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This is a Bill, not an Act. For current law, see the Acts databases.
South Australia
Heavy Vehicle National Law (South Australia)
Bill 2013
A BILL FOR
An Act to make provision for a national scheme for facilitating and
regulating the use of heavy vehicles on roads; and for other purposes.
Contents
Part 1—Preliminary
1Short
title
2Commencement
3Interpretation
Part 2—Application of Heavy Vehicle
National Law and Heavy Vehicle National Regulations
Division 1—General
4Application of Heavy
Vehicle National Law
5Amendments to Schedule to maintain national
consistency
6Application of Heavy
Vehicle National Regulations
7Exclusion of legislation
of this jurisdiction
Division 2—Definitions, declarations
and other references for purposes of Heavy Vehicle National Law (South
Australia)
8Definition of generic
terms and terms having meaning provided by this Act
9Declarations about industrial
relations status of Regulator
10Other declarations for purposes of Heavy
Vehicle National Law in this jurisdiction
11References to mistake of fact
defence
Division 3—Authorisations for
purposes of this jurisdiction
12Authority to use force
13Authority to amend or
withdraw vehicle defect notices
14Authority to seize heavy
vehicles or things
15Authorised use of protected
information
Division 4—Modification of Heavy
Vehicle National Law (South Australia) for purposes of this
jurisdiction
16Modification of Law for certain
purposes
17Modification of Law for
other purposes
Division 5—Supplementary powers
relating to enforcement in this jurisdiction
18Application of this
Division
19Power to enter certain places
20Person must
not possess certain devices
21Offence to sell or dispose of heavy vehicle in
respect of which vehicle defect notice is in force
22Moving
unattended etc heavy vehicle if danger or obstruction
Division 6—Miscellaneous
23Approved
vehicle examiners
24Proof of lawful authority or lawful or
reasonable excuse
25Provision of information and assistance by
Registrar of Motor Vehicles
26Various powers may be exercised on same
occasion
Part 3—Regulations
27National
regulations
28Local
regulations
Part 4—Savings and transitional
provisions
Division 1—Special transitional
arrangements relating to Chapter 2 of Heavy Vehicle National
Law
29Definitions for this Division
30Modification
of Law in this jurisdiction until national registration scheme comes into
operation
31Declaratory regulation making power for
general savings and transitional provision for purposes of this
Division
section 748 of Heavy
Vehicle National Law
32Definitions for this Division
33Operation of
general savings and transitional provision
34Offences
35Approvals and
exemptions
36Seizing of evidence
37Declaratory regulation
making power for general savings and transitional provision
Division 3—Interpretative
provision
38References in documents to repealed or amended
provisions
Division 4—Savings and transitional
provisions—general
39Saving and transitional
provisions—general
Schedule—Heavy Vehicle
National Law
Part 1—Introductory
matters
1Short title
2Commencement
3Object of Law
4Regulatory framework to achieve object
Part 2—Interpretation
5Definitions
6Meaning of heavy
vehicle
7Meaning of
fatigue-regulated heavy vehicle
8Meaning of road and road-related
area
9Meaning of
convicts and convicted of an offence
10Interpretation
generally
11References
to laws includes references to instruments made under laws
12References to this Law as applied in a participating
jurisdiction
13References to road
14References to mistake of fact
defence
15References to categories of heavy
vehicles
Part 3—Application
and operation of Law
16Extraterritorial operation of Law
17Law binds the State
18Relationship with primary work health and safety
laws
Part 4—Performance based
standards
19Main purpose of this
Part
20Notification to road authority of
PBS design approval
21Notification by responsible
Minister of non-application or restricted application of PBS design
approval
22Application
for PBS design approval
23Application for PBS vehicle
approval
24Exemption from stated vehicle
standards
25Authorisation of different
mass or dimension requirement
26National
regulations
Division 1—Preliminary
28Scheme for registration of heavy
vehicles
29Registration not evidence of
title
Division 2—Requirement for heavy vehicle
to be registered
30Registration
requirement
Division 3—Authorised
use of unregistered heavy vehicle
Division 3
32Unregistered heavy vehicle on
journey for obtaining registration
33Unregistered heavy vehicle temporarily in
Australia
34Unregistered heavy vehicle
used for short term only
35Unregistered
heavy vehicle used locally only
36Unregistered heavy vehicle that is an agricultural
vehicle
37Unregistered heavy vehicle being
towed
38Unregistered
heavy vehicle to which exemption under Division 4 applies
39Driver to carry proof of compliance with third
party insurance legislation
Division 4—Exemption
from requirement to be registered
Subdivision 1—Exemption by
Regulator
40Regulator’s power to
exempt category of heavy vehicles from requirement to be registered
41Restriction on grant of registration
exemption
42Conditions of registration
exemption
43Period for which registration
exemption applies
44Requirements about Commonwealth
Gazette notice
45Amendment or cancellation of
registration exemption
46Immediate
suspension
Subdivision 2—Exemption by
national regulations
47National
regulations exempting heavy vehicles from requirement to be
registered
Part 3—Vehicle
register
48Vehicle
register
Part 4—Other
provisions relating to registration
49Ownership of registration items
50Obtaining registration or registration items by
false statements etc
51Replacement and
recovery of certain registration items
52Verification of particular records
Part 5—Written-off and
wrecked heavy vehicles
Chapter 2
Part 5
Chapter 2
Part 5
55Written-off and wrecked
heavy vehicles register
Part 6—Other
provisions
56Regulator may specify GCM in
particular circumstances
57Regulator may specify GVM in
particular circumstances
Chapter 3—Vehicle
operations—standards and safety
Part 2—Compliance
with heavy vehicle standards
Division 1—Requirements
59Heavy vehicle
standards
60Compliance
with heavy vehicle standards
Division 2—Exemptions by Commonwealth
Gazette notice
61Regulator’s power to exempt
category of heavy vehicles from compliance with heavy vehicle
standard
62Restriction on grant of vehicle
standards exemption (notice)
63Conditions
of vehicle standards exemption (notice)
64Period for which vehicle standards exemption
(notice) applies
65Requirements about Commonwealth
Gazette notice
66Amendment or cancellation of
vehicle standards exemption (notice)
67Immediate suspension on Regulator’s
initiative
Division 3—Exemptions by
permit
68Regulator’s power to exempt
particular heavy vehicle from compliance with heavy vehicle standard
69Application for vehicle standards exemption
(permit)
70Restriction on grant of vehicle
standards exemption (permit)
71Conditions of vehicle standards
exemption (permit)
72Period for which
vehicle standards exemption (permit) applies
73Permit for vehicle standards
exemption (permit) etc
74Refusal of
application for vehicle standards exemption (permit)
75Amendment or cancellation of
vehicle standards exemption (permit) on application by permit holder
76Amendment or cancellation of
vehicle standards exemption (permit) on Regulator’s initiative
77Immediate suspension on
Regulator's initiative
78Minor amendment
of vehicle standards exemption (permit)
79Return of permit
80Replacement of defaced etc
permit
Division 4—Operating under vehicle
standards exemption
81Contravening condition of vehicle
standards exemption
82Keeping relevant document while
driving under vehicle standards exemption (notice)
83Keeping copy of permit while driving under vehicle
standards exemption (permit)
Part 3—Modifying heavy
vehicles
Part 3
85Modifying heavy vehicle requires
approval
86Approval of
modifications by approved vehicle examiners
87Approval of modification by
Regulator
88National regulations for heavy
vehicle modification
Part 4—Other
offences
89Safety
requirement
90Requirement about properly
operating emission control system
91Person must not tamper with
emission control system fitted to heavy vehicle
92Display of warning signs required by heavy vehicle
standards on vehicles to which the requirement does not apply
93Person must not tamper with speed
limiter fitted to heavy vehicle
Chapter 4—Vehicle
operations—mass, dimension and loading
Division 1—Requirements
95Prescribed mass
requirements
96Compliance with mass
requirements
Division 2—Categories of
breaches of mass requirements
97Definitions for Division
2
98Minor risk
breach
99Substantial
risk breach
100Severe
risk breach
Division 1—Requirements
101Prescribed dimension
requirements
102Compliance with dimension
requirements
Division 2—Categories of
breaches of dimension requirements
103Application of Division 2
104Definitions for Division
2
105Minor risk
breach
106Substantial
risk breach
107Severe
risk breach
Division 3—Other
provisions relating to load projections
108Dangerous projections taken to
be contravention of dimension requirement
109Warning signals required for rear projection of
loads
Division 1—Requirements
110National regulations may
prescribe loading requirements
111Compliance with loading
requirements
Division 2—Categories of breaches of
loading requirements
112Minor risk breach
113Substantial risk
breach
114Severe risk
breach
Division 3—Evidentiary
provision
115Proof of contravention
of loading requirement
Part 5—Exemptions for
particular overmass or oversize vehicles
Division 1—Preliminary
116Class 1 heavy vehicles and class
3 heavy vehicles
Division 2—Exemptions by Commonwealth
Gazette notice
117Regulator’s power to
exempt category of class 1 or 3 heavy vehicles from compliance with mass or
dimension requirement
118Restriction on
grant of mass or dimension exemption (notice)
119Conditions of mass or dimension
exemption (notice)
120Period for which mass or
dimension exemption (notice) applies
121Requirements about Commonwealth
Gazette notice
Division 3—Exemptions by
permit
122Regulator’s power to
exempt particular class 1 or class 3 heavy vehicle from compliance with mass or
dimension requirement
123Application for
mass or dimension exemption (permit)
124Restriction on grant of mass or dimension
exemption (permit)
125Conditions of mass or dimension
exemption (permit)
126Period for which
mass or dimension exemption (permit) applies
127Permit for mass or dimension
exemption (permit) etc
128Refusal of
application for mass or dimension exemption (permit)
Division 4—Operating under mass or
dimension exemption
129Contravening condition of mass
or dimension exemption generally
130Contravening condition of mass or dimension
exemption relating to pilot or escort vehicle
131Using pilot vehicle with a heavy vehicle that
contravenes certain conditions of mass or dimension exemption
132Keeping relevant document while
driving under mass or dimension exemption (notice)
133Keeping copy of permit while driving under mass or
dimension exemption (permit)
Division 5—Other
provision
134Displaying warning
signs on vehicles if not required by dimension exemption
Part 6—Restricting
access to roads by large vehicles that are not overmass or oversize
vehicles
Division 1—Preliminary
Part 6
136Class 2 heavy
vehicles
Division 2—Restriction
137Using class 2 heavy vehicle
Division 3—Authorisation by Commonwealth
Gazette notice
138Regulator’s power to
authorise use of all or stated categories of class 2 heavy
vehicles
139Restriction on grant of class
2 heavy vehicle authorisation (notice)
140Conditions of class 2 heavy vehicle authorisation
(notice)
141Period for
which class 2 heavy vehicle authorisation (notice) applies
142Requirements about Commonwealth
Gazette notice etc
Division 4—Authorisation
by permit
143Regulator’s power to
authorise use of a particular class 2 heavy vehicle
144Application for class 2 heavy vehicle
authorisation (permit)
145Restriction on
grant of class 2 heavy vehicle authorisation (permit)
146Conditions of a class 2 heavy
vehicle authorisation (permit)
147Period
for which class 2 heavy vehicle authorisation (permit) applies
148Permit for class 2 heavy vehicle
authorisation (permit) etc
149Refusal of
application for class 2 heavy vehicle authorisation (permit)
Division 5—Operating under class 2 heavy
vehicle authorisation
150Contravening condition of class 2 heavy vehicle
authorisation
151Keeping
relevant document while driving under class 2 heavy vehicle authorisation
(notice)
152Keeping copy of permit while
driving under class 2 heavy vehicle authorisation (permit)
153Keeping copy of PBS vehicle approval while driving
under class 2 heavy vehicle authorisation
Part 7—Particular
provisions about mass or dimension authorities
Division 1—Preliminary
Chapter 4
Part 7
Division 2—Obtaining
consent of relevant road managers
Division 2
156Deciding request for consent
generally
157Obtaining third party’s
approval for giving consent for permit
158Action pending consultation with third
party
159Deciding
request for consent if route assessment required
160Imposition of road
conditions
161Imposition
of travel conditions
162Imposition of
vehicle conditions
163Obtaining consent of road
authority if particular road manager refuses to give consent
164Information notice for
imposition of road conditions requested by road manager
165Information notice for
imposition of travel conditions requested by road manager
166Information notice for decision
to refuse application because road manager did not give consent
167Expedited procedure for road
manager’s consent for renewal of mass or dimension authority
168Operation of section
167
169Granting limited
consent for trial purposes
170Renewal of limited consent for
trial purposes
171Period for which mass or
dimension authority applies where limited consent
172Requirements for statement
explaining adverse decision of road manager
Division 3—Amendment,
cancellation or suspension of mass or dimension authority granted by
Commonwealth Gazette notice
173Amendment or cancellation on
Regulator’s initiative
174Amendment or cancellation on
request by relevant road manager
175Immediate suspension
Division 4—Amendment,
cancellation or suspension of mass or dimension authority granted by
permit
176Amendment or cancellation on
application by permit holder
177Amendment or cancellation on
Regulator’s initiative
178Amendment or cancellation on
request by relevant road manager
179Immediate suspension
180Minor amendment of permit for a mass or dimension
authority
Division 5—Provisions about permits for
mass or dimension authorities
181Return of permit
182Replacement of defaced etc
permit
Part 8—Extended
liability
183Liability of employer
etc for contravention of mass, dimension or loading requirement
Division 1—Towing
restriction
184Towing
restriction
Division 2—Coupling
requirements
185Requirements about
coupling trailers
Division 3—Transport
documentation
186False or
misleading transport documentation for goods
187False or misleading information in container
weight declaration
Division 4—Other
offences about container weight declarations
Division 4
189Meaning of complying container
weight declaration
190Duty of responsible
entity
191Duty of operator
192Duty of driver
Division 5—Other
offences
193Weight of freight
container exceeding weight stated on container or safety approval
plate
194Conduct of consignee resulting or
potentially resulting in contravention of mass, dimension or loading
requirement
Part 10—Other
provisions
195Conflicting mass
requirements
196Conflicting dimension
requirements
197Exemption from compliance
with particular requirements in emergency
198Recovery of losses arising from
non-provision of container weight declaration
199Recovery of losses for provision
of inaccurate container weight declaration
section 199
201Assessment of monetary value or attributable
amount
Chapter 5—Vehicle
operations—speeding
Part 1—Preliminary
Chapter 5
Chapter 5
Part 2—Particular duties
and offences
Division 1—Employers, prime contractors
and operators
204Duty of employer, prime
contractor or operator to ensure business practices will not cause driver to
exceed speed limit
205Duty of employer not
to cause driver to drive if particular requirements not complied with
206Duty of prime contractor or operator not to cause
driver to drive if particular requirements not complied with
Division 2—Schedulers
207Duty to ensure driver’s
schedule will not cause driver to exceed speed limit
208Duty not to cause driver to
drive if particular requirements not complied with
Division 3—Loading
managers
209Duty to ensure loading
arrangements will not cause driver to exceed speed limit
Division 4—Particular
consignors and consignees
Division 4 applies
Division 4 applies
212Duty to ensure terms of
consignment will not cause driver to exceed speed limit etc
213Duty not to make a demand that may result in
driver exceeding the speed limit
Division 5—Particular
requests etc and contracts etc prohibited
214Who is a party in the chain of
responsibility
215Particular requests etc
prohibited
216Particular contracts etc
prohibited
Division 6—Provisions about offences
against this Part
217Objective
reasonableness test to be used in deciding causation
Chapter 5 Part 2
prosecution
Part 3—Extended
liability
219Liability of employer etc for
speeding offence
Chapter 6—Vehicle
operations—driver fatigue
Part 1—Preliminary
Chapter 6
Chapter 6
222Categories of
breaches
Part 2—Duties relating
to fatigue
Division 1—Preliminary
223What is fatigue
224Matters court may consider in deciding whether
person was fatigued
225What is impaired by
fatigue
226Matters court
may consider in deciding whether person was impaired by fatigue
227Who is a party in the chain of
responsibility
Division 2—Duty to
avoid and prevent fatigue
228Duty
of driver to avoid driving while fatigued
229Duty of party in the chain of responsibility to
prevent driver driving while fatigued
Division 3—Additional
duties of employers, prime contractors and operators
230Duty of employer, prime
contractor or operator to ensure business practices will not cause driver to
drive while fatigued etc
231Duty of
employer not to cause driver to drive if particular requirements not complied
with
232Duty of prime contractor or
operator not to cause driver to drive if particular requirements not complied
with
Division 4—Additional
duties of schedulers
233Duty to ensure driver’s
schedule will not cause driver to drive while fatigued etc
234Duty not to cause driver to drive if particular
requirements not complied with
Division 5—Additional duties of consignors
and consignees
235Duty to ensure terms of
consignment will not cause driver to drive while fatigued etc
236Duty not to cause driver to drive if particular
requirements not complied with
237Duty not
to make a demand that may result in driver driving while fatigued
etc
Division 6—Additional duties of loading
managers
238Duty
to ensure loading arrangements will not cause driver to drive while fatigued
etc
239Duty to ensure
drivers can rest in particular circumstances
Division 7—Particular requests etc and
contracts etc prohibited
240Particular requests etc prohibited
241Particular contracts etc prohibited
Division 8—Provisions about offences
against this Part
242Objective
reasonableness test to be used in deciding causation
Part 3—Requirements
relating to work time and rest time
Division 1—Preliminary
243What is a driver’s work
and rest hours option
244Counting time
spent in participating jurisdictions
245Counting time spent outside participating
jurisdictions
246Counting periods of less
than 15 minutes
247Time
to be counted after rest time ends
248Time to be counted by reference
to time zone of driver’s base
Division 2—Standard work
and rest arrangements
249Standard hours
250Operating under standard
hours—solo drivers
251Operating under standard
hours—two-up drivers
252Defence
relating to short rest breaks for drivers operating under standard
hours
Division 3—BFM work and
rest arrangements
253BFM hours
254Operating under BFM
hours—solo drivers
255Defence for
solo drivers operating under BFM hours relating to split rest breaks
256Operating under BFM hours—two-up
drivers
Division 4—AFM work and
rest arrangements
257AFM hours
258Operating under AFM hours
Division 5—Arrangements
under work and rest hours exemption
259Exemption hours
260Operating under exemption hours
Division 6—Extended
liability
261Liability of employer etc for
driver’s contravention of maximum work requirement or minimum rest
requirement
Division 7—Changing
work and rest hours option
262Changing work and rest hours option
263Operating under new work and
rest hours option after change
264Duty of
employer, prime contractor, operator and scheduler to ensure driver
compliance
Division 8—Exemptions relating to work
times and rest times
Subdivision 1—Exemption for
emergency services
265Emergency services
exemption
Subdivision 2—Exemptions by
Commonwealth Gazette notice
266Regulator’s power to
exempt class of drivers from particular maximum work requirements and minimum
rest requirements
267Restriction on grant
of work and rest hours exemption (notice)
268Conditions of work and rest hours exemption
(notice)
269Period for which work and rest
hours exemption (notice) applies
270Requirements about Commonwealth
Gazette notice
271Amendment or cancellation of
work and rest hours exemption (notice)
272Immediate suspension
Subdivision 3—Exemptions by
permit
273Regulator’s power to
exempt drivers from particular maximum work requirements and minimum rest
requirements
274Application for work and
rest hours exemption (permit)
275Restriction on grant of work and rest hours
exemption (permit)
276Conditions of work and rest
hours exemption (permit)
277Period for
which work and rest hours exemption (permit) applies
278Permit for work and rest hours
exemption (permit) etc
279Refusal of
application for work and rest hours exemption (permit)
280Amendment or cancellation of
work and rest hours exemption (permit) on application by permit
holder
281Amendment or
cancellation of work and rest hours exemption (permit) on Regulator’s
initiative
282Immediate
suspension of work and rest hours exemption (permit)
283Minor amendment of work and rest hours exemption
(permit)
284Return of permit
285Replacement of defaced etc
permit
Subdivision 4—Offences
relating to operating under work and rest hours exemption etc
286Contravening condition of work and rest hours
exemption
287Keeping
relevant document while operating under work and rest hours exemption
(notice)
288Keeping copy of permit while
driving under work and rest hours exemption (permit)
Part 4—Requirements
about record keeping
Division 1—Preliminary
289What is 100km work and 100+km
work
290What is a
driver’s record location
Division 2—Work diary
requirements
Subdivision 1—Requirement
to carry work diary
Subdivision 1
Subdivision 1
293Driver of fatigue-regulated
heavy vehicle must carry work diary
Subdivision 2—Information
required to be included in work diary
Subdivision 2
295National regulations for
information to be included in work diary
296Recording information under the national
regulations—general
297Information required to be
recorded immediately after starting work
298Failing to record information about odometer
reading
299Two-up driver to provide
details
Subdivision 3—How
information must be recorded in work diary
Subdivision 3
301Recording information in written work
diary
302Recording information in
electronic work diary
303Time zone of driver’s base
must be used
Subdivision 4—Requirements
about work diaries that are filled up etc
304Application of Subdivision
4
305Driver must make
supplementary records in particular circumstances
306Driver must notify Regulator if written work diary
filled up etc
307Driver must notify
Regulator if electronic work diary filled up etc
308What driver must do if lost or stolen written work
diary found or returned
309Driver must notify record keeper
if electronic work diary filled up etc
310Intelligent access reporting
entity must notify record keeper if approved electronic recording system
malfunctioning
311What record keeper must
do if electronic work diary filled up
312What record keeper must do if electronic work
diary destroyed, lost or stolen
313What record keeper must do if
electronic work diary not in working order or malfunctioning
Subdivision 5—Use of
electronic work diaries
314How electronic
work diary must be used
Subdivision 6—Extended
liability
315Liability
of employer etc for driver’s contravention of particular requirements of
this Division
Division 3—Records
relating to drivers
Subdivision 1—Preliminary
Division 3
317Who is a driver’s record
keeper
Subdivision 2—Record
keeping obligations relating to drivers undertaking 100km work under standard
hours
Subdivision 2
319Records record keeper must
have
Subdivision 3—Record
keeping obligations relating to drivers undertaking 100+km work under standard
hours or operating under BFM hours, AFM hours or exemption hours
Subdivision 3
321Records record keeper must
have
322General
requirements about driver giving information to record keeper
323Requirements about driver giving information to
record keeper if driver changes record keeper
324Record keeper must give printouts of information
from electronic work diary
Division 4—Provisions about false
representations relating to work records
325False or misleading entries
326Keeping 2 work diaries simultaneously
prohibited
327Possession of purported work
records etc prohibited
328False
representation about work records prohibited
Division 5—Interfering with work
records
Subdivision 1—Work records
generally
329Defacing or changing work
records etc prohibited
330Making entries
in someone else’s work records prohibited
331Destruction of particular work records
prohibited
332Offence to remove pages from
written work diary
Subdivision 2—Approved
electronic recording systems
Subdivision 2
334Meaning of tamper
335Person must not tamper with approved electronic
recording system
336Person using approved
electronic recording system must not permit tampering with it
337Intelligent access reporting entity must not
permit tampering with approved electronic recording system
Division 6—Obtaining
written work diary
338Form of written work
diary
339Application for
written work diary
340Issue of written work
diary
Division 7—Requirements
about records record keeper must make or keep
341Period for which, and way in
which, records must be kept
Division 8—Approval of
electronic recording systems
Subdivision 1—Approval of
electronic recording systems
342Application for approval of electronic recording
system
343Deciding
application for approval
344Steps after decision to grant
approval
345Steps after decision to refuse
application
346Effect of
approval
Subdivision 2—Provisions about
electronic work diary labels
347Placing
electronic work diary label on device
348Particular label indicates device is an approved
electronic recording system
349Effect of electronic work diary
label on device
350Prohibition on using
device as electronic work diary if it is not, and is not a part of, an approved
electronic recording system
Subdivision 3—Amendment
or cancellation of approval
351Amendment or cancellation of
approval on application
352Amendment or cancellation of
approval on Regulator’s initiative
353Minor amendment of approval
354Requirements if approval amended
355Requirements if approval cancelled
Division 9—Exemptions
from work diary requirements
Subdivision 1—Exemption for
emergency services
356Emergency services
exemption
Subdivision 2—Exemptions by
Commonwealth Gazette notice
357Regulator’s power to
exempt particular drivers from work diary requirements
