Part 1 -- Amendments commencing at the same time as section 3 of the Clean Energy Act 2011 commences
Anti - Money Laundering and Counter - Terrorism Financing Act 2006
1 Section 5
Insert:
"carbon unit" has the same meaning as in the Clean Energy Act 2011 .
2 Subsection 6(2) (after paragraph (b) of the cell at table item 33, column headed "Provision of a designated service")
Insert:
(baa) a carbon unit; or |
3 Subsection 6(2) (paragraph (d) of the cell at table item 33, column headed "Provision of a designated service")
After "derivatives,", insert "carbon units,".
Australian National Registry of Emissions Units Act 2011
5 Section 4 (definition of Administrator )
Repeal the definition.
6 Section 4 (definition of electronic notice transmitted to the Administrator )
Repeal the definition.
7 Section 4
Insert:
"electronic notice transmitted to the Regulator" has the meaning given by section 5.
13 Section 4
Insert:
"Regulator" means the Clean Energy Regulator.
15 Section 5
Omit " Administrator ", substitute " Regulator ".
43 Subsection 85(1)
Omit "his or her", substitute "its".
44 Subsection 85(2)
Omit "he or she", substitute "the Regulator".
45 Subsection 85(2)
Omit "his or her", substitute "its".
46 Bulk amendments--references to the Administrator etc.
The Australian National Registry of Emissions Units Act 2011 is amended as follows:
(a) by omitting "the Administrator" (wherever occurring) and substituting "the Regulator";
(b) by omitting "The Administrator" (wherever occurring) and substituting "The Regulator";
(c) by omitting "the Administrator's" (wherever occurring) and substituting "the Regulator's";
(d) by omitting "The Administrator's" (wherever occurring) and substituting "The Regulator's";
(e) by omitting " Administrator " (wherever occurring) and substituting " Regulator ";
(f) by omitting " Administrator " (wherever occurring) and substituting " Regulator ";
(g) by omitting " Administrator's " (wherever occurring) and substituting " Regulator's ".
Australian Securities and Investments Commission Act 2001
47 After paragraph 12BAA(7)(k)
Insert:
(ka) a carbon unit;
48 Paragraph 12BAB(1)(g)
After "other than", insert "a carbon unit,".
49 Paragraph 127(2A)(e)
Omit "Carbon Credits Administrator", substitute "Clean Energy Regulator".
Carbon Credits (Carbon Farming Initiative) Act 2011
51 Section 4
Omit "Carbon Credits Administrator", substitute "Clean Energy Regulator".
52 Section 5 (definition of Administrator )
Repeal the definition.
53 Section 5 (definition of electronic notice transmitted to the Administrator )
Repeal the definition.
54 Section 5
Insert:
"electronic notice transmitted to the Regulator" has the meaning given by section 7.
55 Section 5 (paragraphs (a) to (e) of the definition of entrusted public official )
Repeal the paragraphs.
56 Section 5 (definition of protected Administrator information )
Repeal the definition.
57 Section 5
Insert:
"protected audit information" means protected information that was obtained by a person in the person's capacity as:
(a) an audit team leader; or
(b) a person assisting an audit team leader.
58 Section 5
Insert:
"Regulator" means the Clean Energy Regulator.
59 Subsection 7(1)
Omit " Administrator ", substitute " Regulator ".
61 Subsection 243(1)
Omit "his or her", substitute "its".
62 Subsection 243(2)
Omit "he or she", substitute "the Regulator".
63 Subsection 243(2)
Omit "his or her", substitute "its".
64 Part 25
Repeal the Part.
65 At the end of section 270
Add:
Note: See also the Clean Energy Regulator Act 2011 , which deals with the use and disclosure of information by officials of the Clean Energy Regulator.
66 Section 274
Repeal the section.
67 Subsection 275(2)
Omit "Administrator" (first occurring), substitute "Regulator".
68 Subsection 275(2)
Omit "protected Administrator information", substitute "protected audit information".
69 Paragraphs 275(2)(a) to (e)
Repeal the paragraphs.
70 Subsection 276(1)
Omit "the Administrator is satisfied that particular protected Administrator information", substitute "the Regulator is satisfied that particular protected audit information".
71 Paragraph 276(1)(a)
Repeal the paragraph.
72 Subsection 276(2)
Repeal the subsection (not including the heading).
73 Paragraphs 276(3)(a) to (d)
Repeal the paragraphs.
74 Subsection 276(3)
Omit "by the Administrator", substitute "by the Regulator".
75 Subsection 276(3)
Omit "protected Administrator information", substitute "protected audit information".
76 Paragraph 276(4)(b)
Repeal the paragraph, substitute:
(b) protected audit information has been disclosed under subsection (3) to the body; and
77 Subsection 276(5)
Omit "Administrator", substitute "Regulator".
78 Subsection 276(6)
Repeal the subsection, substitute:
Conditions
(6) The Regulator may, by writing, impose conditions to be complied with in relation to protected audit information disclosed under subsection (3).
79 Subsection 277(1)
Omit "the Administrator is satisfied that particular protected Administrator information", substitute "the Regulator is satisfied that particular protected audit information".
80 Subsection 277(2)
Repeal the subsection (not including the heading).
81 Paragraphs 277(3)(a) to (d)
Repeal the paragraphs.
82 Subsection 277(3)
Omit "by the Administrator", substitute "by the Regulator".
83 Subsection 277(3)
Omit "protected Administrator information", substitute "protected audit information".
84 Paragraph 277(4)(b)
Repeal the paragraph, substitute:
(b) protected audit information has been disclosed under subsection (3) to the body corporate; and
85 Paragraph 277(5)(a)
Omit "Administrator", substitute "Regulator".
86 Subsection 277(6)
Repeal the subsection, substitute:
Conditions
(6) The Regulator may, by writing, impose conditions to be complied with by the body corporate and its officers, employees and agents in relation to protected audit information disclosed to the body corporate under subsection (3).
87 Paragraphs 281(a) to (e)
Repeal the paragraphs.
88 Paragraphs 281(h) and (i)
Omit "protected Administrator information", substitute "protected audit information".
88A Section 282 (heading)
Repeal the heading, substitute:
282 Disclosure for purposes of law enforcement--protected audit information
89 Subsection 282(1)
Omit "the Administrator is satisfied that disclosure of particular protected Administrator information", substitute "the Regulator is satisfied that disclosure of particular protected audit information".
90 Subsection 282(2)
Repeal the subsection (not including the heading).
91 Paragraphs 282(3)(a) to (d)
Repeal the paragraphs.
92 Subsection 282(3)
Omit "by the Administrator", substitute "by the Regulator".
93 Subsection 282(3)
Omit "protected Administrator information", substitute "protected audit information".
94 Paragraph 282(4)(b)
Repeal the paragraph, substitute:
(b) protected audit information has been disclosed under subsection (3) to the Department, agency, authority or police force, as the case may be; and
95 Paragraph 282(5)(a)
Omit "Administrator", substitute "Regulator".
96 Subsection 282(6)
Repeal the subsection, substitute:
Conditions
(6) The Regulator may, by writing, impose conditions to be complied with in relation to protected audit information disclosed under subsection (3).
97 Section 285
Repeal the section.
99 Bulk amendments--references to the Administrator etc.
The Carbon Credits (Carbon Farming Initiative) Act 2011 other than the following provisions:
(a) the definition of entrusted public official in section 5;
(b) the definition of protected Administrator information in section 5;
(c) Part 25;
(d) sections 274 to 277;
(e) sections 281 and 282;
(f) section 285;
is amended as follows:
(g) by omitting "the Administrator" (wherever occurring) and substituting "the Regulator";
(h) by omitting "The Administrator" (wherever occurring) and substituting "The Regulator";
(i) by omitting "the Administrator's" (wherever occurring) and substituting "the Regulator's";
(j) by omitting "The Administrator's" (wherever occurring) and substituting "The Regulator's";
(k) by omitting " Administrator " (wherever occurring) and substituting " Regulator ";
(l) by omitting " Administrator's " (wherever occurring) and substituting " Regulator's ".
Competition and Consumer Act 2010
100 After paragraph 44AAF(3)(c)
Insert:
(ca) the Clean Energy Regulator;
101 Paragraph 44AAF(3)(d)
Omit "(b) or (c)", substitute "(b), (c) or (ca)".
102 Paragraph 155AAA(12)(la)
Omit "Carbon Credits Administrator", substitute "Clean Energy Regulator".
Financial Management and Accountability Regulations 1997
104 Part 1 of Schedule 1 (after table item 132)
Insert:
133 | Clean Energy Regulator, comprising: (a) the Chair and the other members of the Clean Energy Regulator; and (b) the staff mentioned in section 36 of the Clean Energy Regulator Act 2011 ; and (c) the persons whose services are made available to the Clean Energy Regulator under section 37 of that Act; and (d) the consultants engaged under subsection 38(1) of that Act. See Note B | Chair |
105 Part 1 of Schedule 1 (table item 173)
Repeal the item.
National Greenhouse and Energy Reporting Act 2007
106 Section 7 (definition of Greenhouse and Energy Data Officer )
Repeal the definition.
107 Section 7 (definition of greenhouse and energy information )
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
108 Section 7
Insert:
"official of the Regulator" has the same meaning as in the Clean Energy Regulator Act 2011 .
109 Section 7
Insert:
"protected information" has the same meaning as in the Clean Energy Regulator Act 2011 .
110 Section 7
Insert:
"Regulator" means the Clean Energy Regulator.
111 Paragraph 9(1)(b)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
112 Paragraph 11(1)(b)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
113 Paragraph 15(a)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
114 Subsections 16(1), (3) and (4)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
115 Subsections 17(1), (2), (3), (3A) and (4)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
116 Subsections 18(1) and (3)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
117 Subsection 18(4)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
118 Subsection 18(4)
Omit "his or her", substitute "the Regulator's".
119 Subsection 18(5)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
119A Section 19 (heading)
Repeal the heading, substitute:
19 Report to be given to the Regulator
120 Subsection 19(1)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
121 Subsections 19(6) and (9)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
122 Subsection 20(1)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
123 Subsections 20(2) and (3)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
124 Subsections 20(4) and (5)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
125 Subsection 21(1)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
126 Subsection 21(4) (note)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
127 Subsection 21(6)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
128 Subsection 21A(1)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
129 Subsection 21A(2) (note)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
130 Subsection 21A(3)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
131 Paragraphs 22(1)(b) and (2)(b)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
131A Section 22G (heading)
Repeal the heading, substitute:
22G Report to be given to the Regulator
132 Subsections 22G(1) and (2)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
133 Subsection 22G(5)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
134 Paragraph 22H(1)(b)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
135 Subsection 22K(2)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
136 Paragraph 22K(5)(b)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
137 Subsection 22KA(1)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
138 Subsection 22KA(2)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
139 Subsection 22L(2)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
140 Subsections 22L(3), (4) and (5)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
141 Subsections 22N(2) and (3)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
142 Subsection 22N(4)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
143 Subsection 22P(2)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
144 After paragraph 23(1)(a)
Insert:
(aa) the information is not protected information; and
145 Paragraphs 23(2)(a) and (b)
Repeal the paragraphs.
145A Paragraph 23(2)(g)
Omit "is disclosed under section 26", substitute "was disclosed under repealed section 26".
146 At the end of section 23
Add:
Note: See also Part 3 of the Clean Energy Regulator Act 2011 (secrecy obligations of officials of the Regulator).
147 Subsections 24(1) and (1A)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
148 Subsection 24(1AD)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
149 Subsections 24(1AE), (1B) and (1C)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
150 Subsection 24(1C)
Omit "he or she", substitute "the Regulator".
151 Subsection 24(1F)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
152 Subsection 24(1G)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
153 Subsections 24(2) and (3)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
153A Subsections 24(5) and (6)
Repeal the subsections, substitute:
Publication by States or Territories
(5) A State or Territory, or an authority of a State or Territory, may publish information disclosed to it under subsection 27(1) if the publication of the information is required under a law of the State or Territory.
(5A) A State or Territory, or an authority of a State or Territory, may publish information disclosed to it under subsection 27(1) if the information is in an aggregated form that does not disclose, either directly or indirectly, information about a specific:
(a) registered corporation; or
(b) registered corporation's group; or
(c) non - corporate entity; or
(d) facility.
Publication by other persons
(6) A person may publish greenhouse and energy information disclosed to it under Part 3 of the Clean Energy Regulator Act 2011 if the information is in an aggregated form that does not disclose, either directly or indirectly, information about a specific:
(a) registered corporation; or
(b) registered corporation's group; or
(c) non - corporate entity; or
(d) facility.
154 Subsections 25(1), (2), (3) and (4)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
155 Section 26
Repeal the section.
158 Subsections 27(1), (1A) and (2)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
159 Subsections 28(1), (2) and (3)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
160 Subsection 31(1)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
161 Subsection 39(1)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
162 Paragraph 40(1)(c)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
163 Subsection 42(2)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
164 Subsections 45(1), (3) and (4)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
165 Subsections 46(1) and (2)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
166 Division 1 of Part 6
Repeal the Division.
167 Division 2 of Part 6 (heading)
Repeal the heading, substitute:
Division 2 -- Decisions by the Regulator
167A Section 54 (heading)
Repeal the heading, substitute:
54 Regulator may declare facility
168 Subsection 54(1)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
169 Paragraph 54(1)(b)
Omit "his or her", substitute "the Regulator's".
170 Subsections 54(2), (3), (4) and (5)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
171 Subsection 54(5)
Omit "he or she" (wherever occurring), substitute "the Regulator".
171A Section 55 (heading)
Repeal the heading, substitute:
55 Regulator may declare corporation etc. has operational control
172 Subsection 55(1)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
173 Paragraph 55(1)(b)
Omit "his or her", substitute "the Regulator's".
174 Paragraph 55(2)(d)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
175 Subsection 55(3)
Omit "Greenhouse Energy and Data Officer", substitute "Regulator".
176 Subsections 55(4) and (5)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
177 Subsection 55(5)
Omit "he or she" (wherever occurring), substitute "the Regulator".
178 Section 56
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
179 Subsections 57(1) and (2)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
180 Subsections 58(1) and (2)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
181 Subsections 71(1), (2) and (4)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
182 Subsection 73(1)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
183 Subsection 73(2)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
184 Subsection 73(5)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
185 Subsection 73A(1)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
186 Subsection 73A(2)
Omit "Greenhouse and Energy Data Officer" (wherever occurring), substitute "Regulator".
187 Subsection 73A(5)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
188 Subsections 74(1) and (2)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
189 Subsections 74A(1) and (2)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
190 Subsections 75A(1), (2), (3), (4) and (7)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
191 Subsection 75A(7)
Omit "Greenhouse and Energy Data Officer's", substitute "Regulator's".
192 Subsection 75A(8)
Omit "Greenhouse and Energy Data Officer", substitute "Regulator".
Ozone Protection and Synthetic Greenhouse Gas Management Act 1989
194 After section 67A
Insert:
67B Disclosure of information to the Clean Energy Regulator
Scope
(1) This section applies to information obtained under this Act or the regulations.
Disclosure
(2) The Minister may disclose the information to the Clean Energy Regulator for the purposes of, or in connection with, the performance of the functions, or the exercise of the powers, of the Clean Energy Regulator.
Other powers of disclosure not limited
(3) This section does not, by implication, limit the Minister's powers to disclose the information to a person other than the Clean Energy Regulator.
Renewable Energy (Electricity) Act 2000
195 Subsection 5(1) (definition of Office of the Renewable Energy Regulator )
Repeal the definition.
196 Subsection 5(1)
Insert:
"official of the Regulator" has the same meaning as in the Clean Energy Regulator Act 2011 .
197 Subsection 5(1) (definition of protected document )
Repeal the definition.
198 Subsection 5(1) (definition of protected information )
Repeal the definition.
199 Subsection 5(1) (definition of Regulator )
Omit "Renewable Energy Regulator (see section 142)", substitute "Clean Energy Regulator".
200 Subsection 5(1) (definition of senior employee )
Omit "Office of the Renewable Energy Regulator", substitute "Regulator".
201 Subsection 5(1) (definition of senior officer )
Repeal the definition, substitute:
"senior officer" of the Regulator means a person who:
(a) is a member of the staff of the Regulator; and
(b) either:
(i) is an SES employee or acting SES employee; or
(ii) holds or performs the duties of an Executive Level 2 position or an equivalent position.
202 Subsection 5(1)
Insert:
"staff of the Regulator" has the same meaning as in the Clean Energy Regulator Act 2011 .
203 Subsection 30D(5)
Omit "he or she", substitute "the Regulator".
204 Subsection 107(1)
Omit "an officer or employee of the Office of the Renewable Energy Regulator", substitute "a member of the staff of the Regulator".
205 Part 12 (heading)
Repeal the heading, substitute:
Part 12 -- Publication of information
206 Sections 126 to 133
Repeal the sections.
207 Part 14
Repeal the Part.
207A Subsection 156(1) (heading)
Repeal the heading, substitute:
Delegation to senior officers of the Regulator
208 Subsection 156(1)
Omit "Office of the Renewable Energy Regulator", substitute "Regulator".
209 Section 158
Repeal the section.
