid selling
scheme” (1) For the purposes of this Part, a pyramid selling
scheme is a scheme that has both of the following
characteristics:(a) to take part in the scheme, some or all new participants must make
a payment (a participation
payment) to another participant or participants in the
scheme,
(b) the participation payments are entirely or substantially induced
by the prospect held out to new participants that they will be entitled to a
payment (a recruitment
payment) in relation to the introduction to the scheme of further
new participants.
(2) A scheme may be a pyramid selling scheme:(a) no matter who holds out to new participants the prospect of
entitlement to recruitment payments, and
(b) no matter who is to make recruitment payments to new participants,
and
(c) no matter who is to make introductions to the scheme of further
new participants.
(3) A scheme may be a pyramid selling scheme even if it has any or all
of the following characteristics:(a) the participation payments may (or must) be made after the new
participants begin to take part in the scheme,
(b) making a participation payment is not the only requirement for
taking part in the scheme,
(c) the holding out of the prospect of entitlement to recruitment
payments does not give any new participant a legally enforceable
right,
(d) arrangements for the scheme are not recorded in writing (whether
entirely or partly),
(e) the scheme involves the marketing of goods or services (or
both).
(4) In deciding whether a scheme that involves the marketing of goods
or services (or both) is a pyramid selling scheme, a court may have regard to
the following matters in working out whether participation payments under the
scheme are entirely or substantially induced by the prospect held out to new
participants of entitlement to recruitment payments:(a) the extent to which the participation payments bear a reasonable
relationship to the value of the goods or services that participants are
entitled to be supplied under the scheme (as assessed, if appropriate, by
reference to the price of comparable goods or services available
elsewhere),
(b) the emphasis given in the promotion of the scheme to the
entitlement of participants to the supply of goods and services by comparison
with the emphasis given to their entitlement to recruitment
payments.
(5) Subsection (4) does not limit the matters to which the court may
have regard in deciding whether participation payments are entirely or
substantially induced by the prospect held out to new participants of
entitlement to recruitment payments.
60U Prohibition on participating in pyramid selling
scheme (1) A person must not participate in a pyramid selling
scheme. (2) A person must not induce, or attempt to induce, a person to
participate in a pyramid selling scheme.
Part 5E Industry code for motor vehicle insurers and
repairers 60V Definitions In this Part:applicable industry
code of conduct means a code of conduct declared under section 60X
(1). insurer means an
insurer who is in the business of insuring motor vehicles in respect of
property damage and who, in the course of that business, engages or authorises
repairers to repair motor vehicles. repairer means
a person who is in the business of repairing motor vehicles that have been
damaged. 60W Object of Part The object of this Part is to provide for fair, timely and
transparent conduct between insurers and repairers so that consumers with
damaged motor vehicles are not unduly inconvenienced or unfairly treated as a
result of the business practices in, or disputes between, the motor vehicle
insurance and repair industries. 60X Declaration of industry code of conduct in relation to
motor vehicle insurers and repairers (1) The regulations may declare that a code of conduct specified or
referred to in the regulations is an applicable industry code of conduct for
the purposes of this Part in relation to the conduct of the business of
insurers and repairers. (2) A regulation that declares a code of conduct under subsection (1)
may:(a) exclude any class of motor vehicles from the application of the
code, and
(b) exclude any provision of the code that relates to the voluntary
application of that code.
(3) The regulations may contain provisions of a savings or
transitional nature consequent on the declaration of an applicable industry
code of conduct.
60Y Compliance with applicable industry code of
conduct (1) An insurer or repairer must, in trade or commerce, comply with an
applicable industry code of conduct. (2) If an alleged contravention of an applicable industry code of
conduct is the subject of a dispute between an insurer and repairer, the
provisions of Part 6 for enforcement or remedies in respect of the
contravention do not apply unless:(a) the dispute resolution procedures under the code have been
followed but the dispute has not been resolved, or
(b) the insurer or repairer refuses to take part in those
procedures.
(3) An insurer or repairer may only take action under Part 6 if the
insurer or repairer is not the party refusing to take part in the dispute
resolution procedures under the applicable industry code of
conduct. (4) The Minister and the Director-General may decline to take action
under Part 6 with respect to an alleged contravention of an applicable
industry code of conduct if they consider that it is not in the public
interest to take that action.
Part 5F Funeral goods and services 60Z Provision of information to consumers (1) The regulations may prescribe an information standard for funeral
goods and services. (2) The information standard may make provision for or with respect to
requiring information to be provided to a consumer by a supplier of funeral
goods and services in connection with the supply in trade or commerce of
funeral goods or services to the consumer. (3) The information standard may include requirements with respect to
the form and manner in which information is to be provided to a
consumer. (4) This section does not limit section 38 (Prescribing of product
information standards). (5) In this Part, supply includes proposed and
prospective supply and offer to supply, and supplier has a corresponding
meaning.
60ZA Compliance (1) A person must not, in trade or commerce, in connection with the
supply to a consumer of funeral goods or services fail to comply with an
information standard prescribed under section 60Z. (2) If a person contravenes subsection (1) in connection with the
supply of funeral goods or services by the person and another person suffers
loss or damage as a result of the contravention, the person who suffers the
loss or damage is deemed, for the purposes of this Act, to have suffered it by
the supplying of the goods or services.
60ZB Review of Part (1) The Minister is to review the effectiveness of this Part and any
information standard prescribed under this Part. (2) The review is to be undertaken as soon as possible after the
period of 3 years from the date of commencement of this
Part. (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 3
years.
Part 6 Enforcement and remedies 61 Interpretation (TPA s 75B) A reference in this Part to a person involved in a contravention
of a provision of this Act shall be read as a reference to a person
who:(a) has aided, abetted, counselled or procured the
contravention,
(b) has induced, whether by threats or promises or otherwise, the
contravention,
(c) has been in any way, directly or indirectly, knowingly concerned
in, or party to, the contravention, or
(d) has conspired with others to effect the
contravention.
62 Offences against this Act (TPA s 79) (1) A person who:(a) contravenes,
(b) aids, abets, counsels or procures a person to
contravene,
(c) induces, or attempts to induce, a person whether by threats or
promises or otherwise, to contravene,
(d) is in any way, directly or indirectly, knowingly concerned in, or
party to, the contravention by a person of, or
(e) conspires with others to contravene,
a provision of this Act other than section 42, 43 or 60Y is guilty of an
offence against this Act. (2) A person guilty of an offence against this Act for which a penalty
is not otherwise provided is liable:(a) in the case of a person other than a body corporate—to a
penalty not exceeding 200 penalty units, or
(b) in the case of a body corporate—to a penalty not exceeding
1,000 penalty units.
(2A) A person who is convicted of a second or subsequent offence
against Part 5 is, in addition to, or as an alternative to, any monetary
penalty that may be imposed in relation to the offence, liable to imprisonment
for a term not exceeding 3 years. However, the maximum term of imprisonment
that the Local Court may impose for any such second or subsequent offence is 2
years. (3) If an act or omission is both an offence against this Act and an
offence under a law of the Commonwealth or a law in force elsewhere in
Australia, a person convicted of an offence under that law is not liable to be
convicted of the offence against this Act. (4) Where a person is convicted of 2 or more offences constituted by,
or relating to, contraventions of the same provision of this Act, being
contraventions that appear to the sentencing court to have been of the same
nature or a substantially similar nature and to have occurred at or about the
same time (whether or not the person is also convicted of an offence or
offences constituted by, or relating to, another contravention or other
contraventions of that provision that were of a different nature or occurred
at a different time), the court shall not, in respect of the first-mentioned
offences, impose on the person fines that, in the aggregate, exceed the
maximum fine that would be applicable in respect of one offence by the person
against that provision. (5) Where:(a) a person is convicted of an offence constituted by, or relating
to, a contravention of a provision of this Act, and
(b) a fine has, or fines have, previously been imposed on the person
by the sentencing court for an offence or offences constituted by, or relating
to, another contravention or other contraventions of the same provision, being
a contravention that, or contraventions each of which, appears to the court to
have been of the same nature as, or of a substantially similar nature to, and
to have occurred at or about the same time as, the first-mentioned
contravention (whether or not a fine has, or fines have, also previously been
imposed on the person for an offence or offences constituted by, or relating
to, a contravention or contraventions of that provision that were of a
different nature or occurred at a different time),
the court shall not, in respect of the offence mentioned in paragraph
(a), impose on the person a fine that exceeds the amount (if any) by which the
maximum fine applicable in respect of that offence under subsection (1) is
greater than the amount of the fine, or the sum of the amounts of the fines,
first referred to in paragraph (b). (6) In proceedings in the Supreme Court in its summary jurisdiction
against a person for contravening, or being involved in a contravention of, a
provision of Part 3, 4, 5, 5A, 5B, 5C, 5D, 5F or 8, the Court may:(a) grant an injunction under section 65 against the person in
relation to:(i) the conduct that constitutes, or is alleged to constitute, the
contravention, or
(ii) other conduct of that kind, or
(b) make an order under section 67 in relation to the
contravention.
(7) Where a person is, by any conviction or order of the Local Court,
adjudged to pay a fine, penalty, sum of money or costs in respect of an
offence against this Act, the Court by which the conviction or order was
effected or made may, on the application of the Minister or the
Director-General, order that the amount unpaid be recoverable as if it were a
judgment debt payable by the defaulter to the Crown under a judgment entered
up in the Court. (8) Where an order is made under subsection (7):(a) the order has effect according to its tenor,
and
(b) the conviction or order ceases to be enforceable by
imprisonment.
(9) If a person is convicted of an offence against this Act, the
convicting court may order the offender to reimburse the Department for the
cost of purchasing or testing any goods to which the conviction
relates.
63 Disposal of proceedings for offences (1) Proceedings for an offence against this Act may be taken and
prosecuted only by the Director-General or, in the name of the
Director-General, by a person acting with the authority of the
Director-General. (2) Proceedings for an offence against this Act (other than a breach
of the regulations) shall be disposed of summarily before:(a) the Local Court, or
(b) the Supreme Court in its summary
jurisdiction.
(3) Proceedings for a breach of the regulations shall be disposed of
summarily before the Local Court. (4) In proceedings for an offence against this Act, an authority to
prosecute purporting to have been signed by the Director-General is evidence
of that authority without proof of the signature of the
Director-General. (5) Notwithstanding any other provision of this Act, the maximum
monetary penalty that may be imposed by the Local Court in proceedings for an
offence against this Act is 100 penalty units or the maximum monetary penalty
provided by this Act for the offence, whichever is the
lesser. (6) Proceedings for an offence against this Act may be commenced
within 3 years after the alleged commission of the
offence.
63A Compensation orders by Local Court on conviction of
person (1) If:(a) a person is convicted by the Local Court of an offence against
this Act or the regulations, and
(b) the Court is satisfied that another person has sustained loss or
damage as a result of the conduct of the convicted
person,
the Court may, in addition to any penalty it may impose in respect of the
offence, order the convicted person to compensate the other person for the
loss or damage. (2) The compensation that the Local Court may order to be paid under
this section is not to exceed the jurisdictional limit of the Local Court when
sitting in its General Division within the meaning of the Local Court Act
2007. (3) In this section:(a) a reference to the conviction of a person includes a reference to
the making of an order in respect of a person under section 10 of the Crimes (Sentencing Procedure) Act
1999, and
(b) a reference to loss or damage does not, if the loss or damage
arises from a contravention of Part 5 (section 43 excepted), include a
reference to:(i) the death of a person, or
(ii) personal injury to a person (including any pre-natal injury, any
impairment of the person’s physical or mental condition and any
disease).
64 Penalty notices for certain offences (1) In this section:authorised
officer means: (a) the Director-General,
(b) an investigator, or
(c) a person appointed in writing by the Director-General as an
authorised officer for the purposes of this
section.
(2) Where it appears to an authorised officer that any person has
committed an offence prescribed for the purposes of this section, the
authorised officer may serve a notice on the apparent offender to the effect
that if it is not desired to have the matter determined by a court, the person
served may pay to the Director-General within the time specified in the notice
the amount of the penalty prescribed for the offence if dealt with under this
section. (3) A notice under subsection (2) may be served personally or by
post. (4), (5) (Repealed) (6) Where the amount of any penalty prescribed for an alleged offence
is paid pursuant to this section, no person is liable to any further
proceedings for the alleged offence. (7) Payment of the amount of a penalty pursuant to this section shall
not be regarded as an admission of liability for the purpose of, nor in any
way affect or prejudice, any civil claim, action or proceeding arising out of
the same occurrence. (8) The regulations may prescribe an offence for the purposes of this
section by setting out the offence or by a reference to the provision of this
Act or the regulations creating the offence. (9) An amount of penalty prescribed under this section for any offence
shall not exceed any maximum amount of penalty which could be imposed for the
offence by a court. (10) The provisions of this section shall be construed as
supplementing, and not as derogating from, any other provision of this Act or
the regulations or any other Act or regulation, by-law or ordinance under any
other Act in relation to proceedings which may be taken in respect of
offences.
64A Suspension of licences (1) In this section, licence means any licence,
permit or other authority granted or issued (whether before or after the
commencement of this section) under any legislation administered by the
Minister, and licensee means the holder of
the licence, permit or authority. (2) If the Director-General is of the opinion that there are
reasonable grounds to believe that:(a) a licensee has engaged in conduct that, under legislation
administered by the Minister, constitutes grounds for suspension or
cancellation of the licence, and
(b) it is likely that the licensee will continue to engage in that
conduct, and
(c) there is a danger that a person or persons may suffer significant
harm, or significant loss or damage, as a result of that conduct unless action
is taken urgently,
the Director-General may, by notice served on the licensee, suspend the
licence for a period of not more than 60 days specified in the notice,
commencing on service of the notice. (3) A notice under subsection (2) has effect according to its terms,
whether or not the licensee has been afforded an opportunity to be heard as to
whether the licence should be suspended. (4) Within 7 days after a licence has been suspended under this
section, the licensee must:(a) lodge the suspended licence at an office of the Department,
or
(b) if unable to lodge the suspended licence, lodge at an office of
the Department a statement signed by the licensee and providing accurate and
complete details of why the licence cannot be
lodged.