358Restriction on grant of work diary exemption
(notice)
359Conditions of work diary
exemption (notice)
360Period for which
work diary exemption (notice) applies
361Requirements about Commonwealth
Gazette notice
362Amendment or
cancellation of work diary exemption (notice)
Subdivision 3—Exemptions by
permit
363Regulator’s power to
exempt driver of fatigue-regulated heavy vehicle from work diary
requirement
364Application for work diary
exemption (permit)
365Restriction on grant
of work diary exemption (permit)
366Conditions of work diary
exemption (permit)
367Period for which
work diary exemption (permit) applies
368Permit for work diary exemption
(permit) etc
369Refusal of application for
work diary exemption (permit)
370Amendment or cancellation of
work diary exemption (permit) on application by permit holder
371Amendment or cancellation of
work diary exemption (permit) on Regulator’s initiative
372Minor amendment of work diary exemption
(permit)
373Return of permit
374Replacement of defaced etc
permit
Subdivision 4—Operating under work
diary exemption
375Contravening condition
of work diary exemption
376Keeping
relevant document while operating under work diary exemption (notice)
377Keeping permit or copy while operating under work
diary exemption (permit)
Division 10—Exemptions
from fatigue record keeping requirements of Division 3
Subdivision 1—Exemptions by
Commonwealth Gazette notice
378Regulator’s power to
exempt record keepers from fatigue record keeping requirements
379Conditions of fatigue record
keeping exemption (notice)
380Period for
which fatigue record keeping exemption (notice) applies
381Requirements about Commonwealth
Gazette notice
382Amendment or
cancellation of fatigue record keeping exemption (notice)
Subdivision 2—Exemptions by
permit
383Regulator’s power to
exempt record keepers from fatigue record keeping requirements
384Application for fatigue record keeping exemption
(permit)
385Conditions
of fatigue record keeping exemption (permit)
386Period for which fatigue record keeping exemption
(permit) applies
387Permit for fatigue record
keeping exemption (permit) etc
388Refusal of application for
fatigue record keeping exemption (permit)
389Amendment or cancellation of
fatigue record keeping exemption (permit) on application by permit
holder
390Amendment or
cancellation of fatigue record keeping exemption (permit) on Regulator’s
initiative
391Minor amendment of fatigue
record keeping exemption (permit)
392Return of permit
393Replacement of defaced etc
permit
Subdivision 3—Exemptions by
national regulations
394Exemptions from
provisions of Division 3
Subdivision 4—Other
provisions
395Contravening condition of
fatigue record keeping exemption
Division 11—Requirements about
odometers
396Owner must maintain
odometer
397Driver must
report malfunctioning odometer
398What owner must do if odometer
malfunctioning
399What employer or
operator must do if odometer malfunctioning
Chapter 7—Intelligent
Access Program
Part 1—Preliminary
Chapter 7
401What the Intelligent Access
Program is
Chapter 7
Chapter 7
Part 2—Duties and
obligations of operators of intelligent access vehicles
404Offence to give false or misleading information to
intelligent access service provider
405Advising vehicle driver of collection of
information by intelligent access service provider
406Reporting system malfunctions to
Regulator
407Advising
driver of driver’s obligations about reporting system
malfunctions
Part 3—Obligations
of drivers of intelligent access vehicles
408Reporting system malfunctions to
operator
Part 4—Powers,
duties and obligations of intelligent access service providers
409Powers to collect and hold intelligent access
information
410Collecting intelligent
access information
411Keeping records of
intelligent access information collected
412Protecting intelligent access
information
413Making individuals aware of
personal information held
414Giving
individuals access to their personal information
415Correcting errors etc
416General restriction on use and disclosure of
intelligent access information
417Giving
intelligent access auditor access to records
418Powers to use and disclose intelligent access
information
419Keeping
record of use or disclosure of intelligent access information
420Keeping noncompliance report
etc
421Destroying intelligent access
information etc
422Reporting relevant
contraventions to Regulator
423Reporting tampering or suspected
tampering with approved intelligent transport system
424Restriction on disclosing
information about tampering or suspected tampering with approved intelligent
transport system
Part 5—Functions,
powers, duties and obligations of TCA
425Functions of TCA
426Powers to collect and hold intelligent access
information
427Collecting intelligent access
information
428Protecting intelligent access
information collected
429Making individuals aware of
personal information held
430Giving individuals access to
their personal information
431Correcting errors etc
432General restriction on use and disclosure of
intelligent access information
433Powers
to use and disclose intelligent access information
434Restriction about intelligent
access information that may be used or disclosed
435Keeping record of use or
disclosure of intelligent access information
436Keeping noncompliance
reports
437Destroying
intelligent access information or removing personal information from
it
438Reporting
tampering or suspected tampering with, or malfunction or suspected malfunction
of, approved intelligent transport system to Regulator
439Restriction on disclosing
information about tampering or suspected tampering with approved intelligent
transport system
Part 6—Powers,
duties and obligations of intelligent access auditors
440Powers to collect and hold intelligent access
information
441Collecting intelligent
access information
442Protecting
intelligent access information collected
443Making individuals aware of personal information
held
444Giving individuals access to their
personal information
445Correcting errors
etc
446General restriction on use and
disclosure of intelligent access information
447Powers to use and disclose intelligent access
information
448Restriction about
intelligent access information that may be used or disclosed
449Keeping record of use or disclosure of intelligent
access information
450Destroying
intelligent access information or removing personal information from
it
451Reporting
contraventions by intelligent access service providers to TCA
452Reporting tampering or suspected
tampering with approved intelligent transport system to Regulator or
TCA
453Restriction on
disclosing information about tampering or suspected tampering with approved
intelligent transport system
Part 7—Other
provisions
454Offence to tamper
with approved intelligent transport system
455Regulator may issue intelligent access
identifiers
Part 1—Preliminary
Chapter 8
Chapter 8
Part 2—Grant of
heavy vehicle accreditation
458Regulator’s power to grant
heavy vehicle accreditation
459Application
for heavy vehicle accreditation
460Obtaining criminal history information about
applicant
461Restriction on grant of heavy
vehicle accreditation
462Conditions of heavy vehicle
accreditation
463Period for which heavy
vehicle accreditation applies
464Accreditation certificate for
heavy vehicle accreditation etc
465Refusal
of application for heavy vehicle accreditation
466Accreditation labels for maintenance management
accreditation and mass management accreditation
Part 3—Operating
under heavy vehicle accreditation
467Compliance with conditions of BFM accreditation or
AFM accreditation
468Driver must carry accreditation
details
469Driver must return particular
documents if stops operating under accreditation etc
470General requirements applying to
operator with heavy vehicle accreditation
471Operator must give notice of amendment, suspension
or ending of heavy vehicle accreditation
Part 4—Amendment or
cancellation of heavy vehicle accreditation
472Amendment or cancellation of
heavy vehicle accreditation on application
473Amendment, suspension or
cancellation of heavy vehicle accreditation on Regulator's initiative
474Immediate suspension of heavy
vehicle accreditation
475Minor amendment
of heavy vehicle accreditation
Part 5—Other
provisions about heavy vehicle accreditations
476Return of accreditation
certificate
477Replacement of defaced etc
accreditation certificate
478Offences
relating to auditors
Part 1—General
matters about authorised officers
Division 1—Functions
479Functions of authorised officers
Division 2—Appointment
Division 2
481Appointment and qualifications
482Appointment conditions and limit on
powers
483When office ends
484Resignation
Division 3—Identity
cards
Division 3
486Issue of identity card
487Production or display of identity card
488Return of identity card
Division 4—Miscellaneous
provisions
489References to
exercise of powers
490Reference to
document includes reference to reproduction from electronic document
491Use of force against
persons
492Use of force
against property
493Exercise of functions
in relation to light vehicles
Part 2—Powers in
relation to places
Division 1—Preliminary
Chapter 9
Part 2
Division 2—Entry of
relevant places for monitoring purposes
495Power to enter relevant
place
496General powers after entering
relevant place
Division 3—Entry
of places for investigation purposes
497General power to enter
places
498Power to enter
a place if evidence suspected to be at the place
499Power to enter particular places
if incident involving death, injury or damage
500General powers after entering a
place
Division 4—Procedure for
entry by consent
Division 4
502Incidental entry to ask for
access
503Matters
authorised officer must tell occupier
504Consent acknowledgement
505Procedure for entry with consent
Division 5—Entry
under warrant
506Application for
warrant
507Issue of
warrant
508Application
by electronic communication and duplicate warrant
509Defect in relation to a warrant
510Procedure for entry under
warrant
Part 3—Powers in
relation to heavy vehicles
Division 1—Preliminary
Chapter 9
Part 3
512Persons who are drivers
for this Part
Division 2—Stopping, not moving or not
interfering with heavy vehicle etc
513Direction to stop heavy vehicle
to enable exercise of other powers
514Direction not to move or interfere with heavy
vehicle etc to enable exercise of other powers
Division 3—Moving heavy
vehicle
Division 3
516Direction to move heavy vehicle to enable
exercise of other powers
517Direction to move heavy vehicle
if causing harm etc
518Moving unattended heavy vehicle
on road to exercise another power
519Moving unattended heavy vehicle
on road if causing harm etc
Division 4—Inspecting and searching heavy
vehicles
520Power
to enter and inspect heavy vehicles for monitoring purposes
521Power to enter and search heavy
vehicle involved, or suspected to be involved, in an offence etc
522Power to order presentation of heavy vehicles for
inspection
Division 5—Other
powers in relation to all heavy vehicles
523Starting or stopping heavy
vehicle engine
524Direction to leave heavy
vehicle
Division 6—Further
powers in relation to heavy vehicles concerning heavy vehicle
standards
Division 6
526Issue of vehicle defect
notice
527Requirements
about vehicle defect notice
528Defective
vehicle labels
529Using defective heavy
vehicles contrary to vehicle defect notice
530Clearance of vehicle defect
notices
531Amendment or
withdrawal of vehicle defect notices
Division 7—Further
powers in relation to heavy vehicles concerning mass, dimension or loading
requirements
Division 7
533Powers for minor risk breach of mass, dimension
or loading requirement
534Powers for
substantial risk breach of mass, dimension or loading requirement
535Powers for severe risk breach of mass, dimension
or loading requirement
536Operation of
direction in relation to a combination
Division 8—Further
powers in relation to fatigue-regulated heavy vehicles
Division 8
538Requiring driver to rest for
contravention of maximum work requirement
539Requiring driver to rest for
contravention of minimum rest requirement
540Requiring driver to stop working if impaired by
fatigue
541Requiring
driver to stop working if work diary not produced or unreliable
542Compliance with requirement under this
Division
Division 1—Powers
relating to equipment
543Power to use equipment to access
information
544Power to
use equipment to examine or process a thing
Division 2—Seizure
and embargo notices
Subdivision 1—Power to
seize
545Seizing
evidence at a place that may be entered without consent or warrant
546Seizing evidence at a place that may be entered
only with consent or warrant
section 521
548Additional seizure power
relating to information stored electronically
section 500
550Seizure of property subject to
security
551Seizure of number
plates
552Restriction on
power to seize certain things
Subdivision 2—Powers to support
seizure
553Requirement of person in
control of thing to be seized
Subdivision 3—Safeguards for
seized things or samples
554Receipt for
seized thing or sample
555Access to
seized thing
556Return
of seized things or samples
Subdivision 4—Embargo
notices
557Power to
issue embargo notice
558Noncompliance with embargo
notice
559Power to secure embargoed
thing
560Withdrawal of embargo
notice
Division 3—Forfeiture
and transfers
561Power to forfeit particular
things or samples
562Information notice
for forfeiture decision
563Forfeited or transferred thing
or sample becomes property of the Regulator
564How property may be dealt with
565Third party protection
566National regulations
Division 4—Information-gathering
powers
567Power
to require name, address and date of birth
568Power to require production of
document etc required to be in driver’s possession
569Power to require production of
documents etc generally
570Power to require information
about heavy vehicles
Division 5—Improvement
notices
571Authorised officers to whom
Division applies
572Improvement notices
573Contravention of improvement notice
574Amendment of improvement
notice
575Revocation of
an improvement notice
576Clearance
certificate
Division 6—Power
to require reasonable help
577Power to require reasonable
help
Part 5—Provisions
about exercise of powers
Division 1—Damage
in exercising powers
578Duty to
minimise inconvenience or damage
579Restoring damaged thing
580Notice of damage
Division 2—Compensation
581Compensation because of exercise
of powers
Division 3—Provision about exercise of
particular powers
582Duty to
record particular information in driver’s work diary
Part 6—Miscellaneous
provisions
Division 1—Powers
of Regulator
583Regulator may
exercise powers of authorised officers
Division 2—Other
offences relating to authorised officers
584Obstructing authorised officer
585Impersonating authorised officer
Division 3—Other
provisions
586Multiple
requirements
587Compliance with
particular requirements
588Evidential immunity for
individuals complying with particular requirements
589Effect of withdrawal of consent to enter under
this Chapter
Chapter 10—Sanctions
and provisions about liability for offences
Part 1—Formal
warnings
590Formal
warning
Part 2—Infringement
notices
591Infringement notices
592Recording information about infringement
penalties
Division 1—General
provisions
593Penalties court may
impose
594Matters court must consider
when imposing sanction for noncompliance with mass, dimension or loading
requirement
595Court may treat
noncompliance with mass, dimension or loading requirement as a different risk
category
Division 2—Provisions about imposing
fines
596Body
corporate fines under penalty provision
Division 3—Commercial benefits penalty
orders
597Commercial benefits
penalty order
Division 4—Cancelling or suspending
registration
598Power to cancel or suspend
vehicle registration
Division 5—Supervisory
intervention orders
Division 5
600Court may make supervisory
intervention order
601Limitation on making supervisory
intervention order
602Supervisory
intervention order may suspend other sanctions
603Amendment or revocation of supervisory
intervention order
604Contravention of
supervisory intervention order
605Effect
of supervisory intervention order if prohibition order applies to same
person
Division 6—Prohibition
orders
Division 6
607Court may make prohibition
order
608Limitation on
making prohibition order
609Amendment or
revocation of prohibition order
610Contravention of prohibition order
Division 7—Compensation
orders
611Court
may make compensation order
612Assessment of
compensation
613Use of certificates in
assessing compensation
614Limits on
amount of compensation
615Costs
616Enforcement of compensation order and
costs
617Relationship with orders or
awards of other courts and tribunals
Part 4—Provisions about
liability
Division 1—Reasonable
steps defence
618Reasonable steps
defence
Division 2—Matters
relating to reasonable steps
Division 2
620Matters court may consider for
deciding whether person took all reasonable steps—mass, dimension or
loading offences
621Reliance on container
weight declaration—offences about mass
622Matters court may consider for
deciding whether person took all reasonable steps—speeding or fatigue
management offences
623When particular persons regarded
to have taken all reasonable steps—speeding or fatigue management
offences
section 623
625Proof of compliance with registered industry code
of practice
Division 3—Other
defences
Division 3
627Defence for owner or operator of vehicle if
offence committed while vehicle used by unauthorised person
628Defence for driver of vehicle subject to a
deficiency
629Defence of compliance with
direction
630Sudden or extraordinary
emergency
631Lawful
authority
Division 4—Other
provisions about liability
632Deciding whether person ought
reasonably to have known something
633Multiple offenders
634Multiple offences
635Responsibility for acts or omissions of
representative
636Liability of executive officers
of corporation
637Treatment of
unincorporated partnerships
638Treatment
of other unincorporated bodies
639Liability of registered operator
Chapter 11—Reviews
and appeals
Part 2—Internal
review
641Applying for internal
review
642Stay of
reviewable decisions made by Regulator or authorised officer
643Referral of applications for
review of decisions made by road managers
644Internal review
645Review decision
646Notice of review
decision
Part 3—Appeals
647Appellable decisions
648Stay of review
decision
649Powers of relevant appeal
body on appeal
650Effect of decision of
relevant appeal body on appeal
Part 1—Responsible
Ministers
651Policy directions
652Referral of matters etc by
responsible Minister
653Approved guidelines for
exemptions, authorisations, permits and other authorities
654Other approvals
655How responsible Ministers
exercise functions
Part 2—National
Heavy Vehicle Regulator
Division 1—Establishment, functions and
powers
656Establishment of National Heavy
Vehicle Regulator
657Status of
Regulator
658General
powers of Regulator
659Functions of
Regulator
660Cooperation with
participating jurisdictions and Commonwealth
661Delegation
Division 2—Governing board of
Regulator
Subdivision 1—Establishment and
functions
662Establishment of National Heavy
Vehicle Regulator Board
663Membership of Board
664Functions of Board
Subdivision 2—Members
665Terms of office of members
666Remuneration
667Vacancy in office of member
668Board member to give responsible Ministers notice
of certain events
669Extension of term of
office during vacancy in membership
670Members to act in public interest
671Disclosure of conflict of interest
Subdivision 3—Meetings
672General procedure
673Quorum
674Chief executive officer may attend
meetings
675Presiding member
676Voting
677Minutes
678First meeting
679Defects in appointment of members
Subdivision 4—Committees
680Committees
Division 3—Chief
executive officer
681Chief
executive officer
682Functions of chief
executive officer
683Delegation by chief
executive officer
Division 4—Staff
684Staff
685Staff seconded to
Regulator
686Consultants
and contractors
Division 1—Finance
687National Heavy Vehicle Regulator
Fund
688Payments into Fund
689Payments out of Fund
690Investment by Regulator
691Financial management duties of
Regulator
692Amounts payable to other
entities
Division 2—Reporting and planning
arrangements
693Annual
report
694Other reports
695Corporate plans
Division 3—Oversight of the Regulator and
Board
696Application of particular
Queensland Acts to this Law
Division 4—Provisions relating to persons
exercising functions under Law
697General duties of persons exercising functions
under this Law
698Protection from
personal liability for persons exercising Regulator's or Board's functions under
this Law
Division 1—Offence
about discrimination or victimisation
699Discrimination against or
victimisation of employees
700Order for
damages or reinstatement
Division 2—Offences about false or
misleading information
701False or
misleading statements
702False or misleading
documents
703False or misleading
information given by responsible person to another responsible person
704Offence to falsely represent that heavy vehicle
authority is held etc
Part 2—Industry
codes of practice
705Guidelines for industry codes of
practice
706Registration
of industry codes of practice
Division 1—Proceedings
707Proceedings for
offences
Division 2—Evidence
708Proof of appointments unnecessary
709Proof of signatures unnecessary
710Averments
711Evidence by certificate by
Regulator generally
712Evidence by certificate by road
authority
713Evidence by
certificate by Regulator about matters stated in or worked out from
records
714Evidence by
certificate by authorised officer about instruments
715Challenging evidence by certificate
716Evidence by record about mass
717Manufacturer’s statements
718Measurement of weight on tyre
719Transport and journey documentation
720Evidence not affected by nature of
vehicle
721Certificates of TCA
722Approved intelligent transport system
723Evidence as to intelligent access map
724Reports and statements made by approved
intelligent transport system
725Documents
produced by an approved electronic recording system
726Statement by person involved with use or
maintenance of approved electronic recording system
Part 4—Protected
information
Chapter 13
Part 4
728Duty of
confidentiality
729Protected information
only to be used for authorised use
Part 5—National
regulations
730National regulations
731National regulations for
approved vehicle examiners
732National
regulations for publication of agreements for services to States or
Territories
733Publication of national
regulations
734Scrutiny of national
regulations
Part 6—Other
735Approved forms
736Penalty at end of provision
737Increase of penalty amounts
738Service of documents
739Service by post
740Fees
741Recovery of amounts payable under Law
742Contracting out
prohibited
743Other powers not
affected
Chapter 14—Savings and transitional
provisions
Part 1—Interim
provisions relating to Ministers and Board
744Responsible Ministers
745Exercise of powers by Board between enactment and
commencement
Part 2—General
provisions
746Application of Part
2
747Definitions for Part 2
748General savings and transitional
provision
749Expiry of certain permits,
exemptions, notices and authorities
750Amendment or cancellation of instruments carried
over from former legislation
751Expiry of
industry codes of practice
752Pending
matters
753Preservation of current PBS
scheme
754Preservation of contracts for
current PBS scheme
755National regulations for
savings and transitional matters
Schedule 1—Miscellaneous
provisions relating to interpretation
Part 1—Preliminary
1Displacement of Schedule by contrary
intention
Part 2—General
2Law to be construed not to exceed legislative power
of Parliament
3Every section to be a
substantive enactment
4Material that is,
and is not, part of this Law
5References
to particular Acts and to enactments
6References taken to be included in Law or Act
citation etc
7Interpretation best
achieving Law’s purpose or object
8Use of extrinsic material in
interpretation
9Effect of change of
drafting practice
10Use of
examples
11Compliance with
forms
Part 3—Terms and
references
12Definitions
13Provisions relating to defined terms and gender
and number
14Meaning of ‘may’
and ‘must’
15Words and
expressions used in statutory instruments
16Effect of express references to bodies corporate
and individuals
17Production of records
kept in computers etc
18References to
this jurisdiction to be implied
19References to officers and holders of
offices
20Reference to certain provisions
of Law
21Reference to provisions of this
Law or an Act is inclusive
Part 4—Functions
and powers
22Exercise of statutory
functions
23Power to
make instrument or decision includes power to amend or repeal
24Matters for which statutory instruments may make
provision
25Presumption of validity and
power to make
26Appointments may be made
by name or office
27Acting
appointments
28Powers of appointment
imply certain incidental powers
29Delegation of
functions
30Exercise of
powers between enactment and commencement
Part 5—Distance,
time and age
31Matters relating to
distance, time and age
Part 6—Effect of
repeal, amendment or expiration
32Time of Law ceasing to have effect
33Repealed Law provisions not revived
34Saving of operation of repealed
Law provisions
35Continuance of repealed
provisions
36Law and amending Acts to be
read as one
Part 7—Instruments
under Law
37Schedule applies to
statutory instruments
Part 8—Application
to coastal waters
38Application
Schedule 2—Subject
matter for conditions of mass or dimension authorities
Schedule 3—Reviewable
decisions
Part 2—Decisions
of authorised officers
Part 3—Decisions
of relevant road managers
Schedule 4—Provisions specified for
liability of executive officers for offences by
corporations
The Parliament of South Australia enacts as
follows:
This Act may be cited as the Heavy Vehicle National Law (South
Australia) Act 2013.
(1) This Act will come into operation on a day to be fixed by
proclamation.
(2) Section 7(5) of the Acts
Interpretation Act 1915 does not apply to this Act or a provision
of this Act.
(1) For the purposes of this Act, the local application provisions
of this Act are the provisions of this Act other than the South
Australian Heavy Vehicle National Law text.
(2) In the local application provisions of this Act—
Heavy Vehicle National Law (South Australia) means the
provisions applying in this jurisdiction because of
section 4 of
this Act;
Heavy Vehicle National Regulations or national
regulations means the Heavy Vehicle National Regulations made
under the Heavy Vehicle National Law;
Heavy Vehicle National Regulations (South Australia) means
the provisions applying in relation to this jurisdiction because of
section 6;
instrument includes a document;
local regulations means regulations made under
section 28, but
does not include the Heavy Vehicle National Regulations and the Heavy
Vehicle National Regulations (South Australia);
South Australian Heavy Vehicle National Law text means the
Heavy Vehicle National Law set out in the Schedule (as in force for the
time being);
State entity means a public sector agency within the meaning
of the
Public
Sector Act 2009.
(3) Terms used in the local application provisions of this Act and also in
the South Australian Heavy Vehicle National Law text have the same meanings in
those provisions as they have in that Law.
(4) This section does not apply to the extent that the context or subject
matter otherwise indicates or requires.
Part 2—Application
of Heavy Vehicle National Law and Heavy Vehicle National
Regulations
4—Application
of Heavy Vehicle National Law
The South Australian Heavy Vehicle National Law text—
(a) applies as a law of South Australia; and
(b) as so applying may be referred to as the Heavy
Vehicle National Law (South Australia).