210 Paragraph 159(1)(b)
Omit "the Regulator", substitute "an official of the Regulator".
211 Subsection 159(2)
Omit "the Regulator" (first occurring), substitute "an official of the Regulator".
212 Subsections 159(3) and (4)
Omit "the Regulator", substitute "an official of the Regulator".
Taxation Administration Act 1953
212A Subsection 355 - 65(7) in Schedule 1 (at the end of the table)
Add:
3 | the Clean Energy Regulator | is for the purpose of: (a) a * taxation officer seeking verification from the Regulator of information provided to the Commissioner under or for the purposes of the Fuel Tax Act 2006 ; or (b) administering the Clean Energy Act 2011 or the associated provisions (within the meaning of that Act). |
Division 2--Transitional provisions
214 Transitional--acts of the Greenhouse and Energy Data Officer to be attributed to the Clean Energy Regulator
(1) This item applies to anything done by, or in relation to, the Greenhouse and Energy Data Officer under the National Greenhouse and Energy Reporting Act 2007 , or under regulations under that Act, before the commencement of this item.
(2) The National Greenhouse and Energy Reporting Act 2007 and those regulations have effect, after that commencement, as if the thing had been done by, or in relation to, the Clean Energy Regulator.
215 Transitional--acts of the Renewable Energy Regulator to be attributed to the Clean Energy Regulator
(1) This item applies to anything done by, or in relation to, the Renewable Energy Regulator under the Renewable Energy (Electricity) Act 2000 , or under regulations under that Act, before the commencement of this item.
(2) The Renewable Energy (Electricity) Act 2000 and those regulations have effect, after that commencement, as if the thing had been done by, or in relation to, the Clean Energy Regulator.
215A Transitional--acts of the Carbon Credits Administrator to be attributed to the Clean Energy Regulator
(1) This item applies to anything done by, or in relation to, the Carbon Credits Administrator under:
(a) the Carbon Credits (Carbon Farming Initiative) Act 2011 or regulations under that Act; or
(b) the Australian National Registry of Emissions Units Act 2011 or regulations under that Act;
before the commencement of this item.
(2) Those Acts and regulations have effect, after that commencement, as if the thing had been done by, or in relation to, the Clean Energy Regulator.
216 Transitional--substitution of the Clean Energy Regulator as a party in certain proceedings
(1) This item applies to proceedings to which the Greenhouse and Energy Data Officer, the Renewable Energy Regulator or the Carbon Credits Administrator was a party and that were pending in any court or tribunal immediately before the commencement of this item.
(2) The Clean Energy Regulator is substituted for the Greenhouse and Energy Data Officer, the Renewable Energy Regulator or the Carbon Credits Administrator, as the case requires, from that commencement, as a party to those proceedings.
217 Transitional--transfer of records to the Clean Energy Regulator
(1) This item applies to any records or documents that:
(a) were in the possession of the Greenhouse and Energy Data Officer, the Renewable Energy Regulator or the Carbon Credits Administrator immediately before the commencement of this item; and
(b) relate to the Greenhouse and Energy Data Officer, the Renewable Energy Regulator, the Office of the Renewable Energy Regulator or the Carbon Credits Administrator.
(2) The records and documents are to be transferred to the Clean Energy Regulator after the commencement of this item.
218 Transitional--transfer of Ombudsman investigations
If:
(a) before the commencement of this item, a complaint was made to the Ombudsman, or the Ombudsman began an investigation, under the Ombudsman Act 1976 in relation to action taken by the Greenhouse and Energy Data Officer, the Renewable Energy Regulator or the Carbon Credits Administrator; and
(b) immediately before the commencement of this item, the Ombudsman had not finally disposed of the matter in accordance with the Ombudsman Act 1976 ;
the Ombudsman Act 1976 applies after the commencement of this item as if that action had been taken by the Clean Energy Regulator.
221 Transitional--documents signed by the Renewable Energy Regulator
(1) Despite the repeal of section 158 of the Renewable Energy (Electricity) Act 2000 by this Part, that section continues to apply, in relation to a person who held the office of the Renewable Energy Regulator at any time before the commencement of this item, as if that repeal had not happened.
(2) Despite the amendments of section 159 of the Renewable Energy (Electricity) Act 2000 made by this Part, that section continues to apply, in relation to documents or certificates signed by the Renewable Energy Regulator before the commencement of this item, as if those amendments had not been made.
222 Transitional--references in instruments
(1) For the purposes of this item, an eligible instrument is an instrument that:
(a) was in force immediately before the commencement of this item; and
(b) contains a reference to the Greenhouse and Energy Data Officer, the Renewable Energy Regulator or the Carbon Credits Administrator.
(2) The Minister may, by legislative instrument, declare that a specified eligible instrument has effect as if each reference in the instrument to the Greenhouse and Energy Data Officer, the Renewable Energy Regulator or the Carbon Credits Administrator, as the case may be, were a reference to the Clean Energy Regulator.
223 Transitional--employees of the Clean Energy Regulator
Transferring employees
(1) For the purposes of this item, a person is a transferring employee if:
(a) the person was an APS employee in:
(i) the Department; or
(ii) the Office of the Renewable Energy Regulator;
immediately before the transition time; and
(b) the person is covered by a determination that:
(i) is made under section 72 of the Public Service Act 1999 ; and
(ii) causes the person, at the transition time, to become an APS employee in the Clean Energy Regulator.
(2) If:
(a) a person is a transferring employee; and
(b) immediately before the transition time, a designated agreement applied to the person's employment in the Department or the Office of the Renewable Energy Regulator, as the case may be;
then:
(c) the designated agreement (as in force immediately before the transition time) covers the Commonwealth and the transferring employee in relation to the transferring employee's employment in the Clean Energy Regulator; and
(d) the designated agreement has effect after the transition time, in relation to the transferring employee's employment in the Clean Energy Regulator, as if it had been made by the Chair of the Clean Energy Regulator on behalf of the Commonwealth; and
(e) if:
(i) an enterprise agreement commences after the transition time; and
(ii) the enterprise agreement was made by the Chair of the Clean Energy Regulator on behalf of the Commonwealth; and
(iii) the enterprise agreement covers the Commonwealth and the transferring employee in relation to the transferring employee's employment in the Clean Energy Regulator;
paragraphs (c) and (d) cease to apply in relation to the transferring employee when the enterprise agreement commences.
(3) If:
(a) a person is a transferring employee; and
(b) immediately before the transition time, a determination under subsection 24(1) of the Public Service Act 1999 applied to the person's employment in:
(i) the Department; or
(ii) the Office of the Renewable Energy Regulator;
then:
(c) the determination (to the extent to which it relates to the transferring employee) has effect after the transition time, in relation to the transferring employee's employment in the Clean Energy Regulator, as if:
(i) the determination had been made by the Chair of the Clean Energy Regulator; and
(ii) the determination were applicable to the person's employment in the Clean Energy Regulator; and
(d) paragraph (c) does not prevent the variation or revocation of the determination.
New employees
(4) For the purposes of this item, a person is a new employee if:
(a) the person is an APS employee in the Clean Energy Regulator; and
(b) the person is not a transferring employee.
(5) If:
(a) a designated agreement covers the Commonwealth because of subitem (2); and
(b) after the transition time, a person becomes a new employee; and
(c) either:
(i) the designated agreement would have covered the Commonwealth and the new employee in relation to the new employee's employment in the Department if the new employee had been an APS employee at the same level in the Department immediately before the transition time; or
(ii) the designated agreement would have covered the Commonwealth and the new employee in relation to the new employee's employment in the Office of the Renewable Energy Regulator if the new employee had been an APS employee at the same level in the Office of the Renewable Energy Regulator immediately before the transition time; and
(d) the Chair of the Clean Energy Regulator, by written notice given to the new employee before or within 14 days after the person becomes a new employee, determines that the designated agreement is applicable to the new employee for the purposes of this subitem from the time when the person becomes a new employee;
then:
(e) the designated agreement (as in force immediately before the transition time) covers the Commonwealth and the new employee in relation to the new employee's employment in the Clean Energy Regulator; and
(f) the designated agreement has effect after the transition time, in relation to the new employee's employment in the Clean Energy Regulator, as if it had been made by the Chair of the Clean Energy Regulator on behalf of the Commonwealth; and
(g) if:
(i) an enterprise agreement commences after the transition time; and
(ii) the enterprise agreement was made by the Chair of the Clean Energy Regulator on behalf of the Commonwealth; and
(iii) the enterprise agreement covers the Commonwealth and the new employee in relation to the new employee's employment in the Clean Energy Regulator;
paragraphs (e) and (f) cease to apply in relation to the new employee when the enterprise agreement commences.
Delegation
(6) The Chair of the Clean Energy Regulator may, in writing, delegate the power conferred by paragraph (5)(d) to:
(a) a member of the Clean Energy Regulator; or
(b) a person who is:
(i) a member of the staff of the Clean Energy Regulator; and
(ii) an SES employee or acting SES employee; or
(c) a person who is:
(i) a member of the staff of the Clean Energy Regulator; and
(ii) an APS employee who holds or performs the duties of an Executive Level 2 position or an equivalent position; or
(d) a person who is:
(i) an APS employee in the Department; and
(ii) a person assisting the Clean Energy Regulator under section 37 of the Clean Energy Regulator Act 2011 .
Note: The expressions SES employee and acting SES employee are defined in the Acts Interpretation Act 1901 .
Legislative instrument
(7) A determination made under paragraph (5)(d) is not a legislative instrument.
Definitions
(8) In this item:
commence , in relation to an enterprise agreement, means begin to operate.
covers has the same meaning as in the Fair Work Act 2009 .
designated agreement means:
(a) the Department of Climate Change Collective Agreement 2009 - 2011 ; or
(b) the Office of the Renewable Energy Regulator Enterprise Agreement 2009 - 2011 ; or
(c) an enterprise agreement.
enterprise agreement has the same meaning as in the Fair Work Act 2009 .
transition time means the commencement of this item.
224 Transitional--regulations relating to the transfer of APS employees to the Clean Energy Regulator
The Governor - General may make regulations providing for matters of a transitional nature in relation to the transfer of APS employees from:
(a) the Department; or
(b) the Office of the Renewable Energy Regulator;
to the Clean Energy Regulator.
225 Transitional--employees of the Climate Change Authority
Transferring employees
(1) For the purposes of this item, a person is a transferring employee if:
(a) the person was an APS employee in:
(i) the Department; or
(ii) the Office of the Renewable Energy Regulator;
immediately before the transition time; and
(b) the person is covered by a determination that:
(i) is made under section 72 of the Public Service Act 1999 ; and
(ii) causes the person, at the transition time, to become an APS employee in the Climate Change Authority.
(2) If:
(a) a person is a transferring employee; and
(b) immediately before the transition time, a designated agreement applied to the person's employment in the Department or the Office of the Renewable Energy Regulator, as the case may be;
then:
(c) the designated agreement (as in force immediately before the transition time) covers the Commonwealth and the transferring employee in relation to the transferring employee's employment in the Climate Change Authority; and
(d) the designated agreement has effect after the transition time, in relation to the transferring employee's employment in the Climate Change Authority, as if it had been made by the Chief Executive Officer of the Climate Change Authority on behalf of the Commonwealth; and
(e) if:
(i) an enterprise agreement commences after the transition time; and
(ii) the enterprise agreement was made by the Chief Executive Officer of the Climate Change Authority on behalf of the Commonwealth; and
(iii) the enterprise agreement covers the Commonwealth and the transferring employee in relation to the transferring employee's employment in the Climate Change Authority;
paragraphs (c) and (d) cease to apply in relation to the transferring employee when the enterprise agreement commences.
(3) If:
(a) a person is a transferring employee; and
(b) immediately before the transition time, a determination under subsection 24(1) of the Public Service Act 1999 applied to the person's employment in:
(i) the Department; or
(ii) the Office of the Renewable Energy Regulator;
then:
(c) the determination (to the extent to which it relates to the transferring employee) has effect after the transition time, in relation to the transferring employee's employment in the Climate Change Authority, as if:
(i) the determination had been made by the Chief Executive Officer of the Climate Change Authority; and
(ii) the determination were applicable to the person's employment in the Climate Change Authority; and
(d) paragraph (c) does not prevent the variation or revocation of the determination.
New employees
(4) For the purposes of this item, a person is a new employee if:
(a) the person is an APS employee in the Climate Change Authority; and
(b) the person is not a transferring employee.
(5) If:
(a) a designated agreement covers the Commonwealth because of subitem (2); and
(b) after the transition time, a person becomes a new employee; and
(c) either:
(i) the designated agreement would have covered the Commonwealth and the new employee in relation to the new employee's employment in the Department if the new employee had been an APS employee at the same level in the Department immediately before the transition time; or
(ii) the designated agreement would have covered the Commonwealth and the new employee in relation to the new employee's employment in the Office of the Renewable Energy Regulator if the new employee had been an APS employee at the same level in the Office of the Renewable Energy Regulator immediately before the transition time; and
(d) the Chief Executive Officer of the Climate Change Authority, by written notice given to the new employee before or within 14 days after the person becomes a new employee, determines that the designated agreement is applicable to the new employee for the purposes of this subitem from the time when the person becomes a new employee;
then:
(e) the designated agreement (as in force immediately before the transition time) covers the Commonwealth and the new employee in relation to the new employee's employment in the Climate Change Authority; and
(f) the designated agreement has effect after the transition time, in relation to the new employee's employment in the Climate Change Authority, as if it had been made by the Chief Executive Officer of the Climate Change Authority on behalf of the Commonwealth; and
(g) if:
(i) an enterprise agreement commences after the transition time; and
(ii) the enterprise agreement was made by the Chief Executive Officer of the Climate Change Authority on behalf of the Commonwealth; and
(iii) the enterprise agreement covers the Commonwealth and the new employee in relation to the new employee's employment in the Climate Change Authority;
paragraphs (e) and (f) cease to apply in relation to the new employee when the enterprise agreement commences.
Delegation
(6) The Chief Executive Officer of the Climate Change Authority may, in writing, delegate the power conferred by paragraph (5)(d) to:
(a) a person who is:
(i) a member of the staff of the Climate Change Authority; and
(ii) an SES employee or acting SES employee; or
(b) a person who is:
(i) an SES employee, or acting SES employee, in the Department; and
(ii) a person assisting the Climate Change Authority under section 53 of the Climate Change Authority Act 2011 ; or
(c) a person who:
(i) is an APS employee in the Department; and
(ii) is a person assisting the Climate Change Authority under section 53 of the Climate Change Authority Act 2011 ; and
(iii) holds or performs the duties of an Executive Level 2 position or an equivalent position.
Note: The expressions SES employee and acting SES employee are defined in the Acts Interpretation Act 1901 .
Legislative instrument
(7) A determination made under paragraph (5)(d) is not a legislative instrument.
Definitions
(8) In this item:
commence , in relation to an enterprise agreement, means begin to operate.
covers has the same meaning as in the Fair Work Act 2009 .
designated agreement means:
(a) the Department of Climate Change Collective Agreement 2009 - 2011 ; or
(b) the Office of the Renewable Energy Regulator Enterprise Agreement 2009 - 2011 ; or
(c) an enterprise agreement.
enterprise agreement has the same meaning as in the Fair Work Act 2009 .
transition time means the start of 1 July 2012.
226 Transitional--regulations relating to the transfer of APS employees to the Climate Change Authority
The Governor - General may make regulations providing for matters of a transitional nature in relation to the transfer of APS employees from:
(a) the Department; or
(b) the Office of the Renewable Energy Regulator;
to the Climate Change Authority.
227 Separate agreements relating to employment
(1) If either or both of the following conditions are satisfied:
(a) under either or both of subitems 223(2) and (5), a designated agreement covers the Commonwealth and one or more employees in relation to their employment in the Clean Energy Regulator;
(b) under either or both of subitems 225(2) and (5), a designated agreement covers the Commonwealth and one or more employees in relation to their employment in the Climate Change Authority;
the Fair Work Act 2009 and the Fair Work (Transitional Provisions and Consequential Amendments) Act 2009 have effect as if the following were separate agreements:
(c) the designated agreement, in so far as it has the coverage mentioned in paragraph (a);
(d) the designated agreement, in so far as it has the coverage mentioned in paragraph (b);
(e) the designated agreement, in so far as it has neither the coverage mentioned in paragraph (a) nor the coverage mentioned in paragraph (b).
Definitions
(2) In this item:
covers has the same meaning as in the Fair Work Act 2009 .
designated agreement means:
(a) the Department of Climate Change Collective Agreement 2009 - 2011 ; or
(b) the Office of the Renewable Energy Regulator Enterprise Agreement 2009 - 2011 ; or
(c) an enterprise agreement.
enterprise agreement has the same meaning as in the Fair Work Act 2009 .
228 Transitional--regulations
The Governor - General may make regulations in relation to transitional matters arising out of the amendments made by this Part.
Part 2 -- Amendments commencing on 1 July 2012
Australian National Registry of Emissions Units Act 2011
229 Section 3
Omit:
• Entries may be made in Registry accounts for:
(a) Australian carbon credit units; and
(b) Kyoto units; and
(c) prescribed international units.
substitute:
• Entries may be made in Registry accounts for:
(a) carbon units; and
(b) Australian carbon credit units; and
(c) Kyoto units; and
(d) prescribed international units.