Maximum penalty: 10 penalty
units. (5) If, during the suspension of a licence under this section, the
Director-General is satisfied that the facts and circumstances that gave rise
to the suspension have so altered that the suspension should be terminated, it
is the duty of the Director-General, by further notice specifying the date of
termination, to terminate the suspension without delay and restore the licence
to the licensee. (6) Without affecting the generality of subsection (2):(a) a second or subsequent notice may be served on a licensee under
that subsection in respect of conduct of the kind to which that subsection
refers, and
(b) any such notice may be served during a period of suspension of the
licence concerned.
(7) This section has effect despite the provisions of any other Act,
and the power conferred by this section is in addition to, and does not limit
or displace, a power conferred by or under any other Act that authorises the
Director-General or any other person to suspend or cancel a licence or take
other action in respect of a licence or in respect of the conduct
concerned. (8) A licensee may apply to the Administrative Decisions Tribunal for
a review of a decision of the Director-General under this
section.
65 Injunctions (TPA s 80) (1) Where, on the application of the Minister, the Director-General or
any other person, the Supreme Court is satisfied that a person has engaged, or
is proposing to engage, in conduct that constitutes or would
constitute:(a) a contravention of a provision of Part 3, 4, 5, 5A, 5B, 5C, 5D,
5E, 5F or 8,
(b) attempting to contravene such a provision,
(c) aiding, abetting, counselling or procuring a person to contravene
such a provision,
(d) inducing, or attempting to induce, whether by threats or promises
or otherwise, a person to contravene such a provision,
(e) being in a way, directly or indirectly, knowingly concerned in, or
party to, the contravention by a person of such a provision,
or
(f) conspiring with others to contravene such a
provision,
the Court may grant an injunction in such terms as the Court determines
to be appropriate. (2) Without prejudice to the generality of subsection (1), an
injunction granted under that subsection may be, or include, an injunction
restraining a person from carrying on a business of supplying goods or
services (whether or not as part of, or incidental to, the carrying on of
another business):(a) for a specified period, or
(b) except on specified terms and
conditions.
(3) Where an application for an injunction under subsection (1) has
been made, the Supreme Court may, if the Court determines it to be
appropriate, grant an injunction by consent of all the parties to the
proceedings, whether or not the Court is satisfied that a person has engaged,
or is proposing to engage, in conduct of a kind specified in subsection
(1). (4) Where in the opinion of the Supreme Court it is desirable to do
so, the Court may grant an injunction pending determination of an application
under subsection (1). (5) The Supreme Court may rescind or vary an injunction granted under
subsection (1), (3) or (4). (6) The power of the Supreme Court to grant an injunction restraining
a person from engaging in conduct may be exercised:(a) whether or not it appears to the Court that the person intends to
engage again, or to continue to engage, in conduct of that
kind,
(b) whether or not the person has previously engaged in conduct of
that kind, and
(c) whether or not there is an imminent danger of substantial damage
to any person if the first-mentioned person engages in conduct of that
kind.
(7) The power of the Supreme Court to grant an injunction requiring a
person to do an act or thing may be exercised:(a) whether or not it appears to the Court that the person intends to
refuse or fail again, or to continue to refuse or fail, to do that act or
thing,
(b) whether or not the person has previously refused or failed to do
that act or thing, and
(c) whether or not there is an imminent danger of substantial damage
to any person if the first-mentioned person refuses or fails to do that act or
thing.
(8) Where the Minister or the Director-General makes an application to
the Supreme Court for the grant of an injunction under this section, the Court
shall not require the applicant or any other person, as a condition of
granting an interim injunction, to give any undertaking as to damages or
costs. (9) If:(a) in a case to which subsection (8) does not apply, the Court would,
but for this subsection, require a person to give an undertaking as to damages
or costs, and
(b) the Minister gives the undertaking,
the Court shall accept the undertaking by the Minister and shall not
require a further undertaking from any other
person. (10) If the Court grants an injunction in relation to goods the supply
of which would constitute an offence under Part 3, the Court may make such
order as it thinks fit with respect to disposal of the
goods.
66 Other injunctions (1) If, on the application of the Director-General with the consent of
the Minister, the Supreme Court is satisfied that a person has engaged, or is
proposing to engage, in conduct that constitutes, or would constitute:(a) a contravention of:(i) a provision of this Act other than a provision of Part 3, 4, 5,
5A, 5B, 5C, 5D, 5E, 5F or 8, or
(ia) a provision of the Fitness
Services (Pre-paid Fees) Act 2000, or
(ii) a provision of any other legislation administered by the Minister
or of an order made under any such legislation,
(iii), (iv) (Repealed)
(b) attempting to contravene such a provision,
(c) aiding, abetting, counselling or procuring a person to contravene
such a provision,
(d) inducing, or attempting to induce, whether by threats or promises
or otherwise, a person to contravene such a provision,
(e) being in any way, directly or indirectly, knowingly concerned in,
or party to, the contravention by a person of such a provision,
or
(f) conspiring with others to contravene such a
provision,
the Court may grant an injunction in such terms as the Court determines
to be appropriate. (2) An injunction under subsection (1) may be granted as an interim
injunction without an undertaking being required as to damages or costs or may
be granted as a permanent injunction.
66A Show cause action may be taken by
Director-General (1) In this section:unlawful
conduct means any conduct that constitutes a contravention of a
provision of this Act (or would constitute such a contravention if the conduct
occurred in New South Wales), whether or not any proceedings have been brought
in respect of the contravention. (2) If the Director-General is satisfied that a person has, in trade
or commerce, engaged in any unlawful conduct on more than one occasion
(whether in New South Wales or in any other place), the Director-General may,
by notice in writing served on the person, call on the person to show cause
why the person should not, for the reason specified in the notice, be
prevented from carrying on a business of supplying goods or
services. (3) The notice must specify the period (being at least 14 days after
the notice is served) in which the person may show
cause. (4) The person on whom a notice to show cause has been served under
this section may, within the period specified in the notice, make a written
submission in relation to the matters to which the notice
relates. (5) The Director-General:(a) is to consider any such submission, and
(b) may conduct such inquiries, or make such investigations, in
relation to the matters to which the notice relates as the Director-General
thinks appropriate.
(6) This section does not limit the operation of section 65 or
66.
66B Trading prohibition orders (1) The Director-General may, after issuing a notice under section 66A
to a person and taking into consideration any submissions made in relation to
the matter, apply to the Supreme Court for an order under this section in
respect of the person if the Director-General is of the opinion that the
person is likely to engage again, or to continue to engage, in any unlawful
conduct within the meaning of section 66A. (2) The Supreme Court may, on application by the Director-General
under subsection (1), make an order prohibiting the person who is the subject
of the application (the
relevant person) from carrying on a business of supplying goods or
services (whether or not as part of, or incidental to, the carrying on of
another business) for an indefinite period or for a period specified in the
order. (3) In making any such order, the Supreme Court may, if the Court is
satisfied that a person has sustained loss or damage as a result of the
unlawful conduct of the relevant person, order the relevant person to
compensate the other person for the loss or damage. (4) A reference in subsection (3) to loss or damage does not, if the
loss or damage arises from a contravention of Part 5 (section 43 excepted),
include a reference to:(a) the death of a person, or
(b) personal injury to a person (including any pre-natal injury, any
impairment of the person’s physical or mental condition and any
disease).
(5) This section does not limit the operation of section 65 or
66.
67 Order to disclose information or publish
advertisement (TPA s 80A) Without limiting the generality of section 65, where, on the
application of the Minister or the Director-General, the Supreme Court is
satisfied that a person has engaged in conduct constituting a contravention of
a provision of Part 3, 4, 5 (section 43 excepted), 5A, 5B, 5C, 5D, 5E, 5F or 8
the Court may make either or both of the following orders:(a) an order requiring that person or a person involved in the
contravention to disclose to the public, to a particular person or to persons
included in a particular class of persons, in such manner as is specified in
the order, such information, or information of such a kind, as is so
specified, being information that is in the possession of the person to whom
the order is directed or to which that last-mentioned person has
access,
(b) an order requiring the person or a person involved in the
contravention to publish, at the person’s own expense, in a manner and
at times specified in the order, advertisements the terms of which are
specified in, or are to be determined in accordance with, the
order.
68 Actions for damages (TPA s 82) (1) A person who suffers loss or damage by conduct of another person
that is in contravention of a provision of Part 3, 4, 5 (section 43 excepted),
5A, 5B, 5C, 5D, 5E or 5F may recover the amount of the loss or damage from the
other person or from any person involved in the contravention, in a court of
competent jurisdiction. (1A) A reference to loss or damage in subsection (1) does not, if the
loss or damage arises from a contravention of Part 5 (section 43 excepted),
include a reference to:(a) the death of a person, or
(b) personal injury to a person (including any pre-natal injury, any
impairment of the person’s physical or mental condition and any
disease).
(2) Proceedings under subsection (1) may be commenced at any time
within 6 years after the day on which the cause of action that relates to the
conduct accrued. (2A) Subsection (2) does not apply to a cause of action to which
Division 6 of Part 2 of the Limitation Act
1969 applies. (3) If the matter of such loss or damage arises in connection with a
matter the subject of proceedings in the Tribunal, the Tribunal may proceed to
decide it, and in so doing may award such sum, and make such ancillary orders,
as it thinks fit.
68A Remedy for supply of goods in contravention of certain
provisions (1) If:(a) goods are supplied to a person in contravention of section 27,
or
(b) goods are supplied to a person and the supply of the goods is an
offence under section 32 (whether or not there has been a conviction for the
offence),
the person may recover from the supplier as a debt any money paid for the
goods. (2) If judgment is given for the plaintiff in an action under
subsection (1), the judgment debt may, if the court so directs, be satisfied
by repair or modification of the goods in such a manner that:(a) the contravention relied on by the plaintiff would not have
occurred if the goods had been supplied as repaired or modified,
or
(b) the repaired or modified goods are accepted by the plaintiff on or
before a day specified in the direction.
69 Finding in proceedings to be evidence (TPA s 83) In any proceedings under section 68 or 68A or in an application
under section 66B or 72 (2) for an order against a person, a finding of any
fact by a court made in proceedings under section 65, 66 or 67, or for an
offence against this Act, in which that person has been found to have
contravened, or to have been involved in a contravention of, a provision of
Part 3, 4, 5, 5B, 5C, 5D, 5E or 5F is evidence of that fact and the finding
may be proved by production of a document under the seal of the court from
which the finding appears.
70 Conduct by directors, servants or agents (TPA s 84) (1) If, in a proceeding under this Part in respect of conduct engaged
in by a body corporate, it is necessary to establish the state of mind of the
body corporate, it is sufficient to show that a director, servant or agent of
the body corporate, being a director, servant or agent by whom the conduct was
engaged in within the scope of the person’s actual or apparent
authority, had that state of mind. (2) Any conduct engaged in on behalf of a body corporate:(a) by a director, servant or agent of the body corporate within the
scope of the person’s actual or apparent authority,
or
(b) by any other person at the direction or with the consent or
agreement (whether express or implied) of a director, servant or agent of the
body corporate, if the giving of the direction, consent or agreement is within
the scope of the actual or apparent authority of the director, servant or
agent,
shall be deemed, for the purposes of this Act, to have been engaged in
also by the body corporate. (3) If, in a proceeding under this Part in respect of conduct engaged
in by a person other than a body corporate, it is necessary to establish the
state of mind of the person, it is sufficient to show that a servant or agent
of the person, being a servant or agent by whom the conduct was engaged in
within the scope of the servant’s or agent’s actual or apparent
authority, had that state of mind. (4) Conduct engaged in on behalf of a person other than a body
corporate:(a) by a servant or agent of the person within the scope of the actual
or apparent authority of the servant or agent, or
(b) by any other person at the direction or with the consent or
agreement (whether express or implied) of a servant or agent of the
first-mentioned person, if the giving of the direction, consent or agreement
is within the scope of the actual or apparent authority of the servant or
agent,
shall be deemed, for the purposes of this Act, to have been engaged in
also by the first-mentioned person. (5) A reference in this section to the state of mind of a person
includes a reference to the knowledge, intention, opinion, belief or purpose
of the person and the person’s reasons for that intention, opinion,
belief or purpose.
71 Defences (TPA s 85) (1) Subject to subsection (3), in a prosecution under this Part in
relation to a contravention of a provision of Part 3, 4, 5, 5A, 5B, 5C, 5D, 5F
or 8 it is a defence if the defendant establishes:(a) that the contravention in respect of which the proceedings were
instituted was caused by a reasonable mistake of fact, including a mistake of
fact caused by reasonable reliance on information supplied by another person,
or
(b) (Repealed)
(c) that:(i) the contravention in respect of which the proceeding was
instituted was due to the act or default of another person, to an accident or
to some other cause beyond the defendant’s control,
and
(ii) the defendant took reasonable precautions and exercised due
diligence to avoid the contravention.
(2) In subsection (1), another person does not
include a person who was:(a) a servant or agent of the defendant, or
(b) in the case of a defendant being a body corporate, a director,
servant or agent of the defendant,
at the time when the contravention occurred. (3) If a defence provided by subsection (1) involves an allegation
that a contravention was due to reliance on information supplied by another
person or to the act or default of another person, the defendant is not,
without leave of the court, entitled to rely on that defence unless the
defendant has, not later than 7 days before the day on which the hearing of
the proceeding commences, served on the person by whom the proceeding was
instituted a notice in writing giving such information that would identify or
assist in the identification of the other person as was then in the
defendant’s possession. (4) In a proceeding under this Part in relation to a contravention of
a provision of this Act committed by the publication of an advertisement, it
is a defence if it is established that the defendant is a person whose
business it is to publish or arrange for the publication of advertisements and
that the defendant received the advertisement for publication in the ordinary
course of business and did not know and had no reason to suspect that its
publication would amount to a contravention of a provision of this
Act.
72 Other orders (TPA s 87) (1A) A reference in this section to loss or damage does not, if the
loss or damage arises from a contravention of Part 5 (section 43 excepted),
include a reference to:(a) the death of a person, or
(b) personal injury to a person (including any pre-natal injury, any
impairment of the person’s physical or mental condition and any
disease).