5—Amendments
to Schedule to maintain national consistency
(a) the Parliament of Queensland enacts an amendment to the Heavy
Vehicle National Law set out in the Schedule to the Heavy Vehicle
National Law Act 2012 of Queensland; and
(b) the Governor is satisfied that an amendment that corresponds, or
substantially corresponds, to the amendment made by the Parliament of Queensland
should be made to the Heavy
Vehicle National Law (South Australia),
the Governor may, by regulation, amend the South Australian Heavy Vehicle
National Law text.
(2) The Governor may, as part of a regulation made under
subsection (1),
make any additional provisions (including so as to modify the terms of an
amendment that has been made to the Heavy Vehicle National Law by the
Parliament of Queensland or to provide for related or transitional matters)
considered by the Governor to be necessary to ensure that the amendment to the
Heavy Vehicle National Law has proper effect in South
Australia.
(3) A regulation made under this section may, if the regulation so
provides, take effect from the day of the commencement of an amendment to the
Heavy Vehicle National Law made by the Parliament of Queensland
(including a day that is earlier than the day of the regulation's publication in
the Gazette).
6—Application
of Heavy Vehicle National Regulations
The Heavy Vehicle National Regulations, as in force from time to
time—
(a) apply as national regulations in force for the purposes of the Heavy
Vehicle National Law (South Australia), subject to modifications by the
local regulations; and
(b) as so applying may be referred to as the Heavy
Vehicle National Regulations (South Australia).
7—Exclusion
of legislation of this jurisdiction
(1) The Acts
Interpretation Act 1915 does not apply to the Heavy Vehicle
National Law (South Australia) or to instruments made under that
Law.
(2) Subject to
subsection (3),
the following Acts of this jurisdiction do not apply to this Act or to
instruments made under the Heavy Vehicle National Law
(South Australia) (except as applied under that Law):
(a) the Freedom
of Information Act 1991;
(b) the Public
Finance and Audit Act 1987;
(c) the Public
Sector Act 2009;
(d) the State
Records Act 1997.
(3) The Acts
referred to in
subsection (2)
apply to a State entity or an employee of a State entity exercising a function
under the Heavy Vehicle National Law (South Australia).
(4) In this section—
State entity does not include the Regulator.
Division 2—Definitions,
declarations and other references for purposes of Heavy Vehicle National Law
(South Australia)
8—Definition
of generic terms and terms having meaning provided by this
Act
In the Heavy
Vehicle National Law (South Australia)—
infringement notice—a reference to an
infringement notice in
section 591 of the Law is
a reference to an expiation notice issued under the Expiation
of Offences Act 1996;
Magistrates Court means the Magistrates Court of South
Australia;
police officer means a member of SA Police under the Police
Act 1998;
responsible Minister for South Australia means the Minister
to whom the administration of this Act is committed;
this jurisdiction means the State of South
Australia.
9—Declarations
about industrial relations status of Regulator
(1) It is declared that—
(a) the Regulator is not a public sector employer for the purposes of the
Fair
Work (Commonwealth Powers) Act 2009; and
(b) it is the intention of the Parliament that the Regulator be a national
system employer for the purposes of the Fair
Work Act 2009 of the Commonwealth.
(2) No Act of South Australia can have effect to stop the Regulator from
being a national system employer for the purposes of the Fair
Work Act 2009 of the Commonwealth.
10—Other
declarations for purposes of Heavy Vehicle
National Law in this jurisdiction
For the purposes of the Heavy
Vehicle National Law (South Australia)—
(a) each magistrate is declared to be an authorised warrant
official; and
(b) each police officer is declared to be an authorised
officer; and
(c) the Expiation
of Offences Act 1996 is declared to be the Infringement
Notice Offences Law; and
(d) each council under the Local
Government Act 1999 is declared to be a local government
authority; and
(e) the Work
Health and Safety Act 2012 is declared to be the primary WHS
Law; and
(f) subject to
paragraph (g), the
Administrative and Disciplinary Division of the District Court is declared to be
the relevant tribunal or court; and
(g) the Magistrates
Court is declared to be the relevant tribunal or court for the purposes of
section 556 of the Heavy
Vehicle National Law (South Australia); and
(h) an area that is a road or road-related
area within the meaning of the
Road
Traffic Act 1961 is declared to be a road or
road-related area; and
(i) the Minister to whom the administration of the Road
Traffic Act 1961 is committed is declared to be the road
authority; and
(j) an authority, person or body responsible for the care, control or
management of a road is declared to be a road manager;
and
(k) the Australian
Road Rules are declared to be the Road Rules.
11—References
to mistake of fact defence
The effect of a provision of the Heavy
Vehicle National Law (South Australia) that states that a person charged
with an offence does not have the benefit of the mistake of fact defence for the
offence is that the person does not have the benefit of the mistake of fact
defence for that offence.
Note—
See
section 14 of the
Law.
Division 3—Authorisations
for purposes of this jurisdiction
(1) An authorised officer who is a police officer is authorised to use
force against a person in the exercise or purported exercise of a function under
the Heavy
Vehicle National Law (South Australia).
Note—
See
section 491 of
the Law.
(2) An authorised officer is authorised to use force against property in
the exercise or purported exercise of a function under the Heavy
Vehicle National Law (South Australia) in relation to this
jurisdiction.
Note—
See
section 492 of
the Law.
13—Authority
to amend or withdraw vehicle defect notices
An authorised officer who is a police officer of another jurisdiction may
amend or withdraw a vehicle defect notice issued in this jurisdiction by an
authorised officer who is a police officer.
Note—
See
section 531 of
the Law.
14—Authority
to seize heavy vehicles or things
Section 552(1) of
the Heavy
Vehicle National Law (South Australia) does not apply to an authorised
officer who is a police officer impounding or seizing a heavy vehicle or thing
under an Act or law of this jurisdiction.
Note—
See
section 552(2) of
the Law.
15—Authorised
use of protected information
For the purposes of
Chapter 13 Part 4 of
the Heavy
Vehicle National Law (South Australia), the Motor
Vehicles Act 1959 is specified as a relevant
law.
Note—
See paragraph (k) of the definition of authorised use in
respect of protected information in
section 727(1) of
the Law.
Division 4—Modification
of Heavy Vehicle National Law (South Australia) for purposes of this
jurisdiction
16—Modification
of Law for certain purposes
The Heavy
Vehicle National Law (South Australia) applies—
(a)
section 93
(Person must not tamper with speed limiter fitted to heavy
vehicle)—as if subsection (8) were deleted; and
(b)
section 498(1)(b)
(Power to enter a place if evidence suspected to be at the
place)—as if paragraph (b) were deleted and the following paragraph
substituted:
(b) there may be at the place evidence of an offence against this
Law.
(c)
section 499(1)(d)
(Power to enter particular places if incident involving death, injury or
damage)—as if paragraph (d) were deleted and the following paragraph
substituted:
(d) there may be at the place evidence of the offence mentioned in
paragraph (b).
(d)
section 517(1)
(Direction to move heavy vehicle if causing harm etc)—as if
paragraph (b) were deleted and the following paragraphs substituted:
(b) obstructing, or likely to obstruct, traffic or any event lawfully
authorised to be held on the road; or
(c) obstructing or hindering, or likely to obstruct or hinder, vehicles
from entering or leaving land adjacent to the road.
(e)
section 572
(Improvement notices)—
(i) as if subsections (1) and (2) were deleted and the following
subsections substituted:
(1) This section applies if an authorised officer reasonably believes a
person has contravened, is contravening, or is likely to contravene, a provision
of this Law.
(2) The authorised officer may give the person a notice (an
improvement notice) requiring the person to take action within a
stated period to stop the contravention from occurring, continuing or occurring
again or to remedy the matters or activities occasioning, or that would
occasion, the contravention or likely contravention.
(ii) as if paragraphs (a) to (d) (inclusive) of subsection (4) were
deleted and the following paragraphs substituted:
(a) that the authorised officer reasonably believes the person has
contravened, is contravening, or is likely to contravene, a provision of this
Law;
(b) the reasons for that belief;
(c) the provision of this Law in relation to which that belief is
held;
(d) that the person must take action within a stated period to stop the
contravention from occurring, continuing or occurring again or to remedy the
matters or activities occasioning, or that would occasion, the contravention or
likely contravention;
(f) with any other modifications that are necessary to give effect to any
of the preceding paragraphs.
17—Modification
of Law for other purposes
The Heavy
Vehicle National Law (South Australia) applies—
(a)
section 519
(Moving unattended heavy vehicle on road if causing harm etc)—as if
the following subsection were inserted after subsection 7:
(8) In this section—
authorised officer includes, in relation to a heavy vehicle
unattended on any road within the area of a council, an officer of the
council;
council means a council under the Local
Government Act 1999 of South Australia.
(b)
section 571(1)
(Authorised officers to whom Division applies)—as if subsection (1)
were deleted and the following subsection substituted:
(1) This Division applies to an authorised officer who is a police
officer, or a police officer of a class, who has the relevant police
commissioner's written authority to issue improvement notices under this
Division.
(c)
section 576(3)
(Clearance certificate), definition of approved authorised
officer, (a)—as if "police officer and" were deleted and "police
officer, or a police officer of a class," were substituted;
(d) with any other modifications that are necessary to give effect to any
of the preceding paragraphs.
Division 5—Supplementary
powers relating to enforcement in this jurisdiction
18—Application
of this Division
(1) The provisions set out in this Division are additional to the
provisions of the Heavy
Vehicle National Law (South Australia).
(2) The powers that may be exercised by authorised officers in this
jurisdiction under this Division are additional to the powers that may be
exercised by an authorised officer under the Heavy
Vehicle National Law (South Australia).
19—Power
to enter certain places
(1) At any time when a place where heavy vehicles are exhibited or kept
for sale or hire is open for business, an authorised officer may, for the
purposes of determining whether a vehicle exhibited or kept for sale or hire at
that place is a defective heavy vehicle (within the meaning of
section 525 of the Heavy
Vehicle National Law (South Australia)), inspect the vehicle or direct
the owner, the registered operator or the person in charge of the vehicle to
produce it for inspection at a time and place stated by the authorised
officer.
(2) A person must comply with a direction given under this
section.
Maximum penalty: $6 000.
(3) An authorised officer may for the purposes of inspecting a heavy
vehicle under this section—
(a) cause the vehicle to be inspected by another person; and
(b) drive or test, or cause another person to drive or test, the
vehicle.
(4)
Chapter 9
Part 3 Division 6 of the Heavy
Vehicle National Law (South Australia) applies if, after an inspection
of a heavy vehicle under this section, an authorised officer reasonably
believes—
(a) the vehicle is a defective heavy vehicle; and
(b) the use of the vehicle on a road poses a safety risk.
20—Person
must not possess certain devices
(1) A person must
not, without reasonable excuse, have in his or her possession a device that is
designed, or is adapted, to enable tampering with a speed limiter (a
tampering device).
Maximum penalty:
(a) if the offender is a natural person—$10 000;
(b) if the offender is a body corporate—$50 000.
(2) An authorised officer may seize, retain and test any device that he or
she has reasonable cause to suspect is a tampering device.
(3) A court that has convicted a person of an offence against this section
may order that the tampering device in relation to which the offence was
committed be forfeited to the Crown.
(4) In proceedings for an offence against this section, an allegation in
the complaint that a specified device is designed, or is adapted, to enable
tampering with a speed limiter is, in the absence of proof to the contrary,
proof of the matter so alleged.
(5) For the purposes of this section, a reference to a tampering device
includes a reference to a computer or other electronic device on which a
software program that is intended, or able, to be used to tamper with a speed
limiter is installed or stored.
21—Offence
to sell or dispose of heavy vehicle in respect of which vehicle defect notice is
in force
(1) A person must
not sell or otherwise dispose of a heavy vehicle in respect of which a vehicle
defect notice has been issued if the vehicle defect notice has not been cleared
under the Heavy
Vehicle National Law of a participating jurisdiction.
Maximum penalty: $3 000.
(2) It is a defence to a charge under
subsection (1)
of having sold or otherwise disposed of a heavy vehicle in respect of which a
vehicle defect notice is in force if the defendant satisfies the court that at
the time of the sale or disposal he or she had reason to believe that the
vehicle was not intended to be used on a road after the sale or
disposal.
22—Moving
unattended etc heavy vehicle if danger or obstruction
(1) This section applies if—
(a) an authorised officer reasonably believes that a heavy vehicle is
unattended or broken down on a bridge, culvert or freeway; or
(b) an authorised officer reasonably believes that—
(i) a heavy vehicle on a road is unattended; and
(ii) the heavy vehicle is—
(A) obstructing or likely to obstruct any event lawfully authorised to be
held on the road; or
(B) obstructing or hindering, or likely to obstruct or hinder, vehicles
from entering or leaving land adjacent to the road; or
(c) an authorised officer reasonably believes that—
(i) a heavy vehicle on a road is broken down; and
(ii) the heavy vehicle is—
(A) causing, or creating an imminent risk of, serious harm to public
safety, the environment or road infrastructure; or
(B) obstructing, or likely to obstruct, traffic or any event lawfully
authorised to be held on the road; or
(C) obstructing or hindering, or likely to obstruct or hinder, vehicles
from entering or leaving land adjacent to the road.
(2) The authorised officer may move or authorise someone else (the
assistant) to move the heavy vehicle or, if it is a combination,
any component vehicle of the combination, to the extent it is reasonably
necessary to avoid the harm or obstruction.
Example—
by driving, pushing or towing the vehicle
(3) The authorised officer or assistant may—
(a) enter the heavy vehicle to enable the authorised officer or assistant
to move it; and
(b) for a combination—separate any or all of the component vehicles
of the combination for the purpose of moving 1 or more of them.
(4) The authorised
officer or assistant may drive the heavy vehicle even if the officer or
assistant is not qualified to drive it if the authorised officer reasonably
believes there is no-one else in or near the vehicle who is more capable of
driving it and fit and willing to drive it.
(5) It is immaterial that—
(a) the assistant is not the operator of the heavy vehicle; or
(b) the authorised officer or assistant is not authorised by the operator
to drive the heavy vehicle.
(6) In driving the heavy vehicle under
subsection (4),
the authorised officer or assistant is exempt from a provision of an Australian
road law to the extent the provision would require the authorised officer or
assistant to be qualified to drive the vehicle.
(7) The authorised
officer or assistant may use the force that is reasonably necessary to do
anything that is reasonably necessary to avoid the harm or
obstruction.
(8) In this section—
authorised officer includes—
(a) in relation to a heavy vehicle unattended or broken down on a
freeway—a person authorised by the responsible Minister for the purposes
of this section; and
(b) in relation to a heavy vehicle unattended or broken down on any road
within the area of a council—an officer of the council;
broken down—
(a) a heavy vehicle is broken down if it is not possible to
drive the vehicle because it is disabled through damage, mechanical failure,
lack of fuel or any similar reason; and
(b) a trailer is broken down if it is not connected (either
directly or by 1 or more other trailers) to a towing vehicle, whether or not the
trailer is also disabled through damage, mechanical power or any similar reason;
and
(c) a combination is broken down if it is not possible to
drive the combination because the combination or a vehicle comprised in the
combination is disabled through damage, mechanical failure, lack of fuel or any
similar reason; and
(d) a vehicle of a kind not referred to in any of the preceding paragraphs
is broken down if it is not connected to a towing vehicle or an
animal by which it could be drawn or if it is not possible to tow or draw the
vehicle because it is disabled through damage, mechanical failure or any similar
reason;
council means a council under the Local
Government Act 1999;
event means an organised sporting, recreational, political,
artistic, cultural or other activity, and includes a street party;
freeway means a length of road to which a freeway sign
applies in accordance with the
Australian
Road Rules.
A person who is, immediately before the commencement of this section,
approved under the Recognised Engineering Signatory Scheme to inspect vehicle
modifications for the purposes of the Road
Traffic Act 1961 will be taken to be an approved vehicle examiner
to inspect modifications of heavy vehicles for the purposes of the Heavy
Vehicle National Law (South Australia).
24—Proof
of lawful authority or lawful or reasonable excuse
In proceedings for an offence against this Act in which it is material to
establish whether an act was done with or without lawful authority, lawful
excuse or reasonable excuse, the onus of proving the authority or excuse lies on
the defendant and, in the absence of such proof, it will be presumed that no
such authority or excuse exists.
25—Provision
of information and assistance by Registrar of Motor
Vehicles
(1) Despite any
other Act or law, the Registrar is authorised, on his or her own initiative or
at the request of the Regulator—
(a) to provide the Regulator with such information (including information
given in confidence) in the possession or control of the Registrar that is
reasonably required by the Regulator for the purposes of this Act or the Heavy
Vehicle National Law; and
(b) to provide the Regulator with such other assistance as is reasonably
required by the Regulator to exercise a function or power under this Act or the
Heavy
Vehicle National Law.
(2) Despite any
other Act or law, the Registrar may authorise the Regulator to disclose
information provided under
subsection (1)
even if the information was given to the Registrar in confidence.
(3) Nothing done, or authorised to be done, by the Registrar in acting
under
subsection (1)
or
(2)—
(a) constitutes a breach of, or default under, an Act or other law;
or
(b) constitutes a breach of, or default under, a contract, agreement,
understanding or undertaking; or
(c) constitutes a breach of duty of confidence (whether arising by
contract, in equity or by custom) or in any other way; or
(d) constitutes a civil or criminal wrong; or
(e) terminates an agreement or obligation or fulfils any condition that
allows a person to terminate an agreement or obligation, or gives rise to any
other right or remedy; or
(f) releases a surety or any other obligee wholly or in part from an
obligation.
(4) In this section—
Registrar means the Registrar of Motor Vehicles under the
Motor
Vehicles Act 1959.
26—Various
powers may be exercised on same occasion
An authorised officer may exercise various powers under the Road
Traffic Act 1961, the Motor
Vehicles Act 1959 and this Act on the same occasion, whether the
exercise of the powers is for the same purpose or different purposes and whether
the opportunity to exercise 1 power arises only as a result of the exercise of
another power.
(1) The Subordinate
Legislation Act 1978 does not apply to the national
regulations.
(2) The Minister is
to make arrangements for the tabling of a regulation made under the Heavy
Vehicle National Law in both Houses of Parliament.
(3) The Minister must, after a regulation is tabled in each House of
Parliament under
subsection (2),
forward a copy of the regulation to the Legislative Review Committee of the
Parliament for inquiry and report.
(4) A regulation made under the Heavy
Vehicle National Law may be disallowed by a House of Parliament in the
same way, and within the same period, that a regulation made under an Act of
this jurisdiction may be disallowed.
(5) However, if a
regulation made by the designated authority pursuant to
section 730 of the Heavy
Vehicle National Law is disallowed in this jurisdiction, the regulation
does not cease to have effect in this jurisdiction unless the regulation is
disallowed in a majority of the participating jurisdictions (and, in such a
case, the regulation will cease to have effect on the date of its disallowance
in the last of the jurisdictions forming the majority).
(1) The Governor may
make regulations (the local regulations) for or with respect to
any matter—
(a) that by the local application provisions of this Act is required or
permitted to be prescribed by the local regulations or that is necessary or
convenient to be prescribed by the local regulations for carrying out or giving
effect to the local application provisions of this Act; or
(b) that by the Heavy
Vehicle National Law (South Australia) is required or permitted to be
prescribed by the local regulations.
(2) Without limitation,
the local regulations may make provision for or with respect to—
(a) the
administration of the Heavy
Vehicle National Law (South Australia); and
(b) procedural
matters relating to any aspects of the Heavy
Vehicle National Law (South Australia).
(3) Without limiting
subsection (1) or
(2), the local
regulations may—
(a) confer on police officers or persons of a specified class power to
give directions (including directions requiring action inconsistent with other
requirements under the Heavy
Vehicle National Law (South Australia) or the Heavy
Vehicle National Regulations (South Australia)) or any other power for
the safe and efficient regulation of traffic; and
(b) provide for exemptions (conditional or unconditional) from specified
provisions of the Heavy
Vehicle National Law (South Australia) or the Heavy
Vehicle National Regulations (South Australia); and
(c) make provision for the inspection of vehicles for the purposes of the
local application provisions of this Act, the Heavy
Vehicle National Law (South Australia) or the Heavy
Vehicle National Regulations (South Australia); and
(d) prescribe and provide for the payment of fees in respect of specified
matters under, or matters that relate to the purposes of, the local application
provisions of this Act, the Heavy
Vehicle National Law (South Australia) or the Heavy
Vehicle National Regulations (South Australia) (including, for example,
fees on the making of an application, an assessment or a booking, and fees for
vehicle or other inspections); and
(e) impose a penalty for a contravention of, or non-compliance with, a
local regulation of not more than the amount specified in
section 730(3)(b) of
the Heavy
Vehicle National Law (South Australia); and
(f) fix expiation fees for an alleged offence against the local
application provisions of this Act or the local regulations; and
(g) prescribe offences for the purposes of
section 591 of the Heavy
Vehicle National Law (South Australia) and fix expiation fees for such
alleged offences in respect of which an infringement notice has been
issued.
(4) An expiation fee fixed under the local regulations for an alleged
offence against the local application provisions of this Act, the Heavy
Vehicle National Law (South Australia), the Heavy
Vehicle National Regulations (South Australia) or the local regulations
may not exceed 10% of the penalty fixed for the relevant offence.
(5) The local regulations may—
(a) be of general application or limited application; and
(b) make different provision according to the matters or circumstances to
which they are expressed to apply.
(6) Without limiting a preceding subsection, the Governor may, by
regulation, modify the operation of the Heavy
Vehicle National Regulations (South Australia) (even if to do so is
inconsistent with the Heavy
Vehicle National Law (South Australia)).
Part 4—Savings
and transitional provisions
Division 1—Special
transitional arrangements relating to Chapter 2 of Heavy Vehicle National
Law
29—Definitions
for this Division
In this Division—
corresponding registration law means a law of a participating
jurisdiction that provides for the registration of vehicles in substantially the
same terms as in the Motor Vehicles Act;
general savings and transitional provision means
section 748 of the
Heavy
Vehicle National Law (South Australia);
Motor Vehicles Act means the Motor
Vehicles Act 1959;
Registrar means the Registrar of Motor Vehicles under the
Motor Vehicles Act;
relevant day means the day on which
Chapter 2 of the
Heavy
Vehicle National Law (South Australia) comes into operation.
30—Modification
of Law in this jurisdiction until national registration scheme comes into
operation
(1) Until the relevant day, the Heavy
Vehicle National Law (South Australia) applies—
(a) as if a reference to a certificate of registration for a
heavy vehicle were a reference to a certificate relating to the registration of
the vehicle under—
(i) the Motor Vehicles Act; or
(ii) a corresponding registration law; and
(b) as if a reference to a heavy vehicle being conditionally
registered were a reference to the vehicle being registered subject to
conditions under—
(i) section 25 of the Motor Vehicles Act; or
(ii) a corresponding registration law; and
(c) as if a reference to a heavy vehicle being registered under this
Law were a reference to the vehicle being registered
under—
(i) the Motor Vehicles Act; or
(ii) a corresponding registration law; and
(d) as if a reference to registration in relation to a heavy
vehicle were a reference to the vehicle being registered—
(i) by the Registrar under the Motor Vehicles Act; or
(ii) by an authority under a corresponding registration law; and
(e) as if a reference to a registration exemption in
relation to a heavy vehicle were a reference to the vehicle being exempted from
the requirement to be registered under—
(i) the Motor Vehicles Act; or
(ii) a corresponding registration law; and
(f) as if a reference to the registration number of a heavy
vehicle were a reference to the number allotted to the vehicle—
(i) by the Registrar on registration under the Motor Vehicles Act;
or
(ii) by an authority on registration under a corresponding registration
law; and
(g) as if a reference to an unregistered heavy vehicle
permit for a heavy vehicle were a reference to a permit
issued—
(i) by the Registrar in respect of the vehicle under section 16 of the
Motor Vehicles Act; or
(ii) by an authority under a corresponding registration law; and
(h) as if a reference to the vehicle register were a
reference to the register of motor vehicles kept—
(i) by the Registrar in respect of the vehicle under section 16 of the
Motor Vehicles Act; or
(ii) by an authority under a corresponding registration law; and
(i) as if, in
section 5—
(i) the following definition were inserted after the definition of
corresponding fatigue law:
corresponding registration law means a law of a participating
jurisdiction that provides for the registration of vehicles in substantially the
same terms as in the Motor
Vehicles Act 1959 of South Australia;
(ii) the definition of GCM were deleted and the following
definition substituted:
GCM (gross combination mass), of a motor vehicle, means the
total maximum loaded mass of the motor vehicle and any vehicles it may lawfully
tow at any given time—
(a) if the Registrar of Motor Vehicles under the Motor
Vehicles Act 1959 of South Australia, or an authority under a
corresponding registration law, has specified the total maximum loaded mass of
the motor vehicle and any vehicles it may lawfully tow at any given
time—specified by the Registrar or authority (as the case may be);
or
(b) otherwise—stated by the motor vehicle’s
manufacturer;
(iii) the definition of GVM were deleted and the following
definition substituted:
GVM (gross vehicle mass), of a vehicle, means the maximum
loaded mass of the vehicle—
(a) if the Registrar of Motor Vehicles under the Motor
Vehicles Act 1959 of South Australia, or an authority under a
corresponding registration law, has specified the vehicle’s maximum loaded
mass—specified by the Registrar or authority (as the case may be);
or
(b) otherwise—stated by the vehicle’s manufacturer;
(j) as if
section 60(3) and
(4) were deleted and the
following subsections substituted:
(3) A person does not
commit an offence against subsection (1) in relation to a heavy vehicle’s
noncompliance with a heavy vehicle standard if, and to the extent, the
noncompliance relates to a noncompliance known to the Registrar of Motor
Vehicles under the Motor
Vehicles Act 1959 of South Australia, or an authority under a
corresponding registration law, when the vehicle was registered under that Act
or that registration law.