230 Section 4
Insert:
"carbon unit" has the same meaning as in the Clean Energy Act 2011 .
231 Section 4
Insert:
"fixed charge year" has the same meaning as in the Clean Energy Act 2011 .
232 Section 4 (definition of hold )
Repeal the definition, substitute:
"hold" : a person holds a carbon unit or an Australian carbon credit unit if the person is the registered holder of the unit.
233 Section 4
Insert:
"Information Database" has the same meaning as in the Clean Energy Act 2011 .
234 Section 4 (definition of issue )
Repeal the definition, substitute:
"issue" :
(a) in relation to a carbon unit--has the same meaning as in the Clean Energy Act 2011 ; or
(b) in relation to an Australian carbon credit unit--has the same meaning as in the Carbon Credits (Carbon Farming Initiative) Act 2011 .
235 Section 4 (before paragraph (a) of the definition of registered holder )
Insert:
(aa) a carbon unit; or
236 Section 4
Insert:
"vintage year" has the same meaning as in the Clean Energy Act 2011 .
237 Paragraph 9(4)(a)
Omit "Australian carbon credit units", substitute "carbon units, Australian carbon credit units and prescribed international units".
238 Paragraph 11(5)(a)
After "any", insert "carbon units or".
239 After section 14
Insert:
14A Units in certain accounts cannot be surrendered
(1) The regulations may provide that, if there is an entry for a Kyoto unit in a specified Commonwealth Registry account, the unit cannot be surrendered under the Clean Energy Act 2011 .
(2) Regulations made for the purposes of subsection (1) have effect despite any other provision of the Clean Energy Act 2011 .
240 After paragraph 15(2)(a)
Insert:
(aa) there are no entries for any carbon units in the account; and
241 After subsection 16(2)
Insert:
Cancellation or transfer of units
(2A) The regulations may provide that, if immediately before the Regulator closes a Registry account under regulations made for the purposes of subsection (1), there is an entry for a carbon unit in the account, the unit is cancelled.
241A Subsection 16(3) (heading)
Repeal the heading.
242 Before subsection 17(1)
Insert:
Carbon units
(1A) An entry for a carbon unit in a Registry account may be made in accordance with the Clean Energy Act 2011 .
242A Before subsection 19(4)
Insert:
(3B) The Regulator must not exercise the power conferred by subsection (1) of this section in a manner contrary to section 103A of the Clean Energy Act 2011 .
242B Before subsection 22(5)
Insert:
(4B) The court must not make an order that is contrary to section 103A of the Clean Energy Act 2011 .
243 Before subparagraph 26(3)(a)(i)
Insert:
(ia) carbon units; or
244 Before paragraph 28A(1)(a)
Insert:
(aa) carbon units; or
245 After paragraph 28A(4)(a)
Insert:
(aa) anything in the Clean Energy Act 2011 ; or
246 Before paragraph 28B(1)(a)
Insert:
(aa) carbon units; or
247 After paragraph 28B(11)(a)
Insert:
(aa) anything in the Clean Energy Act 2011 ; or
248 Subsection 28B(11) (at the end of the note)
Add:
; and (e) subsection 109(2) of the Clean Energy Act 2011 .
249 After paragraph 28C(17)(a)
Insert:
(aa) anything in the Clean Energy Act 2011 ; or
250 Subparagraph 28D(5)(a)(ii)
After "issue any", insert "carbon units or".
251 Paragraph 28D(5)(b)
Repeal the paragraph, substitute:
(b) none of the following notices have effect:
(i) a notice to surrender eligible emissions units under section 122 of the Clean Energy Act 2011 ;
(ii) a notice to relinquish carbon units under section 210 of the Clean Energy Act 2011 ;
(iii) a notice to relinquish Australian carbon credit units under section 175 of the Carbon Credits (Carbon Farming Initiative) Act 2011 .
252 After paragraph 28D(16)(a)
Insert:
(aa) anything in the Clean Energy Act 2011 ; or
253 Section 58
Repeal the section, substitute:
The following is a simplified outline of this Part:
• The Regulator must publish certain information about:
(a) the holders of Registry accounts; and
(b) carbon units; and
(c) Kyoto units; and
(d) prescribed international units.
254 After section 61
Insert:
61A Information about number of voluntarily cancelled carbon units
As soon as practicable after one or more carbon units held by a person are cancelled under section 64A, the Regulator must publish on the Regulator's website:
(a) the name of the person; and
(b) the total number of carbon units cancelled.
61B Information about number of voluntarily cancelled Australian carbon credit units
As soon as practicable after one or more Australian carbon credit units held by a person are cancelled under section 64B, the Regulator must publish on the Regulator's website:
(a) the name of the person; and
(b) the total number of Australian carbon credit units cancelled.
255 At the end of Part 5
Add:
63A Number of voluntarily cancelled units to be entered in the Information Database
Scope
(1) This section applies if there is an entry for a person in the Information Database in relation to an eligible financial year (within the meaning of the Clean Energy Act 2011 ).
Carbon units
(2) As soon as practicable after one or more carbon units held by the person are cancelled under section 64A, the Regulator must enter in the Information Database the total number of carbon units cancelled.
Australian carbon credit units
(3) As soon as practicable after one or more Australian carbon credit units held by the person are cancelled under section 64B, the Regulator must enter in the Information Database the total number of Australian carbon credit units cancelled.
Kyoto units
(4) As soon as practicable after one or more Kyoto units held by the person are transferred under section 65 to a voluntary cancellation account, the Regulator must enter in the Information Database the total number of Kyoto units transferred.
Prescribed international units
(5) As soon as practicable after one or more prescribed international units held by the person are cancelled under section 66, the Regulator must enter in the Information Database the total number of prescribed international units cancelled.
256 Section 64
Repeal the section, substitute:
The following is a simplified outline of this Part:
• If a person is the registered holder of one or more carbon units, the person may request the Regulator to cancel any or all of those units. However, this rule does not apply to a unit that was issued for a fixed charge and has a vintage year that is a fixed charge year.
• If a person is the registered holder of one or more Australian carbon credit units, the person may request the Regulator to cancel any or all of those units.
• If a person is the registered holder of one or more Kyoto units, the person may request the Regulator to transfer to a voluntary cancellation account any or all of those units.
• If a person is the registered holder of one or more prescribed international units, the person may request the Regulator to cancel any or all of those units.
64A Voluntary cancellation of carbon units
(1) If a person is the registered holder of one or more carbon units, the person may, by electronic notice transmitted to the Regulator, request the Regulator to cancel any or all of those units.
(2) A notice under subsection (1) must:
(a) specify the carbon unit or units that are to be cancelled; and
(b) specify the account number or account numbers of the person's Registry account, or the person's Registry accounts, in which there is an entry or entries for the carbon unit or units that are to be cancelled.
(3) A person is not entitled to request the Regulator to cancel a carbon unit that:
(a) was issued in accordance with section 100 of the Clean Energy Act 2011 ; or
(b) has a vintage year that is a fixed charge year.
(4) If the Regulator receives a notice under subsection (1) in relation to a carbon unit:
(a) the unit is cancelled; and
(b) the Regulator must remove the entry for the unit from the person's Registry account in which there is an entry for the unit.
(5) The Registry must set out a record of each notice under subsection (1).
64B Voluntary cancellation of Australian carbon credit units
(1) If a person is the registered holder of one or more Australian carbon credit units, the person may, by electronic notice transmitted to the Regulator, request the Regulator to cancel any or all of those units.
(2) A notice under subsection (1) must:
(a) specify the Australian carbon credit unit or units that are to be cancelled; and
(b) specify the account number or account numbers of the person's Registry account, or the person's Registry accounts, in which there is an entry or entries for the Australian carbon credit unit or units that are to be cancelled.
(3) If the Regulator receives a notice under subsection (1) in relation to an Australian carbon credit unit:
(a) the unit is cancelled; and
(b) the Regulator must remove the entry for the unit from the person's Registry account in which there is an entry for the unit; and
(c) if the unit is a Kyoto Australian carbon credit unit:
(i) the Minister must, by written notice given to the Regulator, direct the Regulator to transfer a Kyoto unit from a Commonwealth holding account to a voluntary cancellation account before the end of the true - up period for the relevant commitment period; and
(ii) the Regulator must comply with a direction under subparagraph (i).
(4) The Registry must set out a record of each notice under subsection (1).
Australian Securities and Investments Commission Act 2001
256A At the end of subsection 127(2A)
Add:
; (f) the Climate Change Authority.
Carbon Credits (Carbon Farming Initiative) Act 2011
257 Section 163
Repeal the section.
258 Part 14
Repeal the Part.
258A Section 306
Repeal the section, substitute:
306 Periodic reviews of operation of this Act etc.
(1) The Climate Change Authority must conduct reviews of the operation of:
(a) this Act; and
(b) the regulations; and
(c) other instruments made under this Act.
Public consultation
(2) A review under subsection (1) must make provision for public consultation.
Report
(3) The Climate Change Authority must:
(a) give the Minister a report of the review; and
(b) as soon as practicable after giving the report to the Minister, publish the report on the Climate Change Authority's website.
(4) The Minister must cause copies of a report under subsection (3) to be tabled in each House of the Parliament within 15 sitting days of that House after the review is completed.
First review
(5) The first review under subsection (1) must be completed before the end of 31 December 2014.
Subsequent reviews
(6) Each subsequent review under subsection (1) must be completed within 3 years after the deadline for completion of the previous review.
(7) For the purposes of subsections (4), (5) and (6), a review is completed when the report of the review is given to the Minister under subsection (3).
Recommendations
(8) A report of a review under subsection (1) may set out recommendations to the Commonwealth Government.
(9) In formulating a recommendation that the Commonwealth Government should take particular action, the Climate Change Authority must analyse the costs and benefits of that action.
(10) Subsection (9) does not prevent the Climate Change Authority from taking other matters into account in formulating a recommendation.
(11) If a report of a review under subsection (1) sets out one or more recommendations to the Commonwealth Government, the report must set out the Climate Change Authority's reasons for those recommendations.
Government response to recommendations
(12) If a report of a review under subsection (1) sets out one or more recommendations to the Commonwealth Government:
(a) as soon as practicable after receiving the report, the Minister must cause to be prepared a statement setting out the Commonwealth Government's response to each of the recommendations; and
(b) within 6 months after receiving the report, the Minister must cause copies of the statement to be tabled in each House of the Parliament.
(13) The Commonwealth Government's response to the recommendations may have regard to the views of the following:
(a) the Climate Change Authority;
(b) the Clean Energy Regulator;
(c) such other persons as the Minister considers relevant.
Competition and Consumer Act 2010
258B Before paragraph 44AAF(3)(d)
Insert:
(cb) the Climate Change Authority;
258C Paragraph 44AAF(3)(d)
Omit "(c) or (ca)", substitute "(c), (ca) or (cb)".
258D After paragraph 155AAA(12)(la)
Insert:
(lb) the Climate Change Authority;
259 Section 9
Insert:
"carbon unit" has the same meaning as in the Clean Energy Act 2011 .
260 After paragraph 764A(1)(k)
Insert:
(kaa) a carbon unit;
260A Part 1 of the Dictionary (subparagraph (b)(vi) of the definition of Commonwealth document )
After "section 46", insert "or 46A".
Financial Management and Accountability Regulations 1997
261 Part 1 of Schedule 1 (before table item 134)
Insert:
133A | Climate Change Authority, comprising: (a) the Chair and the other members of the Climate Change Authority; and (b) the associate members of the Climate Change Authority; and (c) the Chief Executive Officer of the Climate Change Authority; and (d) the staff mentioned in section 52 of the Climate Change Authority Act 2011 ; and (e) the persons whose services are made available to the Climate Change Authority under section 53 of that Act; and (f) the consultants engaged under subsection 54(1) of that Act. See Note B | Chief Executive Officer |
National Greenhouse and Energy Reporting Act 2007
261A Section 3 (heading)
Repeal the heading, substitute:
262 Section 3
Before "The", insert "(1)".
263 Section 3
Before "object", insert "first".
264 Paragraph 3(a)
Repeal the paragraph.
265 At the end of section 3
Add:
(2) The second object of this Act is to underpin the Clean Energy Act 2011 by imposing various registration, reporting and record - keeping requirements.
266 Section 4
Before "This Act", insert "(1)".
267 Section 4
After "This Act", insert "(except to the extent to which it underpins the Clean Energy Act 2011 )".
268 At the end of section 4
Add:
(2) To the extent to which this Act underpins the Clean Energy Act 2011 , this Act relies on the same legislative powers that support the Clean Energy Act 2011 .
269 Section 5
Before "This Act", insert "(1)".
270 Subparagraph 5(a)(i)
Repeal the subparagraph.
271 Paragraph 5(b)
Omit "this section", substitute "this subsection".
272 At the end of section 5
Add:
(2) This Act is intended to apply to the exclusion of a law of a State or Territory, or a part of such a law:
(a) that provides for the reporting or disclosure of information related to greenhouse gas emissions; and
(b) that the regulations provide is a law, or part of a law, to which this subsection applies;
so far as the law, or part of the law, would otherwise apply in relation to a person other than:
(c) a local governing body; or
(d) an authority of a State or Territory.
273 After section 5
Insert:
(1) This Act binds the Crown in each of its capacities.
(2) This Act does not make the Crown liable to a pecuniary penalty or to be prosecuted for an offence.
(3) The protection in subsection (2) does not apply to an authority of the Crown.
274 Section 6
Repeal the section, substitute:
6 Extension to external Territories
This Act extends to every external Territory.
6A Extension to exclusive economic zone and continental shelf
This Act extends to a matter relating to the exercise of Australia's sovereign rights in the exclusive economic zone or the continental shelf.
6B Extension to Joint Petroleum Development Area
This Act extends to the Joint Petroleum Development Area.
6C Application to foreign ships
This Act does not apply to the extent that its application would be inconsistent with the exercise of rights of foreign ships in:
(a) the territorial sea; or
(b) the exclusive economic zone; or
(c) waters of the continental shelf;
in accordance with the United Nations Convention on the Law of the Sea.
275 Section 7
Insert:
"activity" includes:
(a) a condition; or
(b) a circumstance; or
(c) a state of affairs;
relating to:
(d) solid waste; or
(e) carbon capture and storage; or
(f) other storage; or
(g) stockpiling; or
(h) any other matter or thing.
276 Section 7
Insert:
"approved by the Regulator" means approved by the Regulator, in writing, for the purposes of the provision in which the term occurs.
Note: For variation and revocation, see subsection 33(3) of the Acts Interpretation Act 1901 .
277 Section 7
Insert:
"carbon capture and storage" means:
(a) the storage of a greenhouse gas substance in a part of a geological formation; or
(b) the injection of a greenhouse gas substance into a part of a geological formation for the purposes of such storage; or
(c) the capture, compression, processing, offloading, transportation or piped conveyance of a greenhouse gas substance, where the compression, processing, offloading, transportation or piped conveyance is for the purposes of such storage.
An expression used in this definition has the same meaning as in the Offshore Petroleum and Greenhouse Gas Storage Act 2006 . For this purpose, assume that each reference in the definition of greenhouse gas substance in section 7 of that Act to a prescribed greenhouse gas were a reference to a greenhouse gas (within the meaning of this Act).
278 Section 7 (definition of carbon dioxide equivalence )
Repeal the definition, substitute:
"carbon dioxide equivalence" :
(a) of an amount of greenhouse gas--means the amount of the gas multiplied by a value specified in the regulations in relation to that kind of greenhouse gas; or
(b) of an amount of potential greenhouse gas emissions embodied in an amount of natural gas--has the meaning given by section 7C.
280 Section 7
Insert:
"designated generation facility" means a facility that is:
(a) attributable to the industry sector mentioned in item 54 of Schedule 2 to the National Greenhouse and Energy Reporting Regulations 2008 (which deals with electricity generation); and
(b) not a vertically integrated production process (within the meaning of those regulations).
281 Section 7
Insert:
"eligible financial year" has the same meaning as in the Clean Energy Act 2011 .
282 Section 7 (definition of emission )
Repeal the definition, substitute:
"emission" of greenhouse gas means:
(a) a scope 1 emission of greenhouse gas; or
(b) a scope 2 emission of greenhouse gas.
283 Section 7
Insert:
"emissions number" has the same meaning as in the Clean Energy Act 2011 .
284 Section 7
Insert:
"executive officer" of a body corporate means:
(a) a director of the body corporate; or
(b) the chief executive officer (however described) of the body corporate; or
(c) the chief financial officer (however described) of the body corporate; or
(d) the secretary of the body corporate.
285 Section 7
Insert:
"financial control liability transfer certificate" means a certificate issued under section 87 of the Clean Energy Act 2011 .
286 Section 7
Insert:
"fixed charge year" has the same meaning as in the Clean Energy Act 2011 .
287 Section 7
Insert:
"foreign country" has the same meaning as in the Clean Energy Act 2011 .
288 Section 7
Insert:
"foreign person" means any of the following:
(a) an individual who is not ordinarily resident in Australia;
(b) a body corporate that:
(i) is incorporated outside Australia; or
(ii) is an authority of a foreign country;
(c) a corporation sole that:
(i) is incorporated outside Australia; or
(ii) is an authority of a foreign country;
(d) a body politic of a foreign country;
(e) a trust, where the trustee, or a majority of the trustees, are covered by any or all of the above paragraphs.