(1) Without limiting the generality of section 65, if, in a proceeding
instituted under this Part, or for an offence against Part 3, 4, 5, 5B, 5C,
5D, 5F or 8, the Supreme Court finds that a person has sustained, or is likely
to sustain, loss or damage by conduct of another person that contravened a
provision of Part 3, 4, 5, 5B, 5C, 5D, 5E, 5F or 8, the Court may, whether or
not it grants an injunction under section 65 or makes an order under section
67 or 68, make such order or orders as it thinks appropriate against the
person who engaged in the conduct or a person who was involved in the
contravention (including all or any of the orders specified in subsection (5))
if the Court considers that the order or orders concerned will compensate the
first-mentioned person wholly or in part for the loss or damage or will
prevent or reduce the loss or damage. (2) Without limiting the generality of section 65, the Supreme Court
may, on the application of a person who has sustained, or is likely to
sustain, loss or damage by conduct of another person that contravened a
provision of Part 3, 4, 5, 5B, 5C, 5D, 5E, 5F or 8 or on the application of
the Director-General in accordance with subsection (4) on behalf of such a
person or 2 or more such persons, make such order or orders as the Court
thinks appropriate against the person who engaged in the conduct or a person
who was involved in the contravention (including all or any of the orders
specified in subsection (5)) if the Court considers that the order or orders
concerned will compensate the person who made the application, or the person
or any of the persons on whose behalf the application was made, wholly or in
part for the loss or damage or will prevent or reduce the loss or
damage. (3) An application may be made under subsection (2) in relation to a
contravention of Part 3, 4, 5, 5B, 5C, 5D, 5E, 5F or 8 even if a proceeding
has not been instituted under another provision of this Part in relation to
the contravention. (4) Where, in a proceeding instituted for an offence against Part 3,
4, 5, 5B, 5C, 5D, 5F or 8 or instituted by the Minister or the
Director-General under section 65, a person is found to have engaged in
conduct in contravention of a provision of Part 3, 4, 5, 5B, 5C, 5D, 5E, 5F or
8, the Director-General may make an application under subsection (2) on behalf
of one or more persons identified in the application who have suffered, or are
likely to suffer, loss or damage by the conduct, but the Director-General
shall not make such an application except with the consent in writing given
before the application is made by the person, or by each of the persons, on
whose behalf the application is made. (5) The orders referred to in subsections (1) and (2) are:(a) an order declaring the whole or any part of a contract made
between the person who suffered, or is likely to suffer, the loss or damage
and the person who engaged in the conduct or a person who was involved in the
contravention constituted by the conduct, or of a collateral arrangement
relating to such a contract, to be void and, if the Supreme Court thinks fit,
to have been void from its beginning or at all times on and after such date
before the date on which the order is made as is specified in the
order,
(b) an order varying such a contract or arrangement in such manner as
is specified in the order and, if the Court thinks fit, declaring the contract
or arrangement to have had effect as so varied on and after such date before
the date on which the order is made as is so specified,
(c) an order refusing to enforce any or all of the provisions of such
a contract or arrangement,
(d) an order directing the person who engaged in the conduct or a
person who was involved in the contravention constituted by the conduct to
refund money or return property to the person who suffered the loss or
damage,
(e) an order directing the person who engaged in the conduct or a
person who was involved in the contravention constituted by the conduct to pay
to the person who suffered the loss or damage the amount of the loss or
damage,
(f) an order directing the person who engaged in the conduct or a
person who was involved in the contravention constituted by the conduct, at
the person’s own expense, to repair, or provide parts for, goods that
had been supplied by the person who engaged in the conduct to the person who
suffered, or is likely to suffer, the loss or damage,
(g) an order directing the person who engaged in the conduct or a
person who was involved in the contravention constituted by the conduct, at
the person’s own expense, to supply specified services to the person who
suffered, or is likely to suffer, the loss or damage, and
(h) an order, in relation to an instrument creating or transferring an
interest in land, directing the person who engaged in the conduct or a person
who was involved in the contravention constituted by the conduct to execute an
instrument that:(i) varies, or has the effect of varying, the first-mentioned
instrument, or
(ii) terminates or otherwise affects, or has the effect of terminating
or otherwise affecting, the operation or effect of the first-mentioned
instrument.
(6) An application under subsection (2) may be made at any time within
6 years after the date on which the cause of action that relates to the
conduct accrued. (6A) Subsection (6) does not apply to a cause of action to which
Division 6 of Part 2 of the Limitation Act
1969 applies. (7) For the purpose of determining whether to make an order under this
section in relation to a contravention of section 43, the Court may have
regard to the conduct of the parties to the proceedings since the
contravention occurred. (8) The powers conferred on the Supreme Court under this section in
relation to a contract or arrangement do not affect any powers that any other
court may have in relation to the contract or arrangement in proceedings
instituted in that other court in respect of the contract or
arrangement.
73 Power of Supreme Court to prohibit payment or transfer of
money or other property (TPA s 87A) (1) Where:(a) proceedings have been commenced in the Supreme Court against a
person for an offence against this Act, or
(b) an application has been made under section 65 or 66 for an
injunction against a person in relation to a contravention of a provision of
this Act, or
(b1) an application for an order under section 66B has been made in
relation to a person, or
(c) an action has been commenced under section 68 (1) against a person
in relation to a contravention of a provision of this Act,
or
(d) an application for an order under section 72 (2) or (4) has been
or may be made against a person in relation to a contravention of a provision
of this Act,
the Court may, on the application of the Minister or the
Director-General, make an order or orders specified in subsection (2) if the
Court is satisfied that:(e) it is necessary or desirable to do so for the purpose of
preserving money or other property held by or on behalf of a person referred
to in paragraph (a), (b), (b1), (c) or (d), as the case may be (in this
section referred to as the relevant person), if
the relevant person is liable or may become liable under this Act to pay money
by way of a fine, damages, compensation, refund or otherwise or to transfer,
sell or return other property, and
(f) it will not unduly prejudice the rights and interests of any other
person.
(2) The orders referred to in subsection (1) are:(a) an order prohibiting, either absolutely or subject to conditions,
a person who is indebted to the relevant person or to an associate of the
relevant person from making a payment in total or partial discharge of the
debt to, or to another person at the direction or request of, the person to
whom the debt is owed,
(b) an order prohibiting, either absolutely or subject to conditions,
a person who is holding money or other property on behalf of the relevant
person or on behalf of an associate of the relevant person from paying all or
any of the money, or transferring, or otherwise parting with possession of,
the other property, to, or to another person at the direction or request of,
the person on whose behalf the money or other property is
held,
(c) an order prohibiting, either absolutely or subject to conditions,
the taking or sending by any person of money of the relevant person or of an
associate of the relevant person to a place outside the
State,
(d) an order prohibiting, either absolutely or subject to conditions,
the taking, sending or transfer by any person of other property of the
relevant person or of an associate of the relevant person to a place outside
the State, and
(e) an order appointing, where the relevant person is a natural
person, a receiver or trustee of the property or of part of the property of
the relevant person with such powers as are specified in the
order.
(3) Subject to subsection (4), an order under this section may be
expressed to operate:(a) for a period specified in the order, or
(b) until proceedings under any other provision of this Part in
relation to which the order was made have been
concluded.
(4) An order under this section made in the absence of the person
against whom the order is sought shall not be expressed to operate for a
period exceeding 30 days. (5) A person who contravenes or fails to comply with an order by the
Supreme Court under this section that is applicable to the person is guilty of
an offence punishable on conviction:(a) in the case of a person other than a body corporate—by a
fine not exceeding 200 penalty units, or
(b) in the case of a body corporate—by a fine not exceeding
1,000 penalty units.
(6) Nothing in this section affects the powers that the Court has
apart from this section. (7) A reference in this section to a person who is an associate of a
relevant person is a reference to:(a) a person holding money or other property on behalf of the relevant
person, or
(b) if the relevant person is a body corporate—a wholly owned
subsidiary of the relevant person.
73A Enforcement of undertakings (TPA ss 87B and 87C) (1) The Director-General may accept a written undertaking given by a
person for the purposes of this section in connection with a matter in
relation to which the Director-General has a function under this
Act. (2) The person may withdraw or vary the undertaking at any time, but
only with the consent of the Director-General. The consent of the
Director-General is required even if the undertaking purports to authorise a
withdrawal or variation of the undertaking without that
consent. (3) If the Director-General considers that the person who gave the
undertaking has breached any of its terms, the Director-General may apply to
the Supreme Court for an order under subsection
(4). (4) If the Supreme Court is satisfied that the person has breached a
term of the undertaking, the Court may make all or any of the following
orders:(a) an order directing the person to comply with that term of the
undertaking,
(b) an order directing the person to pay to the State an amount not
exceeding the amount of any financial benefit that the person has obtained
directly or indirectly and that is reasonably attributable to the
breach,
(c) any order that the Court considers appropriate directing the
person to compensate any other person who has suffered loss or damage as a
result of the breach,
(d) any other order that the Court considers
appropriate.
Part 7 74–79A(Repealed) Part 8 General Division 1 Evidence 80 Evidence as to publication (1) In any proceedings under this Act:(a) where a published statement is intended, or apparently intended,
to promote the supply or use of any goods or services, or the sale or grant of
an interest in land, and
(b) a name, business name, address, telephone number, post office box
number or newspaper office reply number specified in the statement is that of
a person, or the agent of a person, who:(i) is the owner, whether alone or jointly with another person or
other persons, of the goods or interest in land,
(ii) is the supplier of the goods or services,
(iii) has an interest, otherwise than as owner, in the goods,
or
(iv) has an interest, otherwise than as supplier, in the supply of the
services,
it shall be presumed, unless the contrary is established, that the person
or agent, as the case may be, caused the statement to be
published. (2) For the purposes of subsection (1), a person who causes a
statement to be published shall be deemed to have done so on each day on which
the statement is published.
81 Allegation as to consumer If it is alleged in any proceedings under this Act, or in any
other proceedings in respect of a matter arising under this Act, that a person
was at any time a consumer in relation to any particular goods, services or
land, it shall be presumed, unless the contrary is proved, that the person was
at that time a consumer in relation to the goods, services, or
land. 82 Certificate of analyst (1) In any proceedings under this Act, a certificate purporting to
have been signed by a prescribed authority, or by an officer on behalf of the
prescribed authority, is, without proof of the signature or of the official
character of the person by whom the certificate was signed, evidence of the
facts certified unless the defendant requires the person who signed the
certificate to be called as a witness in the
proceedings. (2) In this section:prescribed
authority means: (a) the Government Analyst, or
(b) a registered laboratory of the National Association of Testing
Authorities.
83 Evidence of standards etc In any proceedings under this Act, a printed document that
purports:(a) to be a standard, rule, code or specification of an association or
body referred to in, or prescribed under, section 92 (2),
and
(b) to have been published or issued by or on behalf of that
association or body,
is evidence of that standard, rule, code or
specification. 84 Evidence as to certain matters In any legal proceedings, whether or not they are proceedings
under this Act:(a) a certificate purporting to have been signed by the
Director-General and to the effect:(i) that a specified person was, during a specified period, an
investigator or an authorised person,
(ii) that a specified person was, during a specified period, an
authorised officer for the purposes of section 64, or
(iii) that specified legislation was, during a specified period,
administered by the Minister,
is evidence of the matter certified without proof of the signature or of
the official character of the person by whom the certificate purports to have
been signed, and
(b) it shall be presumed, unless the contrary is proved, that the
opinion of the Director-General necessary for any of the purposes of this Act
was duly formed.
85 Permission, consent or approval of Minister (1) In any legal proceedings a certificate purporting to have been
signed by the Minister or the Director-General and to the effect that a
specified authority, permission or consent of the purported signatory was or
was not given is, without proof of the signature or official character of the
person by whom the certificate was signed, evidence of the matter
certified. (2) In any legal proceedings, it shall be presumed, unless evidence is
given to the contrary, that any authority, permission or consent of the
Minister required before the exercise of a function by the Director-General
has been given.
Division 2 Miscellaneous 86 Intervention by Minister (1) The Minister may, at any stage of proceedings brought before a
Court under:(a) this Act, or
(b) any other legislation administered by the
Minister,
intervene in the proceedings. (2) Where the Minister intervenes in proceedings, the Minister:(a) becomes a party to the proceedings, and
(b) has all the rights, including rights of appeal, of a party to the
proceedings.
86A Public warning statements (1) The Minister or the Director-General may make or issue a public
statement identifying and giving warnings or information about any of the
following:(a) goods that are unsatisfactory or dangerous and persons who supply
those goods,
(b) services supplied in an unsatisfactory manner and persons who
supply those services,
(c) unfair business practices and persons who engage in those
practices,
(d) any other matter that adversely affects or may adversely affect
the interests of persons in connection with the acquisition by them of goods
or services from suppliers.
(2) Such a statement can identify particular goods, services, business
practices and persons. (3) The Minister or the Director-General is not to make or issue a
statement under this section unless satisfied that it is in the public
interest to do so.
87 Publication of certain statements prohibited (1) Except in the case of a statement published with the consent of
the Minister, or of a person authorised by the Minister to give the consent, a
person shall not publish, or cause to be published, a statement that is
intended, or apparently intended, to promote the supply or use of goods or
services, or the sale or grant of interests in land, if the statement makes
reference to:(a) the Minister,
(b) the Department,
(c) the Director-General,
(d) a person or organisation prescribed by the regulations for the
purposes of this section, being a person or organisation in existence at, or
at any time before, the prescription, or
(e) a person who is, or was, employed by the Department, or by a
person referred to in paragraph (d), or by an organisation so referred
to.
Maximum penalty: 20 penalty
units. (2) A reference in subsection (1) (d) to a person or organisation
includes a reference to a person appointed, or an organisation constituted,
under an Act of the Commonwealth or of a State or Territory of the
Commonwealth.
88 Service of notices etc (1) A notice or direction in writing that is required or permitted to
be given under this Act may be given:(a) to a person other than a body corporate:(i) by giving it to the person himself or herself,
(ii) by leaving it at his or her place of residence with someone who
apparently resides there and has apparently reached the age of 16
years,
(iii) by leaving it at his or her place of employment or business with
someone who is apparently employed there and has apparently reached the age of
16 years, or
(iv) by posting it in a letter addressed to him or her at the address
last known to the Director-General of his or her place of residence,
employment or business, or
(b) to a body corporate:(i) by giving it to the secretary of the body corporate, or any other
person concerned in the management of the body corporate,
personally,
(ii) by leaving it at the body corporate’s only or principal
place of business with someone who is apparently employed there and has
apparently reached the age of 16 years, or
(iii) by posting it in a letter addressed to the body corporate at the
address last known to the Director-General of its only or principal place of
business.
(2) Subsection (1) (b) does not limit anything in section 109X or
601CX of the Corporations Act 2001
of the Commonwealth.