(4) For the
purposes of
subsection (3), the
Registrar of Motor Vehicles under the Motor
Vehicles Act 1959 of South Australia, or an authority under a
corresponding registration law, is taken to know of a heavy vehicle’s
noncompliance with a heavy vehicle standard when the vehicle was registered by
the Registrar or authority (as the case may be) if the noncompliance is
mentioned in—
(a) an operations plate that was installed on the vehicle when it was
registered; or
(b) a certificate of approved operations issued for the vehicle and in
force when the vehicle was registered; or
(c) a document obtained by the Registrar of Motor Vehicles or authority
(as the case requires) in connection with the registration of the
vehicle.
(k) as if , in
section 520(2)(b),
", the Motor
Vehicles Act 1959 of South Australia or a corresponding
registration law" were inserted after "this Law"
(l) as if, in
section 521(3)(c),
"the Motor
Vehicles Act 1959 of South Australia or a corresponding
registration law" were inserted after "this Law"
(m) as if
section 527(1)(i)
were deleted and the following paragraph substituted:
(i) that, if the notice is not cleared by the Regulator under section 530,
the law under which the vehicle is registered may provide for sanctions (for
example, suspension or cancellation of registration).
(n) as if, in
section 598(5),
"Regulator is" were deleted and "Regulator and the Registrar of Motor Vehicles
under the Motor
Vehicles Act 1959 of South Australia are" substituted;
and
(o) as if, after
section 598(5), the
following subsection were inserted:
(6) In this section—
registration of a heavy vehicle means registration under the
Motor
Vehicles Act 1959 of South Australia.
(p) as if, in
section 711, the following
subsection were inserted after subsection (1):
(1a) A certificate
purporting to be issued by the Registrar of Motor Vehicles under the Motor
Vehicles Act 1959 of South Australia (the Motor Vehicles
Act) and stating that, at a stated time or during a stated
period—
(a) a stated vehicle was or was not registered under the Motor Vehicles
Act; or
(b) a stated vehicle was or was not registered under the Motor Vehicles
Act on the basis it is a heavy vehicle; or
(c) a stated vehicle registered under the Motor Vehicles Act was or was
not registered as a heavy vehicle of a stated category; or
(d) a stated person was or was not the registered operator of a stated
vehicle registered under the Motor Vehicles Act; or
(e) a stated exemption or authorisation under the Motor Vehicles Act
applied or did not apply to a stated person or a stated heavy vehicle;
or
(f) a stated person is the holder of a stated permit or other authority
under the Motor Vehicles Act; or
(g) a stated registration, exemption, authorisation, permit or other
authority under the Motor Vehicles Act was or was not amended, suspended or
cancelled under the Motor Vehicles Act; or
(h) a stated penalty, fee, charge or other amount was or was not, or is or
is not, payable under the Motor Vehicles Act by a stated person; or
(i) a stated fee, charge or other amount payable under the Motor Vehicles
Act was or was not paid to the Registrar; or
(j) a stated person has or has not notified the Registrar of any, or a
stated, change of the person’s address,
is evidence of the matter.
(2) This section will expire on the relevant day.
31—Declaratory
regulation making power for general savings and transitional provision for
purposes of this Division
(1) A regulation may make provision of a declaratory nature (a
declaratory regulation), as provided for in
subsection (2),
in relation to the operation of the general savings and transitional
provision.
(2) A declaratory
regulation may, in relation to a particular thing done under the Motor Vehicles
Act as in force immediately before the relevant day—
(a) declare that the general savings and transitional provision applies to
it; or
(b) declare how the general savings and transitional provision applies to
it; or
(c) declare that the general savings and transitional provision does not
apply to it, and provide how the thing must otherwise be dealt with.
(3) A declaratory regulation has effect according to its terms.
(4) The operation of the general savings and transitional provision is not
limited by the making of a declaratory regulation other than to the extent
provided for in the regulation.
(5) The transitional regulation making power as provided for in
section 39 does
not apply to a declaratory regulation lawfully made under this section even if,
in the absence of this section, the declaratory regulation should be made as a
transitional regulation.
(6) A declaratory regulation may not have retrospective
operation.
(7) However, a declaratory regulation may affect the operation of the
general savings and transitional provision from when or after the regulation
commences if the regulation does not operate to the disadvantage of a person
by—
(a) decreasing the person’s rights; or
(b) imposing liabilities on the person.
(8) A declaratory regulation must declare that it is a declaratory
regulation.
Division 2—Provisions
relating to
section 748
of Heavy Vehicle National Law
32—Definitions
for this Division
In this Division—
commencement means the commencement of this
Division;
general savings and transitional provision means
section 748 of the
Heavy
Vehicle National Law (South Australia);
Road Traffic Act means the Road
Traffic Act 1961.
33—Operation
of general savings and transitional provision
This Division does not affect the operation of the general savings and
transitional provision except to the extent expressly provided for.
(1) To remove any
doubt, it is declared that the general savings and transitional provision does
not affect the operation of section 16 of the Acts
Interpretation Act 1915 in relation to any offence committed or
suspected to have been committed under the Road Traffic Act before the
commencement of this Division.
(2) Without limiting
subsection (1)—
(a) the general savings and transitional provision does not affect the
exercise, after the commencement, of powers under the Road Traffic Act, as in
force immediately before the commencement, in relation to any offence committed
or suspected to have been committed before the commencement; and
(b) the Road Traffic Act, as in force immediately before the commencement,
continues to have effect in relation to all matters arising in the investigation
of the offence and the enforcement of the Act in relation to the
offence.
It is declared that, for the purposes of the general savings and
transitional provision,
sections 117,
122,
138 and
143 of the Heavy
Vehicle National Law (South Australia) correspond to sections 161A and
163AA of the Road Traffic Act.
(1) The general
savings and transitional provision does not apply to the seizing of anything
under the Road Traffic Act before the commencement.
(2) The Road Traffic Act, as in force immediately before the commencement,
continues to apply in relation to anything seized as mentioned in
subsection (1).
37—Declaratory
regulation making power for general savings and transitional
provision
(1) A regulation may make provision of a declaratory nature (a
declaratory regulation), as provided for in
subsection (2),
in relation to the operation of the general savings and transitional
provision.
(2) A declaratory
regulation may, in relation to a particular thing done under the former
legislation before the commencement—
(a) declare that the general savings and transitional provision applies to
it; or
(b) declare how the general savings and transitional provision applies to
it; or
(c) declare that the general savings and transitional provision does not
apply to it, and provide how the thing must otherwise be dealt with.
(3) A declaratory regulation has effect according to its terms.
(4) The operation of the general savings and transitional provision is not
limited by the making of a declaratory regulation other than to the extent
provided for in the regulation.
(5) The transitional regulation making power as provided for in
section 39 does
not apply to a declaratory regulation lawfully made under this section even if,
in the absence of this section, the declaratory regulation should be made as a
transitional regulation.
(6) A declaratory regulation may not have retrospective
operation.
(7) However, a declaratory regulation may affect the operation of the
general savings and transitional provision from when or after the regulation
commences if the regulation does not operate to the disadvantage of a person
by—
(a) decreasing the person’s rights; or
(b) imposing liabilities on the person.
(8) A declaratory regulation must declare that it is a declaratory
regulation.
(9) In this section—
former legislation means—
(a) the Motor
Vehicles Act 1959; or
(b) the Road
Traffic Act 1961.
Division 3—Interpretative
provision
38—References
in documents to repealed or amended provisions
(1) This section applies to a document if—
(a) there is a reference in the document to a provision (the affected
provision) of the Road
Traffic Act 1961 or the Motor
Vehicles Act 1959 as in force before the commencement of this
section; and
(b) the affected provision is repealed or amended on the commencement of
this section having regard to the commencement of the Heavy
Vehicle National Law (South Australia).
(2) The reference may, if the context permits, be taken to be a reference
to a provision of the Heavy
Vehicle National Law (South Australia) corresponding to the affected
provision.
(3) In this section—
document does not include an Act.
Division 4—Savings
and transitional provisions—general
39—Saving
and transitional provisions—general
(1) The Governor may make regulations containing provisions of a
transitional nature, including matters of an application or savings nature,
arising as a result of the enactment of this Act, including any repeals and
amendments made as a result of the enactment of this Act.
(2) Regulations made under this section may—
(a) have a retrospective effect to a day on or from a date not earlier
than the day on which this Act receives Royal Assent; and
(b) be of limited or general application; and
(c) leave any matter or thing to be decided by a specified person or class
of person.
(3) Regulations under this section have effect despite anything to the
contrary in any Act (other than this Act) or in any statutory
instrument.
Schedule—Heavy
Vehicle National Law
Part 1—Introductory
matters
1—Short title
This Law may be cited as the Heavy Vehicle National Law.
2—Commencement
This Law commences in a participating jurisdiction as provided by the Act
of that jurisdiction that applies this Law as a law of that
jurisdiction.
3—Object of Law
The object of this Law is to establish a national scheme for facilitating
and regulating the use of heavy vehicles on roads in a way that—
(a) promotes public
safety; and
(b) manages the impact
of heavy vehicles on the environment, road infrastructure and public amenity;
and
(c) promotes industry
productivity and efficiency in the road transport of goods and passengers by
heavy vehicles; and
(d) encourages and
promotes productive, efficient, innovative, and safe business
practices.
4—Regulatory framework to achieve
object
The object of this Law is to be achieved by a regulatory framework
that—
(a) establishes an entity (the National Heavy Vehicle Regulator) with
functions directed at ensuring the object is achieved; and
(b) provides for the national registration of heavy vehicles;
and
(c) prescribes
requirements about the following:
(i) the standards heavy
vehicles must meet when on roads;
(ii) the maximum permissible mass and dimensions of heavy vehicles used on
roads;
(iii) securing and restraining loads on heavy vehicles used on
roads;
(iv) preventing drivers of heavy vehicles exceeding speed
limits;
(v) preventing drivers
of heavy vehicles from driving while fatigued; and
(d) imposes duties and obligations directed at ensuring heavy vehicles and
drivers of heavy vehicles comply with requirements mentioned in
paragraph (c)(i) to
(v) on persons whose
activities may influence whether the vehicles or drivers comply with the
requirements; and
(e) includes measures directed at the matters mentioned in
section 3(c) and
(d) by allowing improved
access to roads in certain circumstances, including by—
(i) allowing heavy vehicles, that would otherwise be prevented from being
used on roads, access to the roads through exemptions or authorisations granted
in circumstances in which the matters mentioned in
section 3(a) and
(b) will not be
compromised; and
(ii) providing for accreditation schemes allowing operators of heavy
vehicles who adopt best practices directed at the matters mentioned in
section 3 to be subject to
alternative requirements more suited to the operators’ business
operations.
Part 2—Interpretation
5—Definitions
In this Law—
100km work, for the purposes of
Chapter 6, has the
meaning given by
section 289(1);
100+km work, for the purposes of
Chapter 6, has the
meaning given by
section 289(2);
accreditation certificate means—
(a) for a heavy vehicle accreditation granted under this Law—the
accreditation certificate given for the accreditation under
section 464; or
(b) for a heavy vehicle accreditation granted under another law of a
participating jurisdiction—the certificate of accreditation (however
called) issued for the accreditation under that law;
ADR means a national standard under section 7 of the Motor
Vehicle Standards Act 1989 of the Commonwealth;
AFM accreditation means—
(a) accreditation under this Law of a kind mentioned in
section 458(d);
or
(b) accreditation of a similar kind under another law of a participating
jurisdiction;
AFM fatigue management system, for the purposes of
Chapter 6 and
Chapter 8, has the
meaning given by
section 457;
AFM hours, for the purposes of
Chapter 6 and
Chapter 8, has the
meaning given by
section 257;
AFM standards and business rules, for the purposes of
Chapter 8, has the
meaning given by
section 457;
agricultural implement means a vehicle without its own
automotive power, built to perform agricultural tasks, and includes an
agricultural trailer;
Examples—
• auger
• conveyor
• field bin
• harvester front
• irrigating equipment or machinery
agricultural machine means a vehicle with its own automotive
power, built to perform agricultural tasks;
Examples—
harvester, tractor
agricultural task means a task carried out in
agriculture;
Examples of an agricultural task—
• cultivating land
• growing and harvesting crops
• rearing livestock
agricultural trailer means a trailer that is designed to
carry a load and used exclusively to perform agricultural tasks, but does not
include a semitrailer;
agricultural vehicle means an agricultural implement or
agricultural machine;
Application Act, of this jurisdiction, means the Act of this
jurisdiction by which this Law applies as a law of this jurisdiction;
appropriately qualified, for a function, includes having the
qualifications, experience or standing appropriate to exercise the
function;
Example of standing—
a person’s classification level or position in the public service or
a government agency of a participating jurisdiction
approved, by the responsible Ministers, for the purposes of
Chapter 8, has the
meaning given by
section 457;
approved auditor, for the purposes of
Chapter 8, has the
meaning given by
section 457;
approved electronic recording system has the meaning given by
section 221;
approved form means a form approved by the Regulator under
section 735;
approved guidelines means guidelines approved by the
responsible Ministers under
section 653;
approved intelligent transport system has the meaning given
by
section 403;
approved sleeper berth, for the purposes of
Chapter 6, has the
meaning given by
section 221;
approved vehicle examiner means a person approved as a
vehicle examiner under the national regulations (as referred to in
section 731);
articulated bus means a bus with 2 or more rigid sections
connected to one another in a way that allows—
(a) passenger access between the sections; and
(b) rotary movement between the sections;
AS means an Australian standard made or published by
Standards Australia;
associate, of a person, means—
(a) if the person is an individual—
(i) the individual’s spouse or de facto partner; or
(ii) a relative of the individual, whether by blood, spousal relationship
or adoption; or
(iii) an employee of the individual; or
(iv) an employee of a corporation of which the individual is an executive
officer; or
(v) a partner of the individual; or
(vi) a corporation of which the individual is an executive officer;
or
(vii) a corporation in which the individual holds a controlling interest;
or
(viii) a person who is a trustee of a trust of which the individual is a
trustee or beneficiary; or
(ix) a person who is a beneficiary of a trust of which the individual is a
trustee or beneficiary; or
(x) a person who is accustomed or under an obligation, whether formal or
informal, to act in accordance with the directions, instructions or wishes of
the individual; or
(xi) a person who is an associate of someone who is an associate of the
individual; or
(b) if the person is a corporation—
(i) an executive officer of the corporation; or
(ii) an associate of an executive officer of the corporation; or
(iii) an employee of the corporation; or
(iv) a person who holds a controlling interest in the corporation;
or
(v) a related body corporate, within the meaning of the Corporations
Act 2001 of the Commonwealth, of the corporation; or
(vi) a person who is an associate of someone who is an associate of the
corporation;
ATM (aggregate trailer mass), of a heavy trailer, means the
total maximum mass of the trailer, as stated by the manufacturer, together with
its load and the mass imposed on the towing vehicle by the trailer when the
towing vehicle and trailer are on a horizontal surface;
Australian Accounting Standards means Accounting Standards
issued by the Australian Accounting Standards Board;
Australian road law means—
(a) this Law; or
(b) another law of a State or Territory that regulates the use of vehicles
on roads;
authorised officer means—
(a) a police officer declared by a law of a participating jurisdiction to
be an authorised officer for the purposes of this Law; or
(b) a person who holds office under this Law as an authorised
officer;
authorised use, for the purposes of
Chapter 13 Part 4,
has the meaning given by
section 727;
authorised warrant official, for a participating
jurisdiction, means an entity that is declared by a law of that jurisdiction to
be an authorised warrant official for that jurisdiction for the purposes of this
Law;
axle means 1 or more shafts positioned in a line across a
vehicle, on which 1 or more wheels intended to support the vehicle
turn;
axle group means a tandem axle group, twinsteer axle group,
tri-axle group or quad-axle group;
base, of the driver of a heavy vehicle—
(1) The base of
the driver of a heavy vehicle, in relation to particular work—
(a) is the place from
which the driver normally does the work; but
(b) is, for the
purposes of
Chapter 6, the
garage address of the vehicle if—
(i) the vehicle is a fatigue-regulated heavy vehicle; and
(ii) the driver is required under
Chapter 6 Part 4, in
relation to that particular work, to keep a work diary and to record the
location of the driver’s base in the work diary, and has not done
so.
Note—
The driver of a fatigue-regulated heavy vehicle may not be required under
Chapter 6 Part 4,
in relation to particular work, to keep a work diary and to record the location
of the driver’s base in the work diary, if, for example—
• the driver is undertaking 100km work under standard
hours
• the driver is working under a work diary exemption.
(2) For a driver who is a self-employed driver and an employed driver at
different times, the driver may have one base as a self-employed driver under
paragraph 1 and another base as an employed driver under that
paragraph.
(3) For a driver who has 2 or more employers, the driver may have a
different base in relation to each employer under paragraph 1.
B-double means a combination consisting of a prime mover
towing 2 semitrailers, with the first semitrailer being attached directly
to the prime mover by a fifth wheel coupling and the second semitrailer being
mounted on the rear of the first semitrailer by a fifth wheel coupling on the
first semitrailer;
BFM accreditation means—
(a) accreditation under this Law of a kind mentioned in
section 458(c);
or
(b) accreditation of a similar kind under another law of a participating
jurisdiction;
BFM fatigue management system, for the purposes of
Chapter 8, has the
meaning given by
section 457;
BFM hours, for the purposes of
Chapter 6 and
Chapter 8, has the
meaning given by
section 253;
BFM standards and business rules, for the purposes of
Chapter 8, has the
meaning given by
section 457;
Board means the National Heavy Vehicle Regulator Board
established under
section 662;
body of fatigue knowledge means any accreditation scheme,
scientific knowledge, expert opinion, guidelines, standards or other knowledge
about preventing or managing exposure to risks to safety either on a road or in
a workplace, arising from fatigue;
bus means a heavy motor vehicle built or fitted to carry more
than 9 adults (including the driver);
cancel, for the purposes of
Chapter 6 in
relation to an unused daily sheet in a written work diary, has the meaning given
by
section 221;
category of heavy vehicles—see
section 15;
cause, a thing, includes—
(a) contribute to causing the thing; and
(b) encourage the thing;
centre-line, of an axle, means—
(a) for an axle consisting of 1 shaft—a line parallel to the length
of the axle and passing through its centre; and
(b) for an axle consisting of 2 shafts—a line in the vertical plane
passing through—
(i) the centre of both shafts; and
(ii) the centres of the wheels on the shafts;
class 1 heavy vehicle has the meaning given by
section 116(1) and
(2);
class 2 heavy vehicle has the meaning given by
section 136;
class 2 heavy vehicle authorisation means—
(a) a class 2 heavy vehicle authorisation (notice); or
(b) a class 2 heavy vehicle authorisation (permit);
class 2 heavy vehicle authorisation (notice) has the meaning
given by
section 138(2);
class 2 heavy vehicle authorisation (permit) has the meaning
given by
section 143(2);
class 3 heavy vehicle has the meaning given by
section 116(3);
combination means a group of vehicles consisting of a motor
vehicle towing 1 or more other vehicles;
commercial consignor, for the purposes of
Division 4 and
Division 5 of
Chapter 5 Part 2, has
the meaning given by
section 210;
Commonwealth Gazette means the Commonwealth of Australia
Gazette;
Commonwealth Gazette notice means notice published in the
Commonwealth Gazette;
Commonwealth responsible Minister means the Commonwealth
Minister nominated by the Commonwealth as the responsible Minister for the
Commonwealth for the purposes of this Law;
compensation order has the meaning given by
section 611(1);
compliance purposes means—
(a) monitoring purposes; or
(b) investigation purposes;
complying container weight declaration has the meaning given
by
section 189;
component, of a heavy vehicle that is a combination,
means—
(a) a component vehicle of the combination; or
(b) a component of any component vehicle of the combination;
component vehicle, of a heavy combination, means the towing
vehicle or another vehicle in the combination;
condition includes a restriction;
conditionally registered, for a heavy vehicle, means the
vehicle is registered under this Law subject to conditions;
conduct means an act, an omission to perform an act, or a
state of affairs;
consent includes an approval or concurrence;
consign and consignor—
A person consigns goods, and is a consignor of goods, for
road transport using a heavy vehicle, if—
(a) the person has
consented to being, and is, named or otherwise identified as a consignor of the
goods in the transport documentation relating to the road transport of the
goods; or
(b) there is no person
as described in
paragraph (a)
and—
(i) the person engages
an operator of the vehicle, either directly or indirectly or through an agent or
other intermediary, to transport the goods by road; or
(ii) there is no person
as described in
subparagraph (i) and
the person has possession of, or control over, the goods immediately before the
goods are transported by road; or
(iii) there is no person as described in
subparagraph (i) or
(ii) and the person loads
a vehicle with the goods, for road transport, at a place—
(A) where goods in bulk are stored, temporarily held or otherwise held
waiting collection; and
(B) that is usually unattended, other than by the vehicle’s driver
or someone else necessary for the normal use of the vehicle, during loading;
or
(c) there is no person
as described in
paragraph (a) or
(b) and the goods are
imported into Australia and the person is the importer of the goods;
consignee, of goods—
(a) means a person who—
(i) has consented to being, and is, named or otherwise identified as the
intended consignee of the goods in the transport documentation relating to the
road transport of the goods; or
(ii) actually receives the goods after completion of their road transport;
but
(b) does not include a person who merely unloads the goods;
container weight declaration—
(a) means a written
declaration, whether contained in 1 or more documents, stating or purporting to
state the weight of a freight container and its contents; and
Examples—
an email, a placard fixed to the container
(b) includes a copy of a declaration mentioned in
paragraph (a);
converter dolly means a pig trailer with a fifth wheel
coupling designed to convert a semitrailer into a dog trailer;
convict, a person of an offence, has the meaning given by
section 9(1);
convicted, of an offence, has the meaning given by
section 9(2);
convicted person—
(a) for the purposes of
Chapter 10 Part 3
Division 5, has the meaning given by
section 599(a);
or
(b) for the purposes of
Chapter 10 Part 3
Division 6, has the meaning given by
section 606(a);
corporation includes a body politic or corporate;
corresponding fatigue law, for the purposes of
Chapter 6, has the
meaning given by
section 221;
critical risk breach, for a maximum work requirement or
minimum rest requirement, has the meaning given by
section 222(4);
daily sheet, for a written work diary, for the purposes of
Chapter 6, has the
meaning given by
section 338(2)(b);
daytime means the period of a day between sunrise and
sunset;
de facto partner, of a person, means a person (whether of the
same gender or a different gender) who is in a de facto relationship, within the
meaning given by section 2F of the Acts Interpretation Act 1901 of
the Commonwealth, with the person;
defective heavy vehicle, for the purposes of
Chapter 9 Part 3
Division 6, has the meaning given by
section 525;
defective vehicle label, for the purposes of
Chapter 9 Part 3
Division 6, has the meaning given by
section 525;
defendant, for a proceeding for an offence, means the person
charged with the offence (whether called the defendant or the
accused);
deficiency, for the purposes of
Chapter 10 Part 4
Division 3, has the meaning given by
section 626;
dimension requirement means—
(a) a prescribed dimension requirement (under
section 101); or
(b) a requirement as to a dimension limit relating to a heavy vehicle
under a condition to which a mass or dimension authority is subject (where the
dimension limit is more restrictive than the relevant prescribed dimension
requirement); or
(c) a requirement as to a dimension limit under a PBS vehicle approval;
or
(d) a requirement as to a dimension limit indicated by an official traffic
sign; or
Note—
See the definitions indicated and official traffic
sign.