289 Section 7 (definition of greenhouse and energy audit )
Omit "74A", substitute "74C".
290 Section 7 (definition of greenhouse gas )
Repeal the definition, substitute:
"greenhouse gas" has the meaning given by section 7A.
291 Section 7 (paragraph (b) of the definition of greenhouse gas project )
Omit "regulations;", substitute "regulations.".
292 Section 7 (definition of greenhouse gas project )
Omit all the words from and including "but" to the end of the definition.
293 Section 7 (definition of group )
Omit "subsection 8(1)", substitute "section 8".
294 Section 7 (definition of innocent passage )
Repeal the definition.
295 Section 7
Insert:
"interim emissions number" has the same meaning as in the Clean Energy Act 2011 .
296 Section 7
Insert:
"Joint Petroleum Development Area" has the same meaning as in the Petroleum (Timor Sea Treaty) Act 2003 .
297 Section 7 (definition of joint venture )
Repeal the definition, substitute:
"joint venture" means an unincorporated enterprise carried on by 2 or more persons in common otherwise than in partnership.
298 Section 7
Insert:
"liable entity" has the same meaning as in the Clean Energy Act 2011 .
299 Section 7
Insert:
"local governing body" means a local governing body established by or under a law of a State or Territory.
300 Section 7 (definition of member )
Before "has", insert ", in relation to a group,".
301 Section 7
Insert:
"natural gas" has the meaning given by the regulations.
303 Section 7
Insert:
"non-group entity" means a person who is not a member of a controlling corporation's group.
304 Section 7 (definition of oil or gas extraction activity )
Repeal the definition.
305 Section 7
Insert:
"operation" , in relation to a facility, includes the subsistence of the facility.
307 Section 7 (definition of operational control )
Omit "11", substitute "11, 11A, 11AA, 11AB, 11B or 11C".
308 Section 7
Insert:
"person" means any of the following:
(a) an individual;
(b) a body corporate;
(c) a trust;
(d) a corporation sole;
(e) a body politic;
(f) a local governing body.
309 Section 7
Insert:
"potential greenhouse gas emissions" embodied in an amount of natural gas has the meaning given by section 7B.
310 Section 7
Insert:
"provisional emissions number" has the same meaning as in the Clean Energy Act 2011 .
312 Section 7
Insert:
"Register" means the National Greenhouse and Energy Register maintained under section 16.
313 Section 7 (definition of registered corporation )
Omit "Division 3 of Part 2", substitute "this Act".
314 Section 7
Insert:
"registered person" means a person registered under this Act.
315 Section 7
Insert:
"scope 1 emission" of greenhouse gas has the meaning given by section 10.
316 Section 7
Insert:
"scope 2 emission" of greenhouse gas has the meaning given by section 10.
319 Section 7
Insert:
"trust" means a person in the capacity of trustee or, as the case requires, a trust estate.
320 Section 7
Insert:
"trustee" has the same meaning as in the Income Tax Assessment Act 1997 .
321 Section 7
Insert:
"trust estate" has the same meaning as in the Income Tax Assessment Act 1997 .
322 Section 7
Insert:
"United Nations Convention on the Law of the Sea" means the United Nations Convention on the Law of the Sea, done at Montego Bay on 10 December 1982.
Note: The text of the Convention is set out in Australian Treaty Series 1994 No. 31 ([1994] ATS 31). In 2011, the text of an international agreement in the Australian Treaty Series was accessible through the Australian Treaties Library on the AustLII website (www.austlii.edu.au).
323 After section 7
Insert:
(1) For the purposes of this Act and the Clean Energy Act 2011 , each of the following is a greenhouse gas :
(a) carbon dioxide;
(b) methane;
(c) nitrous oxide;
(d) sulfur hexafluoride;
(e) a hydrofluorocarbon of a kind specified in the table in subsection (2);
(f) a perfluorocarbon of a kind specified in the table in subsection (3);
(g) a prescribed gas.
Table 1--Hydrofluorocarbons
(2) Table 1 is as follows:
Hydrofluorocarbons | ||
Item | Hydrofluorocarbon | Chemical formula |
1 | HFC - 23 | CHF 3 |
2 | HFC - 32 | CH 2 F 2 |
3 | HFC - 41 | CH 3 F |
4 | HFC - 43 - 10mee | C 5 H 2 F 10 |
5 | HFC - 125 | C 2 HF 5 |
6 | HFC - 134 | C 2 H 2 F 4 (CHF 2 CHF 2 ) |
7 | HFC - 134a | C 2 H 2 F 4 (CH 2 FCF 3 ) |
8 | HFC - 143 | C 2 H 3 F 3 (CHF 2 CH 2 F) |
9 | HFC - 143a | C 2 H 3 F 3 (CF 3 CH 3 ) |
10 | HFC - 152a | C 2 H 4 F 2 (CH 3 CHF 2 ) |
11 | HFC - 227ea | C 3 HF 7 |
12 | HFC - 236fa | C 3 H 2 F 6 |
13 | HFC - 245ca | C 3 H 3 F 5 |
Table 2--Perfluorocarbons
(3) Table 2 is as follows:
Perfluorocarbons | ||
Item | Perfluorocarbon | Chemical formula |
1 | Perfluoromethane (tetrafluoromethane) | CF 4 |
2 | Perfluoroethane (hexafluoroethane) | C 2 F 6 |
3 | Perfluoropropane | C 3 F 8 |
4 | Perfluorobutane | C 4 F 10 |
5 | Perfluorocyclobutane | c - C 4 F 8 |
6 | Perfluoropentane | C 5 F 12 |
7 | Perfluorohexane | C 6 F 14 |
7B Potential greenhouse gas emissions embodied in an amount of natural gas
(1) For the purposes of this Act and the Clean Energy Act 2011 , the potential greenhouse gas emissions embodied in an amount of natural gas is:
(a) the amount of the greenhouse gas; or
(b) the amounts of the greenhouse gases;
that would be released into the atmosphere as a result of the combustion of the amount of the natural gas.
Default method
(2) The Minister may determine that the amount of greenhouse gas that would be released into the atmosphere as a result of the combustion of an amount of natural gas is taken, for the purposes of:
(a) this Act (other than subsections (3) and (4) of this section); and
(b) the Clean Energy Act 2011 ;
to be the amount of the natural gas multiplied by a value specified in the determination.
Prescribed alternative method
(3) However, if:
(a) a report relating to an eligible financial year was given by a person under section 22A; and
(b) the report was given before the end of 4 months after the end of the eligible financial year; and
(c) ascertaining the potential greenhouse gas emissions embodied in an amount of natural gas is relevant to working out a provisional emissions number of the person for the eligible financial year; and
(d) the report contained a statement to the effect that the person has made a choice to use the prescribed alternative method to ascertain the potential greenhouse gas emissions; and
(e) the prescribed alternative method was complied with in ascertaining the potential greenhouse gas emissions;
then, for the purposes of this Act and the Clean Energy Act 2011 :
(f) the potential greenhouse gas emissions are to be ascertained in accordance with the prescribed alternative method; and
(g) a determination under subsection (2) does not apply in ascertaining the potential greenhouse gas emissions.
(4) For the purposes of this section, the prescribed alternative method is a method that:
(a) is for ascertaining the potential greenhouse gas emissions embodied in an amount of natural gas; and
(b) is specified in a determination made by the Minister; and
(c) involves testing one or more samples of the natural gas.
Combustion
(5) The Minister may determine that, for the purposes of this section, it is to be assumed that the combustion of an amount of natural gas takes place in the circumstances specified in the determination.
Determination
(6) A determination made under subsection (2), (4) or (5) is a legislative instrument.
Scope
(1) This section applies if the potential greenhouse gas emissions embodied in an amount of natural gas consist of:
(a) an amount of a greenhouse gas; or
(b) amounts of one or more greenhouse gases.
Carbon dioxide equivalence
(2) For the purposes of this Act and the Clean Energy Act 2011 , the carbon dioxide equivalence of the potential greenhouse gas emissions is the total of the carbon dioxide equivalence of that amount of greenhouse gas or those amounts of greenhouse gases.
324 Subsection 8(1)
Omit "A controlling", substitute "For the purposes of this Act and the Clean Energy Act 2011 , a controlling".
325 Paragraph 8(1)(b)
Omit "(if any);", substitute "(if any).".
326 Paragraphs 8(1)(c) and (d)
Repeal the paragraphs.
327 Subsections 8(4), (5) and (6)
Repeal the subsections, substitute:
(4) To avoid doubt, a controlling corporation's group may consist of the controlling corporation alone.
328 Subsection 9(1)
Omit "A facility is", substitute "For the purposes of this Act and the Clean Energy Act 2011 , a facility is".
329 Subsection 9(1)
Omit "the production of" (first occurring).
330 Paragraph 9(1)(b)
Omit "54;", substitute "54 or 54A.".
331 Subsection 9(1)
Omit all the words from and including "but" to the end of the subsection.
332 Subsection 9(3)
Repeal the subsection.
333 Subsection 10(1)
After "References", insert "in this Act or the Clean Energy Act 2011 ".
334 Paragraph 10(1)(a)
Repeal the paragraph, substitute:
(a) scope 1 emission of greenhouse gas;
(aa) scope 2 emission of greenhouse gas;
336 Subsection 10(2)
Omit "paragraph (1)(a) may specify a meaning of emissions", substitute "paragraph (1)(aa) may specify a meaning of scope 2 emission".
337 Subsection 10(3)
Omit "emissions," (wherever occurring), substitute "scope 1 emissions, scope 2 emissions,".
338 Subsection 10(3)
After "this Act", insert "and the Clean Energy Act 2011 ".
339 Paragraph 10(3)(a)
Repeal the paragraph, substitute:
(a) in the case of scope 1 emissions--different methods or criteria for emissions from different sources; and
339AA At the end of section 10
Add:
(4) A determination under subsection (3) may also deal with matters required or permitted by section 32 or 32A of the Clean Energy Act 2011 to be dealt with by such a determination.
339A Section 11 (heading)
Repeal the heading, substitute:
11 Operational control--basic rule
340 Subsection 11(1)
Omit "A controlling corporation or another member of the corporation's group", substitute "For the purposes of this Act and the Clean Energy Act 2011 , a person".
341 Paragraph 11(1)(a)
Omit "it", substitute "the person".
342 Paragraph 11(1)(b)
Omit "corporation or member", substitute "person".
343 At the end of paragraph 11(1)(b)
Add "or 55A".
344 Subsection 11(2)
After "apply", insert "in relation to a facility".
345 At the end of subsection 11(2)
Add "in relation to the facility".
346 Subsection 11(3)
After "this Act", insert "and the Clean Energy Act 2011 ".
347 Subsection 11(3)
Omit "such corporation or member", substitute "person".
348 Subsection 11(4)
Repeal the subsection, substitute:
(4) This section has effect subject to sections 11A, 11AA, 11AB, 11B and 11C.
349 At the end of Part 1
Add:
11A Operational control--person with greatest authority
Scope
(1) This section applies if the following conditions are satisfied in relation to a period that is included in, or consists of, an eligible financial year:
(a) 2 or more persons could satisfy paragraph 11(1)(a) in relation to a facility throughout the period;
(b) a particular person has the greatest authority to introduce and implement the policies mentioned in subparagraphs 11(1)(a)(i) and (iii) in relation to the facility throughout the period;
(c) no declaration under section 55 or 55A applies in relation to the facility at any time during the period.
Operational control
(2) The person mentioned in paragraph (1)(b) is taken, for the purposes of this Act and the Clean Energy Act 2011 , to have operational control over the facility throughout the period.
11AA Operational control during part of fixed charge year--nominated person
Scope
(1) This section applies if the following conditions are satisfied in relation to a period that is included in, or consists of, the first 9 months of a fixed charge year:
(a) 2 or more persons could satisfy paragraph 11(1)(a) in relation to a facility throughout the period;
(b) no particular person has the greatest authority to introduce and implement the policies mentioned in subparagraphs 11(1)(a)(i) and (iii) in relation to the facility throughout the period;
(c) no declaration under section 55 or 55A applies in relation to the facility at any time during the period;
(d) as at the start of 1 April in the fixed charge year, it may reasonably be expected that a person would have had an interim emissions number for the fixed charge year if it were assumed that:
(i) the person had operational control over the facility throughout the period; and
(ii) none of the persons mentioned in paragraph (a) of this subsection had operational control over the facility throughout the period.
Nomination
(2) The persons mentioned in paragraph (1)(a) must, before the end of 30 April in the fixed charge year, jointly nominate one of them to be the nominated person in relation to the facility for the period.
Civil penalty: 1,000 penalty units.
(3) A nomination must:
(a) be in writing; and
(b) be in a form approved by the Regulator; and
(c) be accompanied by such information as is specified in the regulations.
(4) If:
(a) any of those persons is a foreign person; and
(b) any of those persons is not a foreign person;
a foreign person cannot be nominated.
Operational control--nomination made
(5) If a nomination is made and the facility is a facility of a joint venture, the nominated person is taken, for the purposes of this Act, to have operational control over the facility throughout the period.
(6) If a nomination is made and the facility is not a facility of a joint venture, the nominated person is taken, for the purposes of this Act and the Clean Energy Act 2011 , to have operational control over the facility throughout the period.
Operational control--nomination not made
(7) If no nomination is made and the facility is a facility of a joint venture, each of the persons mentioned in paragraph (1)(a) is taken, for the purposes of this Act, to have operational control over the facility throughout the period.
(8) If no nomination is made and the facility is not a facility of a joint venture:
(a) each of the persons mentioned in paragraph (1)(a) is taken, for the purposes of this Act and the Clean Energy Act 2011 , to have operational control over the facility throughout the period; and
(b) if there is a provisional emissions number of such a person for the fixed charge year in relation to greenhouse gases emitted from the operation of the facility during the period--for the purposes of this Act and the Clean Energy Act 2011 , that provisional emissions number is taken to be the number worked out using the formula set out in subsection (9).
(9) The formula is:
where:
"unadjusted provisional emissions number" means the number that, apart from paragraph (8)(b), would be the provisional emissions number of the person for the fixed charge year in relation to greenhouse gases emitted from the operation of the facility during the period.
Exception
(10) A person is not required to comply with subsection (2) if the question of who has operational control of the facility is not relevant (whether directly or indirectly) to a requirement under:
(a) this Act; or
(b) the Clean Energy Act 2011 .
11AB Operational control during part of fixed charge year--trust with multiple trustees
Scope
(1) This section applies if the following conditions are satisfied in relation to a period that is included in, or consists of, the first 9 months of a fixed charge year:
(a) because of section 11, 11A or 11AA, a trust has operational control over a facility throughout the period;
(b) throughout the period, there are 2 or more trustees of the trust;
(c) no declaration under section 55 or 55A applies in relation to the facility at any time during the period;
(d) as at the start of 1 April in the fixed charge year, it may reasonably be expected that a person would have had an interim emissions number for the fixed charge year if it were assumed that:
(i) the person had operational control over the facility throughout the period; and
(ii) the trust did not have operational control over the facility throughout the period.
Nomination
(2) The trustees must, before the end of 30 April in the fixed charge year, jointly nominate one of them to be the nominated trustee in relation to the facility for the period.
Civil penalty: 1,000 penalty units.
(3) A nomination must:
(a) be in writing; and
(b) be in a form approved by the Regulator; and
(c) be accompanied by such information as is specified in the regulations.
(4) If:
(a) any of those trustees is a foreign person; and
(b) any of those trustees is not a foreign person;
a foreign person cannot be nominated.
Operational control
(5) If a nomination is made, the nominated trustee is taken, for the purposes of this Act and the Clean Energy Act 2011 , to have operational control over the facility throughout the period.
(6) If no nomination is made:
(a) each of those trustees is taken, for the purposes of this Act and the Clean Energy Act 2011 , to have operational control over the facility throughout the period; and
(b) if there is a provisional emissions number of such a trustee for the fixed charge year in relation to greenhouse gases emitted from the operation of the facility during the period--for the purposes of this Act and the Clean Energy Act 2011 , that provisional emissions number is taken to be the number worked out using the formula set out in subsection (7).
(7) The formula is:
where:
"unadjusted provisional emissions number" means the number that, apart from paragraph (6)(b), would be the provisional emissions number of the trustee for the fixed charge year in relation to greenhouse gases emitted from the operation of the facility during the period.
Exception
(8) A trustee is not required to comply with subsection (2) if the question of who has operational control of the facility is not relevant (whether directly or indirectly) to a requirement under:
(a) this Act; or
(b) the Clean Energy Act 2011 .
11B Operational control--nominated person
Scope
(1) This section applies if the following conditions are satisfied in relation to a period that is included in, or consists of, an eligible financial year:
(a) 2 or more persons could satisfy paragraph 11(1)(a) in relation to a facility throughout the period;
(b) no particular person has the greatest authority to introduce and implement the policies mentioned in subparagraphs 11(1)(a)(i) and (iii) in relation to the facility throughout the period;
(c) no declaration under section 55 or 55A applies in relation to the facility at any time during the period;
(d) if the period is included in a fixed charge year--section 11AA does not apply to the facility for the period.