89 Saving of rights and remedies (1) Except to the extent that this Act otherwise expressly provides,
this Act does not limit, restrict or otherwise affect any right or remedy a
person would have had if this Act had not been
enacted. (2) Subject to any order under section 72, if the making of a contract
contravenes a provision of this Act by reason of the inclusion in the contract
of a provision that is severable, nothing in this Act affects the validity or
enforcement of the contract otherwise than in relation to that
provision.
90 Repeals Each Act specified in Schedule 3 is, to the extent specified in
that Schedule, repealed. 91 Savings and transitional provisions Schedule 5 has effect. 92 Regulations (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 this Act. (1A) The regulations may make provision for or with respect to the
procedure for the calling and holding of meetings of an advisory
council. (2) A regulation may apply, adopt or incorporate, wholly or in part,
and with or without modification, any standard, rule, code or specification of
Standards Australia, the British Standards Institution or any other
association or body and may classify or describe anything by reference to a
diagram, illustration or photograph. (3) A regulation may create an offence punishable by a penalty not
exceeding 10 penalty units. (4) A provision of a regulation may:(a) apply generally or be limited in its application by reference to
specified exceptions or factors,
(b) apply differently according to different factors of a specified
kind, or
(c) may authorise any matter or thing to be from time to time
determined, applied or regulated by a specified person or
body,
or may do any combination of those things.
93 Disposal of property (1) The Director-General may order that anything that the
Director-General has obtained in the course of an investigation under this Act
(other than anything seized by an investigator under the authority of a search
warrant issued under section 19A) be sold, destroyed or otherwise disposed of,
if:(a) the thing is not required to be retained as evidence in
proceedings for an offence against this or any other Act,
and
(b) the person who had lawful possession of the thing before it came
into the Director-General’s possession cannot be found or does not wish
to have the thing returned.
(2) If the thing is disposed of by way of sale, the proceeds of sale
are to be paid to the Treasurer for payment into the Consolidated
Fund.
Schedule 1 Paramount legislation (Section 4 (6)) Civil Liability Act
2002Dairy Industry Act
2000Electricity (Consumer Safety) Act
2004Environmentally Hazardous Chemicals Act
1985Explosives Act
2003Fertilisers Act
1985Food Act 2003Local Government Act
1993Plant Diseases Act
1924Poisons and Therapeutic Goods Act
1966Public Health Act
1991Radiation Control Act
1990Rice Marketing Act
1983Stock Foods Act
1940Stock Medicines Act
1989Schedule 2 Acts prohibiting or regulating the supply of
goods (Section 28) Environmentally Hazardous
Chemicals Act 1985Explosives Act
2003Fertilisers Act
1985Food Act 2003Plant Diseases Act
1924Poisons and Therapeutic Goods Act
1966Radiation Control Act
1990Seeds Act 1982Stock Foods Act
1940Stock Medicines Act
1989Schedule 3 Repeals (Section 90) Consumer Protection Act 1969 No
28—the whole Act Supreme Court Act 1970 No
52—so much of the Second Schedule as amended Act No 28,
1969 Dangerous Goods Act 1975 No
68—so much of Schedule 2 as amended Act No 28, 1969 Metric Conversion Act 1975 No
72—Items 166, 167 and 168 of the Schedule Pyramid Sales Act 1974 No 33—the
whole Act Unsolicited Goods and Services Act 1974 No
89—the whole Act Referral Selling Act 1974 No 102—the
whole Act Pesticides and Allied Chemicals Act 1978 No
57—section 78 Consumer Protection (Amendment) Act 1978 No
60—the whole Act Consumer Protection (Amendment) Act 1981 No
12—the whole Act Miscellaneous Acts (Companies) Amendment Act 1981 No
123—so much of Schedule 8 as amended Act No 28, 1969 and Act No
89, 1974 Miscellaneous Acts (Local Courts) Amendment Act
1982 No 168—so much of Schedule 1 as amended Act No 33,
1974 Miscellaneous Acts (Credit) Repeal and Amendment Act
1984 No 100—so much of Schedule 2 as amended Act No 28,
1969 Statute Law (Miscellaneous Amendments) Act 1984 No
153—so much of Schedule 16 as amended Act No 60, 1978 Consumer Protection (Motor Dealers) Amendment Act
1985 No 105—the whole Act Statute Law (Miscellaneous Provisions) Act 1985 No
231—so much of Schedule 31 as amended Act No 28,
1969 Schedule 4 Provisions applicable to Products Safety
Committee (Section 24) 1 Appointment and tenure of office of members (1) Subject to subclauses (3), (4) and (5), a member of the Committee
holds and vacates office in accordance with the terms of the appointment or
reappointment of the member. (2) On the expiration of any period of appointment or reappointment, a
member of the Committee may be reappointed for a further
period. (3) A member of the Committee may at any time resign from the
Committee by notice in writing addressed to the Minister and delivered to the
Director-General. (4) The Minister may at any time remove from office a member of the
Committee by notice in writing addressed and delivered to the
member. (5) The Chairperson of the Committee vacates office as a member of the
Committee on ceasing to be an officer. (6) The Executive Officer of the Committee vacates office as a member
of the Committee on ceasing to be an officer.
2 Deputies of members If a member referred to in section 24 (2) (c) is unable to carry
out duties as a member of the Committee for any period, the Minister may
appoint another person who, in the opinion of the Minister, has expertise in
product safety to act in the place of the member for that period, and a person
so appointed shall, during that period, be deemed to be a member of the
Committee. 3 Co-opted members (1) The Committee, with the prior approval of the Minister, may co-opt
any person who, in its opinion, has expertise in relation to a question
referred to it under section 28 or in relation to the subject-matter of a
review by the Committee under section 36. (2) A person co-opted under subclause (1) shall, when attending a
meeting of the Committee, be deemed to be a member of the Committee and has a
right to vote and participate in the Committee’s
proceedings.
4 Remuneration A member of the Committee is entitled to be paid such remuneration
(including travelling and subsistence allowances) as the Minister may from
time to time determine in respect of the member. 5 Effect of certain other Acts Where by or under any other Act provision is made requiring a
person who is the holder of an office specified in the Act to devote the whole
of his or her time to the duties of that office, or prohibiting the person
from engaging in employment outside the duties of that office, that provision
shall not operate to disqualify the person from holding that office and also
the office of a member or from accepting and retaining any remuneration
payable to the person under this Act as a member of the
Committee. 6 General procedure The procedure for the calling of meetings of the Committee and for
the conduct of business at those meetings shall be as determined by the
Committee. 7 Voting A decision supported by a majority of the votes cast at a meeting
of the Committee shall be the decision of the
Committee. 8 Minutes The Committee shall cause full and accurate minutes to be kept of
the proceedings at each meeting of the Committee. Schedule 4A Provisions relating to advisory
councils (Sections 25B, 25E, 25H, 25K, 25N) 1 Chairperson (1) The Minister may appoint an appointed member of an advisory
council as its Chairperson. (2) An appointment of an appointed member of an advisory council as
its Chairperson may be for a specified or unspecified term, but may be revoked
at any time by the Minister in writing for any or no
reason. (3) Such a revocation of appointment as Chairperson of an advisory
council does not of itself affect a person’s tenure of office as an
appointed member of the advisory council.
2 Acting members (1) The Minister may, from time to time, appoint a person to act in
the office of an appointed member of an advisory council during the illness or
absence of the member. The person, while so acting, has and may exercise all
the functions of the appointed member and is taken to be an appointed member
of the council. (2) Subclause (1) extends to the office and functions of Chairperson
of an advisory council, but the Minister may instead appoint another appointed
member of the council to act in the office of
Chairperson. (3) The Minister may remove any person from any office to which the
person was appointed under this clause at any time for any or no
reason. (4) For the purposes of this clause, a vacancy in the office of an
appointed member is taken to be an absence from office of the
member.
3 Terms of office Subject to this Schedule, an appointed member of an advisory
council holds office for such period not exceeding 3 years as may be specified
in the instrument of appointment of the member, but is eligible (if otherwise
qualified) for re-appointment. 4 Allowances A member of an advisory council is entitled to be paid such
allowances as the Minister from time to time determines in respect of the
member. 5 Vacancies (1) The office of an appointed member of an advisory council becomes
vacant if the member:(a) dies, or
(b) completes a term of office and is not re-appointed,
or
(c) resigns the office by letter addressed to the Minister,
or
(d) is removed by the Minister from office under this clause,
or
(e) is absent from 3 consecutive meetings of the council of which
reasonable notice has been given to the member personally or in the ordinary
course of post, except on leave granted by the Minister or unless, before the
expiration of 4 weeks after the last of those meetings, the member is excused
by the Minister for having been absent from those meetings,
or
(f) becomes bankrupt, applies to take the benefit of any law for the
relief of bankrupt or insolvent debtors, compounds with his or her creditors
or makes an assignment of his or her remuneration for their benefit,
or
(g) becomes a mentally incapacitated person, or
(h) is convicted in New South Wales of an offence that is punishable
by imprisonment for 12 months or more or is convicted elsewhere than in New
South Wales of an offence that, if committed in New South Wales, would be an
offence so punishable.
(2) The Minister may remove an appointed member from office as a
member of an advisory council at any time for any or no
reason.
6 Filling of vacancy (1) If the office of an appointed member of an advisory council
becomes vacant, a person is, subject to this Act, required to be appointed to
fill the vacancy. (2) The appointment must be made within 2 months of the office
becoming vacant, or such longer time as the Minister considers appropriate in
the circumstances.
7 Disclosure of pecuniary interests (1) A member of an advisory council:(a) who has a direct or indirect pecuniary interest in a matter being
considered or about to be considered at a meeting of the council,
and
(b) whose interest appears to raise a conflict with the proper
performance of the member’s duties in relation to the consideration of
the matter,
must, as soon as possible after the relevant facts have come to the
member’s knowledge, disclose the nature of the interest at a meeting of
the council. (2) A disclosure by a member of an advisory council at a meeting of
the council that the member:(a) is a member, or in the employment, of a specified company or other
body, or
(b) is a partner, or in the employment, of a specified person,
or
(c) has some other specified interest relating to a specified company
or other body or to a specified person,
is a sufficient disclosure of the nature of the interest in any matter
relating to the company or other body or to that person that may arise after
the date of the disclosure and that is required to be disclosed under this
clause. (3) Particulars of any disclosure made under this clause must be
recorded by the members of the advisory council in a book to be kept for the
purpose and that book must be open at all reasonable hours to inspection by
any person on payment of the fee determined by the
members.
8 Effect of certain other Acts (1) The Public Sector Management Act
1988 does not apply to the appointment of an appointed member
of an advisory council. An appointed member is not, as an appointed member,
subject to that Act. (2) If by or under any Act provision is made:(a) requiring a person who is the holder of a specified office to
devote the whole of his or her time to the duties of that office,
or
(b) prohibiting the person from engaging in employment outside the
duties of that office,
the provision does not operate to disqualify the person from holding that
office and also the office of a member of an advisory council or from
accepting and retaining any remuneration payable to the person under this Act
as a member of an advisory council. (3) The office of appointed member of an advisory council is for the
purposes of any Act taken not be an office or place of profit under the
Crown.
9 General procedure The procedure for the calling of meetings of an advisory council
and the conduct of those meetings of the council is, subject to this Act and
the regulations and any directions of the Minister, to be determined by the
council. The Minister may give such directions for this purpose as the
Minister thinks fit. 10 Meetings An advisory council is required to meet 4 times during each
calendar year. However, an advisory council may hold additional meetings as
approved by the Minister, and is required to do so as directed by the
Minister. 11 Quorum The quorum for a meeting of an advisory council is a majority of
its members for the time being. 12 Presiding member (1) A meeting of an advisory council is to be chaired by:(a) the Chairperson of the council, or
(b) in the absence of the Chairperson (including a person appointed
under clause 2 to act as Chairperson), another appointed member of the council
elected to chair the meeting by a majority of the members of the council
present.
(2) The member chairing any meeting of an advisory council has a
deliberative vote and, in the event of an equality of votes, has a second or
casting vote.
13 Voting A decision supported by a majority of the votes cast at a meeting
of an advisory council at which a quorum is present is the decision of the
council. 14 Transaction of business outside meetings or by telephone
or other means (1) An advisory council may, if it thinks fit, transact any of its
business by the circulation of papers among all the members of the council for
the time being. A resolution in writing approved by a majority of those
members is taken to be a decision of the council. (2) An advisory council may, if it thinks fit, transact any of its
business at a meeting at which members (or some members) participate by
telephone, close-circuit television or other means, but only if any member who
speaks on a matter before the meeting can be heard by the other
members. (3) For the purposes of:(a) the approval of a resolution under subclause (1),
or
(b) a meeting held in accordance with subclause
(2),
the Chairperson and each member have the same voting rights as they have
at an ordinary meeting of the council. (4) A resolution approved under subclause (1) is, subject to the
regulations, to be recorded in the minutes of the meetings of the advisory
council. (5) Papers may be circulated among members for the purposes of
subclause (1) by facsimile or other transmission of the information in the
papers concerned.
15 Minutes (1) An advisory council must cause full and accurate minutes to be
kept of the proceedings of each meeting of the
council. (2) The advisory council is to cause a copy of the minutes of each
meeting to be forwarded to the Minister within 21 days after the
meeting.
16 First meeting The first meeting of an advisory council is to be called in such
manner as the Minister determines. Schedule 5 Savings and transitional provisions (Section 91) 1 Interpretation In this Schedule:appointed day
means the day appointed and notified under section 2 (2). repealed Act
means the Consumer Protection Act 1969 as in
force immediately before the appointed day. 2 Commissioner for Consumer Affairs The person who, immediately before the appointed day, held office
under the Public Service Act 1979 as
Commissioner for Consumer Affairs continues on and after the appointed day to
hold that office subject to that Act and to the terms and conditions
applicable immediately before that day in relation to the
office. 3 Delegation A delegation in force immediately before the appointed day under
section 15A of the repealed Act continues in force on and after that day as if
it were a delegation under section 8 of this Act. 4 Investigating officers and inspectors (1) For the purposes of this Act, an investigating officer or
inspector holding office under the repealed Act immediately before the
appointed day shall be deemed to have been appointed as an investigator by
order of the Minister under this Act. (2) If the repealed Act had continued in force on and after the
appointed day and an investigating officer or inspector holding office under
that Act could have exercised a function in relation to a matter arising under
it, an investigator may act in relation to the matter as if it had arisen
under this Act.