(e) a requirement as to a dimension limit for a component vehicle as
prescribed by a heavy vehicle standard;
drive, a vehicle or combination, includes—
(a) be in control of the steering, movement or propulsion of the vehicle
or combination; and
(b) for a trailer—drive a vehicle towing the trailer;
driver, of a vehicle or combination—
(a) means the person driving the vehicle or combination; and
(b) includes—
(i) a person accompanying the person driving the vehicle or combination on
a journey or part of a journey, who has been, is or will be sharing the task of
driving the vehicle or combination during the journey or part; and
(ii) a person who is driving the vehicle or combination as a driver under
instruction or under an appropriate learner licence or learner permit;
and
(iii) where the driver is a driver under instruction, the holder of a
driver licence occupying the seat in the vehicle or combination next to the
driver;
driver licence means—
(a) a driver licence
issued under a law of a State or Territory that regulates the use of vehicles on
roads; or
(b) a licence, permit or other authorisation to drive a motor vehicle
issued under a law of another country if a law mentioned in
paragraph (a)
exempts the holder of the licence, permit or other authorisation from the
requirement to hold a driver licence under that law to drive a motor
vehicle;
electronic recording system has the meaning given by
section 221;
electronic recording system approval means an approval of an
electronic recording system under
Chapter 6 Part 4
Division 7;
electronic work diary has the meaning given by
section 221;
electronic work diary label has the meaning given by
section 221;
embargo notice has the meaning given by
section 557(2);
embargoed thing means a thing the subject of an embargo
notice;
employed driver, of a heavy vehicle, means a person who is
employed by someone else to drive the vehicle;
employee means an individual who is employed by someone
else;
employer means a person who employs someone else;
entity includes a person and an unincorporated
body;
entry, in a work record, for the purposes of
Chapter 6, has the
meaning given by
section 221;
equipment, in relation to a heavy vehicle, includes tools,
devices and accessories in the vehicle;
escort vehicle means a pilot vehicle that is driven by a
police officer or another person authorised to direct traffic under an
Australian road law;
examine includes analyse, test, account, measure, weigh,
grade, gauge or identify;
executive officer, of a corporation, means—
(a) a director of the corporation; or
(b) any person, by whatever name called and whether or not the person is a
director of the corporation, who is concerned or takes part in the management of
the corporation;
exemption hours, for the purposes of
Chapter 6, has the
meaning given by
section 259;
exercise, for a function, includes perform;
extract, of a document, device or other thing, means a copy
of any information contained in the document, device or other thing;
fatigue has the meaning given by
section 223;
fatigue record keeping exemption means—
(a) a fatigue record keeping exemption (notice); or
(b) a fatigue record keeping exemption (permit);
fatigue record keeping exemption (notice) has the meaning
given by
section 378;
fatigue record keeping exemption (permit) has the meaning
given by
section 383;
fatigue-regulated bus means a heavy motor vehicle built or
fitted to carry more than 12 adults (including the driver);
Note—
A fatigue-regulated bus is a bus that weighs more than 4.5t for the
purposes of being regulated under this Law.
fatigue-regulated heavy vehicle has the meaning given by
section 7;
fifth wheel coupling means a device (other than an upper
rotating element and a kingpin) used with a prime mover, semitrailer or
converter dolly to—
(a) permit quick coupling and uncoupling; and
(b) provide for articulation;
film, a thing, includes—
(a) photograph or videotape the thing; and
(b) record an image of the thing in another way;
fit, to drive a heavy vehicle, or to start or stop its
engine, for a person, means the person—
(a) is apparently physically and mentally fit to drive the vehicle, or
start or stop its engine; and
(b) is not apparently affected by either or both of the
following:
(i) alcohol;
(ii) a drug that affects a person’s ability to drive a vehicle;
and
(c) is not found to have an alcohol concentration in the person’s
blood or breath exceeding the amount permitted, under an Australian road law of
this jurisdiction, for the driver of a heavy vehicle; and
(d) is not found to be under the influence of a drug or to have present in
the person’s blood or saliva a drug that the driver of a heavy vehicle is
not permitted to have present in the driver’s blood or saliva under an
Australian road law of this jurisdiction;
freight container means—
(a) a re-usable
container of the kind mentioned in AS 3711.1 that is designed for repeated use
for transporting goods; or
Note—
AS 3711.1 may be purchased from Standards Australia at
<www.standards.org.au>.
(b) a re-usable container of the same or a similar design and construction
to a container mentioned in
paragraph (a) though
of different dimensions;
Fund means the National Heavy Vehicle Regulator Fund
established under
section 687;
garage address, of a heavy vehicle, means—
(a) for a heavy vehicle normally kept at a depot when not in use—the
principal depot of the vehicle; or
(b) for a heavy vehicle not normally kept at a depot when not in
use—the address of the place of business or residence at which the vehicle
is normally kept when not in use;
GCM (gross combination mass), of a motor vehicle, means the
total maximum loaded mass of the motor vehicle and any vehicles it may lawfully
tow at any given time—
(a) if the Regulator has, under
section 56, specified the
total maximum loaded mass of the motor vehicle and any vehicles it may lawfully
tow at any given time—specified by the Regulator under that section;
or
(b) otherwise—stated by the motor vehicle’s
manufacturer;
goods—
(a) includes—
(i) animals (whether alive or dead); and
(ii) a container (whether empty or not); but
(b) does not include—
(i) people; or
(ii) fuel, water, lubricants and readily removable equipment required for
the normal use of the vehicle or combination in which they are carried;
or
(iii) personal items used by the driver of the vehicle or combination, or
someone else necessary for the normal use of the vehicle, in which they are
carried;
GVM (gross vehicle mass), of a vehicle, means the maximum
loaded mass of the vehicle—
(a) if the Regulator has specified the vehicle’s maximum loaded mass
under
section 57—specified
by the Regulator under that section; or
(b) otherwise—stated by the vehicle’s manufacturer;
hauling unit means a motor vehicle that forms part of a
combination, but does not include a prime mover;
heavy combination means a combination that is a heavy
vehicle;
heavy motor vehicle means a motor vehicle that is a heavy
vehicle;
heavy trailer means a trailer that is a heavy
vehicle;
heavy vehicle has the meaning given by
section 6;
heavy vehicle accreditation means—
(a) AFM accreditation; or
(b) BFM accreditation; or
(c) maintenance management accreditation; or
(d) mass management accreditation;
heavy vehicle standards has the meaning given by
section 59;
higher mass limits, for the purposes of
Chapter 7, has the
meaning given by
section 403;
HML authority, for the purposes of
Chapter 7, has the
meaning given by
section 403;
home address means—
(a) for an individual—the individual’s residential address in
Australia; or
(b) for a body corporate with a registered office in Australia—the
address of the registered office; or
(c) for another person—the address of the person’s principal
or only place of business in Australia;
identification details, for the purposes of
Chapter 9 Part 3
Division 6, has the meaning given by
section 525;
identification plate means a plate authorised to be placed on
a vehicle, or taken to have been placed on a vehicle, under the Motor Vehicle
Standards Act 1989 of the Commonwealth;
impaired by fatigue has the meaning given by
section 225;
improvement notice has the meaning given by
section 572(2);
in, a vehicle, includes on the vehicle;
indicated, by an official traffic sign,
includes—
(a) indicated by way of a direction on an official traffic sign;
and
(b) indicated by way of a direction, indication or requirement that, under
a law, is prescribed as being given or imposed, because of an official traffic
sign;
information notice, for a decision, means a notice stating
the following:
(a) the decision;
(b) the reasons for the decision;
(c) the review and appeal information for the decision;
infringement notice means—
(a) an infringement notice issued under
section 591; or
(b) an infringement notice, expiation notice, penalty notice or similar
notice under the Infringement Notice Offences Law;
Infringement Notice Offences Law, for a participating
jurisdiction, means the law that is declared by a law of that jurisdiction to be
the Infringement Notice Offences Law for the purposes of this Law;
inspect, a thing, includes—
(a) open the thing and examine its contents; and
(b) test the thing or its contents or both;
insurer, for the purposes of
Chapter 2 Part 5, has
the meaning given by
section 54;
intelligent access agreement, for the purposes of
Chapter 7, has the
meaning given by
section 403;
intelligent access audit, for the purposes of
Chapter 7, has the
meaning given by
section 403;
intelligent access auditor means a person engaged by TCA for
auditing activities conducted by intelligent access service providers;
intelligent access conditions has the meaning given by
section 402;
intelligent access information, for the purposes of
Chapter 7, has the
meaning given by
section 403;
intelligent access map means the spatial data set in
electronic form, issued by TCA from time to time, that defines the national
public road system;
intelligent access reporting entity, for the purposes of
Chapter 6, has the
meaning given by
section 221;
intelligent access service provider has the meaning given by
section 403;
intelligent access vehicle, for the purposes of
Chapter 7, has the
meaning given by
section 403;
intelligent transport system means a system involving the use
of electronic or other technology, whether located in a heavy vehicle or on or
near a road or elsewhere, that is able to monitor, generate, record, store,
display, analyse, transmit or report information about—
(a) any or all of the
following:
(i) a heavy vehicle, its equipment or load;
(ii) the driver of a heavy vehicle;
(iii) an operator of a heavy vehicle;
(iv) anyone else involved in road transport using a heavy vehicle;
and
(b) without limiting
paragraph (a), the
compliance or noncompliance with this Law of the use of a heavy vehicle on a
road;
investigation purposes means investigating a contravention or
suspected contravention of this Law;
journey documentation—
(a) means a document, other than transport documentation, in any
form—
(i) directly or indirectly associated with—
(A) a transaction for the actual or proposed road transport of goods or
passengers using a heavy vehicle, or for a previous transport of the goods or
passengers by any transport method; or
(B) goods or passengers, to the extent the document is relevant to a
transaction for their actual or proposed road transport; and
(ii) whether relating to a particular journey or to journeys generally;
and
(b) includes, for example, any or all of the following:
(i) a document kept, used or obtained by a responsible person for a heavy
vehicle in connection with the transport of goods or passengers;
(ii) a workshop, maintenance or repair record relating to a heavy vehicle
used, or claimed to be used, for transporting goods or passengers;
(iii) a subcontractor’s payment advice relating to goods or
passengers or their transport;
(iv) records kept, used or obtained by the driver of a heavy vehicle used,
or claimed to be used, for transporting goods or passengers;
Examples—
• driver’s run sheet
• work diary entry
• fuel docket or receipt
• food receipt
• tollway receipt
• pay record
• mobile or other telephone record
(v) information reported through the use of an intelligent transport
system;
(vi) a driver manual or instruction sheet;
(vii) an advice resulting from check weighing of a heavy vehicle’s
mass or load performed before, during or after a journey;
law enforcement agency means an agency that has functions or
activities directed at the prevention, detection, investigation, prosecution or
punishment of offences and other contraventions of a law for which penalties or
sanctions may be imposed;
law enforcement purposes, for the purposes of
Chapter 7, has the
meaning given by
section 403;
load, of a heavy vehicle or in a heavy vehicle,
means—
(a) all the goods, passengers, drivers and other persons in the vehicle;
and
(b) all fuel, water, lubricants and readily removable equipment carried in
the vehicle and required for its normal use; and
(c) personal items used by the vehicle’s driver or someone else
necessary for the normal use of the vehicle; and
(d) anything that is normally removed from the vehicle when not in
use;
load, when used as a verb, and
loader—
A person loads goods in a heavy vehicle, and is a loader of
goods in a heavy vehicle, if the person is a person who—
(a) loads the vehicle, or any container that is in or part of the vehicle,
with the goods for road transport; or
(b) loads the vehicle with a freight container, whether or not it contains
goods, for road transport;
loaded mass, of a vehicle, means the vehicle’s mass
together with the mass of the vehicle’s load that is transmitted to the
ground;
loading manager—
1. A person is a loading manager for goods in heavy vehicles, other
than for the purposes of
Chapter 4,
if—
(a) goods are—
(i) loaded onto a heavy
vehicle at regular loading or unloading premises for heavy vehicles;
or
(ii) unloaded from a heavy vehicle at regular loading or unloading
premises for heavy vehicles; and
(b) the person—
(i) is the person who
manages, or is responsible for the operation of, the premises; or
(ii) has been assigned by a person mentioned in
subparagraph (i) as
responsible for supervising, managing or controlling, directly or indirectly,
activities carried out by a loader or unloader of goods at the
premises.
2. For the purposes of
Chapter 4, a person
is a loading manager for goods in a heavy vehicle if—
(a) the goods are
loaded onto the vehicle at regular loading or unloading premises for heavy
vehicles; and
(b) the person—
(i) is the person who
manages, or is responsible for the operation of, the premises; or
(ii) has been assigned by a person mentioned in
subparagraph (i) as
responsible for supervising, managing or controlling, directly or indirectly,
activities carried out by a loader of the goods.
loading requirements has the meaning given by
section 110;
local government authority, for a participating jurisdiction,
means an entity that is declared by a law of that jurisdiction to be a local
government authority for that jurisdiction for the purposes of this
Law;
maintenance management accreditation means—
(a) accreditation under this Law of a kind mentioned in
section 458(a);
or
(b) accreditation of a similar kind under another law of a participating
jurisdiction;
maintenance management standards and business rules, for the
purposes of
Chapter 8, has the
meaning given by
section 457;
maintenance management system, for the purposes of
Chapter 8, has the
meaning given by
section 457;
major defect notice has the meaning given by
section 526(2)(a);
major rest break, for the purposes of
Chapter 6, has the
meaning given by
section 221;
malfunction—
(a) for the purposes of
Chapter 6, has the
meaning given by
section 221; and
(b) for the purposes of
Chapter 7, has the
meaning given by
section 403;
mass, dimension or loading requirement means a mass
requirement, dimension requirement or loading requirement;
mass management accreditation means—
(a) accreditation under this Law of a kind mentioned in
section 458(b);
or
(b) accreditation of a similar kind under another law of a participating
jurisdiction;
mass management standards and business rules, for the
purposes of
Chapter 8, has the
meaning given by
section 457;
mass management system, for the purposes of
Chapter 8, has the
meaning given by
section 457;
mass or dimension authority means—
(a) a mass or dimension exemption; or
(b) a class 2 heavy vehicle authorisation;
mass or dimension exemption means—
(a) a mass or dimension exemption (notice); or
(b) a mass or dimension exemption (permit);
mass or dimension exemption (notice) has the meaning given by
section 117(2);
mass or dimension exemption (permit) has the meaning given by
section 122(3);
mass requirement means—
(a) a prescribed mass requirement (under
section 95); or
(b) a requirement as to a mass limit relating to a heavy vehicle under a
condition to which a mass or dimension authority is subject (where the mass
limit is lower than the relevant prescribed mass requirement); or
(c) a requirement as to a mass limit under a PBS vehicle approval;
or
(d) a requirement as to a mass limit indicated by an official traffic
sign; or
Note—
See the definitions indicated and official traffic
sign.
(e) a requirement as to a mass limit under the GVM or GCM for a heavy
vehicle; or
(f) a requirement as to a mass limit for a component vehicle as stated by
the manufacturer or as prescribed by a heavy vehicle standard.
maximum work requirement means a requirement of
Chapter 6 relating
to a maximum work time for the driver of a fatigue-regulated heavy
vehicle;
maximum work time means the maximum time the driver of a
fatigue-regulated heavy vehicle may drive a fatigue-regulated heavy vehicle, or
otherwise work, without taking a rest;
minimum rest requirement means a requirement of
Chapter 6 relating
to the minimum rest time for the driver of a fatigue-regulated heavy
vehicle;
minimum rest time means the minimum time the driver of a
fatigue-regulated heavy vehicle must rest in order to break up the period of
time the driver drives a fatigue-regulated heavy vehicle or otherwise
works;
minor defect notice has the meaning given by
section 526(2)(b);
minor risk breach—
(a) for a mass requirement—has the meaning given by
section 98; or
(b) for a dimension requirement—has the meaning given by
section 105; or
(c) for a loading requirement—has the meaning given by
section 112; or
(d) for a maximum work requirement or minimum rest requirement—has
the meaning given by
section 222(1);
mistake of fact defence—see
section 14;
monitoring purposes means finding out whether this Law is
being complied with;
motor vehicle means a vehicle built to be propelled by a
motor that forms part of the vehicle;
national regulations means the regulations made under
section 730;
National Transport Commission means the National Transport
Commission established by the National Transport Commission Act 2003 of
the Commonwealth;
night means the period between sunset on a day and sunrise on
the next day;
night rest break means—
(a) 7 continuous hours stationary rest time between 10 pm on a day and 8
am on the next day; or
Note—
Under
sections 248
and
303, the time must be
based on the time zone of the driver’s base for drivers on a journey in a
different time zone to the driver’s base.
(b) 24 continuous hours stationary rest time;
night work time, for the purposes of
Chapter 6, has the
meaning given by
section 221;
noncompliance report, for the purposes of
Chapter 7, has the
meaning given by
section 403;
non-participating jurisdiction, for the purposes of
Chapter 6, has the
meaning given by
section 221;
notice means written notice;
occupier, of a place, includes the following:
(a) if there is more than 1 person who apparently occupies the
place—any 1 of the persons;
(b) any person at the place who is apparently acting with the authority of
a person who apparently occupies the place;
(c) if no-one apparently occupies the place—any person who is an
owner of the place;
official means any of the following persons exercising a
function under this Law:
(a) the Regulator;
(b) a road authority;
(c) an authorised officer;
official traffic sign means a sign or device erected or
placed, under a law, by a public authority (including, for example, a police
force or police service) to regulate traffic;
operate and operator—
A person operates a vehicle or combination, and is an
operator of the vehicle or combination, if the person is responsible for
controlling or directing the use of—
(a) for a vehicle (including a vehicle in a combination)—the
vehicle; or
(b) for a combination—the towing vehicle in the
combination;
oversize vehicle means a heavy vehicle that does not comply
with a dimension requirement applying to it;
owner—
(a) of a vehicle means—
(i) each person who is an owner, joint owner or part owner of the vehicle;
or
(ii) a person who has the use or control of the vehicle under a credit
agreement, hiring agreement, hire-purchase agreement or leasing arrangement;
or
(b) of a combination means—
(i) each person who is an owner, joint owner or part owner of the towing
vehicle in the combination; or
(ii) a person who has the use or control of the towing vehicle in the
combination under a credit agreement, hiring agreement, hire-purchase agreement
or leasing arrangement; or
(c) of a sample means an owner of the sample or the thing from which it
was taken;
pack and packer—
A person packs goods, and is a packer of goods, if the
person—
(a) puts the goods in
packaging, even if that packaging is already on a vehicle; or
Example for the purposes of paragraph (a)—
A person who uses a hose to fill the tank of a tank vehicle with petrol
packs the petrol for transport.
(b) assembles the goods
as packaged goods in an outer packaging, even if that packaging is already on a
vehicle; or
(c) supervises an
activity mentioned in
paragraph (a) or
(b); or
(d) manages or controls an activity mentioned in
paragraph (a),
(b) or
(c);
packaging, in relation to goods, means anything that
contains, holds, protects or encloses the goods, whether directly or indirectly,
to enable them to be received or held for transport, or to be
transported;
Note—
It may be that a container constitutes the whole of the packaging of goods,
as in the case of a drum in which goods are directly placed.
participating jurisdiction—
(a) for the purposes of this Law other than
Chapter 6—means
a State or Territory in which—
(i) this Law applies as a law of the State or Territory; or
(ii) a law that substantially corresponds to the provisions of this Law
has been enacted; or
(iii) a law prescribed by the national regulations for the purposes of
this subparagraph has been enacted; or
(b) for the purposes of
Chapter 6—has
the meaning given by
section 221;
party in the chain of responsibility—
(a) for a heavy vehicle, for the purposes of
Chapter 5 Part 2
Division 5, has the meaning given by
section 214; or
(b) for a fatigue-regulated heavy vehicle, for the purposes of
Chapter 6, has the
meaning given by
section 227;
passenger, of a vehicle, means any person carried in the
vehicle other than the vehicle’s driver or someone else necessary for the
normal use of the vehicle;
PBS design approval means a current approval given under
section 22 for the design
of a type of heavy vehicle that, if built to the design, is eligible for PBS
vehicle approval;
Note—
"PBS" stands for performance based standards.
PBS Review Panel means an advisory body appointed by the
Regulator to provide expert advice in the assessment of applications for PBS
design approvals or PBS vehicle approvals and of their impacts;
Note—
The membership of the PBS Review Panel consists of one representative of
each State and Territory, an independent Chairperson and an independent Deputy
Chairperson. The Commonwealth may, if it decides to do so, nominate a
representative of the Commonwealth. The procedure of the Panel is as determined
by the Regulator.
PBS vehicle means a heavy vehicle that is the subject of a
current PBS vehicle approval under
Chapter 1
Part 4;
PBS vehicle approval means a current approval issued for a
heavy vehicle by the Regulator under
section 23;
personal information—
(a) generally, means information or an opinion, including information or
an opinion forming part of a database, whether true or not, and whether recorded
in a material form or not, about an individual whose identity is apparent, or
can reasonably be found out, from the information or opinion; and
(b) for the purposes of
Chapter 7, has the
meaning given by
section 403;
pig trailer means a trailer—
(a) with 1 axle group or a single axle near the middle of its load
carrying surface; and
(b) connected to the towing vehicle by a drawbar;
pilot vehicle means a motor vehicle that accompanies an
oversize vehicle to warn other road users of the oversize vehicle’s
presence;
place of business, for the purposes of
Chapter 9 Part 2 has
the meaning given by
section 494;
pole-type trailer means a trailer that—
(a) is attached to a towing vehicle by a pole or an attachment fitted to a
pole; and
(b) is ordinarily used for transporting loads, such as logs, pipes,
structural members, or other long objects, that can generally support themselves
like beams between supports;
police commissioner means the head of the police force or
police service (however called) of a participating jurisdiction;
premises—
(a) means a building or
other structure, a vessel, or another place (whether built on or
not)—
(i) from which a business is carried out; or
(ii) at or from which goods are loaded onto or unloaded from vehicles;
and
(b) includes a part of a building, structure, vessel or place mentioned in
paragraph (a);
prescribed dimension requirement means a requirement
prescribed by the national regulations under
section 101;
prescribed fee means a fee prescribed by the national
regulations under
section 740(1);
prescribed mass requirement means a requirement prescribed by
the national regulations under
section 95;
previous corresponding law—
1 A previous
corresponding law is a law of a participating jurisdiction that, before the
participation day for the jurisdiction, provided for the same, or substantially
the same, matters as the provisions of this Law.
2 A previous corresponding law for a provision of this Law is a
provision of a previous corresponding law within the meaning of
paragraph 1 that
corresponds, or substantially corresponds, to the provision of this
Law.