Nomination
(2) Those persons must, before the end of 31 August next following the eligible financial year, jointly nominate one of them to be the nominated person in relation to the facility for the period.
Civil penalty: 1,000 penalty units.
(3) A nomination must:
(a) be in writing; and
(b) be in a form approved by the Regulator; and
(c) be accompanied by such information as is specified in the regulations.
(4) If:
(a) any of those persons is a foreign person; and
(b) any of those persons is not a foreign person;
a foreign person cannot be nominated.
Operational control--nomination made
(5) If a nomination is made and the facility is a facility of a joint venture, the nominated person is taken, for the purposes of this Act, to have operational control over the facility throughout the period.
(6) If a nomination is made and the facility is not a facility of a joint venture, the nominated person is taken, for the purposes of this Act and the Clean Energy Act 2011 , to have operational control over the facility throughout the period.
Operational control--nomination not made
(7) If no nomination is made and the facility is a facility of a joint venture, each of the persons mentioned in paragraph (1)(a) is taken, for the purposes of this Act, to have operational control over the facility throughout the period.
(8) If no nomination is made and the facility is not a facility of a joint venture:
(a) each of the persons mentioned in paragraph (1)(a) is taken, for the purposes of this Act and the Clean Energy Act 2011 , to have operational control over the facility throughout the period; and
(b) if there is a provisional emissions number of such a person for the eligible financial year in relation to greenhouse gases emitted from the operation of the facility during the period--for the purposes of this Act and the Clean Energy Act 2011 , that provisional emissions number is taken to be the number worked out using the formula set out in subsection (9).
(9) The formula is:
where:
"unadjusted provisional emissions number" means the number that, apart from paragraph (8)(b), would be the provisional emissions number of the person for the eligible financial year in relation to greenhouse gases emitted from the operation of the facility during the period.
Exception
(10) A person is not required to comply with subsection (2) if the question of who has operational control of the facility is not relevant (whether directly or indirectly) to a requirement under:
(a) this Act; or
(b) the Clean Energy Act 2011 .
11C Operational control--trust with multiple trustees
Scope
(1) This section applies if the following conditions are satisfied in relation to a period that is included in, or consists of, an eligible financial year:
(a) because of section 11, 11A or 11B, a trust has operational control over a facility throughout the period;
(b) throughout the period, there are 2 or more trustees of the trust;
(c) no declaration under section 55 or 55A applies in relation to the facility at any time during the period;
(d) if the period is included in a fixed charge year--section 11AB does not apply to the facility for the period.
Nomination
(2) Those trustees must, before the end of 31 August next following the eligible financial year, jointly nominate one of them to be the nominated trustee in relation to the facility for the period.
Civil penalty: 1,000 penalty units.
(3) A nomination must:
(a) be in writing; and
(b) be in a form approved by the Regulator; and
(c) be accompanied by such information as is specified in the regulations.
(4) If:
(a) any of those trustees is a foreign person; and
(b) any of those trustees is not a foreign person;
a foreign person cannot be nominated.
Operational control
(5) If a nomination is made, the nominated trustee is taken, for the purposes of this Act and the Clean Energy Act 2011 , to have operational control over the facility throughout the period.
(6) If no nomination is made:
(a) each of those trustees is taken, for the purposes of this Act and the Clean Energy Act 2011 , to have operational control over the facility throughout the period; and
(b) if there is a provisional emissions number of such a trustee for the eligible financial year in relation to greenhouse gases emitted from the operation of the facility during the period--for the purposes of this Act and the Clean Energy Act 2011 , that provisional emissions number is taken to be the number worked out using the formula set out in subsection (7).
(7) The formula is:
where:
"unadjusted provisional emissions number" means the number that, apart from paragraph (6)(b), would be the provisional emissions number of the trustee for the eligible financial year in relation to greenhouse gases emitted from the operation of the facility during the period.
Exception
(8) A trustee is not required to comply with subsection (2) if the question of who has operational control of the facility is not relevant (whether directly or indirectly) to a requirement under:
(a) this Act; or
(b) the Clean Energy Act 2011 .
350 Before section 12
Insert:
Subdivision A -- Application by a controlling corporation
351 After subsection 13(1)
Insert:
(1A) Subsection (1) does not apply in relation to:
(a) greenhouse gas emissions; or
(b) energy production; or
(c) energy consumption;
unless the Minister has, under subsection 10(3), determined:
(d) methods by which the amounts of the emissions, production or consumption, as the case may be, are to be measured; or
(e) criteria for methods by which the amounts of emissions, production or consumption, as the case may be, are to be measured.
351A At the end of section 13
Add:
Financial control liability transfer certificate
(4) For the purposes of this section, if a person was the holder of a financial control liability transfer certificate in relation to a facility on a particular day in an eligible financial year, the facility is taken not to have been under the operational control of a member of a controlling corporation's group on that day.
352 At the end of Division 1 of Part 2
Add:
Subdivision B -- Application by a liable entity
15A Application by a liable entity
(1) If a person is or was a liable entity for an eligible financial year (the current eligible financial year ), the person must apply, in accordance with this section, to be registered under this Act.
Civil penalty:
(a) for an individual--2,000 penalty units; or
(b) otherwise--10,000 penalty units.
Note 1: Under Division 137 of the Criminal Code , it may be an offence to provide false or misleading information or documents to the Regulator in purported compliance with this Act.
Note 2: Under section 30, a person may be liable for an additional civil penalty for each day that the person fails to apply in accordance with subsection (1) of this section.
(2) However, a person is not required to make an application under subsection (1) if the person is registered under this Act at the end of the current eligible financial year.
(3) An application under subsection (1) must be made by 31 August in the eligible financial year next following the current eligible financial year.
(4) An application under subsection (1) must:
(a) be made to the Regulator; and
(b) be in a form approved by the Regulator; and
(c) set out the information specified by the regulations for the purposes of this paragraph.
15AA Application by liable entity with interim emissions number etc.--fixed charge year
(1) If, as at the start of 1 April in a fixed charge year (the current fixed charge year ):
(a) either:
(i) a person is a liable entity for the current fixed charge year; or
(ii) it may reasonably be expected that the person will be a liable entity for the current fixed charge year; and
(b) either:
(i) the person has an interim emissions number for the current fixed charge year; or
(ii) it may reasonably be expected that the person will have an interim emissions number for the current fixed charge year;
the person must apply, in accordance with this section, to be registered under this Act.
Civil penalty:
(a) for an individual--2,000 penalty units; or
(b) otherwise--10,000 penalty units.
Note 1: Under Division 137 of the Criminal Code , it may be an offence to provide false or misleading information or documents to the Regulator in purported compliance with this Act.
Note 2: Under section 30, a person may be liable for an additional civil penalty for each day that the person fails to apply in accordance with subsection (1) of this section.
(2) However, a person is not required to make an application under subsection (1) if the person is registered under this Act at the start of 1 April in the current fixed charge year.
(3) An application under subsection (1) must be made by 1 May in the current fixed charge year.
(4) An application under subsection (1) must:
(a) be made to the Regulator; and
(b) be in a form approved by the Regulator; and
(c) set out the information specified by the regulations for the purposes of this paragraph.
353 Division 2 of Part 2
Repeal the Division, substitute:
Division 2 -- National Greenhouse and Energy Register
16 National Greenhouse and Energy Register
(1) The Regulator is to maintain a register, to be known as the National Greenhouse and Energy Register, that sets out:
(a) the name of each person registered under this Act; and
(b) any other matters, specified in the regulations, that relate to the following:
(i) information included in the application for registration;
(ii) whether the person has complied with provisions of this Act;
(iii) information included in a report given by the person under this Act;
(iv) information that is published under section 24;
(v) the results of a greenhouse and energy audit carried out in relation to the person.
(2) The National Greenhouse and Energy Register may be maintained by electronic means.
(3) The National Greenhouse and Energy Register may be made available for inspection in any way the Regulator thinks appropriate.
(4) The Regulator must ensure that the National Greenhouse and Energy Register is up - to - date.
(5) The National Greenhouse and Energy Register is not a legislative instrument.
(6) Before the end of 28 February next following each financial year, the Regulator must publish on its website the name of each person registered under this Act at any time during the financial year.
(7) Subsection (6) does not limit subsection (3).
354 Division 3 of Part 2 (heading)
Repeal the heading, substitute:
Division 3 -- Registration of controlling corporations
355 Section 18
Repeal the section.
356 At the end of Part 2
Add:
Division 4 -- Registration of other persons
18A Registration of other persons
(1) The Regulator must register a person under this Act if the person has applied for registration under section 15A or 15AA.
(2) The Regulator must notify the person, in writing, of the Regulator's decision on the application.
(3) The person is registered under this Act when the Regulator has entered the name of the person on the Register.
Deregistration on application
(1) A registered person may apply to the Regulator to be deregistered.
(2) An application must:
(a) be in writing; and
(b) be in a form approved by the Regulator; and
(c) set out such information as is specified in the regulations.
(3) The Regulator must remove the person's name from the Register if the Regulator is satisfied that:
(a) in a case where the person is the controlling corporation of a group--the group is not likely to meet any of the thresholds under section 13 for:
(i) the financial year in which the application is made; and
(ii) the next 2 financial years; and
(b) the person:
(i) is not a liable entity for the financial year in which the application is made; and
(ii) is not likely to be a liable entity for any of the next 2 financial years; and
(c) the person does not hold a reporting transfer certificate; and
(d) the person has complied with the person's obligations under this Act.
(4) The Regulator must notify the person, in writing, of the Regulator's decision on the application.
Deregistration on the Regulator's own initiative
(5) The Regulator may remove a person's name from the Register if the Regulator is satisfied that the person has ceased to exist.
When registration ceases
(6) A person ceases to be registered under this Act when the Regulator has removed the person's name from the Register.
357 Part 3 (heading)
Repeal the heading, substitute:
Part 3 -- Reporting obligations of registered corporations etc.
358 Subsection 19(1)
Omit "registered corporation", substitute "corporation registered under Division 3 of Part 2".
359 At the end of subsection 19(1)
Add:
Note 4: Reports under this section and section 22A may be set out in the same document--see subsection 22A(4).
360 After subsection 19(1)
Insert:
(1A) Subsection (1) does not apply to:
(a) greenhouse gas emissions; or
(b) energy production; or
(c) energy consumption;
unless the Minister has, under subsection 10(3), determined:
(d) methods by which the amounts of the emissions, production or consumption, as the case may be, are to be measured; or
(e) criteria for methods by which the amounts of emissions, production or consumption, as the case may be, are to be measured.
Note: Paragraph (6)(b) requires that a report under subsection (1) must be based on methods, or methods which meet criteria, determined under subsection 10(3).
361 Subsections 19(4) and (5)
Repeal the subsections, substitute:
(4) If a person other than the corporation is the holder of a financial control liability transfer certificate in relation to a facility throughout the whole or a part of an eligible financial year, a report under subsection (1) need not relate to the:
(a) greenhouse gas emissions; and
(b) energy production; and
(c) energy consumption;
from the operation of the facility during the whole, or the part, as the case may be, of the eligible financial year.
362 Paragraph 19(6)(c)
Omit "include any", substitute "set out the".
363 At the end of section 19
Add:
(10) This section does not apply to a facility that was under the operational control of a member of the corporation's group during the whole or a part of a financial year if the member is required to provide a report under section 22X about the facility in respect of the year.
364 Paragraphs 22(1)(a) and (b)
After "this Act", insert "(other than Part 3A or 3D)".
365 Paragraphs 22(2)(a) and (b)
After "this Act", insert "(other than Part 3A or 3D)".
366 Subsection 22(3)
Omit "7 years", substitute "5 years".
367 After Part 3
Insert:
Part 3A -- Reporting obligations of liable entities etc.
22A Report to be given to Regulator--general
(1) If a person was a liable entity for an eligible financial year, the person must, in accordance with this section, provide a report to the Regulator relating to:
(a) the calculation of the person's provisional emissions numbers for the eligible financial year; and
(b) if a provisional emissions number of the person for the eligible financial year is attributable to scope 1 emissions of greenhouse gas--those emissions; and
(c) if a provisional emissions number of the person for the eligible financial year is attributable to potential greenhouse gas emissions embodied in an amount of natural gas--those potential greenhouse gas emissions; and
(d) the calculation of the person's emissions number for the eligible financial year.
Civil penalty:
(a) for an individual--2,000 penalty units; or
(b) otherwise--10,000 penalty units.
Note 1: Under Division 137 of the Criminal Code , it may be an offence to provide false or misleading information or documents to the Regulator in purported compliance with this Act.
Note 2: Under section 30, a person may be liable for an additional civil penalty for each day after the end of the period mentioned in paragraph (2)(c) of this section for which the person fails to provide a report in accordance with this section.
(2) A report under this section must:
(a) be given in a manner and form approved by the Regulator; and
(b) set out the information specified by the regulations for the purposes of this paragraph; and
(c) be given to the Regulator before the end of 4 months after the end of the eligible financial year.
(3) Regulations made for the purposes of paragraph (2)(b) may specify different requirements for different circumstances.
(4) Reports under this section and section 19 may be set out in the same document.
Note: Reports under this section and section 22E may be set out in the same document--see subsection 22E(7).
22AA Report to be given to Regulator--fixed charge year
(1) If:
(a) a person is a liable entity for a fixed charge year; and
(b) the person has an interim emissions number for the fixed charge year;
the person must, in accordance with this section, provide a report to the Regulator relating to:
(c) the calculation of the person's interim emissions numbers for the fixed charge year; and
(d) if an interim emissions number of the person for the fixed charge year is attributable to scope 1 emissions of greenhouse gas--those emissions; and
(e) if an interim emissions number of the person for the fixed charge year is attributable to potential greenhouse gas emissions embodied in an amount of natural gas--those potential greenhouse gas emissions.
Civil penalty:
(a) for an individual--2,000 penalty units; or
(b) otherwise--10,000 penalty units.
Note 1: Under Division 137 of the Criminal Code , it may be an offence to provide false or misleading information or documents to the Regulator in purported compliance with this Act.
Note 2: Under section 30, a person may be liable for an additional civil penalty for each day after the end of the period mentioned in paragraph (2)(c) of this section for which the person fails to provide a report in accordance with this section.
(2) A report under this section must:
(a) be given in a manner and form approved by the Regulator; and
(b) set out the information specified by the regulations for the purposes of this paragraph; and
(c) be given to the Regulator before the end of 15 June in the eligible financial year.
(3) Regulations made for the purposes of paragraph (2)(b) may specify different requirements for different circumstances.
22B Records to be kept--general
(1) A person who is or was a liable entity for an eligible financial year must keep records of the person's activities that:
(a) allow the person to report accurately under section 22A; and
(b) enable the Regulator to ascertain whether the person has complied with the person's obligations under section 22A; and
(c) comply with the requirements of subsection (2) and the regulations made for the purposes of subsection (3).
Civil penalty:
(a) for an individual--2,000 penalty units; or
(b) otherwise--10,000 penalty units.
(2) The person must retain the records for 5 years from the end of the financial year in which the activities take place.
(3) The regulations may specify requirements relating to:
(a) the kinds of records; and
(b) the form of records;
that must be kept under subsection (1).
22C Records to be kept--fixed charge year
(1) A person who is or was a liable entity for a fixed charge year must keep records of the person's activities that:
(a) allow the person to report accurately under section 22AA; and
(b) enable the Regulator to ascertain whether the person has complied with the person's obligations under section 22AA; and
(c) comply with the requirements of subsection (2) and the regulations made for the purposes of subsection (3).
Civil penalty:
(a) for an individual--2,000 penalty units; or
(b) otherwise--10,000 penalty units.
(2) The person must retain the records for 5 years from the end of the fixed charge year in which the activities take place.
(3) The regulations may specify requirements relating to:
(a) the kinds of records; and
(b) the form of records;
that must be kept under subsection (1).
Part 3D -- Reporting obligations of holders of liability transfer certificates
22E Report to be given to Regulator
(1) If a person was the holder of a financial control liability transfer certificate in relation to a facility during the whole or a part of an eligible financial year, the person must, in accordance with this section, provide a report to the Regulator relating to the:
(a) greenhouse gas emissions; and
(b) energy production; and
(c) energy consumption;
from the operation of the facility during the whole, or the part, as the case may be, of that eligible financial year.
Civil penalty:
(a) for an individual--2,000 penalty units; or
(b) otherwise--10,000 penalty units.
Note 1: Under Division 137 of the Criminal Code , it may be an offence to provide false or misleading information or documents to the Regulator in purported compliance with this Act.
Note 2: Under section 30, a person may be liable for an additional civil penalty for each day after the end of the period mentioned in paragraph (2)(d) for which the person fails to provide a report in accordance with this section.
(2) A report under this section must:
(a) be given in a manner and form approved by the Regulator; and
(b) be based on:
(i) methods determined by the Minister under subsection 10(3); or
(ii) methods which meet criteria determined by the Minister under that subsection;
where the use of those methods satisfies any conditions specified in the determination under that subsection; and
(c) set out the information specified by the regulations for the purposes of this paragraph; and
(d) be given to the Regulator before the end of 4 months after the end of the eligible financial year.