5 Products Safety Committee Where, immediately before the appointed day, a person held
office:(a) as Chairperson of the Products Safety Committee under the repealed
Act, or
(b) as a member (not being the Chairperson) of that
Committee,
the person continues on and after that day as Chairperson or member of
the Products Safety Committee under and subject to this Act on the terms and
conditions on which the office was held immediately before that
day. 6 Enforcement of certain convictions or orders Section 57A of the repealed Act as in force at the time of a
conviction or order before the appointed day under that Act or any other Act
administered by the Minister continues on and after the appointed day to apply
in relation to the conviction or order as if this Act had not been enacted
and, for that purpose, that section shall be deemed to have operated as if
such a conviction or order made by the District Court under section 125 (1) of
the Justices Act 1902 had
been made by a court of petty sessions or Local Court at the place at which it
was made by the District Court. 7 Regulations etc under repealed Act (1) Where a regulation or order in force under the repealed Act
immediately before the appointed day could have been made under this Act if
this Act had been in force at the time the regulation or order was made, the
regulation or order continues in force on and after the appointed day as if it
had been made under this Act and may be revoked or varied by a regulation or
order made under this Act. (2) A regulation or order continued in force by subsection (1) shall
be construed as if a reference in the regulation or order to a provision of
the repealed Act were a reference to the corresponding provision of this
Act.
8 Effect of Interpretation
Act 1897 Section 91 and this Schedule have effect in addition to, and do
not derogate from, the operation of section 8 of the Interpretation Act 1897 or section 30
of the Interpretation Act
1987. 9 References to repealed Acts A reference in any other Act or instrument to the repealed Act or
any other Act repealed by this Act shall be read as a reference to this
Act. 10 General (1) Where anything done or commenced under the repealed Act before the
appointed day and still having effect or not completed immediately before that
day could have been done or commenced under this Act if it had been in force
at the time the thing was done or commenced, the thing done continues to have
effect, or the thing commenced may be completed, as if it had been done or
commenced under this Act. (2) Subclause (1) does not apply to anything in relation to which
other provision is made by this Schedule.
11 Interpretation Act
1987 A reference in a provision of this Act to sections 40 and 41 of
the Interpretation Act 1987
shall, until the commencement of that Act, be read as a reference to section
41 of the Interpretation Act
1897 and a reference in the provision to a statutory rule
shall be read as a reference to a regulation. 11A Fair Trading (Lay-by) Amendment Act
1993 Part 5B (Lay-by Sales) of this Act does not apply to a lay-by sale
within the meaning of the Lay-by Sales Act 1943
made before the repeal of that Act and that Act continues to apply to the sale
as if it had not been repealed. 11B Fair Trading Amendment Act
1995 (1) A person may make an application under section 12, and the
Commissioner may grant an application under section 13, as amended by the
Fair Trading Amendment Act 1995, in relation to
acts, matters or things arising, and legal proceedings commenced but not
completed, before the commencement of that Act. (2) However, a person may not apply for, and the Commissioner may not
grant, legal assistance in relation to any such act, matter or thing or
proceedings if the Commissioner has previously refused to grant the legal
assistance.
11C Fair Trading Legislation Amendment Act
1997 (1) In this clause, amending Act means the
Fair Trading Legislation Amendment Act
1997. (2) The Property Services Council, Home Building Advisory Council and
Motor Dealers Council are abolished on the commencement of the provisions of
the amending Act repealing the provisions that respectively constitute
them. (3) A person ceases to hold office as member or Chairperson of such a
council on the abolition of the council concerned. The person is not entitled
to be paid any remuneration or compensation by reason of ceasing to hold any
such office. (4) The Property Services Council Statutory Interest Account is to be
closed on the establishment of the Property Services Statutory Interest
Account under the Property, Stock and
Business Agents Act 1941, as amended by the amending
Act. (5) The Property Services Council Compensation Fund is to be closed on
the establishment of the Property Services Compensation Fund under the Property, Stock and Business Agents Act
1941, as amended by the amending
Act. (6) The Property Services Council Administration Account is to be
closed by the Director-General on the repeal by the amending Act of section 25
of the Property, Stock and Business Agents
Act 1941, and the amount standing to its credit is to be paid
to the Department of Fair Trading Operating
Account. (7) Section 64C of the Property,
Stock and Business Agents Act 1941, as inserted by the
amending Act, extends to claims, expenses and costs incurred in connection
with the Property Services Council Compensation Fund before the commencement
of that section.
11D Fair Trading Amendment
Act 2003 (1) In this clause, amending Act means the
Fair Trading Amendment Act
2003. (2) The amendments made to sections 23A and 23C by the amending Act do
not apply to or in respect of a notice served on a person under section 23A
before the commencement of those amendments, and sections 23A and 23C (as in
force immediately before that commencement) apply in relation to a person on
whom such a notice has been served as if those amendments had not been
made. (3) Division 3 of Part 3, as amended by the amending Act, does not
apply to or in respect of an order made under section 34 (as in force
immediately before the commencement of the amendments to that Division), and
the provisions of that Division (as in force immediately before that
commencement) apply to any such order as if those amendments had not been
made. (4) Division 3 of Part 4, as inserted by the amending Act, does not
apply to or in respect of a credit purchase agreement (within the meaning of
the Door-to-Door Sales Act
1967) made before the repeal of that Act by the amending Act,
and the repealed Act continues to apply to any such agreement as if the
repealed Act had not been repealed. (5) Section 66A, as inserted by the amending Act, extends to unlawful
conduct occurring before the commencement of that
section. (6) Section 68 (2), as amended by the amending Act, does not apply to
a cause of action accruing before the commencement of the amendment to that
subsection. (7) Section 68 (2), as in force immediately before the commencement of
the amendment to that section by the amending Act, continues to apply to or in
respect of a cause of action accruing before that commencement as if the
amendment had not been made.
11E Fair Trading Amendment
Act 2004 (1) In this clause, amending Act means the
Fair Trading Amendment Act
2004. (2) Part 5D, as inserted by the amending Act, applies only to conduct
engaged in after the commencement of that Part. (3) Section 71 (1) (a), as substituted by the amending Act, applies
only in relation to a contravention that occurs after the commencement of that
amendment.
11F Home Building
Amendment Act 2004 (1) In this clause, amending Act means the
Home Building Amendment Act
2004. (2) A person ceases to hold office as a member or Chairperson of the
Home Building Advisory Council constituted under this Act on the repeal of
Division 8 of Part 2 by the amending Act. The person is not entitled to any
remuneration or compensation by reason of ceasing to hold any such
office.
11G Fair Trading Amendment
Act 2006 (1) A person who, immediately before the commencement of Schedule 1
[10] to the Fair Trading Amendment Act
2006, held office as a member of the Motor Trade Advisory
Council ceases to hold office on that commencement. (2) A person who ceases to hold office because of this clause is not
entitled to any remuneration or compensation because of so ceasing to hold
office. (3) A reference in any Act (other than this Act) or in any instrument
made under any Act to the Motor Trade Advisory Council is to be read as a
reference to the Motor Vehicle Industry Advisory Council established under
this Act.
11H Fair Trading Amendment
(Funeral Goods and Services) Act 2007 Part 5F, as inserted by the Fair
Trading Amendment (Funeral Goods and Services) Act 2007, does
not apply to a supply of funeral goods or services as referred to in that Part
that occurs pursuant to an arrangement entered into with a consumer before an
information standard that is relevant to the supply is first prescribed under
that Part. 12 Regulations (1) The regulations may contain other provisions of a savings or
transitional nature consequent on the enactment of this Act or the
Fair Trading (Lay-by) Amendment Act 1993 or the
following Acts:Fair Trading Amendment Act
1995
Fair Trading Legislation Amendment Act
1997
Fair Trading Amendment
(Employment Placement Services) Act 2002
Fair Trading Amendment Act
2003
Fair Trading Amendment Act
2004
Fair Trading Amendment Act
2006 (but only to the extent that it amends this
Act)
Fair Trading Amendment (Motor
Vehicle Insurance and Repair Industries) Act
2006
Fair Trading Amendment (Funeral
Goods and Services) Act 2007
(2) A provision referred to in subclause (1) may, if the regulations
so provide, take effect from the appointed day or a later
date. (3) To the extent to which a provision referred to in subclause (1)
takes effect from a date that is earlier than the date of its publication in
the Gazette, the provision does not operate:(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 therein, 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 therein.
(4) A provision referred to in subclause (1) shall, if the regulations
so provide, have effect notwithstanding any other clause of this
Schedule.
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 |
Orders made or taken to be made under section 31: GG No 165 of 24.12.1976, p 5732 (Candlesticks, candleholders). Revoked,
GG No 157 of 8.11.1991, p 9377. GG No 168 of 31.12.1976, p 5815 (“Swing Ball”). Revoked, GG
No 41 of 30.4.1993, p 1960. GG No 32 of 1.4.1977, p 1274 (“Aqua Bell” diving helmets).
Revoked, GG No 41 of 30.4.1993, p 1960. GG No 45 of 6.5.1977, p 1769 (“The Sting” 8 shot cap gun).
Revoked, GG No 41 of 30.4.1993, p 1960. GG No 47 of 13.5.1977, p 1864 (Underwater toys and games). GG No 37 of 31.3.1978, p 1023 (“6 Million Dollar Man” and
“Bionic Woman” crazy foam Bath Fun Foam). Revoked, GG No 41 of
30.4.1993, p 1960. GG No 102 of 1.9.1978, p 3630 (Baby walking frames). GG No 7 of 12.1.1979, p 128 (Hand held spinning toy). Revoked, GG No 106
of 24.8.1990, p 7801. GG No 21 of 9.2.1979, p 606 (Airpots). Revoked, GG No 105 of 10.7.1998, p
5391. GG No 84 of 22.6.1979, p 3038 (Loony Balloony). Revoked, GG No 103 of
5.7.1991, p 5404. GG No 102 of 3.8.1979, p 3743 (Car seat covers). GG No 134 of 28.9.1979, p 4830 (“Magic Finger Chopper”).
Revoked, GG No 105 of 1.9.1995, p 6141. GG No 66 of 24.4.1980, p 2079 (“Chicco” teething ring).
Revoked, GG No 41 of 30.4.1993, p 1960. GG No 66 of 24.4.1980, p 2079 (“Tommee Tippee” rattle).
Revoked, GG No 105 of 1.9.1995, p 6141. GG No 66 of 24.4.1980, p 2079 (Baby’s dummy). Revoked, GG No 105 of
1.9.1995, p 6141. GG No 117 of 22.8.1980, p 4385 (Children’s toys or playthings
resembling baby feeding bottles). Revoked, GG No 44 of 6.3.1987, p
1223. GG No 19 of 23.1.1981, p 481 (“Parks Rocket No 502”,
“Battlestar Galactica Space Rocket”, etc). Revoked, GG No 159 of
9.10.1987, p 5739. GG No 38 of 6.3.1981, p 1419 (Dry powders containing asbestos fibres or
dust). Revoked, GG No 105 of 1.9.1995, p 6141. GG No 128 of 28.8.1981, p 4620 (Sealed ice substitute). Revoked, GG No 44
of 6.3.1987, p 1223. GG No 126 of 17.9.1982, p 4396 (Children’s folding chairs). GG No 76 of 27.5.1983, p 2457 (“Bodum Rio 8” heat resistant
glass jug). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 142 of 14.10.1983, p 4722 (“Inflatube” modular air
bed). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 170 of 9.12.1983, p 5592 (Spring-loaded pop gun toys). Revoked, GG
No 17 of 19.2.1993, p 639. GG No 68 of 3.5.1984, p 2294 (“Mad Dog Lighter” imitation
cigarette lighter and refill). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 150 of 26.10.1984, p 5217 (“Motorized Kiddy-matic Action
Appliances”). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 154 of 2.11.1984, p 5371 (Cellulosic fibre thermal insulation).
Revoked, GG No 142 of 4.12.1992, p 8669. GG No 157 of 9.11.1984, p 5475 (Toys or novelties which incorporate
certain seeds and certain stuffed venomous snakes). Revoked, GG No 41 of
30.4.1993, p 1960. GG No 157 of 9.11.1984, p 5475 (“Wonder Water Creature”,
“Magic Egg”, “Growing Pet”). GG No 167 of 30.11.1984, p 5902 (Jewellery, novelties or toys which
contain certain seeds). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 170 of 7.12.1984, p 6025 (Toy vacuum cleaners supplied with
polystyrene beads). Revoked, GG No 83 of 14.7.1989, p 4278. GG No 175 of 14.12.1984, p 6192 (“Modular Straw” and
“Whimsical Pen”). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 44 of 22.2.1985, p 858 (Seatbelt attachments, including
“Klunk Klip” and “Comfix”). Revoked, GG No 105 of
1.9.1995, p 6141. GG No 58 of 22.3.1985, p 1313 (Glider plane and spring-loaded launcher
sets, including “Mr. T.”, “The Incredible Hulk”,
“Superman” and “Batman”). Revoked, GG No 159 of
9.10.1987, p 5739. GG No 58 of 22.3.1985, p 1313 (“Build.A.Bell”). Revoked, GG
No 41 of 30.4.1993, p 1960. GG No 58 of 22.3.1985, p 1313 (Toy cross bow). Revoked, GG No 17 of
19.2.1993, p 639. GG No 91 of 7.6.1985, p 2525 (“Sjoffels Water Shoes” or other
inflatable pontoon water shoes). GG No 117 of 16.8.1985, p 4330 (Ball point pen bearing markings of
thermometer and words “St. Valentine”). Revoked, GG No 41 of
30.4.1993, p 1960. GG No 122 of 30.8.1985, p 4635 (Push-along toys “Happy Bear”
and “Happy Penguin” or dome-shaped push-along toys, including
“Ball-Popper” and “Corn-Popper”). Revoked, GG No 41 of
30.4.1993, p 1960. GG No 141 of 11.10.1985, p 5406 (Toy knives with retractable pointed
rigid blades, including “Inspector Gadget” knife). Revoked, GG No
41 of 30.4.1993, p 1960. GG No 145 of 25.10.1985, p 5542 (“The Special Police Multi-Action
Rifle Target Game”). Revoked, GG No 17 of 19.2.1993, p 639. GG No 94 of 13.6.1986, p 2709 (“Indian Archery” toy bow and
arrow set). Revoked, GG No 17 of 19.2.1993, p 639. GG No 94 of 13.6.1986, p 2709 (Plastic glider plane sets known as
“Cloud Busters” and “Flying Jet Planes”). Revoked, GG
No 17 of 19.2.1993, p 639. GG No 123 of 25.7.1986, p 3589 (“Kiddies” safety pins for
securing babies’ nappies). Revoked, GG No 41 of 30.4.1993, p
1960. GG No 131 of 15.8.1986, p 3948 (“The Spark Cars” spring
propelled cars). Revoked, GG No 17 of 19.2.1993, p 639. GG No 195 of 19.12.1986, p 6240 (Toy or novelty whistles which consist of
or contain 2 or more parts). Revoked, GG No 105 of 1.9.1995, p 6141. GG No 195 of 19.12.1986, p 6240 (Stuffed toys in the shape of Mickey
Mouse intended to store children’s nightclothes). See also GG No 78 of
8.5.1987, p 2264. Revoked, GG No 41 of 30.4.1993, p 1960. GG No 195 of 19.12.1986, p 6240 (“Space-Air Plane” glider).