3 For the purposes of
paragraph 1, it is
irrelevant whether the law of the participating jurisdiction—
(a) is in 1 instrument or 2 or more instruments; or
(b) is part of an instrument; or
(c) is part of an instrument and the whole or part of 1 or more other
instruments;
prime contractor, of the driver of a heavy vehicle, means a
person who engages the driver to drive the vehicle under a contract for
services;
Example—
a logistics business that engages a subcontractor to transport
goods
prime mover means a heavy motor vehicle designed to tow a
semitrailer;
prohibition order has the meaning given by
section 607(1);
protected information, for the purposes of
Chapter 13 Part 4,
has the meaning given by
section 727;
public authority means—
(a) a State or Territory or the Commonwealth, in any capacity;
or
(b) a body established under a law, or the holder of an office established
under a law, for a public purpose, including a local government
authority;
public place means a place or part of a
place—
(a) that the public is entitled to use, is open to members of the public
or is used by the public, whether or not on payment of money; or
(b) the occupier of which allows members of the public to enter, whether
or not on payment of money;
public safety means the safety of persons or property,
including the safety of—
(a) the drivers of, and passengers and other persons in, vehicles and
combinations; and
(b) persons or property in or in the vicinity of, or likely to be in or in
the vicinity of, road infrastructure and public places; and
(c) vehicles and combinations and any loads in them;
public safety ground, for a reviewable decision, has the
meaning given by
section 640;
quad-axle group means a group of 4 axles, in which the
horizontal distance between the centre-lines of the outermost axles is more than
3.2m but not more than 4.9m;
qualified, to drive a heavy vehicle, or to start or stop its
engine, for a person, means the person—
(a) holds a driver licence of the appropriate class to drive the vehicle
that is not suspended; and
(b) is not prevented under a law, including, for example, by the
conditions of the driver licence, from driving the vehicle at the relevant
time;
Queensland Minister means the responsible Minister for
Queensland;
reasonable steps defence means the defence mentioned in
section 618;
reasonably believes means believes on grounds that are
reasonable in the circumstances;
reasonably satisfied means satisfied on grounds that are
reasonable in the circumstances;
reasonably suspects means suspects on grounds that are
reasonable in the circumstances;
record keeper, for the purposes of
Chapter 6, has the
meaning given by
section 317;
record location, of the driver of a fatigue-regulated heavy
vehicle, for the purposes of
Chapter 6, has the
meaning given by
section 290;
registered industry code of practice means an industry code
of practice registered under
section 706;
registered interest means an interest registered under the
Personal
Property Securities Act 2009 of the Commonwealth by a secured party for
which the thing or sample is collateral;
registered operator, of a heavy vehicle, means the person
recorded on the vehicle register as the person responsible for the
vehicle;
registration, of a heavy vehicle, means registration of the
vehicle under this Law;
registration exemption means an exemption under
Chapter 2 Part 2
Division 4 from the requirement for a heavy vehicle to be
registered;
registration item means a document, number plate, label or
other thing relating to—
(a) the registration or purported registration of a heavy vehicle;
or
(b) an unregistered heavy vehicle permit for a heavy vehicle;
registration number, for a heavy vehicle, means letters,
numbers or characters, or a combination of 1 or more letters, numbers or
characters, issued for the vehicle by the Regulator and recorded on the vehicle
register;
regular loading or unloading premises—
1 Regular loading or
unloading premises, for heavy vehicles, means premises at or from which an
average of at least 5 heavy vehicles are loaded or unloaded on each day the
premises are operated for loading or unloading heavy vehicles.
2 For the purposes of
paragraph 1, an
average of at least 5 heavy vehicles are loaded or unloaded at or from
premises on each day the premises are operated for loading or unloading heavy
vehicles if—
(a) for premises operated for loading or unloading heavy vehicles for
12 months or more—during the previous 12 months, an average of
at least 5 heavy vehicles were loaded or unloaded at or from the premises
on each day the premises were operated for loading or unloading heavy vehicles;
or
(b) for premises operated for loading or unloading heavy vehicles for less
than 12 months—during the period the premises have been in operation
for loading or unloading heavy vehicles, an average of at least 5 heavy
vehicles were loaded or unloaded at or from the premises on each day the
premises were operated for loading or unloading heavy vehicles;
(3) In the application of this definition to the definition loading
manager where used in
Chapter 6,
references in paragraphs 1 and 2 to "an average of at least 5 heavy vehicles"
are to be read as references to an average of at least 5 fatigue-regulated heavy
vehicles.
Note—
Consequently,
Chapter 6 (including
sections 227,
238,
239 and
261) applies to a person as a
loading manager only if the premises concerned are premises at or from which an
average of at least 5 fatigue-regulated heavy vehicles are loaded or unloaded on
each day the premises are operated for loading or unloading heavy
vehicles.
Regulator means the National Heavy Vehicle Regulator
established under
section 656;
Regulator’s website means the website of the Regulator
on the Internet;
relevant appeal body, for the purposes of
Chapter 11, has the
meaning given by
section 640;
relevant contravention, for the purposes of
Chapter 7, has the
meaning given by
section 403;
relevant emission, for a heavy vehicle, means noise emission,
gaseous emission or particle emission emanating from the vehicle;
relevant garage address, of a heavy vehicle,
means—
(a) the heavy vehicle’s garage address; or
(b) if the heavy vehicle is a combination—the garage address of the
towing vehicle in the combination;
relevant jurisdiction, for the purposes of
Chapter 11, has the
meaning given by
section 640;
relevant management system, for the purposes of
Chapter 8, has the
meaning given by
section 457;
relevant monitoring matters, for the purposes of
Chapter 7, has the
meaning given by
section 403;
relevant place, for the purposes of
Chapter 9 Part 2, has
the meaning given by
section 494;
relevant police commissioner, in relation to a police
officer, means the police commissioner for the police force or police service
(however called) of which the police officer is a member;
relevant road manager, for a mass or dimension authority,
means a road manager for a road in the area, or on the route, to which the
authority applies;
relevant standards and business rules, for the purposes of
Chapter 8, has the
meaning given by
section 457;
relevant tribunal or court, for a participating jurisdiction,
means a tribunal or court that is declared by a law of that jurisdiction to be
the relevant tribunal or court for that jurisdiction for the purposes of this
Law;
responsible entity, for a freight container,
means—
(a) the person who, in
Australia, consigned the container for road transport using a heavy vehicle;
or
(b) if there is no
person as described in
paragraph (a)—the
person who, in Australia, for a consignor, arranged for the container’s
road transport using a heavy vehicle; or
(c) if there is no person as described in
paragraph (a)
or
(b)—the person who,
in Australia, physically offered the container for road transport using a heavy
vehicle;
responsible Minister, for a participating jurisdiction, means
the Minister of that jurisdiction nominated by it as its responsible Minister
for the purposes of this Law;
responsible Ministers means a group of Ministers consisting
of—
(a) the responsible Minister for each participating jurisdiction;
and
(b) the Commonwealth responsible Minister;
Note—
See also
section 655(3).
responsible person, for a heavy vehicle, means a person
having, at a relevant time, a role or responsibility associated with road
transport using the vehicle, and includes any of the following:
(a) an owner of the
vehicle or, if it is a combination, an owner of a heavy vehicle forming part of
the combination;
(b) the vehicle’s driver;
(c) an operator or registered operator of the vehicle or, if it is a
combination, an operator or registered operator of a heavy vehicle forming part
of the combination;
(d) a person in charge or apparently in charge of—
(i) the vehicle; or
(ii) the vehicle’s garage address or, if it is a combination, the
garage address of a heavy vehicle forming part of the combination; or
(iii) a base of the vehicle’s driver;
(e) a person appointed under a heavy vehicle accreditation to have
monitoring or other responsibilities under the accreditation, including, for
example, responsibilities for certifying, monitoring or approving the use of
heavy vehicles under the accreditation;
(f) a person who provides to an owner or registered operator of the
vehicle or, if it is a combination, an owner or registered operator of a heavy
vehicle forming part of the combination, an intelligent transport system for the
vehicle;
(g) a person in charge of a place entered by an authorised officer under
this Law for the purpose of exercising a power under this Law;
(h) a consignor of goods for road transport;
(i) a packer of goods in a freight container or other container or in a
package or on a pallet for road transport;
(j) a person who loads goods or a container for road transport;
(k) a person who unloads goods or a container containing goods consigned
for road transport;
(l) a person to whom goods are consigned for road transport;
(m) a person who receives goods packed outside Australia in a freight
container or other container or on a pallet for road transport in
Australia;
(n) an owner or operator of a weighbridge or weighing facility used to
weigh the vehicle, or an occupier of the place where the weighbridge or weighing
facility is located;
(o) a responsible entity for a freight container on the vehicle;
(p) a loading manager for goods in heavy vehicles for road transport or
another person who controls or directly influences the loading of goods for road
transport;
(q) a scheduler for the
vehicle;
(r) an employer, employee, agent or subcontractor of a person mentioned in
any of
paragraphs (a) to
(q);
rest, in relation to a fatigue-regulated heavy vehicle, has
the meaning given by
section 221;
rest time, for the purposes of
Chapter 6, has
the meaning given by
section 221;
review and appeal information—
(a) for a decision made by the Regulator or an authorised officer who is
not a police officer, means the following information:
(i) that, under
section 641, a
dissatisfied person for the decision may ask for the decision to be reviewed by
the Regulator;
(ii) that, under
section 642, the person
may apply for the decision to be stayed by a relevant tribunal or court unless
the decision was made by the Regulator on the basis of a public safety
ground;
(iii) that, in relation to the Regulator’s decision on the review,
the person may—
(A) under
section 647, appeal
against the decision to a relevant tribunal or court; and
(B) under
section 648, apply for the
decision to be stayed by a relevant tribunal or court unless the reviewable
decision to which the review decision relates was made by the Regulator on the
basis of a public safety ground; and
(b) for a decision made by a road manager (for a road) that is a public
authority, means the following information:
(i) that, under
section 641, a
dissatisfied person for the decision may apply to the Regulator to have the
decision reviewed;
(ii) that, under
section 643, the Regulator
must refer the application to the road manager for review;
(iii) that the decision of the road manager on the review is not subject
to further review or appeal under this Law; and
(c) for a decision made by an authorised officer who is a police officer,
or a road manager (for a road) that is not a public authority, means that the
decision is not subject to review or appeal under this Law;
review application, for the purposes of
Chapter 11, has the
meaning given by
section 640;
review decision, for the purposes of
Chapter 11, has the
meaning given by
section 640;
reviewable decision has the meaning given by
section 640;
reviewer, for the purposes of
Chapter 11, has
the meaning given by
section 640;
rigid, other than in the definition articulated
bus, means not articulated;
risk category—
(a) for a contravention of a mass, dimension or loading requirement, means
1 of the following categories:
(i) minor risk breach;
(ii) substantial risk breach;
(iii) severe risk breach; or
(b) for a contravention of a maximum work requirement or minimum rest
requirement, means 1 of the following categories:
(i) minor risk breach;
(ii) substantial risk breach;
(iii) severe risk breach;
(iv) critical risk breach;
road has the meaning given by
section 8;
Note—
See also
section 13.
road authority, for a participating jurisdiction, means an
entity that is declared by a law of that jurisdiction to be the road authority
for that jurisdiction for the purposes of this Law;
road condition has the meaning given by
section 154;
road infrastructure includes—
(a) a road, including
its surface or pavement; and
(b) anything under or supporting a road or its surface or pavement;
and
(c) any bridge, tunnel, causeway, road-ferry, ford or other work or
structure forming part of a road system or supporting a road; and
(d) any bridge or other
work or structure located above, in or on a road; and
(e) any traffic control devices, railway equipment, electricity equipment,
emergency telephone systems or any other facilities (whether of the same or a
different kind) in, on, over, under or connected with anything mentioned in
paragraphs (a) to
(d);
road manager, for a road in a participating jurisdiction,
means an entity that is declared by a law of that jurisdiction to be the road
manager for the road for the purposes of this Law;
road-related area has the meaning given by
section 8;
Road Rules, for a participating jurisdiction, means the law
that is declared by a law of that jurisdiction to be the Road Rules for the
purposes of this Law;
road train means a combination, other than a B-double,
consisting of a motor vehicle towing at least 2 trailers, excluding any
converter dolly supporting a semitrailer;
road transport means transport by road;
route assessment, for the purposes of
Chapter 4 Part 7, has
the meaning given by
section 154;
safety risk means a risk—
(a) to public safety; or
(b) of harm to the environment;
schedule, for the driver of a heavy vehicle,
means—
(a) the schedule for the transport of any goods or passengers by the
vehicle; or
(b) the schedule of the driver’s work times and rest
times;
scheduler, for a heavy vehicle, means a person
who—
(a) schedules the transport of any goods or passengers by the vehicle;
or
(b) schedules the work times and rest times of the vehicle’s
driver;
self-employed driver, of a heavy vehicle, means a driver of
the vehicle who is not an employed driver of the vehicle;
semitrailer means a trailer that has—
(a) 1 axle group or a single axle towards the rear; and
(b) a means of attachment to a prime mover that results in some of the
mass of the trailer’s load being imposed on the prime mover;
severe risk breach—
(a) for a mass requirement—has the meaning given by
section 100; or
(b) for a dimension requirement—has the meaning given by
section 107; or
(c) for a loading requirement—has the meaning given by
section 114; or
(d) for a maximum work requirement or minimum rest requirement—has
the meaning given by
section 222(3);
severe risk breach lower limit—
(a) for the purposes of
Chapter 4 Part 2
Division 2, has the meaning given by
section 97; or
(b) for the purposes of
Chapter 4 Part 3
Division 2, has the meaning given by
section 104;
sign of fatigue, for the purposes of
Chapter 6, has the
meaning given by
section 221;
single axle means—
(a) 1 axle; or
(b) 2 axles with centres between transverse, parallel, vertical planes
spaced less than 1.0m apart;
solo driver, for the purposes of
Chapter 6, has the
meaning given by
section 221;
speed limit means—
(a) a speed limit applying under this Law, the Road Rules or another law;
and
(b) when used in the context of a speed limit applying to the driver of a
heavy vehicle—a speed limit applying to the driver or the vehicle (or
both) under this Law, the Road Rules or another law (whether it applies
specifically to the particular driver or the particular vehicle or it applies to
all drivers or vehicles or to a class of drivers or vehicles to which the driver
or vehicle belongs);
Note—
A reference to a speed limit applying under this Law, the Road Rules or
another law covers both—
• a speed limit specified in this Law, the Road Rules or other
law
• a speed limit specified in an instrument, or in some other manner,
under this Law, the Road Rules or other law (for example, a speed limit
specified in a permit or a Commonwealth Gazette notice).
standard hours, for the purposes of
Chapter 6, has the
meaning given by
section 249;
Standards Australia means Standards Australia Limited
ACN 087 326 690, and includes a reference to the Standards
Association of Australia as constituted before 1 July 1999;
stationary rest time has the meaning given by
section 221;
substantial risk breach—
(a) for a mass requirement—has the meaning given by
section 99; or
(b) for a dimension requirement—has the meaning given by
section 106; or
(c) for a loading requirement—has the meaning given by
section 113; or
(d) for a maximum work requirement or minimum rest requirement—has
the meaning given by
section 222(2);
substantial risk breach lower limit—
(a) for the purposes of
Chapter 4 Part 2
Division 2, has the meaning given by
section 97; or
(b) for the purposes of
Chapter 4 Part 3
Division 2, has the meaning given by
section 104;
suitable rest place, for fatigue-regulated heavy vehicles,
means—
(a) a rest area designated for use, and able to be used, by
fatigue-regulated heavy vehicles; or
(b) a place at which a fatigue-regulated heavy vehicle may be safely and
lawfully parked;
supervisory intervention order has the meaning given by
section 600(1);
supplementary record, for the purposes of
Chapter 6, has the
meaning given by
section 221;
tamper—
(a) with an emission control system, for the purposes of
section 91, has the
meaning given by that section; or
(b) with a speed limiter, for the purposes of
section 93, has the
meaning given by that section; or
(c) with an approved electronic recording system, for the purposes of
Chapter 6, has the
meaning given by
section 334; or
(d) with an approved intelligent transport system, for the purposes of
Chapter 7, has the
meaning given by
section 403;
tandem axle group means a group of at least 2 axles, in which
the horizontal distance between the centre-lines of the outermost axles is at
least 1m but not more than 2m;
TCA means Transport Certification Australia Limited
ACN 113 379 936;
Territory means the Australian Capital Territory or the
Northern Territory;
the State means the Crown in right of this jurisdiction, and
includes—
(a) the Government of this jurisdiction; and
(b) a Minister of the Crown in right of this jurisdiction; and
(c) a statutory corporation, or other entity, representing the Crown in
right of this jurisdiction;
third party insurance legislation means—
(a) legislation about compensation for third parties who are injured or
killed by the use of motor vehicles or trailers; or
(b) legislation about payment of contributions towards compensation of
that kind; or
(c) legislation requiring public liability insurance;
this jurisdiction—see the law of each participating
jurisdiction for the meaning of this term;
this Law means—
(a) this Law as it applies as a law of a participating jurisdiction;
or
(b) a law of a participating jurisdiction that—
(i) substantially corresponds to the provisions of this Law; or
(ii) is prescribed by the national regulations for the purposes of
paragraph (a)(iii) of the definition participating
jurisdiction;
Note—
See also
section 11.
tow truck means—
(a) a heavy motor vehicle that is—
(i) equipped with a crane, winch, ramp or other lifting device;
and
(ii) used or intended to be used for the towing of motor vehicles;
or
(b) a heavy motor vehicle to which is attached, temporarily or otherwise,
a trailer or device that is—
(i) equipped with a crane, winch, ramp or other lifting device;
and
(ii) used or intended to be used for the towing of motor
vehicles;
tractor means a motor vehicle used for towing purposes, other
than—
(a) a motor vehicle designed to carry goods or passengers; or
(b) a tow truck;
traffic includes vehicular traffic, pedestrian traffic and
all other forms of road traffic;
trailer means a vehicle that is built to be towed, or is
towed, by a motor vehicle, but does not include a motor vehicle being
towed;
transport documentation means each of the
following:
(a) each contractual
document directly or indirectly associated with—
(i) a transaction for the actual or proposed road transport of goods or
passengers or any previous transport of the goods or passengers by any transport
method; or
(ii) goods or passengers, to the extent the document is relevant to the
transaction for their actual or proposed road transport;
(b) each document—
(i) contemplated in a contractual document mentioned in
paragraph (a);
or
(ii) required by law, or customarily given, in connection with a
contractual document or transaction mentioned in
paragraph (a);
Examples—
• bill of lading
• consignment note
• container weight declaration
• contract of carriage
• delivery order
• export receival advice
• invoice
• load manifest
• sea carriage document
• vendor declaration
travel condition has the meaning given by
section 154;
tri-axle group means a group of at least 3 axles, in which
the horizontal distance between the centre-lines of the outermost axles is more
than 2m but not more than 3.2m;
truck means a rigid motor vehicle built mainly as a load
carrying vehicle;
twinsteer axle group means a group of 2
axles—
(a) with single tyres; and
(b) fitted to a motor vehicle; and
(c) connected to the same steering mechanism; and
(d) the horizontal distance between the centre-lines of which is at least
1m but not more than 2m;
two-up driving arrangement, for the purposes of
Chapter 6, has the
meaning given by
section 221;
unattended, for a heavy vehicle, for the purposes of
Chapter 9 Part 3
Division 3, has the meaning given by
section 515;
under, for a law or a provision of a law,
includes—
(a) by; and
(b) for the purposes of; and
(c) in accordance with; and
(d) within the meaning of;
unincorporated local government authority means a local
government authority that is not a body corporate;
unload and unloader—
A person unloads goods in a heavy vehicle, and is an unloader
of goods in a heavy vehicle, if the person is a person who—
(a) unloads from the vehicle, or any container that is in or part of the
vehicle, goods that have been transported by road; or
(b) unloads from the vehicle a freight container, whether or not it
contains goods, that has been transported by road;
unregistered heavy vehicle means a heavy vehicle that is not
registered;
unregistered heavy vehicle permit means a permit issued under
the national regulations authorising the use of an unregistered heavy vehicle on
a road;
use, a heavy vehicle on a road, includes standing the vehicle
on the road;
vehicle condition has the meaning given by
section 154;
vehicle defect notice means a major defect notice or a minor
defect notice;
vehicle register means the vehicle register kept under
Chapter 2
Part 3;
vehicle registration duty—
(a) includes any duties, levies, fees or charges (however called) payable
under a law of a participating jurisdiction at the time of registration of a
vehicle on an application for the registration of, the renewal of registration
of, or the transfer of the registration of, a vehicle; and
(b) includes, by way of example, emergency service levies;
vehicle registration duty legislation means legislation about
payment of vehicle registration duty;
vehicle standards exemption means—
(a) a vehicle standards exemption (notice); or
(b) a vehicle standards exemption (permit);
vehicle standards exemption (notice) has the meaning given by
section 61(2);
vehicle standards exemption (permit) has the meaning given by
section 68(2);
VIN (vehicle identification number), for a
heavy vehicle, means—
(a) for a heavy vehicle built before 1 January 1989 with an
identification plate, the number quoted on the vehicle’s identification
plate that—
(i) uniquely identifies the vehicle and sets it apart from similar
vehicles; and
(ii) corresponds to the identification number of the vehicle that is
permanently recorded elsewhere on the vehicle; or
(b) otherwise, the unique vehicle identification number assigned to the
heavy vehicle under the Motor Vehicle Standards Act 1989 of the
Commonwealth;
work, in relation to a fatigue-regulated heavy vehicle, has
the meaning given by
section 221;
work and rest change, for the purposes of
Chapter 6, has the
meaning given by
section 221;
work and rest hours exemption means—
(a) a work and rest hours exemption (notice); or
(b) a work and rest hours exemption (permit);
work and rest hours exemption (notice) has the meaning given
by
section 266(2);
work and rest hours exemption (permit) has the meaning given
by
section 273(2);
work and rest hours option, for the purposes of
Chapter 6, has the
meaning given by
section 243;
work diary, for the purposes of
Chapter 6, has the
meaning given by
section 221;
work diary exemption means—
(a) a work diary exemption (notice); or
(b) a work diary exemption (permit);
work diary exemption (notice) has the meaning given by
section 357(2);
work diary exemption (permit) has the meaning given by
section 363(2);
work record, for the purposes of
Chapter 6, has the
meaning given by
section 221;
work time, for the purposes of
Chapter 6, has
the meaning given by
section 221;
wrecked, in relation to a heavy vehicle, for the purposes of
Chapter 2 Part 5,
has the meaning given by
section 54;
written-off, in relation to a heavy vehicle, for the purposes
of
Chapter 2
Part 5, has the meaning given by
section 54;
written work diary, for the purposes of
Chapter 6, has the
meaning given by
section 221.
6—Meaning of heavy vehicle
(1) For the purposes of this Law, a vehicle is a heavy
vehicle if it has a GVM or ATM of more than 4.5t.
(2) Also, for the purposes of this Law other than in relation to
registration under this Law, a combination that includes a vehicle with a GVM or
ATM of more than 4.5t is a heavy vehicle.
(3) However, rolling stock is not a heavy vehicle for the
purposes of this Law.
(4) In this section—
rolling stock—
1 Rolling stock is a vehicle designed to operate or move on
a railway track and includes a locomotive, carriage, rail car, rail motor, light
rail vehicle, tram, light inspection vehicle, self-propelled infrastructure
maintenance vehicle, trolley, wagon or monorail vehicle.
2 A vehicle designed to operate both on and off a railway track is
rolling stock when the vehicle is being—
(a) operated or moved on a railway track; or
(b) maintained, repaired or modified in relation to the operation or
movement of the vehicle on a railway track.
7—Meaning of fatigue-regulated heavy
vehicle
(1) For the purposes of this Law, a heavy vehicle is a
fatigue-regulated heavy vehicle if it is any of the
following:
(a) a motor vehicle with a GVM of more than 12t;
(b) a combination with a GVM of more than 12t;
(c) a fatigue-regulated bus.