(3) Regulations made for the purposes of paragraph (2)(c) may specify different requirements for different circumstances.
(4) In particular, and without limiting subsection (3), the regulations may specify different requirements for persons who:
(a) do not meet any threshold; or
(b) do not meet specified thresholds;
for an eligible financial year to which a report relates.
(5) Regulations made for the purposes of paragraph (2)(c) may also specify information that a State or Territory has requested the Regulator to collect.
(6) The regulations may provide that a person is not required to provide a report under subsection (1) for an eligible financial year in relation to a facility if the facility does not meet a specified threshold for the eligible financial year.
(7) Reports under this section and section 22A may be set out in the same document.
(1) A person who is or was required to provide a report under section 22E for an eligible financial year must keep records of the person's activities that:
(a) allow the person to report accurately under section 22E; and
(b) enable the Regulator to ascertain whether the person has complied with the person's obligations under section 22E; and
(c) comply with the requirements of subsection (2) and the regulations made for the purposes of subsection (3).
Civil penalty:
(a) for an individual--2,000 penalty units; or
(b) otherwise--10,000 penalty units.
(2) The person must retain the records for 5 years from the end of the financial year in which the activities take place.
(3) The regulations may specify requirements relating to:
(a) the kinds of records; and
(b) the form of records;
that must be kept under subsection (1).
368 After subsection 22G(1)
Insert:
(1A) Subsection (1) does not apply to:
(a) greenhouse gas emissions; or
(b) energy production; or
(c) energy consumption;
unless the Minister has, under subsection 10(3), determined:
(d) methods by which the amounts of the emissions, production or consumption, as the case may be, are to be measured; or
(e) criteria for methods by which the amounts of emissions, production or consumption, as the case may be, are to be measured.
Note: Paragraph (2)(b) requires that a report under this section must be based on methods, or methods which meet criteria, determined under subsection 10(3).
368A Subsection 22H(2)
Omit "7 years", substitute "5 years".
369 After Part 3E
Insert:
Part 3F -- Reporting obligations transferred to member of corporate group
22X Reporting obligations transferred to member of corporate group
Scope
(1) This section applies if:
(a) either:
(i) a facility is under the operational control of a member (the responsible member ) of a controlling corporation's group during the whole or a part of a financial year; or
(ii) during the whole or a part of a financial year, a member (the responsible member ) of a controlling corporation's group is the holder of a liability transfer certificate that was issued under section 83 of the Clean Energy Act 2011 in relation to a facility; and
(b) the controlling corporation and the responsible member have agreed to transfer reporting obligations for the facility to the responsible member; and
(c) before the end of the financial year, the controlling corporation and the responsible member have jointly notified the Regulator, in writing, of:
(i) the agreement; and
(ii) the facility to which the agreement relates.
Obligation to report
(2) The responsible member must, in accordance with this section and in respect of the financial year, provide a report to the Regulator relating to the:
(a) greenhouse gas emissions; and
(b) energy production; and
(c) energy consumption;
from the operation of the facility during the whole, or the part, as the case may be, of the financial year.
Civil penalty: 2,000 penalty units.
Note 1: Under Division 137 of the Criminal Code , it may be an offence to provide false or misleading information or documents to the Regulator in purported compliance with this Act.
Note 2: Under section 30, a responsible member may be liable for an additional civil penalty for each day after the end of the period mentioned in paragraph (4)(d) for which the responsible member fails to provide a report in accordance with this section.
(3) Subsection (1) does not apply to:
(a) greenhouse gas emissions; or
(b) energy production; or
(c) energy consumption;
unless the Minister has, under subsection 10(3), determined:
(d) methods by which the amounts of the emissions, production or consumption, as the case may be, are to be measured; or
(e) criteria for methods by which the amounts of emissions, production or consumption, as the case may be, are to be measured.
Note: Paragraph (4)(b) requires that a report under this section must be based on methods, or methods which meet criteria, determined under subsection 10(3).
(4) A report under this section must:
(a) be given in a manner and form approved by the Regulator; and
(b) be based on:
(i) methods determined by the Minister under subsection 10(3); or
(ii) methods which meet criteria determined by the Minister under that subsection;
where the use of those methods satisfies any conditions specified in the determination under that subsection; and
(c) include any information specified by the regulations for the purposes of this paragraph; and
(d) be given to the Regulator before the end of 4 months after the end of each financial year.
(5) Regulations made for the purposes of paragraph (4)(c) may specify different requirements for different circumstances.
(6) Regulations made for the purposes of paragraph (4)(c) may also specify information that a State or Territory has requested the Regulator to collect.
(1) A person who is or was required to provide a report under section 22X for a financial year must keep records of the person's activities that:
(a) allow the person to report accurately under section 22X; and
(b) enable the Regulator to ascertain whether the person has complied with the person's obligations under section 22X; and
(c) comply with the requirements of subsection (2) and the regulations made for the purposes of subsection (3).
Civil penalty: 1,000 penalty units.
(2) The person must retain the records for 5 years from the end of the financial year in which the activities take place.
(3) The regulations may specify requirements relating to:
(a) the kinds of records; and
(b) the form of records;
that must be kept under subsection (1).
370 Subsection 23(1) (penalty)
Repeal the penalty, substitute:
Penalty: Imprisonment for 2 years or 120 penalty units, or both.
371 Subsections 24(1) and (1A)
Repeal the subsections (not including the heading), substitute:
(1) The Regulator must, by 28 February in a financial year, publish the following on its website in relation to a registered corporation's group:
(a) totals of greenhouse gas emissions that are scope 1 emissions reported under Part 3 or 3F in relation to the corporation's group for the previous financial year;
(b) totals of greenhouse gas emissions that are scope 2 emissions reported under Part 3 or 3F in relation to the corporation's group for the previous financial year;
(c) the totals of energy consumption for the corporation's group:
(i) reported under Part 3 or 3F in relation to the corporation's group for the previous financial year; and
(ii) adjusted in accordance with the regulations.
(1A) In addition to publishing information for the corporation's group in accordance with subsection (1), the Regulator may also publish on its website:
(a) totals of greenhouse gas emissions that are scope 1 emissions for:
(i) each member of the corporation's group; or
(ii) each business unit in relation to the corporation's group;
reported under Part 3 or 3F in relation to the corporation's group for the previous financial year; and
(b) totals of greenhouse gas emissions that are scope 2 emissions for:
(i) each member of the corporation's group; or
(ii) each business unit in relation to the corporation's group;
reported under Part 3 or 3F in relation to the corporation's group for the previous financial year; and
(c) the totals of energy consumption for each member of the corporation's group, or each business unit in relation to the corporation's group:
(i) reported under Part 3 or 3F in relation to the corporation's group for the previous financial year; and
(ii) adjusted in accordance with the regulations; and
(d) the methods mentioned in paragraph 19(6)(b) or 22X(4)(b) that were used to measure:
(i) the totals for the corporation's group referred to in paragraphs (1)(a) and (b); and
(ii) the totals of energy consumption reported under Part 3 or 3F in relation to the corporation's group for the previous financial year; and
(e) the rating given to each of those methods under the determination under subsection 10(3).
This subsection is subject to subsection 25(3).
375 After subsection 24(1A)
Insert:
(1AA) If a person gives the Regulator a report under section 22A in relation to an eligible financial year, the Regulator must publish on its website, by 28 February next following the eligible financial year:
(a) the total of the numbers specified in the report as the person's provisional emissions numbers for the eligible financial year; and
(b) if any of those provisional emissions numbers are attributable to scope 1 emissions of greenhouse gas--the total of those provisional emissions numbers; and
(c) if any of those provisional emissions numbers are attributable to potential greenhouse gas emissions embodied in an amount of natural gas--the total of those provisional emissions numbers.
375A Subsection 24(1AD)
Omit "a corporation", substitute "a person".
375B Subsection 24(1AD)
After "section", insert "22E or".
376 Subsection 24(1AD)
Omit "a website", substitute "its website".
377 Subsection 24(1AE)
Omit "the website", substitute "its website".
377A Paragraph 24(1AE)(a)
After "paragraph", insert "22E(2)(b) or".
378 After subsection 24(1AE)
Insert:
(1AF) If the amount of greenhouse gas emitted, and the amount of energy produced, from the operation of a designated generation facility during a financial year is set out in a report under this Act for the financial year, the Regulator must publish those amounts on its website by 28 February next following the financial year.
(1AG) If the amounts of greenhouse gases emitted from the operation of 2 or more designated generation facilities during a financial year are set out in a report under this Act for the financial year, the Regulator must publish the total of those amounts on its website by 28 February next following the financial year.
(1AH) If the amounts of energy produced from the operation of 2 or more designated generation facilities during a financial year are set out in a report under this Act for the financial year, the Regulator must publish the total of those amounts on its website by 28 February next following the financial year.
379 Subsection 24(1C)
Omit "a website the fact that the totals", substitute "its website the fact that the totals or adjusted totals".
379A Subsection 24(1G)
Omit "a website", substitute "its website".
380 After subsection 24(1G)
Insert:
(1H) The Regulator must not publish information mentioned in subsection (1AD) that is reported by a person under section 22E or 22G for a financial year in relation to a facility unless the operation of the facility during the financial year causes:
(a) emissions of greenhouse gases that have a carbon dioxide equivalence of 25 kilotonnes or more; or
(b) production of energy of 100 terajoules or more; or
(c) consumption of energy of 100 terajoules or more.
(1J) If the person was the holder of the relevant reporting transfer certificate or financial control liability transfer certificate in relation to the facility for a number of, but not all, days in the financial year (the control days ), paragraphs (1H)(a), (b) and (c) have effect as though each amount mentioned in the relevant paragraph were replaced by the amount worked out using the following formula:
(1K) Subsection (1H) does not apply to:
(a) greenhouse gas emissions; or
(b) energy production; or
(c) energy consumption;
unless the Minister has, under subsection 10(3), determined:
(d) methods by which the amounts of the emissions, production or consumption, as the case may be, are to be measured; or
(e) criteria for methods by which the amounts of emissions, production or consumption, as the case may be, are to be measured.
381 Subsections 24(2) and (3)
Omit "a website", substitute "its website".
384 Subsection 25(1)
Omit "or" (first occurring).
385 Subsection 25(1)
After "section 20,", insert "or a person required to provide a report under section 22A, 22AA, 22E or 22X".
386 At the end of section 25
Add:
(5) This section does not apply to information required to be published under subsection 24(1AF).
387 Subsection 30(2) (civil penalty)
Repeal the civil penalty, substitute:
Civil penalty: 100 penalty units per day.
388 After subsection 30(2)
Insert:
(2A) If, under section 15A, 15AA, 22A, 22AA, 22E, 22X, 74AA or 74B, an act or thing is required to be done within a particular period, or before a particular time, and a person fails to comply with that requirement, the person is liable for a civil penalty for each day that the person fails to comply.
Civil penalty:
(a) for an individual--20 penalty units per day; or
(b) otherwise--100 penalty units per day.
389 Subsection 31(4)
Omit "must have regard", substitute "may have regard".
390 At the end of subsection 31(4)
Add:
; and (e) the extent to which the person has co - operated with the authorities; and
(f) if the person is a body corporate:
(i) the level of the employees, officers or agents of the body corporate involved in the contravention; and
(ii) whether the body corporate exercised due diligence to avoid the contravention; and
(iii) whether the body corporate had a corporate culture conducive to compliance.
391 Division 4 of Part 5 (heading)
Repeal the heading, substitute:
Division 4 -- Liability of executive officers of bodies corporate
391A Section 47 (heading)
Repeal the heading, substitute:
47 Civil penalties for executive officers of bodies corporate
392 Paragraph 47(1)(a)
Omit "corporation", substitute "body corporate".
393 Paragraph 47(1)(b)
Omit "chief".
394 Paragraphs 47(1)(b) and (c)
Omit "corporation", substitute "body corporate".
395 After subsection 47(1)
Insert:
(1A) For the purposes of subsection (1), the officer is reckless as to whether the contravention would occur if:
(a) the officer is aware of a substantial risk that the contravention would occur; and
(b) having regard to the circumstances known to the officer, it is unjustifiable to take the risk.
(1B) For the purposes of subsection (1), the officer is negligent as to whether the contravention would occur if the officer's conduct involves:
(a) such a great falling short of the standard of care that a reasonable person would exercise in the circumstances; and
(b) such a high risk that the contravention would occur; and
that the conduct merits the imposition of a pecuniary penalty.
396 Subsection 47(3)
Omit "corporation", substitute "body corporate".
396A Section 48 (heading)
Repeal the heading, substitute:
48 Did an executive officer take reasonable steps to prevent contravention?
397 Subsection 48(1)
Omit "a chief", substitute "an".
398 Subsection 48(1)
Omit "corporation" (first occurring), substitute "body corporate".
399 Subparagraph 48(1)(a)(i)
Omit "corporation", substitute "body corporate".
400 Subparagraph 48(1)(a)(i)
Omit "corporation's", substitute "body corporate's".
401 Subparagraph 48(1)(a)(ii)
Omit "corporation", substitute "body corporate".
402 Subparagraph 48(1)(a)(iii)
Omit "corporation's", substitute "body corporate's".
403 Paragraph 48(1)(b)
Omit "that the corporation was contravening this Act or the regulations", substitute "of the contravention".
403A Section 54 (heading)
Repeal the heading, substitute:
54 Regulator may declare facility--group
404 Subsection 54(5)
Omit "corporation, joint venture or partnership", substitute "person".
405 After section 54
Insert:
54A Regulator may declare facility--non - group entity
(1) The Regulator may declare that an activity or series of activities (including ancillary activities) are a facility:
(a) on application by a non - group entity; or
(b) on the Regulator's own initiative.
(2) An application must:
(a) identify the facility for which a declaration is sought; and
(b) include any other information required by the regulations; and
(c) be given in a manner and form approved by the Regulator.
(3) In considering making a declaration that an activity or series of activities are a facility, the Regulator must have regard to:
(a) the matters dealt with in regulations made for the purposes of paragraph 9(1)(a); and
(b) the need for each facility to be distinct from, and not overlap with, activities that constitute other facilities.
(4) The Regulator must notify, in writing, an applicant under paragraph (1)(a) of a decision under subsection (1) to declare a facility or to refuse the application.
(5) If the Regulator makes a declaration under paragraph (1)(b), the Regulator must notify, in writing, the person that has, or that the Regulator reasonably believes has, operational control of the facility to which the declaration relates.
406 After subsection 55(3)
Insert:
(3A) The Regulator must not declare that a controlling corporation or another member of the corporation's group has operational control of a facility unless the Regulator is satisfied that the corporation or member has substantial authority to introduce and implement either or both of the following for the facility:
(a) operating policies;
(b) environmental policies.
(3B) The Regulator must not declare that a member of a controlling corporation's group (other than the controlling corporation) has operational control of a facility on application made by the member unless the controlling corporation has given written consent to the making of the declaration.
407 At the end of Division 2 of Part 6
Add:
55A Regulator may declare non - group entity has operational control
(1) The Regulator may declare that a non - group entity has operational control of a facility:
(a) on application by the non - group entity; or
(b) on the Regulator's own initiative.
(2) An application must:
(a) identify the facility for which a declaration of operational control is sought; and
(b) include any other information required by the regulations; and
(c) be given in a manner and form approved by the Regulator.
(3) In considering making a declaration that a non - group entity has operational control of a facility, the Regulator must have regard to the matters dealt with in paragraph 11(1)(a) and regulations made for the purposes of that paragraph.
(4) The Regulator must not declare that a non - group entity has operational control of a facility unless the Regulator is satisfied that the non - group entity has substantial authority to introduce and implement either or both of the following for the facility:
(a) operating policies;
(b) environmental policies.
(5) The Regulator must notify, in writing, an applicant under paragraph (1)(a) of a decision under subsection (1) to declare the non - group entity to have operational control of the facility or to refuse the application.
(6) If the Regulator makes a declaration under paragraph (1)(b), the Regulator must notify, in writing, the non - group entity which the Regulator has declared to have operational control of the facility to which the declaration relates.
408 After paragraph 56(a)
Insert:
(aa) not register a person under section 18A;
409 Paragraph 56(b)
Omit "corporation under section 18", substitute "person under section 18B".
410 After paragraph 56(g)
Insert:
(ga) refuse an application under section 54A;
(gb) declare a facility under paragraph 54A(1)(b);
411 At the end of section 56
Add:
; (k) refuse an application under section 55A;
(l) declare that a non - group entity has operational control of a facility under paragraph 55A(1)(b).
412 Subsection 61(3) (penalty)
Repeal the penalty, substitute:
Penalty: Imprisonment for 6 months or 30 penalty units, or both.
413 Subsection 69(2) (penalty)
Repeal the penalty, substitute:
Penalty: 30 penalty units.
414 Before section 75
Insert:
74AA Audit of persons providing reports under section 22A
(1) This section applies if:
(a) a person is required to provide a report under section 22A for an eligible financial year; and
(b) the person's emissions number for the eligible financial year exceeds the number specified in the regulations in relation to the eligible financial year.