Revoked, GG No 17 of 19.2.1993, p 639. GG No 195 of 19.12.1986, p 6241 (Young Ones Ring Rattle—Item No
650). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 33 of 13.2.1987, p 789 (“U.U. Toy” brand animal train
pull along). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 33 of 13.2.1987, p 789 (Any swimming pool, or spa pool, which is
constructed of plastic and has a skimmer box moulded as an integral part of
the structure of the pool). Revoked, GG No 126 of 23.9.1994, p 5876. GG No 33 of 13.2.1987, p 789 (“Thumb Thucker Baby Doll”).
Revoked, GG No 41 of 30.4.1993, p 1960. GG No 44 of 6.3.1987, p 1223 (Toys containing liquids which are not
paints, inks, glues or moulding compounds). Revoked, GG No 12 of 29.1.1999, p
363. GG No 44 of 6.3.1987, p 1223 (Sealed ice substitute). Revoked, GG No 105
of 1.9.1995, p 6141. GG No 78 of 8.5.1987, p 2264 (Stuffed toys in the shape of Mickey Mouse
and Minnie Mouse intended to store children’s nightclothes). Revoked, GG
No 41 of 30.4.1993, p 1960. GG No 78 of 8.5.1987, p 2264 (“Glitter bangle” novelty
bracelet). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 78 of 8.5.1987, p 2264 (“Water coin purse” novelty
purse). GG No 159 of 9.10.1987, p 5738 (“Waden Spring Magic Air
Plane” glider plane). Revoked, GG No 17 of 19.2.1993, p 639. GG No 159 of 9.10.1987, p 5738 (“Battle Star” plastic
throwing star). Revoked, GG No 17 of 19.2.1993, p 639. GG No 159 of 9.10.1987, p 5738 (Hemispherical plastic moulded cups
self-propelled by inversion, including “Poppin’ Horror
Eyes” and “Popballs”). GG No 159 of 9.10.1987, p 5739 (“Parks Rocket No 502”
“Battlestar Galactica Space Rocket”). Revoked, GG No 17 of
19.2.1993, p 639. GG No 159 of 9.10.1987, p 5739 (Glider plane and spring loaded launcher
sets known as “Mr T”, “The Incredible Hulk”,
“Superman” and “Batman”). Revoked, GG No 17 of
19.2.1993, p 639. GG No 167 of 30.10.1987, p 6047 (Frames to support infants in baths).
Revoked GG No 54 of 12.3.2004, p 1142 (see also GG No 63 of 26.3.2004, p
1720). GG No 167 of 30.10.1987, p 6047 (“Safe-T-Buoy” frame for
supporting infants in baths). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 88 of 20.5.1988, p 2766 (“Apache Archery Set”).
Revoked, GG No 17 of 19.2.1993, p 639. GG No 102 of 17.6.1988, p 3189 (Portable home exercise equipment
consisting of two foot pedals connected to a bar handle by a spring). Revoked,
GG No 105 of 1.9.1995, p 6143. GG No 140 of 2.9.1988, p 4618 (Eye piece focal length sun filters for use
with telescope). Revoked, GG No 105 of 1.9.1995, p 6141. GG No 149 of 30.9.1988, p 5150 (Goods known as “Santa
Bags”). GG No 5 of 20.1.1989, p 322 (Slingshots). Revoked, GG No 105 of 1.9.1995,
p 6141. GG No 62 of 19.5.1989, p 3011 (“Mighty Bow” Crossbow Target
Game Set). Revoked, GG No 17 of 19.2.1993, p 639. GG No 62 of 19.5.1989, p 3011 (“Master of Ninja Kama Knife &
Battle Star”). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 83 of 14.7.1989, p 4278 (Toy vacuum cleaners supplied with
polystyrene beads). Revoked, GG No 105 of 1.9.1995, p 6141. GG No 88 of 11.8.1989, p 5282 (“The Real Stuff” dart gun
target set). Revoked, GG No 17 of 19.2.1993, p 639. GG No 71 of 1.6.1990, p 4513 (Goods containing liquids having a pH level
less than 3 or greater than 10 and which are intended for squirting or
spraying, including “Water Tricks” and “Magic
Ink”). GG No 71 of 1.6.1990, p 4513 (“Lovely Drinking Straw” with
bead ends). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 71 of 1.6.1990, p 4514 (“Sky Search Lightweight Rubber
Powered Plane” glider plane set). Revoked, GG No 17 of 19.2.1993, p
639. GG No 82 of 29.6.1990, p 6097 (“Lovely Fork” and
“Lovely Spoon” plastic fork and spoon with small decorative items
attached to the handles). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 90 of 20.7.1990, p 6715 (Goods known as
“Diveman”). GG No 101 of 10.8.1990, p 7446 (“Haunted Weapons” plastic
curved sword). Revoked, GG No 41 of 30.4.1993, p 1960. GG No 106 of 24.8.1990, p 7799 (Hand held spinning toy). Revoked, GG No
41 of 30.4.1993, p 1960. GG No 106 of 24.8.1990, p 7800 (“Japlo Baby Soother”
baby’s dummy). Revoked, GG No 105 of 1.9.1995, p 6141. GG No 28 of 8.2.1991, p 1061 (“Quickie” water skiing line
release system). Revoked, GG No 105 of 1.9.1995, p 6141. GG No 28 of 8.2.1991, p 1062 (“Aqua Buoy” or
“Aquabuoy” flotation aid). Revoked, GG No 41 of 30.4.1993, p
1960. GG No 67 of 3.5.1991, p 3328 (“Lightway Safety Ball Gun”
plastic gun with spring-loaded firing mechanism). GG No 103 of 5.7.1991, p 5404 (Toys designed for blowing shapes from
solutions containing acetone, polyvinyl acetate and/or benzene). Revoked GG No
66 of 20.6.1997, p 4698. GG No 121 of 30.8.1991, p 7635 (Gas masks containing asbestos). Revoked,
GG No 105 of 1.9.1995, p 6141. GG No 157 of 8.11.1991, p 9377 (Objects used for holding or decorating
candles which flame for five seconds or more). GG No 180 of 20.12.1991, p 10580 (Infant or child cot or bed restraints).
Revoked GG No 27 of 28.1.1994, p 405. GG No 105 of 1.9.1995, p 6143 (portable home exercise equipment
consisting of 2 foot pedals connected to a bar handle by a spring or
springs). GG No 27 of 28.1.1994, p 405 (the devices “Baby Safe Cot or Bed
Restraint”, “Johnco Safety Sleep”, “Sleepsafe
Suit”, “Zewi Safety Cover”, “Safe n Snug”; and
Vomiting Infants Support Association (VISA) harness unless the following
notice is attached to the goods: “WARNING This Device is Intended To Be
Used For The Management Of Gastro Oesophageal Reflux In Children. Use Only On
The Advice Of A Medical Practitioner.”). GG No 4 of 10.1.1997, p 110 (portable folding cots). GG No 66 of 20.6.1997, p 4698 (novelties such as “Apollo Color
Balloons”, “Bliwing Balloon”, “Blobo
Bubb-a-Loons”, “Blo-it”, “Loony Balloony”,
“Magic Moon Balloons”, “SSS Balloons” and “Super
Elastic Bubble Plastic”, designed for blowing balloon-like shapes from a
solution containing benzene). GG No 114 of 24.10.1997, p 8776 (disposable lighters child mechanism
disablers, including goods known as “Quikfix”). GG No 12 of 29.1.1999, p 363 (liquid filled children’s and novelty
products). GG No 104 of 10.9.1999, p 8772 (candles with wicks that contain lead or
wicks that contain lead). GG No 15 of 4.2.2000, p 701 (inflatable toys, novelties or items of
furniture containing polystyrene beads or other similar synthetic
material). GG No 97 of 28.7.2000, p 7111 (siphon bulbs, being small canisters,
without a mechanism allowing release of their contents). GG No 162 of 15.12.2000, p 13423 (toy or novelty knives with retractable,
rigid, metal blades). GG No 49 of 9.3.2001, p 1206 (yachting harnesses and lines labelled
“Tuff Marine Australia”). GG No 85 of 10.5.2002, p 2850 (folding chairs with hinged or pivoting
sections permitting the chair to be folded as specified in the schedule to the
order, including goods known as the “Sundance Collections” and
“Folding Heart Chair”). GG No 220 of 15.11.2002, p 9706 (“Pull-Back Action Target
Game” and all similar products). GG No 114 of 18.7.2003, p 7432 (soft synthetic gelatinous liquid and/or
novelty filled balls or shapes moulded to a soft synthetic gelatinous
stretchable cord which includes a small loop to put a finger through). GG No 138 of 12.9.2003, p 9351 (laser pointers designed to depict or
resemble a gun whether or not the depiction or resemblance is realistic or in
the nature of a toy or novelty, or toy or novelty guns to which a laser
pointer is attached or of which it is a component). GG No 54 of 12.3.2004, p 1142 (see also GG No 63 of 26.3.2004, p 1720)
(Goods designed to support babies while they are being bathed). GG No 14 of 21.1.2005, p 213 (goods that imitate or resemble a
baby’s dummy in appearance and size) GG No 38 of 1.4.2005, p 1012 (any mini-cup jelly confectionery product
containing the ingredient “konjac” (also known as glucomannan,
conjac, konnyaku, konjonac, taro powder and yam flour), having a height or
width of less than or equal to 45 millimetres.) GG No 130 of 25.9.2007, p 7309 (toothpaste containing more than 0.25% by
weight of diethylene glycol (DEG)) GG No 185 of 21.12.2007, p 10679 (children’s toys having accessible
materials with a lead migration level greater than 90 mg/kg of lead) GG No 185 of 21.12.2007, p 10680 (“Bindeez” bead toys which
are little beads that join with a spray of water) GG No 73 of 20.6.2008, p 5711 (balls manufactured from fire resistant
material, designed to be doused in flammable liquid and ignited, and intended
to be used for the purpose of amusement by kicking or throwing, including but
not limited to goods supplied as “Fire Footbag”) Table of amending instruments Fair Trading Act 1987 No
68. Assented to 10.6.1987. Date of commencement, secs 1 and 2
excepted, 1.9.1987, sec 2 (2) and GG No 136 of 28.8.1987, p 4809. This Act has
been amended as follows:
1987 | No 209 | Statute Law (Miscellaneous Provisions) Act (No 2)
1987. Assented to 9.12.1987. Date of commencement of the provisions of Sch 44 relating to the Fair Trading Act 1987, assent, sec 2
(1).
| 1988 | No 92 | Statute Law (Miscellaneous Provisions) Act (No 2)
1988. Assented to 19.12.1988. Date of commencement of Sch 7, assent, sec 2
(1).
| 1989 | No 167 | Fair Trading (Amendment) Act 1989.
Assented to 14.12.1989. Date of commencement, 12.2.1990, sec 2 and GG No 21 of 9.2.1990, p
1054.
| | | No 226 | Statute Law (Miscellaneous Provisions) Act (No 3)
1989. Assented to 21.12.1989. Date of commencement of the provision of Sch 2 relating to the Fair Trading Act 1987, assent, sec
2.
| | | No 231 | Food Act 1989.
Assented to 21.12.1989. Date of commencement of the provisions of Sch 4 relating to the Fair Trading Act 1987, 11.5.1990,
sec 2 and GG No 62 of 11.5.1990, p 3728.
| 1990 | No 85 | Fair Trading (Amendment) Act 1990.
Assented to 7.12.1990. Sch 1 (1) and (3) were not commenced and were repealed by the Statute Law (Miscellaneous Provisions) Act
1999 No 31. Date of commencement of Sch 1 (2), 1.9.1998, sec 2
and GG No 112 of 24.7.1998, p 5606; date of commencement of Sch 1
(4)–(6), 1.12.1997, sec 2 and GG No 123 of 14.11.1997, p
9148.
| | | No 86 | Fair Trading (Public Warnings) Amendment Act
1990. Assented to 7.12.1990. Date of commencement, 18.1.1991, sec 2 and GG No 8 of 11.1.1991, p
242.
| 1991 | No 94 | Statute Law (Miscellaneous Provisions) Act (No 2)
1991. Assented to 17.12.1991. Date of commencement of the provision of Sch 1 relating to the Fair Trading Act 1987, assent, Sch
1.
| 1992 | No 34 | Statute Law (Miscellaneous Provisions) Act
1992. Assented to 18.5.1992. Date of commencement of the provision of Sch 1 relating to the Fair Trading Act 1987, assent, Sch
1.
| | | No 112 | Statute Law (Penalties) Act 1992.