(2) However, subject to
subsection (3), a
heavy vehicle is not a fatigue-regulated heavy vehicle for the
purposes of this Law if it is any of the following:
(a) a motor vehicle that—
(i) is built, or has been modified, to operate primarily as a machine or
implement off-road, on a road-related area, or on an area of road that is under
construction; and
(ii) is not capable of carrying goods or passengers by road;
Examples for the purposes of paragraph (a)—
agricultural machine, backhoe, bulldozer, excavator, forklift, front-end
loader, grader, motor vehicle registered under an Australian road law as a
special purpose vehicle (type p)
(3) For the purposes of
this Law, a truck, or a combination including a truck, that has a machine or
implement attached to it is a fatigue-regulated heavy
vehicle—
(a) if the GVM of the truck or combination with the attached machine or
implement is more than 12t; and
(b) whether or not the truck or combination has been built or modified
primarily to operate as a machine or implement off-road, on a road-related area,
or on an area of road that is under construction.
Example for the purposes of subsection (3)—
a truck to which a crane or drilling rig is attached
(4) For the purposes of
subsection (2)(b), a
motorhome—
(a) is a rigid or articulated motor vehicle or combination that is built,
or has been modified, primarily for residential purposes; and
(b) does not include a motor vehicle that is merely a motor vehicle
constructed with a sleeper berth.
(5) For the purposes of this section, the GVM of a
combination is the total of the GVMs of the vehicles in the
combination.
8—Meaning of road and road-related
area
(1) For the purposes of this Law, a road is an area that is
open to or used by the public and is developed for, or has as 1 of its uses, the
driving or riding of motor vehicles.
Examples of areas that are roads—
bridges, cattle grids, culverts, ferries, fords, railway crossings, tunnels
or viaducts
(2) For the purposes of this Law, a road-related area
is—
(a) an area that divides a road; or
(b) a footpath, shared path or nature strip adjacent to a road;
or
(c) a shoulder of a road; or
(d) a bicycle path or another area that is not a road and that is open to
the public and designated for use by cyclists or animals; or
(e) an area that is not a road and that is open to, or used by, the public
for driving, riding or parking motor vehicles.
(3) Also, an area is a road or road-related
area for the purposes of this Law or a particular provision of this Law
as applied in a participating jurisdiction, if the area is declared by a law of
that jurisdiction to be a road or road-related area for the purposes of this Law
or the particular provision.
(4) In this section—
bicycle path means an area open to the public that is
designated for, or has as 1 of its main uses, use by riders of
bicycles;
footpath means an area open to the public that is designated
for, or has as 1 of its main uses, use by pedestrians;
shared path means an area open to the public that is
designated for, or has as 1 of its main uses, use by both the riders of bicycles
and pedestrians;
shoulder, of a road—
(a) includes any part of the road that is not designed to be used by motor
vehicles in travelling along the road; and
(b) includes—
(i) for a kerbed road—any part of the kerb; and
(ii) for a sealed road—any unsealed part of the road, and any sealed
part of the road outside an edge line on the road; but
(c) does not include a bicycle path, footpath or shared path.
9—Meaning of convicts and convicted of an
offence
(1) For the purposes of
this Law, a court convicts a person of an offence if the court
finds the person guilty, or accepts the person’s plea of guilty, for the
offence whether or not a conviction is recorded.
(2) For the purposes of
this Law, a person is convicted of an offence if a court convicts
the person of the offence.
10—Interpretation generally
Schedule 1 applies
in relation to this Law.
11—References to laws includes references to
instruments made under laws
(1) In this Law, a reference (either generally or specifically) to a law
or a provision of a law (including this Law) includes a reference
to—
(a) each instrument (including a regulation) made or in force under the
law or provision; and
(b) each instrument made or in force under any such instrument.
(2) In this section—
law means a law of the Commonwealth or a State or
Territory.
12—References to this Law as applied in a
participating jurisdiction
In this Law, a reference to this Law as applied by an Act of a
participating jurisdiction includes a reference to—
(a) a law that substantially corresponds to this Law enacted in a
participating jurisdiction; and
(b) a law prescribed by the national regulations for the purposes of
paragraph (a)(iii) of the definition participating jurisdiction in
section 5, enacted in a
participating jurisdiction.
13—References to road
A reference in this Law to a road includes a reference to a road-related
area, unless a contrary intention appears in this Law.
14—References to mistake of fact
defence
(1) This section applies if a provision of this Law states that a person
charged with an offence does not have the benefit of the mistake of fact defence
for the offence.
(2) The effect of the provision, for a participating jurisdiction, is the
effect that is declared by a law of that jurisdiction to be the effect of the
provision.
15—References to categories of heavy
vehicles
If a provision of this Law provides for the exemption, authorisation,
prescription or description of a category of heavy vehicles, heavy vehicles may,
without limitation, be categorised for the purposes of the provision as being of
any stated class, including, for example—
(a) a class of heavy vehicles used for a particular task; and
(b) a class of heavy vehicles used by particular persons or a particular
class of persons; and
(c) a class of heavy vehicles with a particular configuration.
Part 3—Application and operation of
Law
16—Extraterritorial operation of
Law
It is the intention of the Parliament of this jurisdiction that the
operation of this Law is, as far as possible, to include operation in relation
to the following:
(a) things situated in or outside the territorial limits of this
jurisdiction;
(b) acts, transactions and matters done, entered into or occurring in or
outside the territorial limits of this jurisdiction;
(c) things, acts, transactions and matters (wherever situated, done,
entered into or occurring) that would, apart from this Law, be governed or
otherwise affected by the law of another jurisdiction.
17—Law binds the State
(1) This Law binds the State.
(2) No criminal liability attaches to the State itself (as distinct from
its agents, instrumentalities, officers and employees) under this Law.
18—Relationship with primary work health and safety
laws
(1) This Law does not limit the application of the primary WHS Law or any
regulations made under that Law.
(2) Evidence of a relevant contravention of this Law is admissible in any
proceeding for an offence against the primary WHS Law.
(3) Compliance with this Law, or with any requirement imposed under this
Law, is not, in itself, evidence that a person has complied with the primary WHS
Law or any regulations made under that Law or with a common law duty of
care.
(4) In this section—
primary WHS Law, for a participating jurisdiction, means the
law that is declared by a law of that jurisdiction to be the primary WHS Law for
the purposes of this Law.
Note—
"WHS" stands for workplace health and safety.
Part 4—Performance based
standards
19—Main purpose of this Part
(1) The main purposes of this Part and other associated provisions of this
Law are to enable PBS vehicles that meet a particular performance level to
operate (unless otherwise specified by the responsible Minister) on roads that
are authorised to be used by PBS vehicles that meet or exceed that performance
level.
(2) It is intended that authorisations or exemptions can be granted under
this Law for PBS vehicles.
20—Notification to road authority of PBS design
approval
The Regulator must, as soon as practicable, notify the road authority for
this jurisdiction, in writing, of a PBS design approval, together with a
description of the significant features of the design to which the approval
relates.
21—Notification by responsible Minister of
non-application or restricted application of PBS design
approval
(1) The responsible
Minister for this jurisdiction may notify the Regulator in writing that any
heavy vehicle built to a design that is the subject of a PBS design
approval—
(a) is not to be
permitted to operate in this jurisdiction; or
(b) is only to be
permitted to operate in this jurisdiction subject to stated
conditions.
(2) A notice under this section cannot be about—
(a) a particular person; or
(b) a particular heavy vehicle.
(3) A notice under this section is not valid for the purposes of this Law
if it does not set out reasons for why it has been issued.
(4) On receiving a notice under this section, the Regulator must give a
copy of the notice to the person who was given the PBS design
approval.
(5) On receiving a
notice under this section, the Regulator must accordingly impose on the PBS
design approval—
(a) a condition giving effect to
subsection (1)(a);
or
(b) the stated conditions referred to in
subsection (1)(b).
22—Application for PBS design
approval
(1) An application for a PBS design approval for the design of a type of
heavy vehicle may be made to the Regulator.
(2) In assessing the application, the Regulator must have regard
to—
(a) the approved guidelines relevant to the grant of PBS design approvals;
and
(b) any performance based standards and assessment rules prescribed in the
national regulations for the purposes of this paragraph; and
(c) the advice of the PBS Review Panel in relation to the
application.
(3) Having assessed the application, the Regulator must approve or reject
the application.
(4) The Regulator may
approve the application subject to any condition the Regulator considers
appropriate.
(5) The PBS design approval must state the conditions (if any) to which it
is subject under
subsection (4) or
section 21(5).
23—Application for PBS vehicle
approval
(1) An application for a PBS vehicle approval for a heavy vehicle may be
made to the Regulator.
(2) In assessing the application, the Regulator must have regard
to—
(a) the approved guidelines relevant to the grant of PBS vehicle
approvals; and
(b) any vehicle certification rules prescribed in the national regulations
for the purposes of this paragraph; and
(c) the advice of the PBS Review Panel in relation to the
application.
(3) Having assessed the application, the Regulator must approve or reject
the application.
(4) The Regulator may
approve the application subject to conditions included in the PBS design
approval to which the heavy vehicle is built.
(5) The PBS vehicle approval must state the conditions (if any) to
which—
(a) the PBS vehicle approval is subject under
subsection (4);
and
(b) the relevant PBS design approval is subject under
section 21(5).
(6) A PBS vehicle approval cannot be given for a class 1 heavy vehicle.
24—Exemption from stated vehicle
standards
(1) A PBS vehicle
approval for a heavy vehicle may provide that the vehicle is exempt from stated
vehicle standards.
(2)
Subsection (1) applies
only to vehicle standards of a kind prescribed by the national regulations for
the purposes of this section.
Note—
See
section 60(6).
25—Authorisation of different mass or dimension
requirement
(1) A PBS vehicle approval for a heavy vehicle may provide that the
vehicle is authorised to have a mass limit that exceeds a limit that would
otherwise apply to the vehicle under a prescribed mass requirement.
Note—
See
section 96(4).
(2) A PBS vehicle approval for a heavy vehicle may provide that the
vehicle is authorised to have a dimension that exceeds a dimension limit that
would otherwise apply to the vehicle under a prescribed dimension
requirement.
Note—
See
section 102(4).
26—National regulations
The national regulations may provide for—
(a) the procedures for determining an application for a PBS design
approval or a PBS vehicle approval, including, for example, providing for the
time for making a decision on the application, the fee for the application and
forms relating to the application; and
(b) the procedures for cancelling or modifying a PBS design approval or
PBS vehicle approval; and
(c) performance based standards, and assessment and certification rules,
relating to PBS design approvals or PBS vehicle approvals; and
(d) the appointment, functions and management of persons as PBS assessors
and PBS vehicle certifiers.
Note—
If this Chapter is not to commence at the same time as other provisions of
this Law but at a later time, transitional provisions for this jurisdiction
relating to and consequential on the delayed commencement are intended to be
dealt with by national regulations or by legislation of this
jurisdiction.
Part 1—Preliminary
27—Main purpose of
Chapter 2
The main purpose of this Chapter is to establish a scheme for the national
registration of heavy vehicles that—
(a) allows for the registration of heavy vehicles of a standard and in a
condition that prevents or minimises safety risks; and
(b) recognises that unregistered heavy vehicles may be used on roads in
particular circumstances without posing significant safety risks; and
(c) provides for identifying heavy vehicles and the persons responsible
for them; and
(d) ensures compliance with—
(i) vehicle registration duty legislation; and
(ii) third party insurance legislation.
Part 2—Registration
scheme
Division 1—Preliminary
28—Scheme for registration of heavy
vehicles
(1) The national
regulations may prescribe procedures for the registration of heavy
vehicles.
(2) Without limiting
subsection (1), the
national regulations may prescribe—
(a) the persons who are eligible to have heavy vehicles registered in
their name; and
(b) the heavy vehicles that are eligible to be registered; and
(c) the circumstances in which heavy vehicles may be registered without
conditions; and
(d) the circumstances in which heavy vehicles may be registered subject to
conditions; and
(e) the period for which heavy vehicles may be registered; and
(f) the circumstances in which unregistered heavy vehicle permits may be
issued for heavy vehicles, and conditions that may be imposed on the permits;
and
(g) the charges payable for the registration of heavy vehicles, and
refunds of part of the charges paid for a heavy vehicle’s registration if
the registration is surrendered before it expires; and
(h) requirements about the display of plates and labels on heavy vehicles
to identify the vehicles’ registration; and
(i) matters about—
(i) the renewal of the registration of heavy vehicles; and
(ii) the transfer or surrender of the registration of heavy vehicles;
and
(iii) the amendment, suspension or cancellation of the registration of
heavy vehicles or unregistered heavy vehicle permits for heavy vehicles;
and
(iv) the refusal of the
registration or renewal of the registration, or the suspension or cancellation
of the registration, of heavy vehicles for—
(A) noncompliance with
requirements of vehicle registration duty legislation or third party insurance
legislation of the State or Territory in which a vehicle’s garage address
is located; or
(B) not providing adequate proof of compliance with any of the
requirements referred to in
subsubparagraph (A);
and
(v) without limiting
subparagraph (iv),
the suspension or cancellation of the registration of heavy vehicles
for—
(A) noncompliance with
any of the requirements referred to in that subparagraph if a vehicle’s
garage address changes during the period of registration; or
(B) not providing adequate proof of compliance with any of the
requirements referred to in
subsubparagraph (A);
and
(j) matters about the provision of the Regulator’s services to
States and Territories, under agreements mentioned in
section 658(2)(b),
relating to—
(i) collecting vehicle registration duty; or
(ii) ensuring compliance with third party insurance legislation,
including, for example, by collecting third party insurance premiums.
29—Registration not evidence of
title
The registration of a heavy vehicle under this Law is not evidence of title
to the heavy vehicle.
Division 2—Requirement for heavy vehicle to be
registered
30—Registration requirement
(1) A person must not
use, or permit to be used, on a road—
(a) an unregistered heavy vehicle; or
(b) a heavy vehicle whose registration is suspended under the national
regulations.
Maximum penalty: $10 000.
(2)
Subsection (1) does not
apply to the use of an unregistered heavy vehicle on a road if—
(a) the vehicle is being used under an unregistered heavy vehicle permit;
or
(b) the use of the
vehicle on the road is authorised under
Division 3.
Division 3—Authorised use of unregistered
heavy vehicle
31—Purpose of
Division 3
The purpose of this Division is to state, for the purposes of
section 30(2)(b),
the circumstances in which an unregistered heavy vehicle is authorised to be
used on a road.
32—Unregistered heavy vehicle on journey for
obtaining registration
(1) An unregistered heavy vehicle may be used on a road
when—
(a) any of the following apply:
(i) it is on a journey to the nearest registration place and is travelling
on the most direct and convenient route to the registration place from where the
journey began;
(ii) it is on a journey to the nearest registration place by way of the
nearest inspection place to the registration place and is travelling on the most
direct and convenient route to the inspection place from where the journey
began;
(iii) it is on a journey to the nearest registration place by way of the
nearest inspection place from where the journey began and is travelling on the
most direct and convenient route to the registration place from the inspection
place; and
(b) it does not have any goods in it; and
(c) the requirements (if any) of third party insurance legislation
applying to the vehicle are complied with.
(2) In this section—
inspection place means a place where the heavy vehicle can be
taken for the purpose of inspecting or weighing the vehicle for registration
purposes;
registration place means a place where the heavy vehicle is
required to be taken for the purpose of obtaining registration of the vehicle
(whether or not it is also an inspection place).
33—Unregistered heavy vehicle temporarily in
Australia
(1) An unregistered heavy vehicle may be used on a road
if—
(a) the vehicle—
(i) is temporarily in Australia; and
(ii) is registered in a foreign country; and
(b) the foreign number plates and labels for the vehicle are conspicuously
displayed on the vehicle and in the way (if any) required by a law of the
foreign country; and
(c) so far as is reasonably practicable, the vehicle is used in accordance
with any conditions of the registration in the foreign country; and
(d) the driver of the vehicle keeps in the driver’s possession proof
of an applicable temporary admission carnet; and
(e) the requirements (if any) of third party insurance legislation
applying to the vehicle are complied with.
(2) In this section—
foreign number plates and labels, for a heavy vehicle
registered in a foreign country, means the number plates and labels required,
under a law of the foreign country, to be displayed on the vehicle if it is used
on a road in the foreign country;
temporary admission carnet means a document that is or is of
the same nature as a carnet de passages en douane, relating to the presence in
Australia of a heavy vehicle registered in a foreign country.
34—Unregistered heavy vehicle used for short term
only
(1) An unregistered
heavy vehicle may be used on a road if—
(a) a road authority
has, under a law of a participating jurisdiction, authorised the use of the
vehicle on the road for short-term purposes; and
(b) the short-term number plates for the vehicle are conspicuously
displayed on the vehicle in the way (if any) required under that law;
and
(c) the vehicle is used in accordance with any conditions imposed by the
road authority on the authorisation; and
(d) the requirements (if any) of third party insurance legislation
applying to the vehicle are complied with.
(2) In this section—
short-term number plates, for a heavy vehicle authorised by a
road authority to be used on a road as mentioned in
subsection (1)(a),
means the number plates (usually called ‘trade plates’) issued by
the road authority and required under the law under which the authorisation is
given to be displayed on the vehicle if it is used on a road under the
authorisation.
35—Unregistered heavy vehicle used locally
only
(1) An unregistered heavy vehicle may be used on a road
if—
(a) the vehicle is on a journey between 2 parcels of land used solely, or
mainly, for primary production and is travelling by the most direct or
convenient route between the places; and
(b) for any one use, the total distance travelled on a road is not more
than 500m; and
(c) the requirements (if any) of third party insurance legislation
applying to the vehicle are complied with.
(2) In this section—
primary production means primary production for agriculture
or fishing.
36—Unregistered heavy vehicle that is an
agricultural vehicle
An unregistered heavy vehicle may be used on a road if—
(a) it is—
(i) an agricultural implement being towed by—
(A) an agricultural machine that is registered; or
(B) another registered heavy vehicle; or
(ii) an agricultural trailer being towed by—
(A) an agricultural machine that is being used to perform agricultural
tasks for which it was built and is registered; or
(B) a conditionally registered heavy vehicle; and
(b) the requirements (if any) of third party insurance legislation
applying to the vehicle are complied with.
37—Unregistered heavy vehicle being
towed
An unregistered heavy vehicle may be used on a road if—
(a) it is being lawfully towed by a tow truck; and
(b) the requirements (if any) of third party insurance legislation
applying to the vehicle are complied with.
38—Unregistered heavy vehicle to which exemption
under Division 4 applies
An unregistered heavy vehicle may be used on a road if—
(a) it is of a category of heavy vehicles exempted from the requirement to
be registered under
Division 4; and
(b) it complies with, or is being used in compliance with, any applicable
conditions referred to in
Division 4; and
(c) the requirements (if any) of third party insurance legislation
applying to the vehicle are complied with.
39—Driver to carry proof of compliance with third
party insurance legislation
(1) This section applies if use of an unregistered heavy vehicle in any of
the circumstances referred to in
sections 32 to
38 is dependent on compliance
with the requirements of third party insurance legislation applying to the
vehicle.
(2) A person must not use, or permit to be used, the unregistered heavy
vehicle on a road in any of those circumstances if the driver does not have in
the driver’s possession proof that the requirements of third party
insurance legislation applying to the vehicle are complied with.
Maximum penalty: $3 000.
Division 4—Exemption from requirement to be
registered
Subdivision 1—Exemption by
Regulator
40—Regulator’s power to exempt category of
heavy vehicles from requirement to be registered
(1) The Regulator may,
by Commonwealth Gazette notice complying with
section 44, exempt a
category of heavy vehicles from the requirement to be registered, for a period
of not more than 1 year.
(2) An exemption under
subsection (1) is a
registration exemption.
41—Restriction on grant of registration
exemption
(1) The Regulator may grant a registration exemption under this
Subdivision only if the Regulator is satisfied—
(a) it is not reasonable to require heavy vehicles of the category to be
registered; and
(b) the use of heavy vehicles of the category on a road without being
registered will not pose a significant safety risk.
(2) In deciding whether to grant a registration exemption, the Regulator
must have regard to the approved guidelines for granting registration
exemptions.
42—Conditions of registration
exemption
A registration exemption under this Subdivision may be subject to any
conditions the Regulator considers appropriate, including, for example, 1 or
more of the following conditions:
(a) that a heavy vehicle may be used on a road under the exemption
only—
(i) on stated routes; or
(ii) during stated hours of stated days;
(b) that the driver of a heavy vehicle who is driving the vehicle on a
road under the exemption must keep in the driver’s
possession—
(i) a copy of the Commonwealth Gazette notice for the exemption;
or
(ii) an information sheet about the exemption published by the Regulator
on the Regulator’s website;
(c) that stated signs or other things must be displayed on a heavy vehicle
being used on a road under the exemption.
43—Period for which registration exemption
applies
A registration exemption under this Subdivision—
(a) takes effect—
(i) when the Commonwealth Gazette notice for the exemption is published;
or
(ii) if a later time is stated in the Commonwealth Gazette notice, at the
later time; and
(b) applies for the period stated in the Commonwealth Gazette
notice.
44—Requirements about Commonwealth Gazette
notice
(1) A Commonwealth Gazette notice for a registration exemption under this
Subdivision must state the following:
(a) the category of heavy vehicles to which the exemption
applies;
(b) the conditions of the exemption;
(c) the period for which the exemption applies.
(2) The Regulator must publish a copy of the Commonwealth Gazette notice
on the Regulator’s website.
45—Amendment or cancellation of registration
exemption
(1) Each of the
following is a ground for amending or cancelling a registration exemption
granted under this Subdivision:
(a) the use of heavy
vehicles on a road under the exemption has caused, or is likely to cause, a
significant safety risk;
(b) since the exemption was granted, there has been a change in the
circumstances that were relevant to the Regulator’s decision to grant the
exemption and, had the changed circumstances existed when the exemption was
granted, the Regulator would not have granted the exemption, or would have
granted the exemption subject to conditions or different conditions.
(2) If the Regulator considers a ground exists to amend or cancel a
registration exemption, the Regulator may amend or cancel the exemption by
complying with
subsections (3) to
(5).
(3) The Regulator must
publish a notice in the Commonwealth Gazette, in a newspaper circulating
generally throughout each participating jurisdiction and on the
Regulator’s website—
(a) stating that the Regulator believes a ground mentioned in
subsection (1)(a) or
(b) for amending or
cancelling the exemption exists; and
(b) outlining the facts
and circumstances forming the basis for the belief; and
(c) stating the action the Regulator is proposing to take under this
section (the proposed action); and
(d) inviting persons
who will be affected by the proposed action to make, within a stated time of at
least 14 days after the Commonwealth Gazette notice is published, written
representations about why the proposed action should not be taken.
(4) If, after considering all written representations made under
subsection (3)(d),
the Regulator still considers a ground exists to take the proposed action, the
Regulator may—
(a) if the proposed action was to amend the exemption—amend the
exemption, including, for example, by imposing additional conditions on the
exemption, in a way that is not substantially different from the proposed
action; or
(b) if the proposed action was to cancel the exemption—
(i) amend the exemption, including, for example, by imposing additional
conditions on the exemption; or
(ii) cancel the exemption.
(5) Notice of the
amendment or cancellation must be published—
(a) in—
(i) the Commonwealth Gazette; and
(ii) a newspaper circulating generally throughout each participating
jurisdiction; and
(b) on the Regulator’s website.
(6) The amendment or
cancellation takes effect—
(a) 28 days after the Commonwealth Gazette notice is published;
or
(b) if a later time is stated in the Commonwealth Gazette notice, at the
later time.
46—Immediate suspension
(1) This section applies if the Regulator considers it is necessary to
suspend a registration exemption granted under this Subdivision immediately to
prevent or minimise serious harm to public safety or significant damage to road
infrastructure.
(2) The Regulator may, by publishing a notice as mentioned in
subsection (3)
(immediate suspension notice), immediately suspend the exemption
until the earliest of the following:
(a) the Regulator publishes a notice under
section 45(5)
and the amendment or cancellation takes effect under
section 45(6);
(b) the Regulator cancels the suspension;
(c) the end of 56 days after the day the immediate suspension notice is
published.
(3) The immediate
suspension notice, and (where relevant) notice of the cancellation of the
suspension, must be published—
(a) in—
(i) the Commonwealth Gazette; and
(ii) a newspaper circulating generally throughout each relevant
participating jurisdiction; and
(b) on the Regulator’s website; and
(c) in any other newspaper the Regulator considers appropriate.