(2) The person must:
(a) appoint as an audit team leader a registered greenhouse and energy auditor of the person's choice; and
(b) arrange for the audit team leader to carry out an audit of:
(i) the section 22A report; and
(ii) such other matters (if any) relating to the section 22A report as are specified in the regulations; and
(iii) the person's compliance with section 22B in relation to the eligible financial year; and
(c) arrange for the audit team leader to give the person a written report setting out the results of the audit; and
(d) give the Regulator a copy of the audit report:
(i) on the day on which the section 22A report is provided to the Regulator; and
(ii) in the manner specified in the regulations.
Civil penalty:
(a) for an individual--200 penalty units; or
(b) otherwise--1,000 penalty units.
Note: Under section 30, a person may be liable for an additional civil penalty for each day after the day mentioned in paragraph (d) for which the person fails to provide an audit report in accordance with this section.
(3) The regulations may specify:
(a) the type of audit to be carried out; and
(b) the matters to be covered by the audit; and
(c) the form of the audit report and the kinds of details it is to contain.
(4) The person must provide the audit team leader and any audit team members with all reasonable facilities and assistance necessary for the effective exercise of the audit team leader's duties under this Act.
Civil penalty:
(a) for an individual--50 penalty units; or
(b) otherwise--250 penalty units.
74B Audits of certain entities--compliance
(1) For the purposes of this section, a person is a relevant person if:
(a) the following subparagraphs apply:
(i) the person is a non - group entity;
(ii) the Regulator has reasonable grounds to suspect that the person has contravened, is contravening, or is proposing to contravene, this Act or the regulations; or
(b) the following subparagraphs apply:
(i) the person is the responsible member mentioned in subsection 22X(1);
(ii) the person is not a registered corporation;
(iii) the Regulator has reasonable grounds to suspect that the person has contravened, is contravening, or is proposing to contravene, this Act or the regulations.
(2) The Regulator may, by written notice given to a relevant person, require the relevant person to:
(a) appoint as an audit team leader:
(i) a registered greenhouse and energy auditor of the relevant person's choice; or
(ii) if the Regulator specifies a registered greenhouse and energy auditor in the notice--that auditor; or
(iii) if the Regulator specifies more than one registered greenhouse and energy auditor in the notice--any one of those auditors; and
(b) arrange for the audit team leader to carry out an audit on one or more aspects of the relevant person's compliance with this Act or the regulations; and
(c) arrange for the audit team leader to give the relevant person a written report setting out the results of the audit; and
(d) give the Regulator a copy of the audit report on or before the day specified in the notice.
(3) The notice must specify:
(a) the type of audit to be carried out; and
(b) the matters to be covered by the audit; and
(c) the form of the audit report and the kinds of details it is to contain.
(4) The relevant person must provide the audit team leader and any audit team members with all reasonable facilities and assistance necessary for the effective exercise of the audit team leader's duties under this Act.
Civil penalty:
(a) for an individual--50 penalty units; or
(b) otherwise--250 penalty units.
(5) If the Regulator gives the relevant person written notice under subsection (2), the relevant person must comply with the requirements of the notice.
Civil penalty:
(a) for an individual--200 penalty units; or
(b) otherwise--1,000 penalty units.
Note: Under section 30, a relevant person may be liable for an additional civil penalty for each day after the day mentioned in paragraph (2)(d) for which the relevant person fails to provide an audit report in accordance with this section.
74C Audits of certain entities--other
(1) For the purposes of this section, a person is a relevant person if:
(a) the person is a non - group entity; or
(b) the person:
(i) is the responsible member mentioned in subsection 22X(1); and
(ii) is not a registered corporation.
(2) The Regulator may appoint a registered greenhouse and energy auditor as an audit team leader to carry out an audit of a relevant person's compliance with one or more aspects of this Act or the regulations.
(3) The Regulator must give written notice to the relevant person of a decision to appoint an audit team leader under subsection (2). The notice must:
(a) specify the audit team leader; and
(b) specify the period within which the audit is to be undertaken; and
(c) specify the type of audit to be carried out; and
(d) specify the matters to be covered by the audit; and
(e) be given to the relevant person at a reasonable time before the audit is to be undertaken.
(4) The relevant person must provide the audit team leader and any audit team members with all reasonable facilities and assistance necessary for the effective exercise of the audit team leader's duties under this Act.
Civil penalty:
(a) for an individual--50 penalty units; or
(b) otherwise--250 penalty units.
(5) If a relevant person is given a notice under subsection (3), the relevant person must arrange for the audit team leader to carry out the audit.
Civil penalty:
(a) for an individual--200 penalty units; or
(b) otherwise--1,000 penalty units.
415 Subsection 75A(7)
Omit "signed", substitute "written".
415A After section 76
Insert:
76A Periodic reviews of operation of this Act etc.
(1) The Climate Change Authority must conduct reviews of the operation of:
(a) this Act; and
(b) legislative instruments under this Act.
Public consultation
(2) A review under subsection (1) must make provision for public consultation.
Report
(3) The Climate Change Authority must:
(a) give the Minister a report of the review; and
(b) as soon as practicable after giving the report to the Minister, publish the report on the Climate Change Authority's website.
(4) The Minister must cause copies of a report under subsection (3) to be tabled in each House of the Parliament within 15 sitting days of that House after the review is completed.
First review
(5) The first review under subsection (1) must be completed during the period:
(a) beginning at the start of 30 June 2016; and
(b) ending at the end of 31 December 2018.
Subsequent reviews
(6) Each subsequent review under subsection (1) must be completed within 5 years after the deadline for completion of the previous review.
(7) For the purposes of subsections (4), (5) and (6), a review is completed when the report of the review is given to the Minister under subsection (3).
Recommendations
(8) A report of a review under subsection (1) may set out recommendations to the Commonwealth Government.
(9) In formulating a recommendation that the Commonwealth Government should take particular action, the Climate Change Authority must analyse the costs and benefits of that action.
(10) Subsection (9) does not prevent the Climate Change Authority from taking other matters into account in formulating a recommendation.
(11) If a report of a review under subsection (1) sets out one or more recommendations to the Commonwealth Government, the report must set out the Climate Change Authority's reasons for those recommendations.
Government response to recommendations
(12) If a report of a review under subsection (1) sets out one or more recommendations to the Commonwealth Government:
(a) as soon as practicable after receiving the report, the Minister must cause to be prepared a statement setting out the Commonwealth Government's response to each of the recommendations; and
(b) within 6 months after receiving the report, the Minister must cause copies of the statement to be tabled in each House of the Parliament.
(13) The Commonwealth Government's response to the recommendations may have regard to the views of the following:
(a) the Climate Change Authority;
(b) the Regulator;
(c) such other persons as the Minister considers relevant.
76B Special reviews of operation of this Act etc.
Scope
(1) This section applies if:
(a) the Minister, by written instrument given to the Chair of the Climate Change Authority, requests the Climate Change Authority to conduct a review under this section of such matters as are specified in the instrument; and
(b) the matters specified in the instrument are covered by subsection (4).
Review
(2) The Climate Change Authority must conduct a review of those matters.
Consultation
(3) In conducting a review, the Climate Change Authority must make provision for public consultation.
Covered matters
(4) This subsection covers the operation of:
(a) this Act; and
(b) legislative instruments under this Act.
Report
(5) The Climate Change Authority must:
(a) give the Minister a report of the review; and
(b) as soon as practicable after giving the report to the Minister, publish the report on the Climate Change Authority's website.
(6) The Minister must cause copies of a report under subsection (5) to be tabled in each House of the Parliament within 15 sitting days of that House after the completion of the preparation of the report.
Recommendations
(7) A report of a review under subsection (2) may set out recommendations to the Commonwealth Government.
(8) In formulating a recommendation that the Commonwealth Government should take particular action, the Climate Change Authority must analyse the costs and benefits of that action.
(9) Subsection (8) does not prevent the Climate Change Authority from taking other matters into account in formulating a recommendation.
(10) If a report of a review under subsection (2) sets out one or more recommendations to the Commonwealth Government, the report must set out the Climate Change Authority's reasons for those recommendations.
Government response to recommendations
(11) If a report of a review under subsection (2) sets out one or more recommendations to the Commonwealth Government:
(a) as soon as practicable after receiving the report, the Minister must cause to be prepared a statement setting out the Commonwealth Government's response to each of the recommendations; and
(b) within 6 months after receiving the report, the Minister must cause copies of the statement to be tabled in each House of the Parliament.
(12) The Commonwealth Government's response to the recommendations may have regard to the views of the following:
(a) the Climate Change Authority;
(b) the Regulator;
(c) such other persons as the Minister considers relevant.
Ozone Protection and Synthetic Greenhouse Gas Management Act 1989
415B Paragraph 3(d)
After "Climate Change", insert "and the Kyoto Protocol".
416 Subsection 7(1)
Omit "(1)" (first occurring).
416A Subsection 7(1) (definition of licence )
Omit "or a used substances licence", substitute ", a used substances licence or an ODS/SGG equipment licence".
416B Subsection 7(1)
Insert:
"Kyoto Protocol" means the Kyoto Protocol to the United Nations Framework Convention on Climate Change, done at Kyoto on 11 December 1997, as amended and in force for Australia from time to time.
Note: The text of the Kyoto Protocol is set out in Australian Treaty Series 2008 No. 2 ([2008] ATS 2). In 2011, the text of an international agreement in the Australian Treaty Series was accessible through the Australian Treaties Library on the AustLII website (www.austlii.edu.au).
417 Subsection 7(1)
Insert:
"ODS equipment" has the meaning given by section 8C.
418 Subsection 7(1)
Insert:
"ODS/SGG equipment licence" means an ODS/SGG equipment licence under section 13A.
419 Subsection 7(1) (definition of pre - charged equipment )
Repeal the definition.
420 Subsection 7(1) (definition of pre - charged equipment licence )
Repeal the definition.
420A Subsection 7(1) (paragraph (b) of the definition of recycled or used HCFCs )
Omit "after undergoing a cleaning process", substitute "or destroyed".
420B Subsection 7(1) (paragraph (b) of the definition of recycled or used methyl bromide )
Omit "after undergoing a cleaning process", substitute "or destroyed".
420C Subsection 7(1) (paragraph (b) of the definition of recycled stage - 1 or stage - 2 scheduled substances )
Omit "after undergoing a cleaning process", substitute "or destroyed".
421 Subsection 7(1) (definition of SGG or synthetic greenhouse gas )
Omit "or a PFC", substitute ", a PFC or sulfur hexafluoride".
421A Subsection 7(1)
Insert:
"SGG equipment" has the meaning given by section 8D.
422 Subsection 7(1)
Insert:
"sulfur hexafluoride" means the substance referred to in Part XI of Schedule 1, whether existing alone or in a mixture.
423 After section 8B
Insert:
For the purposes of this Act, ODS equipment means air - conditioning equipment, or refrigeration equipment, that contains a substance that is an HCFC or, but for section 9, would be an HCFC.
(1) For the purposes of this Act, SGG equipment means:
(a) equipment, or a product, that contains a substance that is an HFC or a PFC; or
(b) equipment, or a product, that contains a substance that is sulfur hexafluoride;
but does not include:
(c) equipment, or a product, prescribed by the regulations; or
(d) equipment, or a product, specified in a legislative instrument made by the Minister.
(2) Unless sooner revoked, a legislative instrument made under paragraph (1)(d) ceases to be in force 12 months after it is registered under the Legislative Instruments Act 2003 .
424A Section 9 (heading)
Repeal the heading, substitute:
9 Scheduled substances (other than SGGs) in manufactured products
424B Subsection 9(1)
After "Schedule 1", insert "(other than a substance referred to in Part IX, X or XI of that Schedule)".
425 Subsection 13(6A)
Repeal the subsection, substitute:
(6A) A person must not import ODS equipment or SGG equipment unless:
(a) the person holds an ODS/SGG equipment licence; or
(b) the following conditions are satisfied:
(i) the equipment is kept by the person, or by a member of the person's household, wholly or principally for private or domestic use;
(ii) the equipment is prescribed by the regulations or specified in a legislative instrument made by the Minister;
(iii) if the equipment is prescribed by regulations made for the purposes of subparagraph (ii)--the conditions (if any) prescribed by the regulations;
(iv) if the equipment is specified in an instrument made by the Minister under subparagraph (ii)--the conditions (if any) specified in a legislative instrument made by the Minister.
(6B) Unless sooner revoked, a legislative instrument made by the Minister under subparagraph (6A)(b)(ii) or (iv) ceases to be in force 12 months after it is registered under the Legislative Instruments Act 2003 .
426 Subsection 13(9) (note 2)
Omit "subsection 65AC(4)", substitute "subsections 65AC(4) and (4A)".
427 Paragraph 13A(1)(d)
Omit "a pre - charged equipment licence", substitute "an ODS/SGG equipment licence".
428 Subsection 13A(5)
Repeal the subsection, substitute:
(5) An ODS/SGG equipment licence allows the licensee to import ODS equipment or SGG equipment.
429 Subsection 16(3)
Omit "a pre - charged equipment licence", substitute "an ODS/SGG equipment licence".
430 Subsection 19(4)
Omit "A pre - charged equipment licence", substitute "An ODS/SGG equipment licence".
431 Subsection 19A(2)
Omit "a pre - charged equipment licence", substitute "an ODS/SGG equipment licence".
431A Section 46 (heading)
Repeal the heading, substitute:
432 Paragraph 46(1A)(b)
Omit "pre - charged equipment", substitute: "ODS equipment or SGG equipment".
433 Subsection 46(1B)
Repeal the subsection.
434 Subsection 46(1BA)
Repeal the subsection.
435 Subsection 46(1C)
Repeal the subsection.
436 Subsection 46(2AA)
Repeal the subsection.
437 Subsection 46(2A)
Omit "or (2AA)".
438 Subsection 46(2B)
Omit "or (2AA)".
439 Subsection 46(2D)
Repeal the subsection.
440 Subsection 46(2E)
Omit "Subsections (2C) and (2D) are civil penalty provisions ", substitute "Subsection (2C) is a civil penalty provision ".
441 Subsection 46(2F)
Omit "Subsections (2C) and (2D) do not", substitute "Subsection (2C) does not".
442 After section 46
Insert:
Manufacturer
(1) If:
(a) a person manufactures an SGG during:
(i) the quarter beginning on 1 July 2012; or
(ii) a later quarter; and
(b) the manufacture is not in circumstances prescribed by regulations made for the purposes of paragraph 13(1A)(b);
the person must, before the 15th day after the end of the quarter, give the Minister a report in accordance with the regulations.
Importer
(2) If:
(a) a person imports an SGG during:
(i) the quarter beginning on 1 July 2012; or
(ii) a later quarter; and
(b) the import is not in circumstances prescribed by regulations made for the purposes of paragraph 13(1A)(b); and
(c) the SGG is not contained in ODS equipment or SGG equipment;
the person must, before the 15th day after the end of the quarter, give the Minister a report in accordance with the regulations.
(3) If:
(a) a person imports ODS equipment or SGG equipment during:
(i) the quarter beginning on 1 July 2012; or
(ii) a later quarter; and
(b) the import is not covered by paragraph 13(6A)(b);
the person must, before the 15th day after the end of the quarter, give the Minister a report in accordance with the regulations.
Exporter
(4) If:
(a) a person exports an SGG during:
(i) the quarter beginning on 1 July 2012; or
(ii) a later quarter; and
(b) the export is not in circumstances prescribed by regulations made for the purposes of paragraph 13(1A)(b);
the person must, before the 15th day after the end of the quarter, give the Minister a report in accordance with the regulations.
Offence
(5) A person commits an offence if:
(a) the person is subject to a requirement under subsection (1), (2), (3) or (4); and
(b) the person omits to do an act; and
(c) the omission breaches the requirement.
Penalty: 60 penalty units.
(6) An offence under subsection (5) is an offence of strict liability.
Note: For strict liability, see section 6.1 of the Criminal Code .
(7) Subsections (1), (2), (3) and (4) are civil penalty provisions .
Note 1: Division 7 of Part VIII provides for pecuniary penalties for breaches of civil penalty provisions.
Note 2: For maximum penalty, see subsection 65AC(4).
442A Subparagraph 65AA(1)(a)(vii)
Omit "46; or", substitute "46;".
442B At the end of paragraph 65AA(1)(a)
Add:
(viii) section 46A; or
443 Subsection 65AC(4)
After "subsection", insert "13(1A) or (6A) or".
444 After subsection 65AC(4)
Insert:
(4A) The pecuniary penalty payable by a person in respect of a contravention of subsection 13(1A) or (6A) must not exceed:
(a) if the person is not a body corporate--2,000 penalty units; or
(b) if the person is a body corporate--10,000 penalty units.
445 Before paragraph 65C(1)(a)
Insert:
(aa) amounts equal to the prescribed rate component of an amount of levy received by the Commonwealth under section 3A of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 ;
(ab) amounts equal to the prescribed rate component of an amount of levy received by the Commonwealth under section 4A of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 ;
(ac) amounts equal to the prescribed rate component of an amount of levy received by the Commonwealth under section 3A of the Ozone Protection and Synthetic Greenhouse Gas (Manufacture Levy) Act 1995 ;
446 Subparagraph 65C(1)(a)(i)
Before "the", insert "section 4 or 4B of".