Assented to 8.12.1992. Date of commencement, assent, sec 2.
| 1993 | No 25 | Fair Trading (Lay-by) Amendment Act
1993. Assented to 8.6.1993. Date of commencement, 30.8.1993, sec 2 and GG No 89 of 13.8.1993, p
4511.
| | | No 46 | Statute Law (Miscellaneous Provisions) Act
1993. Assented to 15.6.1993. Date of commencement of the provision of Sch 1 relating to the Fair Trading Act 1987, assent, Sch
1.
| | | No 108 | Statute Law (Miscellaneous Provisions) Act (No 2)
1993. Assented to 2.12.1993. Date of commencement of the provisions of Sch 2 relating to the Fair Trading Act 1987, assent, Sch
2.
| 1995 | No 11 | Statute Law Revision (Local Government) Act
1995. Assented to 9.6.1995. Date of commencement of the provision of Sch 1 relating to the Fair Trading Act 1987, 23.6.1995,
sec 2 (1) and GG No 77 of 23.6.1995, p 3279.
| | | No 36 | Public Sector Management Amendment Act
1995. Assented to 25.9.1995. Date of commencement, 13.10.1995, sec 2. Amended by Statute
Law (Miscellaneous Provisions) Act (No 2) 1995 No 99. Assented
to 21.12.1995. Date of commencement of the provision of Sch 2 relating to the
Public Sector Management Amendment Act 1995,
assent, sec 2 (2).
| | | No 58 | Fair Trading Amendment Act 1995.
Assented to 30.11.1995. Date of commencement, assent, sec 2.
| 1996 | No 30 | Statute Law (Miscellaneous Provisions) Act
1996. Assented to 21.6.1996. Date of commencement of the provisions of Sch 1 relating to the Fair Trading Act 1987, assent, sec 2
(2).
| 1997 | No 82 | Fair Trading Legislation Amendment Act
1997. Assented to 10.7.1997. Date of commencement, 1.8.1997, sec 2 and GG No 83 of 25.7.1997, p
5680.
| | | No 147 | Statute Law (Miscellaneous Provisions) Act (No 2)
1997. Assented to 17.12.1997. Date of commencement of Sch 1.9, 1.5.1998, Sch 1.9 and GG No 71 of
24.4.1998, p 2845; date of commencement of Sch 2.9, assent, sec 2
(2).
| 1998 | No 55 | Fair Trading Amendment Act 1998.
Assented to 30.6.1998. Date of commencement, 1.9.1998, sec 2 and GG No 123 of 21.8.1998, p
6172.
| | | No 120 | Statute Law (Miscellaneous Provisions) Act (No 2)
1998. Assented to 26.11.1998. Date of commencement of Sch 1.16, assent, sec 2
(2).
| | | No 142 | Residential Parks Act
1998. Assented to 8.12.1998. Date of commencement of Sch 3.1, 1.3.1999, sec 2 (1) and GG No 25 of
26.2.1999, p 976.
| | | No 161 | Fair Trading Tribunal Act
1998. Assented to 14.12.1998. Date of commencement of Sch 4.5, 1.3.1999, sec 2 and GG No 25 of
26.2.1999, p 972.
| 1999 | No 80 | Pesticides Act
1999. Assented to 3.12.1999. Date of commencement of Sch 3.2, 1.7.2000, sec 2 and GG No 144 of
24.12.1999, p 12189.
| | | No 81 | Retirement Villages Act
1999. Assented to 3.12.1999. Date of commencement of Sch 2 [1] [2] [6] and [7], 1.7.2000, sec 2 (1)
and GG No 62 of 26.5.2000, p 4246; date of commencement of Sch 2 [3]–[5]
and [8], 31.3.2000, sec 2 (1) and GG No 42 of 31.3.2000, p
2491.
| | | No 85 | Statute Law (Miscellaneous
Provisions) Act (No 2) 1999. Assented to 3.12.1999. Date of commencement of Sch 2.20, assent, sec 2 (2); date of commencement
of Sch 4, assent, sec 2 (1).
| | | No 94 | Crimes Legislation Amendment (Sentencing) Act
1999. Assented to 8.12.1999. Date of commencement of sec 7 and Sch 5, 1.1.2000, sec 2 (1) and GG No
144 of 24.12.1999, p 12184.
| 2000 | No 5 | Fair Trading Amendment
(Substantiation of Claims) Act 2000. Assented to
1.5.2000. Date of commencement, 12.5.2000, sec 2 and GG No 57 of 12.5.2000, p
3834.
| | | No 53 | Statute Law (Miscellaneous
Provisions) Act 2000. Assented to 29.6.2000. Date of commencement of Sch 1.6, assent, sec 2
(2).
| | | No 54 | Dairy Industry Act
2000. Assented to 30.6.2000. Date of commencement, 1.7.2000, sec 2 and GG No 84 of 30.6.2000, p
6049.
| | | No 55 | Fair Trading Amendment
(Enforcement and Compliance Powers) Act 2000. Assented to
5.7.2000. Date of commencement, 1.8.2000, sec 2 and GG No 97 of 28.7.2000, p
6597.
| | | No 93 | Statute Law (Miscellaneous
Provisions) Act (No 2) 2000. Assented to 8.12.2000. Date of commencement of Sch 2.17, assent, sec 2
(2).
| | | No 95 | Fitness Services (Pre-paid Fees)
Act 2000. Assented to 13.12.2000. Date of commencement of Sch 2, 1.3.2001, sec 2 and GG No 41 of 23.2.2001,
p 779.
| | | No 98 | Legal Aid Commission Amendment
Act 2000. Assented to 13.12.2000. Date of commencement, 15.1.2001, sec 2 and GG No 10 of 12.1.2001, p
60.
| 2001 | No 34 | Corporations (Consequential
Amendments) Act 2001. Assented to 28.6.2001. Date of commencement of Sch 2.17, 15.7.2001, sec 2 (1) and Commonwealth
Gazette No S 285 of 13.7.2001.
| | | No 82 | Consumer, Trader and Tenancy
Tribunal Act 2001. Assented to 21.11.2001. Date of commencement of Sch 7.9, 25.2.2002, sec 2 (1) and GG No 48 of
22.2.2002, p 901.
| | | No 121 | Justices Legislation Repeal and
Amendment Act 2001. Assented to 19.12.2001. Date of commencement of Sch 2, 7.7.2003, sec 2 and GG No 104 of
27.6.2003, p 5978.
| 2002 | No 53 | Statute Law (Miscellaneous
Provisions) Act 2002. Assented to 4.7.2002. Date of commencement of Sch 1.9, 21.2.2003, Sch 1.9 and GG No 49 of
21.2.2003, p 2200.
| | | No 66 | Property, Stock and Business
Agents Act 2002. Assented to 10.7.2002. Sch 2.3 [1] was not commenced and was repealed by the Statute Law (Miscellaneous Provisions) Act
2003 No 40; date of commencement of Sch 2.3 (item [1]
excepted), 1.9.2003, sec 2 and GG No 116 of 25.7.2003, p 7445. Amended by
Statute Law (Miscellaneous Provisions) Act
2003 No 40. Assented to 22.7.2003. Date of commencement of Sch
3, assent, sec 2 (1).
| | | No 86 | Fair Trading Amendment
(Employment Placement Services) Act 2002. Assented to
7.11.2002. Date of commencement, 17.2.2003, sec 2 and GG No 39 of 7.2.2003, p
761.
| | | No 88 | Holiday Parks (Long-term Casual
Occupation) Act 2002. Assented to 20.11.2002. Date of commencement, 28.2.2003, sec 2 and GG No 54 of 28.2.2003, p
3506.
| | | No 92 | Civil Liability Amendment
(Personal Responsibility) Act 2002. Assented to
28.11.2002. Date of commencement of Sch 4.3, 6.12.2002, sec 2 and GG No 249 of
6.12.2002, p 10529.
| | | No 103 | Law Enforcement (Powers and
Responsibilities) Act 2002. Assented to 29.11.2002. Date of commencement of Sch 4, 1.12.2005, sec 2 and GG No 45 of
15.4.2005, p 1356. Amended by Fair Trading
Amendment Act 2004 No 21. Assented to 16.4.2004. Date of
commencement, 17.5.2004, sec 2 and GG No 83 of 14.5.2004, p
2785.
| 2003 | No 3 | Conveyancers Licensing Act
2003. Assented to 28.5.2003. Date of commencement of Sch 2.3, 15.12.2006, sec 2 (1) and GG No 175 of
8.12.2006, p 10388.
| | | No 4 | Valuers Act 2003.
Assented to 28.5.2003. Date of commencement of Sch 1.4, 31.3.2005, sec 2 (1) and GG No 37 of
29.3.2005, p 929.
| | | No 35 | Fair Trading Amendment Act
2003. Assented to 22.7.2003. Date of commencement of Sch 1 (except so much of Sch 1 [17] as inserts
Div 3 of Part 4), 25.8.2003, sec 2 and GG No 128 of 22.8.2003, p 8012; date of
commencement of so much of Sch 1 [17] as inserts Div 3 of Part 4, 30.8.2004,
sec 2 and GG No 83 of 14.5.2004, p 2784.
| | | No 38 | Occupational Health and Safety
Amendment (Dangerous Goods) Act 2003. Assented to
22.7.2003. Date of commencement of Sch 2.5, 1.9.2005, sec 2 and GG No 110 of
1.9.2005, p 6395.
| | | No 40 | Statute Law (Miscellaneous
Provisions) Act 2003. Assented to 22.7.2003. Date of commencement of Sch 2.12, 1.9.2003, Sch 2.12 and GG No 116 of
25.7.2003, p 7445.
| | | No 43 | Food Act 2003.
Assented to 8.9.2003. Date of commencement of Sch 1, 23.2.2004, sec 2 and GG No 42 of
20.2.2004, p 711.
| | | No 82 | Statute Law (Miscellaneous
Provisions) Act (No 2) 2003. Assented to 27.11.2003. Date of commencement of Sch 1.12, 30.8.2004, Sch 1.12 and GG No 83 of
14.5.2004, p 2784.
| 2004 | No 4 | Electricity (Consumer Safety) Act
2004. Assented to 17.3.2004. Date of commencement of Sch 4.7, 3.2.2006, sec 2 (1) and GG No 16 of
3.2.2006, p 532.
| | | No 21 | Fair Trading Amendment Act
2004. Assented to 16.4.2004. Date of commencement, 17.5.2004, sec 2 and GG No 83 of 14.5.2004, p
2785.
| | | No 101 | Home Building Amendment Act
2004. Assented to 15.12.2004. Date of commencement of Sch 9.4, 1.9.2006, sec 2 and GG No 106 of
25.8.2006, p 6603.
| 2005 | No 28 | Civil Procedure Act
2005. Assented to 1.6.2005. Date of commencement of Sch 5.18, 15.8.2005, sec 2 (1) and GG No 100 of
10.8.2005, p 4205.
| | | No 29 | Noxious Weeds Amendment Act
2005. Assented to 1.6.2005. Date of commencement, 1.3.2006, sec 2 and GG No 157 of 16.12.2005, p
10879.
| | | No 97 | Rice Marketing Amendment
(Prevention of National Competition Policy Penalties) Act
2005. Assented to 24.11.2005. Date of commencement, 1.7.2006, sec 2.
| | | No 98 | Statute Law (Miscellaneous
Provisions) Act (No 2) 2005. Assented to 24.11.2005. Date of commencement of Sch 3, assent, sec 2
(2).
| 2006 | No 62 | Fair Trading Amendment Act
2006. Assented to 28.9.2006. Date of commencement of Sch 1, Sch 1 [17]–[19] excepted,
20.10.2006, sec 2 and GG No 124 of 20.10.2006, p 8780; date of commencement of
Sch 1 [17]–[19], 1.7.2007, sec 2 and GG No 81 of 22.6.2007, p
3805.
| | | No 76 | Fair Trading Amendment (Motor
Vehicle Insurance and Repair Industries) Act 2006. Assented to
27.10.2006. Date of commencement, assent, sec 2.
| | | No 94 | Police Amendment (Miscellaneous)
Act 2006. Assented to 22.11.2006. Date of commencement of Sch 3.11, 1.2.2007, sec 2 and GG No 22 of
1.2.2007, p 575.
| 2007 | No 36 | Fair Trading Amendment (Funeral
Goods and Services) Act 2007. Assented to 4.7.2007. Date of commencement, assent, sec 2.
| | | No 82 | Statute Law (Miscellaneous
Provisions) Act (No 2) 2007. Assented to 7.12.2007. Date of commencement of Sch 1, assent, sec 2
(2).
| | | No 94 | Miscellaneous Acts (Local Court)
Amendment Act 2007. Assented to 13.12.2007. Date of commencement of Schs 1.42, 2 and 7, 6.7.2009, sec 2 and 2009
(314) LW 3.7.2009.
| 2009 | No 56 | Statute Law (Miscellaneous
Provisions) Act 2009. Assented to 1.7.2009. Date of commencement of Sch 4, 17.7.2009, sec 2
(1).
|
Table of amendments
Sec 4 | Am 1987 No 209, Sch 44; 1995 No 36, Sch 6; 1996 No
30, Sch 1; 1997 No 82, Sch 1 [2] [3]; 1998 No 142, Sch 3.1 [1] [2]; 1998 No
161, Sch 4.5 [1] [2]; 1999 No 81, Sch 2 [1] [2]; 2001 No 82, Sch 7.9; 2003 No
35, Sch 1 [1]–[3]; 2004 No 101, Sch 9.4 [1]. | Sec 5 | Am 2003 No 35, Sch 1 [4]. | Sec 5A | Ins 2006 No 62, Sch 1 [1]. | Part 2, heading | Am 1997 No 82, Sch 1 [4]. | Part 2, Div 1, heading | Am 1997 No 82, Sch 1 [5]. | Sec 6 | Subst 1995 No 36, Sch 6. | Sec 7 | Rep 2003 No 35, Sch 1 [5]. | Sec 8 | Subst 1997 No 82, Sch 1 [6]. Am 1997 No 147, Sch
2.9; 1998 No 161, Sch 4.5 [3]; 2000 No 55, Sch 1 [1]; 2000 No 95, Sch 2.1 [1];
2003 No 3, Sch 2.3 [1]; 2003 No 4, Sch 1.4 [1]; 2003 No 40, Sch
2.12. | Sec 9A | Ins 2004 No 21, Sch 1 [1]. Am 2006 No 94, Sch
3.11. | Sec 10 | Am 1990 No 86, Sch 1 (1); 1997 No 82, Sch 1 [7]
[8]. | Sec 11A | Ins 1995 No 58, Sch 1 (1). | Sec 12 | Am 1995 No 58, Sch 1 (2) (3). | Sec 13 | Am 1995 No 58, Sch 1 (4) (5); 2005 No 98, Sch 3.24
[1]. | Sec 14 | Am 1995 No 58, Sch 1 (6); 2000 No 98, Sch 2.2; 2005
No 98, Sch 3.24 [2]–[6]. | Sec 15 | Am 1995 No 58, Sch 1 (6); 2005 No 98, Sch 3.24
[7]. | Sec 16 | Am 1995 No 58, Sch 1 (6). | Sec 17 | Am 2005 No 98, Sch 3.24 [8]. | Sec 18 | Am 1996 No 30, Sch 1; 1998 No 120, Sch 1.16 [1];
2004 No 21, Sch 1 [2]. | Sec 19 | Am 2000 No 55, Sch 1 [2]. | Sec 19A | Ins 2004 No 21, Sch 1 [3]. Am 2002 No 103, Sch
4.33A [1]–[3] (ins 2004 No 21, Sch 2.1 [2]); 2006 No 62, Sch 1
[2]. | Sec 20 | Am 1992 No 112, Sch 1; 2006 No 62, Sch 1
[3]–[6]. | Sec 21 | Am 2000 No 5, Sch 1 [1]. | Sec 22 | Am 1992 No 112, Sch 1; 2000 No 5, Sch 1
[2]. | Sec 23 | Am 1992 No 112, Sch 1. | Part 2, Div 3A | Ins 2000 No 5, Sch 1 [3]. | Sec 23A | Ins 2000 No 5, Sch 1 [3]. Am 2003 No 35, Sch 1 [6]
[7]. | Sec 23B | Ins 2000 No 5, Sch 1 [3]. | Sec 23C | Ins 2000 No 5, Sch 1 [3]. Am 2003 No 35, Sch 1 [8]
[9]. | Sec 23D | Ins 2000 No 5, Sch 1 [3]. Am 2003 No 35, Sch 1
[10]. | Secs 23E–23G | Ins 2000 No 5, Sch 1 [3]. | Sec 24 | Am 2003 No 35, Sch 1 [11]. | Part 2, Div 5 | Ins 1997 No 82, Sch 1 [9]. | Sec 25A | Ins 1997 No 82, Sch 1 [9]. | Sec 25B | Ins 1997 No 82, Sch 1 [9]. Am 1999 No 81, Sch 2 [3]
[4]; 2000 No 53, Sch 1.6 [1] [2]; 2006 No 62, Sch 1 [7]
[8]. | Sec 25C | Ins 1997 No 82, Sch 1 [9]. | Part 2, Div 6, heading | Ins 1997 No 82, Sch 1 [9]. Am 2006 No 62, Sch 1
[9]. | Part 2, Div 6 | Ins 1997 No 82, Sch 1 [9]. | Sec 25D | Ins 1997 No 82, Sch 1 [9]. Am 2006 No 62, Sch 1
[10]. | Sec 25E | Ins 1997 No 82, Sch 1 [9]. Am 1997 No 147, Sch 1.9
[1] [2]; 2000 No 53, Sch 1.6 [3] [4]; 2006 No 62, Sch 1
[10]–[12]. | Sec 25F | Ins 1997 No 82, Sch 1 [9]. Am 2006 No 62, Sch 1
[10]. | Part 2, Div 7 | Ins 1997 No 82, Sch 1 [9]. | Sec 25G | Ins 1997 No 82, Sch 1 [9]. | Sec 25H | Ins 1997 No 82, Sch 1 [9]. Am 1997 No 147, Sch 1.9
[3] [4]; 2000 No 53, Sch 1.6 [3] [5]; 2006 No 62, Sch 1 [13]
[14]. | Sec 25I | Ins 1997 No 82, Sch 1 [9]. Am 2002 No 66, Sch 2.3
[2]; 2003 No 3, Sch 2.3 [2]; 2003 No 4, Sch 1.4 [2]. | Part 2, Div 8 | Ins 1997 No 82, Sch 1 [9]. Rep 2004 No 101, Sch 9.4
[2]. | Sec 25J | Ins 1997 No 82, Sch 1 [9]. Rep 2004 No 101, Sch 9.4
[2]. | Sec 25K | Ins 1997 No 82, Sch 1 [9]. Am 1997 No 147, Sch 1.9
[5] [6]; 2000 No 53, Sch 1.6 [3] [5]. Rep 2004 No 101, Sch 9.4
[2]. | Sec 25L | Ins 1997 No 82, Sch 1 [9]. Rep 2004 No 101, Sch 9.4
[2]. | Part 2, Div 9 | Ins 1999 No 81, Sch 2 [5]. | Sec 25M | Ins 1999 No 81, Sch 2 [5]. | Sec 25N | Ins 1999 No 81, Sch 2 [5]. Am 2002 No 53, Sch 1.9
[1] [2]; 2006 No 62, Sch 1 [15] [16]. | Sec 25O | Ins 1999 No 81, Sch 2 [5]. | Sec 28 | Am 2003 No 35, Sch 1
[12]–[14]. | Sec 29 | Am 1992 No 112, Sch 1. | Sec 31 | Am 1987 No 209, Sch 44; 2009 No 56, Sch 4.18 [1]
[2]. | Sec 33 | Rep 2003 No 35, Sch 1 [15]. | Sec 34 | Am 1992 No 112, Sch 1. Subst 2003 No 35, Sch 1
[16]. | Secs 35, 36 | Subst 2003 No 35, Sch 1 [16]. | Secs 36A–36F | Ins 2003 No 35, Sch 1 [16]. | Sec 38 | Am 1989 No 226, Sch 2. | Sec 40 | Am 1987 No 209, Sch 44; 1992 No 112, Sch
1. | Part 4, Div 3 | Ins 2003 No 35, Sch 1 [17]. | Sec 40A | Ins 2003 No 35, Sch 1 [17]. | Sec 40B | Ins 2003 No 35, Sch 1 [17]. Am 2003 No 82, Sch 1.12
[1]. | Secs 40C–40E | Ins 2003 No 35, Sch 1 [17]. | Sec 40F | Ins 2003 No 35, Sch 1 [17]. Am 2003 No 82, Sch 1.12
[2]. | Secs 40G–40I | Ins 2003 No 35, Sch 1 [17]. | Sec 40J | Ins 2003 No 35, Sch 1 [17]. Am 2003 No 82, Sch 1.12
[3]. | Sec 40K | Ins 2003 No 35, Sch 1 [17]. | Part 4, Divs 4, 5 (secs
40L–40ZC) | Ins 2003 No 35, Sch 1 [17]. | Sec 43 | Am 2003 No 35, Sch 1
[18]–[20]. | Sec 44 | Am 1988 No 92, Sch 7; 1998 No 142, Sch 3.1 [3] [4];
1999 No 81, Sch 2 [6] [7]; 2002 No 88, Sch 2.2. | Sec 44A | Ins 2003 No 35, Sch 1 [21]. Am 2007 No 82, Sch 1.7
[1]. | Sec 51A | Ins 2003 No 35, Sch 1 [22]. | Sec 56 | Rep 2004 No 21, Sch 1 [4]. | Sec 58 | Am 2006 No 62, Sch 1 [17]
[18]. | Sec 58A | Ins 2006 No 62, Sch 1 [19]. | Part 5A (secs 60A–60D) | Ins 1989 No 167, Sch 1 (1). | Part 5B (secs 60E–60O) | Ins 1993 No 25, Sch 1 (1). | Part 5C (secs 60P–60R) | Ins 2002 No 86, Sch 1 [1]. | Part 5D (secs 60S–60U) | Ins 2004 No 21, Sch 1 [5]. | Part 5E (secs 60V–60Y) | Ins 2006 No 76, Sch 1 [1]. | Part 5F (secs 60Z–60ZB) | Ins 2007 No 36, Sch 1 [1]. | Sec 62 | Am 1989 No 167, Sch 1 (2); 1992 No 112, Sch 1; 1993
No 25, Sch 1 (2); 2003 No 35, Sch 1 [23] [24]; 2004 No 21, Sch 1 [6]; 2006 No
76, Sch 1 [2]; 2007 No 36, Sch 1 [2]; 2007 No 94, Sch 2. | Sec 63 | Am 1992 No 112, Sch 1; 1999 No 85, Sch 2.20 [1];
2001 No 121, Sch 2.108; 2003 No 35, Sch 1 [25]; 2007 No 94, Sch
2. | Sec 63A | Ins 2003 No 35, Sch 1 [26]. Am 2005 No 28, Sch
5.18; 2007 No 94, Schs 2, 7. | Sec 64 | Am 1992 No 34, Sch 1. | Sec 64A | Ins 2000 No 55, Sch 1 [3]. Am 2003 No 35, Sch 1
[27]. | Sec 65 | Am 1989 No 167, Sch 1 (3); 1993 No 25, Sch 1 (2);
2003 No 35, Sch 1 [24] [28]; 2004 No 21, Sch 1 [6]; 2006 No 76, Sch 1 [3];
2007 No 36, Sch 1 [3]. | Sec 66 | Am 1989 No 167, Sch 1 (4); 1990 No 85, Sch 1 (2);
1993 No 25, Sch 1 (2); 1998 No 161, Sch 4.5 [4]; 2000 No 95, Sch 2.1 [2]; 2003
No 35, Sch 1 [24] [29] [30]; 2004 No 21, Sch 1 [6]; 2006 No 76, Sch 1 [4];
2007 No 36, Sch 1 [4]. | Secs 66A, 66B | Ins 2003 No 35, Sch 1 [31]. | Sec 67 | Am 1989 No 167, Sch 1 (5); 1993 No 25, Sch 1 (2);
1993 No 108, Sch 2; 2003 No 35, Sch 1 [24]; 2004 No 21, Sch 1 [6]; 2006 No 76,
Sch 1 [5]; 2007 No 36, Sch 1 [5]. | Sec 68 | Am 1993 No 46, Sch 1; 1993 No 25, Sch 1 (3); 1993
No 108, Sch 2; 1998 No 161, Sch 4.5 [5]; 2002 No 92, Sch 4.3 [1]; 2003 No 35,
Sch 1 [32] [33]; 2004 No 21, Sch 1 [7]; 2006 No 76, Sch 1 [6]; 2007 No 36, Sch
1 [6]; 2007 No 94, Sch 1.42 [1] [2]. | Sec 68A | Ins 2003 No 35, Sch 1 [34]. | Sec 69 | Am 1993 No 25, Sch 1 (3); 2003 No 35, Sch 1 [32]
[35]; 2004 No 21, Sch 1 [7]; 2006 No 76, Sch 1 [7]; 2007 No 36, Sch 1
[7]. | Sec 71 | Am 1989 No 167, Sch 1 (6); 1993 No 25, Sch 1 (2);
2003 No 35, Sch 1 [24]; 2004 No 21, Sch 1 [6] [8] [9]; 2007 No 36, Sch 1
[8]. | Sec 72 | Am 1993 No 25, Sch 1 (4); 2002 No 92, Sch 4.3 [2];
2003 No 35, Sch 1 [24] [36]; 2004 No 21, Sch 1 [6]; 2006 No 76, Sch 1
[8]–[10]; 2007 No 36, Sch 1 [9] [10]. | Sec 73 | Am 1992 No 112, Sch 1; 2003 No 35, Sch 1
[37]–[39]. | Sec 73A | Ins 1998 No 55, Sch 1 [1]. Am 2003 No 35, Sch 1
[40]. | Part 7 | Rep 2003 No 35, Sch 1 [41]. | Secs 74, 75 | Rep 2003 No 35, Sch 1 [41]. | Sec 75A | Ins 1991 No 94, Sch 1. Rep 2003 No 35, Sch 1
[41]. | Sec 76 | Rep 2003 No 35, Sch 1 [41]. | Secs 77, 78 | Am 1998 No 161, Sch 4.5 [4]. Rep 2003 No 35, Sch 1
[41]. | Sec 78A | Ins 1990 No 85, Sch 1 (4). Am 1998 No 55, Sch 1 [2]
[3]; 1998 No 161, Sch 4.5 [4]. Rep 2003 No 35, Sch 1
[41]. | Sec 79 | Am 1990 No 85, Sch 1 (5); 1998 No 120, Sch 1.16
[2]; 1998 No 161, Sch 4.5 [4]. Rep 2003 No 35, Sch 1
[41]. | Sec 79A | Ins 1990 No 85, Sch 1 (6). Am 1998 No 161, Sch 4.5
[4]. Rep 2003 No 35, Sch 1 [41]. | Sec 86A | Ins 1990 No 86, Sch 1 (2). | Sec 87 | Am 1992 No 112, Sch 1. | Sec 88 | Am 2001 No 34, Sch 2.17. | Sec 92 | Am 1992 No 112, Sch 1; 1997 No 82, Sch 1 [10]; 1999
No 85, Sch 2.20 [2]. | Sec 93 | Rep 1999 No 85, Sch 4. Ins 2006 No 62, Sch 1
[20]. | Sch 1 | Am 1989 No 231, Sch 4; 1995 No 11, Sch 1; 1999 No
80, Sch 3.2; 2000 No 54, Sch 1.3 [1]; 2000 No 93, Sch 2.17 [1]–[4]; 2002
No 92, Sch 4.3 [3]; 2003 No 38, Sch 2.5 [1] [2]; 2003 No 43, Sch 1.2; 2004 No
4, Sch 4.7; 2005 No 29, sec 5; 2005 No 97, Sch 2.1. | Sch 2 | Am 1989 No 231, Sch 4; 1999 No 80, Sch 3.2; 2000 No
54, Sch 1.3 [2]; 2000 No 93, Sch 2.17 [2] [4]; 2003 No 38, Sch 2.5 [3] [4];
2003 No 43, Sch 1.2. | Sch 4 | Am 2003 No 35, Sch 1 [42]. | Sch 4A | Ins 1997 No 82, Sch 1 [11]. Am 1999 No 81, Sch 2
[8]; 1999 No 94, sec 7 (2) and Sch 5, Part 2; 2000 No 53, Sch 1.6 [6]; 2007 No
82, Sch 1.7 [2]. | Sch 5 | Am 1993 No 25, Sch 1 (5); 1995 No 58, Sch 1 (7)
(8); 1997 No 82, Sch 1 [12] [13]; 2002 No 86, Sch 1 [2]; 2003 No 35, Sch 1
[43] [44]; 2004 No 21, Sch 1 [10] [11]; 2004 No 101, Sch 9.4 [3]; 2006 No 62,
Sch 1 [21] [22]; 2006 No 76, Sch 1 [11]; 2007 No 36, Sch 1 [11]
[12]. | The whole Act (except Sch 5) | Am 1997 No 82, Sch 1 [1]
(“Commissioner” omitted wherever occurring,
“Director-General” inserted instead). |
|