447 Subparagraph 65C(1)(a)(ii)
Before "the", insert "section 4 of".
447A Paragraph 65C(1)(b)
Omit "licence".
448 At the end of section 65C
Add:
Prescribed rate component
(4) For the purposes of paragraph (1)(aa), the prescribed rate component of an amount of levy is so much of that amount as is equal to the amount worked out using the following formula:
where:
"number of tonnes of the SGG" means the number of tonnes of the SGG to which the levy relates.
"prescribed rate" means the applicable rate prescribed by the regulations made for the purposes of the definition of prescribed rate in subsection 3A(7) of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995.
(5) For the purposes of paragraph (1)(ab), the prescribed rate component of an amount of levy is so much of that amount as is equal to the amount worked out using the following formula:
where:
"number of tonnes of the SGG contained in the equipment" means the number of tonnes of the SGG contained in the equipment to which the levy relates.
"prescribed rate" means the applicable rate prescribed by the regulations made for the purposes of the definition of prescribed rate in subsection 4A(5) of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995.
(6) For the purposes of paragraph (1)(ac), the prescribed rate component of an amount of levy is so much of that amount as is equal to the amount worked out using the following formula:
where:
"number of tonnes of the SGG" means the number of tonnes of the SGG to which the levy relates.
"prescribed rate" means the rate prescribed by the regulations made for the purposes of the definition of prescribed rate in subsection 3A(5) of the Ozone Protection and Synthetic Greenhouse Gas (Manufacture Levy) Act 1995 .
449 Subsection 69(1)
Repeal the subsection, substitute:
(1) A licence levy is due and payable:
(a) at the end of 60 days after the end of the quarter to which the levy relates; or
(b) if the Minister allows the licensee concerned a longer period--at the end of that longer period.
450 After section 69
Insert:
69AA Remission and refund of import levy--SGGs
Export by licensee
(1) If:
(a) levy is imposed by section 3A of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 in respect of the import of an SGG by a licensee; and
(b) the Minister is satisfied that the licensee exported the SGG within 12 months (or such longer period as is prescribed by the regulations) after the import; and
(c) the licensee applies to the Minister, in accordance with the regulations, for remission or refund of the whole or a part of the carbon charge component of the amount of the levy; and
(d) the application is accompanied by such information (if any) as is specified in the regulations; and
(e) the application is accompanied by such documents (if any) as are specified in the regulations; and
(f) the licensee is not exempt from the carbon charge component of the amount of the levy (see section 3A of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 );
the Minister must, on behalf of the Commonwealth, remit or refund the whole or a part of the carbon charge component of the amount of the levy.
(2) For the purposes of subsection (1), the carbon charge component of an amount of levy is so much of that amount as is equal to the amount worked out using the following formula:
where:
"applicable charge" means the charge that was the applicable charge for the purposes of the application of subsection 3A(7) of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 to the levy.
"carbon dioxide equivalence" has the same meaning as in the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 .
(3) The regulations may provide for verification by statutory declaration of statements in applications under subsection (1).
Export by purchaser
(4) If:
(a) levy is imposed by section 3A of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 in respect of the import of an SGG by a licensee; and
(b) the Minister is satisfied that:
(i) the licensee sold the SGG to another person; and
(ii) the other person exported the SGG within 12 months (or such longer period as is prescribed by the regulations) after the import of the SGG; and
(c) the licensee applies to the Minister, in accordance with the regulations, for remission or refund of the whole or a part of the carbon charge component of the amount of the levy; and
(d) the application is accompanied by such information (if any) as is specified in the regulations; and
(e) the application is accompanied by such documents (if any) as are specified in the regulations; and
(f) the licensee is not exempt from the carbon charge component of the amount of the levy (see section 3A of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 );
the Minister must, on behalf of the Commonwealth, remit or refund the whole or a part of the carbon charge component of the amount of the levy.
(5) For the purposes of subsection (4), the carbon charge component of an amount of levy is so much of that amount as is equal to the amount worked out using the following formula:
where:
"applicable charge" means the charge that was the applicable charge for the purposes of the application of subsection 3A(7) of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 to the levy.
"carbon dioxide equivalence" has the same meaning as in the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 .
(6) The regulations may provide for verification by statutory declaration of statements in applications under subsection (4).
Assignment of right to receive refund
(7) The regulations may authorise a licensee to assign a right to receive a refund under this section.
69AB Remission and refund of import levy--SGG equipment
Export by licensee
(1) If:
(a) levy is imposed by section 4A of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 in respect of the import of SGG equipment by a licensee; and
(b) the Minister is satisfied that the licensee exported the equipment within 12 months (or such longer period as is prescribed by the regulations) after the import; and
(c) the licensee applies to the Minister, in accordance with the regulations, for remission or refund of the whole or a part of the carbon charge component of the amount of the levy; and
(d) the application is accompanied by such information (if any) as is specified in the regulations; and
(e) the application is accompanied by such documents (if any) as are specified in the regulations;
the Minister must, on behalf of the Commonwealth, remit or refund the whole or a part of the carbon charge component of the amount of the levy.
(2) For the purposes of subsection (1), the carbon charge component of an amount of levy is so much of that amount as is equal to the amount worked out using the following formula:
where:
"applicable charge" means the charge that was the applicable charge for the purposes of the application of subsection 4A(5) of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 to the levy.
"carbon dioxide equivalence" has the same meaning as in the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 .
(3) For the purposes of subsection (2), disregard an SGG that is used, or for use, for a purpose prescribed by regulations made for the purposes of subsection 4A(7) of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 .
(4) The regulations may provide for verification by statutory declaration of statements in applications under subsection (1).
Export by purchaser
(5) If:
(a) levy is imposed by section 4A of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 in respect of the import of SGG equipment by a licensee; and
(b) the Minister is satisfied that:
(i) the licensee sold the equipment to another person; and
(ii) the other person exported the equipment within 12 months (or such longer period as is prescribed by the regulations) after the import of the equipment; and
(c) the licensee applies to the Minister, in accordance with the regulations, for remission or refund of the whole or a part of the carbon charge component of the amount of the levy; and
(d) the application is accompanied by such information (if any) as is specified in the regulations; and
(e) the application is accompanied by such documents (if any) as are specified in the regulations;
the Minister must, on behalf of the Commonwealth, remit or refund the whole or a part of the carbon charge component of the amount of the levy.
(6) For the purposes of subsection (5), the carbon charge component of an amount of levy is so much of that amount as is equal to the amount worked out using the following formula:
where:
"applicable charge" means the charge that was the applicable charge for the purposes of the application of subsection 4A(5) of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 to the levy.
"carbon dioxide equivalence" has the same meaning as in the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 .
(7) For the purposes of subsection (6), disregard an SGG that is used, or for use, for a purpose prescribed by regulations made for the purposes of subsection 4A(7) of the Ozone Protection and Synthetic Greenhouse Gas (Import Levy) Act 1995 .
(8) The regulations may provide for verification by statutory declaration of statements in applications under subsection (5).
Assignment of right to receive refund
(9) The regulations may authorise a licensee to assign a right to receive a refund under this section.
69AC Remission and refund of manufacture levy--SGGs
Export by licensee
(1) If:
(a) levy is imposed by section 3A of the Ozone Protection and Synthetic Greenhouse Gas (Manufacture Levy) Act 1995 in respect of the manufacture of an SGG by a licensee; and
(b) the Minister is satisfied that the licensee exported the SGG within 12 months (or such longer period as is prescribed by the regulations) after the manufacture; and
(c) the licensee applies to the Minister, in accordance with the regulations, for remission or refund of the whole or a part of the carbon charge component of the amount of the levy; and
(d) the application is accompanied by such information (if any) as is specified in the regulations; and
(e) the application is accompanied by such documents (if any) as are specified in the regulations; and
(f) the licensee is not exempt from the carbon charge component of the amount of the levy (see section 3A of the Ozone Protection and Synthetic Greenhouse Gas (Manufacture Levy) Act 1995 );
the Minister must, on behalf of the Commonwealth, remit or refund the whole or a part of the carbon charge component of the amount of the levy.
(2) For the purposes of subsection (1), the carbon charge component of an amount of levy is so much of that amount as is equal to the amount worked out using the following formula:
where:
"applicable charge" means the charge that was the applicable charge for the purposes of the application of subsection 3A(5) of the Ozone Protection and Synthetic Greenhouse Gas (Manufacture Levy) Act 1995 to the levy.
"carbon dioxide equivalence" has the same meaning as in the Ozone Protection and Synthetic Greenhouse Gas (Manufacture Levy) Act 1995 .
(3) The regulations may provide for verification by statutory declaration of statements in applications under subsection (1).
Export by purchaser
(4) If:
(a) levy is imposed by section 3A of the Ozone Protection and Synthetic Greenhouse Gas (Manufacture Levy) Act 1995 in respect of the manufacture of an SGG by a licensee; and
(b) the Minister is satisfied that:
(i) the licensee sold the SGG to another person; and
(ii) the other person exported the SGG within 12 months (or such longer period as is prescribed by the regulations) after the manufacture of the SGG; and
(c) the licensee applies to the Minister, in accordance with the regulations, for remission or refund of the whole or a part of the carbon charge component of the amount of the levy; and
(d) the application is accompanied by such information (if any) as is specified in the regulations; and
(e) the application is accompanied by such documents (if any) as are specified in the regulations; and
(f) the licensee is not exempt from the carbon charge component of the amount of the levy (see section 3A of the Ozone Protection and Synthetic Greenhouse Gas (Manufacture Levy) Act 1995 );
the Minister must, on behalf of the Commonwealth, remit or refund the whole or a part of the carbon charge component of the amount of the levy.
(5) For the purposes of subsection (4), the carbon charge component of an amount of levy is so much of that amount as is equal to the amount worked out using the following formula:
where:
"applicable charge" means the charge that was the applicable charge for the purposes of the application of subsection 3A(5) of the Ozone Protection and Synthetic Greenhouse Gas (Manufacture Levy) Act 1995 to the levy.
"carbon dioxide equivalence" has the same meaning as in the Ozone Protection and Synthetic Greenhouse Gas (Manufacture Levy) Act 1995 .
(6) The regulations may provide for verification by statutory declaration of statements in applications under subsection (4).
Assignment of right to receive refund
(7) The regulations may authorise a licensee to assign a right to receive a refund under this section.
450A Section 69B
Omit "and the Framework Convention on Climate Change" (wherever occurring), substitute ", the Framework Convention on Climate Change and the Kyoto Protocol".
451 At the end of Schedule 1
Add:
Part XI -- Sulfur hexafluoride
Substance |
Sulfur hexafluoride (SF 6 ) |
Renewable Energy (Electricity) Act 2000
451A Section 162
Repeal the section, substitute:
162 Periodic reviews of operation of renewable energy legislation
(1) The Climate Change Authority must conduct reviews of the following:
(a) the operation of this Act and the scheme constituted by this Act;
(b) the operation of the regulations;
(c) the operation of the Renewable Energy (Electricity) (Large - scale Generation Shortfall Charge) Act 2000 ;
(d) the operation of the Renewable Energy (Electricity) (Small - scale Technology Shortfall Charge) Act 2010 ;
(e) the diversity of renewable energy access to the scheme constituted by this Act, to be considered with reference to a cost benefit analysis of the environmental and economic impact of that access.
Public consultation
(2) In conducting a review, the Climate Change Authority must make provision for public consultation.
Report
(3) The Climate Change Authority must:
(a) give the Minister a report of the review; and
(b) as soon as practicable after giving the report to the Minister, publish the report on the Climate Change Authority's website.
(4) The Minister must cause copies of a report under subsection (3) to be tabled in each House of the Parliament within 15 sitting days of that House after the review is completed.
First review
(5) The first review under subsection (1) must be completed before the end of 31 December 2012.
Subsequent reviews
(6) Each subsequent review under subsection (1) must be completed within 2 years after the deadline for completion of the previous review.
(7) For the purposes of subsections (4), (5) and (6), a review is completed when the report of the review is given to the Minister under subsection (3).
Recommendations
(8) A report of a review under subsection (1) may set out recommendations to the Commonwealth Government.
(9) In formulating a recommendation that the Commonwealth Government should take particular action, the Climate Change Authority must analyse the costs and benefits of that action.
(10) Subsection (9) does not prevent the Climate Change Authority from taking other matters into account in formulating a recommendation.
(11) A recommendation must not be inconsistent with the objects of this Act.
(12) If a report of a review under subsection (1) sets out one or more recommendations to the Commonwealth Government, the report must set out the Climate Change Authority's reasons for those recommendations.
Government response to recommendations
(13) If a report of a review under subsection (1) sets out one or more recommendations to the Commonwealth Government:
(a) as soon as practicable after receiving the report, the Minister must cause to be prepared a statement setting out the Commonwealth Government's response to each of the recommendations; and
(b) within 6 months after receiving the report, the Minister must cause copies of the statement to be tabled in each House of the Parliament.
(14) The Commonwealth Government's response to the recommendations may have regard to the views of the following:
(a) the Climate Change Authority;
(b) the Regulator;
(c) such other persons as the Minister considers relevant.
Division 2--Application and transitional provisions
452 Application--registration and reports under the National Greenhouse and Energy Reporting Act 2007
(1) Despite the repeal of section 18 of the National Greenhouse and Energy Reporting Act 2007 by this Part, that section continues to apply after the commencement of this item, in relation to an application for deregistration that was made before the commencement of this item, as if that repeal had not happened.
(2) Despite the amendment of paragraph 56(b) of the National Greenhouse and Energy Reporting Act 2007 made by this Part, that paragraph continues to apply after the commencement of this item, in relation to a decision under section 18 of that Act, as if that amendment had not been made.
(3) The amendments of the National Greenhouse and Energy Reporting Act 2007 made by this Part, in so far as they are relevant to determining whether a controlling corporation's group meets a threshold under section 13 of that Act for a financial year, apply in relation to a threshold for:
(a) the financial year beginning on 1 July 2012; or
(b) a later financial year.
(4) The amendments of the National Greenhouse and Energy Reporting Act 2007 made by this Part, in so far as they relate to reports under section 19 of that Act, apply in relation to reports for:
(a) the financial year beginning on 1 July 2012; or
(b) a later financial year.
(5) The amendments of the National Greenhouse and Energy Reporting Act 2007 made by this Part, in so far as they relate to reports under section 22G of that Act, apply in relation to reports for:
(a) the financial year beginning on 1 July 2012; or
(b) a later financial year.
453 Application--civil penalty orders under the National Greenhouse and Energy Reporting Act 2007
The amendments of section 31 of the National Greenhouse and Energy Reporting Act 2007 made by this Part apply in relation to proceedings instituted after the commencement of this item.
454 Application--liability of executive officers under the National Greenhouse and Energy Reporting Act 2007
The amendments of sections 47 and 48 of the National Greenhouse and Energy Reporting Act 2007 made by this Part apply in relation to a contravention of a civil penalty provision that occurs after the commencement of this item.
455 Transitional--continuation of Register
The National Greenhouse and Energy Register maintained under section 16 of the National Greenhouse and Energy Reporting Act 2007 after the commencement of this item is, for all purposes, a continuation of the Register kept under section 16 of that Act immediately before the commencement of this item.
456 Application--section 13 of the Ozone Protection and Synthetic Greenhouse Gas Management Act 1989
The amendments of section 13 of the Ozone Protection and Synthetic Greenhouse Gas Management Act 1989 made by this Part apply in relation to imports that occur after the commencement of this item.
457 Application--civil penalty orders under the Ozone Protection and Synthetic Greenhouse Gas Management Act 1989
The amendments of section 65AC of the Ozone Protection and Synthetic Greenhouse Gas Management Act 1989 made by this Part apply to contraventions of civil penalty provisions that occur after the commencement of this item.
458 Application--section 69 of the Ozone Protection and Synthetic Greenhouse Gas Management Act 1989
(1) Subsection 69(1) of the Ozone Protection and Synthetic Greenhouse Gas Management Act 1989 as amended by this Part applies in relation to levy for a quarter that begins at or after the commencement of this item.
(2) Despite the repeal of subsection 69(1) of the Ozone Protection and Synthetic Greenhouse Gas Management Act 1989 by this Part, that subsection continues to apply, in relation to levy for a quarter ending before the commencement of this item, as if that repeal had not happened.
459 Transitional--pre - charged equipment licences under the Ozone Protection and Synthetic Greenhouse Gas Management Act 1989
Scope
(1) This item applies to a pre - charged equipment licence that was in force under the Ozone Protection and Synthetic Greenhouse Gas Management Act 1989 immediately before the commencement of this item.
Effect
(2) The pre - charged equipment licence has effect, after the commencement of this item, as if it were an ODS/SGG equipment licence in force under the Ozone Protection and Synthetic Greenhouse Gas Management Act 1989 as amended by this Act.
460 Transitional--reports under the Ozone Protection and Synthetic Greenhouse Gas Management Act 1989 for pre - commencement quarters
Despite the amendments of section 46 of the Ozone Protection and Synthetic Greenhouse Gas Management Act 1989 made by this Part, that section continues to apply, in relation to a quarter ending before the commencement of this item, as if those amendments had not been made.
461 Transitional--regulations
The Governor - General may make regulations in relation to transitional matters arising out of the amendments made by this Part.