Example for the purposes of paragraph (c)—
If the exemption relates to a particular part of a participating
jurisdiction, the Regulator may consider it appropriate to publish the notice in
a newspaper circulating generally in the part.
(4) The suspension, and (where relevant) the cancellation of the
suspension, takes effect immediately after the Commonwealth Gazette notice is
published under
subsection (3).
(5) This section applies despite
section 45.
(6) In this section—
relevant participating jurisdiction, for an exemption granted
under this Subdivision, means a participating jurisdiction in which the whole or
part of an area or route to which the exemption applies is situated.
Subdivision 2—Exemption by national
regulations
47—National regulations exempting heavy vehicles
from requirement to be registered
(1) The national
regulations may provide for the exemption of heavy vehicles from the requirement
to be registered.
(2) An exemption under
subsection (1) is a
registration exemption.
(3) Without limiting
subsection (1), the
national regulations may prescribe matters about—
(a) the registration exemptions for categories of heavy vehicles;
and
(b) the amendment, suspension or cancellation of registration exemptions;
and
(c) the imposition, amendment or cancellation of the conditions (if any)
to which a registration exemption is subject, whether any such condition is
stated in, or is of a kind authorised to be made under, the national
regulations.
Part 3—Vehicle register
48—Vehicle register
(1) The Regulator must keep a register of heavy vehicles (the
vehicle register) that enables the identification of a heavy
vehicle used on a road and of the person who is responsible for it.
(2) The vehicle register must—
(a) be kept in the way prescribed by the national regulations;
and
(b) contain the particulars prescribed by the national
regulations.
(3) The Regulator may include in the vehicle register other information
the Regulator considers reasonable and relevant to the purposes of this
Law.
Part 4—Other provisions relating to
registration
49—Ownership of registration
items
A registration item issued by the Regulator remains the property of the
Regulator.
50—Obtaining registration or registration items by
false statements etc
(1) A person must not
attempt to have a heavy vehicle registered, or to have the registration of a
heavy vehicle renewed or transferred, or to be issued with an unregistered heavy
vehicle permit, under this Law—
(a) by making a statement or representation the person knows is false or
misleading in a material particular; or
(b) in another dishonest way.
Maximum penalty: $10 000.
(2) A person must not,
without a reasonable excuse, possess a registration item
obtained—
(a) by making a statement or representation the person knows is false or
misleading in a material particular; or
(b) in another dishonest way.
Maximum penalty: $10 000.
(3) The registration of a heavy vehicle is void if a person contravenes
subsection (1) in
relation to the registration or the renewal or transfer of the registration of
the vehicle.
(4) A registration item is void if a person contravenes
subsection (2) in
relation to obtaining the item.
51—Replacement and recovery of certain registration
items
(1) This section applies if the Regulator is reasonably satisfied a
registration item (the relevant item) issued by the Regulator for
the purposes of this Law is incorrect, is a duplicate, is of poor quality or is
difficult to read.
(2) The Regulator may
cancel the relevant item and, if the Regulator considers it is
appropriate—
(a) issue a replacement registration item to the registered operator of
the heavy vehicle; or
(b) by notice, require
the registered operator of the heavy vehicle to return the relevant item to the
Regulator.
(3) A person who is
given a notice under
subsection (2)(b)
must comply with the notice, unless the person has a reasonable
excuse.
Maximum penalty: $4 000.
52—Verification of particular
records
(1) This section applies in relation to a heavy vehicle—
(a) registered under this Law; or
(b) the subject of an unregistered heavy vehicle permit.
(2) The Regulator may,
by notice, require a registered operator of the heavy vehicle or the holder of
an unregistered heavy vehicle permit for the vehicle—
(a) to produce
documents about, or otherwise verify, a matter about the vehicle included in the
vehicle register or other records kept by the Regulator for the purposes of this
Law; or
(b) at a stated reasonable time and place, to—
(i) present the heavy vehicle for inspection by the Regulator;
or
(ii) personally attend on the Regulator for identification
purposes.
(3) Without limiting
subsection (2)(a),
the Regulator may require the production of documents or other verification
relating to any of the following:
(a) the identity, description or condition of the heavy vehicle;
(b) the origin or history of the heavy vehicle;
(c) the identity and address of the operator of the heavy
vehicle;
(d) the garage address of the heavy vehicle;
(e) the currency of any compulsory third party insurance required for the
heavy vehicle under third party insurance legislation.
(4) A person given a
notice under
subsection (2) must
comply with the notice, unless the person has a reasonable excuse.
Maximum penalty: $3 000.
Part 5—Written-off and wrecked heavy
vehicles
53—Purpose of
Chapter 2
Part 5
The purpose of this Part is to provide for the collection and recording of
information about written-off or wrecked heavy vehicles to ensure a previously
written-off or wrecked heavy vehicle is registered only if—
(a) the identity of the vehicle and its operator is certain; and
(b) the vehicle is safe.
54—Definitions for
Chapter 2
Part 5
In this Part—
insurer means a body corporate authorised under the
Insurance Act 1973 of the Commonwealth to carry on insurance
business;
wrecked, for a heavy vehicle, means the vehicle
is—
(a) demolished or dismantled; or
(b) in a state or condition prescribed by the national
regulations;
written-off, for a heavy vehicle, means the vehicle cannot
reasonably be expected to be repaired, including because—
(a) an insurer has decided the vehicle should not be repaired;
or
(b) the vehicle is in a state or condition prescribed by the national
regulations.
55—Written-off and wrecked heavy vehicles
register
(1) The Regulator must keep a register of written-off and wrecked heavy
vehicles (the written-off and wrecked vehicles
register).
(2) The written-off and wrecked vehicles register must—
(a) be kept in the way prescribed by the national regulations;
and
(b) contain the particulars prescribed by the national regulations, to the
extent the particulars apply, for each heavy vehicle that is written-off or
wrecked.
(3) The Regulator may include in the written-off and wrecked vehicles
register other information the Regulator considers reasonable and relevant to
the purpose of this Part.
(4) The national regulations may provide for—
(a) the written-off and wrecked vehicles register to be kept in a form
allowing other entities to make entries in it, and the making of the entries;
and
(b) access to the written-off and wrecked vehicles register by particular
entities, with or without conditions; and
(c) the giving of information contained in the written-off and wrecked
vehicles register to particular entities, with or without conditions;
and
(d) creating an offence of driving written-off and wrecked heavy vehicles;
and
(e) notifying the Regulator about written-off and wrecked heavy
vehicles.
Part 6—Other provisions
56—Regulator may specify GCM in particular
circumstances
(1) This section applies if—
(a) under the national regulations, a person applies for—
(i) the registration or the renewal of the registration of a heavy motor
vehicle; or
(ii) an unregistered heavy vehicle permit for a heavy motor vehicle;
and
(b) the total maximum loaded mass of the heavy motor vehicle and any
vehicles it may lawfully tow at any given time—
(i) is not stated by
the heavy motor vehicle’s manufacturer on the vehicle’s
identification plate or another place on the vehicle; or
(ii) is stated as mentioned in
subparagraph (i) but
is no longer appropriate because the vehicle has been modified since the total
maximum loaded mass was stated as mentioned in
subparagraph (i).
(2) The Regulator may specify the total maximum loaded mass for the heavy
motor vehicle and any vehicles it may lawfully tow at any given time for the
purposes of this Law.
Note—
Under the national regulations—
(a) if the Regulator registers a heavy motor vehicle, the Regulator must
give the registered operator a certificate of registration, and a registration
label, for the vehicle stating the vehicle’s GCM, and record the
vehicle’s GCM in the vehicle register; and
(b) if the Regulator issues an unregistered heavy vehicle permit for a
heavy motor vehicle, the permit must state the vehicle’s GCM, and the
Regulator must record the vehicle’s GCM in the vehicle register.
57—Regulator may specify GVM in particular
circumstances
(1) This section applies if—
(a) under the national regulations, a person applies for—
(i) the registration or the renewal of the registration of a heavy
vehicle; or
(ii) an unregistered heavy vehicle permit for a heavy vehicle;
and
(b) either the vehicle does not have an identification plate or the
vehicle’s maximum loaded mass—
(i) is not stated on the vehicle’s identification plate;
or
(ii) is stated on the vehicle’s identification plate but is no
longer appropriate because the vehicle has been modified since the maximum
loaded mass was stated on the vehicle’s identification plate.
(2) The Regulator may specify the vehicle’s maximum loaded mass for
the purposes of this Law.
Note—
Under the national regulations—
(a) if the Regulator registers a heavy vehicle, the Regulator must give
the registered operator a certificate of registration, and a registration label,
for the vehicle stating the vehicle’s GVM, and record the vehicle’s
GVM in the vehicle register; and
(b) if the Regulator issues an unregistered heavy vehicle permit for a
heavy vehicle, the permit must state the vehicle’s GVM, and the Regulator
must record the vehicle’s GVM in the vehicle register.
Chapter 3—Vehicle
operations—standards and safety
Part 1—Preliminary
58—Main purpose of
Chapter 3
The main purpose of this Chapter is to ensure heavy vehicles used on roads
are of a standard and in a condition that prevents or minimises safety
risks.
Part 2—Compliance with heavy vehicle
standards
Division 1—Requirements
59—Heavy vehicle standards
(1) The national
regulations may prescribe vehicle standards (heavy vehicle
standards) with which heavy vehicles must comply to use roads.
(2) Without limiting
subsection (1), the
heavy vehicle standards may include requirements applying to—
(a) heavy vehicles; or
(b) components of heavy vehicles, including component vehicles that are
not heavy vehicles; or
(c) equipment of heavy vehicles.
(3) The national regulations may prescribe exemptions or different
requirements for component vehicles that are not heavy vehicles.
60—Compliance with heavy vehicle
standards
(1) A person must not
use, or permit to be used, on a road a heavy vehicle that contravenes a heavy
vehicle standard applying to the vehicle.
Maximum penalty:
(a) $3 000, except as provided in
paragraph (b);
or
(b) $6 000, for
contravention of a heavy vehicle standard relating to a speed limiter.
(2)
Subsection (1) does not
apply to—
(a) a heavy vehicle that—
(i) is on a journey to a place for the repair of the vehicle, or any of
its components or equipment, and is travelling on the most direct or convenient
route to that place from the place where the journey began; and
Note for the purposes of subparagraph (i)—
The subparagraph does not operate to exempt a person from complying with
the requirements of a vehicle defect notice applying to the vehicle.
(ii) does not have any goods in it; and
(iii) is used on a road in a way that does not pose a safety risk;
or
(b) a heavy vehicle that—
(i) is on a road for testing or analysis of the vehicle, or any of its
components or equipment, by an approved vehicle examiner for the purpose of
checking its compliance with the heavy vehicle standards; and
(ii) does not have any passengers in it; and
(iii) does not have any goods in it, unless—
(A) it has a quantity of goods that is necessary or appropriate for the
conduct of the testing or analysis; and
(B) without limiting
subparagraph (iv),
there are no reasonable grounds to believe the vehicle laden with those goods
poses a significant safety risk; and
(iv) is used on a road
in a way that does not pose a safety risk.
(3) A person does not
commit an offence against
subsection (1) in
relation to a heavy vehicle’s noncompliance with a heavy vehicle standard
if, and to the extent, the noncompliance relates to a noncompliance known to the
Regulator when the vehicle was registered under the national
regulations.
(4) For the purposes of
subsection (3), the
Regulator is taken to know of a heavy vehicle’s noncompliance with a heavy
vehicle standard when the vehicle was registered under the national regulations
if the noncompliance is mentioned in—
(a) an operations plate that was installed on the vehicle when it was
registered; or
(b) a certificate of approved operations issued for the vehicle and in
force when the vehicle was registered; or
(c) a document obtained by the Regulator under the national regulations in
connection with the registration of the vehicle.
(5)
Subsection (3)
applies only if the heavy vehicle, and its use on a road, complies with the
conditions of the registration.
(6) If a PBS vehicle is
exempt from vehicle standards stated in its PBS vehicle approval but it complies
with the other applicable vehicle standards, the vehicle is regarded for the
purposes of this Law as complying with the vehicle standards applying to the
vehicle.
Note—
See also
section 81(4) to
(6) for the effect of a
vehicle standards exemption on compliance with
subsection (1).
Division 2—Exemptions by Commonwealth Gazette
notice
61—Regulator’s power to exempt category of
heavy vehicles from compliance with heavy vehicle standard
(1) The Regulator may,
by Commonwealth Gazette notice complying with
section 65, exempt, for a
period of not more than 5 years, a category of heavy vehicles from the
requirement to comply with a heavy vehicle standard.
(2) An exemption under
subsection (1) is a
vehicle standards exemption (notice).
62—Restriction on grant of vehicle standards
exemption (notice)
(1) The Regulator may grant a vehicle standards exemption (notice) for a
category of heavy vehicles only if—
(a) 1 of the following applies:
(i) the Regulator is satisfied complying with the heavy vehicle standard
to which the exemption is to apply would prevent heavy vehicles of that category
from operating in the way in which, or for the purpose for which, the vehicles
were built or modified;
(ii) the Regulator is satisfied heavy vehicles of that category are
experimental vehicles, prototypes or similar vehicles that could not reasonably
be expected to comply with the heavy vehicle standard to which the exemption is
to apply;
(iii) the exemption has been requested by a road authority for a
participating jurisdiction for the use of heavy vehicles of that category in
that jurisdiction;
(iv) the category of heavy vehicles consists of heavy vehicles that,
immediately before the commencement of this section in a participating
jurisdiction, were not required to comply with a similar standard at that time
and were—
(A) registered under an Australian road law of that jurisdiction and not
required to comply with a similar standard at that time; or
(B) operating under an unregistered heavy vehicle permit or exemption from
registration (however described) granted or issued under an Australian road law
of that jurisdiction;
(v) the category of heavy vehicles consists of heavy vehicles referred to
in the national regulations for the purposes of this subparagraph; and
(b) the Regulator is satisfied the use of heavy vehicles of the category
to which the exemption is to apply on a road under the exemption will not pose a
significant safety risk.
(2) In deciding whether to grant a vehicle standards exemption (notice),
the Regulator must have regard to the approved guidelines for granting vehicle
standards exemptions.
(3) The national regulations may prescribe additional requirements or
restrictions regarding the granting of a vehicle standards exemption
(notice).
63—Conditions of vehicle standards exemption
(notice)
A vehicle standards exemption (notice) may be subject to any conditions the
Regulator considers appropriate, including, for example—
(a) conditions about protecting road infrastructure from damage;
and
(b) a condition that the driver of a heavy vehicle who is driving the
vehicle under the exemption must keep in the driver’s possession a copy
of—
(i) the Commonwealth Gazette notice for the exemption; or
(ii) an information sheet about the exemption published by the Regulator
on the Regulator’s website.
64—Period for which vehicle standards exemption
(notice) applies
A vehicle standards exemption (notice)—
(a) takes effect—
(i) when the Commonwealth Gazette notice for the exemption is published;
or
(ii) if a later time is stated in the Commonwealth Gazette notice, at the
later time; and
(b) applies for the period stated in the Commonwealth Gazette
notice.
65—Requirements about Commonwealth Gazette
notice
(1) A Commonwealth Gazette notice for a vehicle standards exemption
(notice) must state the following:
(a) the category of heavy vehicles to which the exemption
applies;
(b) the heavy vehicle standard to which the exemption applies;
(c) the conditions of the exemption;
(d) the period for which the exemption applies.
(2) The Regulator must publish a copy of the Commonwealth Gazette notice
on the Regulator’s website.
66—Amendment or cancellation of vehicle standards
exemption (notice)
(1) Each of the
following is a ground for amending or cancelling a vehicle standards exemption
(notice):
(a) the use of heavy
vehicles on a road under the exemption has caused, or is likely to cause, a
significant safety risk;
(b) since the exemption
was granted, there has been a change in circumstances that were relevant to the
Regulator’s decision to grant the exemption and, had the changed
circumstances existed when the exemption was granted, the Regulator would not
have granted the exemption, or would have granted the exemption subject to
conditions or different conditions.
(2) If the Regulator considers a ground exists to amend or cancel a
vehicle standards exemption (notice), the Regulator may amend or cancel the
exemption by complying with
subsections (3) to
(5).
(3) The Regulator must
publish a notice in the Commonwealth Gazette, in a newspaper circulating
generally throughout each participating jurisdiction and on the
Regulator’s website—
(a) stating that the Regulator believes a ground mentioned in
subsection (1)(a) or
(b) for amending or
cancelling the exemption exists; and
(b) outlining the facts and circumstances forming the basis for the
belief; and
(c) stating the action the Regulator is proposing to take under this
section (the proposed action); and
(d) inviting persons
who will be affected by the proposed action to make, within a stated time of at
least 14 days after the Commonwealth Gazette notice is published, written
representations about why the proposed action should not be taken.
(4) If, after considering all written representations made under
subsection (3)(d),
the Regulator still considers a ground exists to take the proposed action, the
Regulator may—
(a) if the proposed action was to amend the exemption—amend the
exemption, including, for example, by imposing additional conditions on the
exemption, in a way that is not substantially different from the proposed
action; or
(b) if the proposed action was to cancel the exemption—
(i) amend the exemption, including, for example, by imposing additional
conditions on the exemption; or
(ii) cancel the exemption.
(5) Notice of the
amendment or cancellation must be published—
(a) in—
(i) the Commonwealth Gazette; and
(ii) a newspaper circulating generally throughout each participating
jurisdiction; and
(b) on the Regulator’s website.
(6) The amendment or
cancellation takes effect—
(a) 28 days after the Commonwealth Gazette notice is published;
or
(b) if a later time is stated in the Commonwealth Gazette notice, at the
later time.
67—Immediate suspension on Regulator’s
initiative
(1) This section applies if the Regulator considers it is necessary to
suspend a vehicle standards exemption (notice) immediately to prevent or
minimise serious harm to public safety or significant damage to road
infrastructure.
(2) The Regulator may, by publishing a notice as mentioned in subsection
(3) (immediate suspension notice), immediately suspend the
exemption until the earliest of the following:
(a) the Regulator publishes a notice under
section 66(5)
and the amendment or cancellation takes effect under
section 66(6);
(b) the Regulator cancels the suspension;
(c) the end of 56 days after the day the immediate suspension notice is
published.
(3) The immediate
suspension notice, and (where relevant) notice of the cancellation of the
suspension, must be published—
(a) in—
(i) the Commonwealth Gazette; and
(ii) a newspaper circulating generally throughout each participating
jurisdiction; and
(b) on the Regulator’s website.
(4) The suspension, and (where relevant) the cancellation of the
suspension, takes effect immediately after the Commonwealth Gazette notice is
published under
subsection (3).
(5) This section applies despite
section 66.
Division 3—Exemptions by
permit
68—Regulator’s power to exempt particular
heavy vehicle from compliance with heavy vehicle standard
(1) The Regulator may,
by giving a person a permit as mentioned in
section 73, exempt a heavy
vehicle from compliance with a heavy vehicle standard for a period of not more
than 3 years.
(2) An exemption under
subsection (1) is a
vehicle standards exemption (permit).
(3) A vehicle standards exemption (permit) may apply to 1 or more heavy
vehicles.
69—Application for vehicle standards exemption
(permit)
(1) A person may apply to the Regulator for a vehicle standards exemption
(permit).
(2) The application must be—
(a) in the approved form; and
(b) accompanied by the prescribed fee for the application.
(3) The Regulator may, by notice given to the applicant for a vehicle
standards exemption (permit), require the applicant to give the Regulator any
additional information the Regulator reasonably requires to decide the
application.
70—Restriction on grant of vehicle standards
exemption (permit)
(1) The Regulator may grant a vehicle standards exemption (permit) for a
heavy vehicle only if—
(a) 1 of the following applies:
(i) the Regulator is satisfied complying with the heavy vehicle standard
to which the exemption is to apply would prevent the heavy vehicle from
operating in the way in which, or for the purpose for which, the vehicle was
built or modified;
(ii) the Regulator is satisfied the heavy vehicle is an experimental
vehicle, prototype or similar vehicle that could not reasonably be expected to
comply with the heavy vehicle standard to which the exemption is to
apply;
(iii) the heavy vehicle, immediately before the commencement of this
section in a participating jurisdiction, was not required to comply with a
similar standard at that time and was—
(A) registered under an Australian road law of that jurisdiction;
or
(B) operating under an unregistered heavy vehicle permit or exemption from
registration (however described) granted or issued under an Australian road law
of that jurisdiction; and
(b) the Regulator is satisfied the use of the heavy vehicle on a road
under the exemption will not pose a significant safety risk.
(2) In deciding whether to grant a vehicle standards exemption (permit),
the Regulator must have regard to the approved guidelines for granting vehicle
standards exemptions.
71—Conditions of vehicle standards exemption
(permit)
A vehicle standards exemption (permit) may be subject to any conditions the
Regulator considers appropriate, including, for example, a condition about
protecting road infrastructure from damage.
72—Period for which vehicle standards exemption
(permit) applies
(1) A vehicle standards exemption (permit) applies for the period stated
in the permit for the exemption.
(2) The period may be less than the period sought by the applicant for the
vehicle standards exemption (permit).
73—Permit for vehicle standards exemption (permit)
etc
(1) If the Regulator grants a vehicle standards exemption (permit) to a
person, the Regulator must give the person—
(a) a permit for the exemption; and
(b) if the Regulator has imposed conditions on the exemption under
section 71 or has granted
the exemption for a period less than the period of not more than 3 years
sought by the person—an information notice for the decision to impose the
conditions or grant the exemption for the shorter period.
(2) A permit for a vehicle standards exemption (permit) must state the
following:
(a) the name of the person to whom the permit is given;
(b) each heavy vehicle to which the exemption applies, including the
registration number of the vehicle if known when the permit is given;
(c) the heavy vehicle standard to which the exemption applies;
(d) the conditions of the exemption;
(e) the period for which the exemption applies.
74—Refusal of application for vehicle standards
exemption (permit)
If the Regulator refuses an application for a vehicle standards exemption
(permit), the Regulator must give the applicant an information notice for the
decision to refuse the application.
75—Amendment or cancellation of vehicle standards
exemption (permit) on application by permit holder
(1) The holder of a permit for a vehicle standards exemption (permit) may
apply to the Regulator for an amendment or cancellation of the
exemption.
(2) The application must—
(a) be in the approved form; and
(b) be accompanied by the prescribed fee for the application;
and
(c) if the application is for an amendment—state clearly the
amendment sought and the reasons for the amendment; and
(d) be accompanied by the permit.
(3) The Regulator may, by notice given to the applicant, require the
applicant to give the Regulator any additional information the Regulator
reasonably requires to decide the application.
(4) The Regulator must decide the application as soon as practicable after
receiving it.
(5) If the Regulator decides to grant the application—
(a) the Regulator must give the applicant notice of the decision;
and
(b) the amendment or cancellation takes effect—
(i) when notice of the decision is given to the applicant; or
(ii) if a later time is stated in the notice, at the later time;
and
(c) if the Regulator amended the exemption, the Regulator must give the
applicant a replacement permit for the exemption as amended.
(6) If the Regulator decides not to amend or cancel the exemption as
sought by the applicant, the Regulator must—
(a) give the applicant an information notice for the decision;
and
(b) return the permit for the exemption to the applicant.
76—Amendment or cancellation of vehicle standards
exemption (permit) on Regulator’s initiative
(1) Each of the following is a ground for amending or cancelling a vehicle
standards exemption (permit):
(a) the exemption was granted because of a document or representation that
was—
(i) false or misleading; or
(ii) obtained or made in an improper way;
(b) the holder of the permit for the exemption has contravened a condition
of the exemption;
(c) the use of a heavy vehicle on a road under the exemption has caused,
or is likely to cause, a significant safety risk;
(d) since the exemption was granted, there has been change in the
circumstances that were relevant to the Regulator’s decision to grant the
exemption and, had the changed circumstances existed when the exemption was
granted, the Regulator would not have granted the exemption, or would have
granted the exemption subject to conditions or different conditions.
(2) If the Regulator
considers a ground exists to amend or cancel a vehicle standards exemption
(permit) (the proposed action), the Regulator must give the holder
of the permit for the exemption a notice—
(a) stating the proposed action; and
(b) stating the ground for the proposed action; and
(c) outlining the facts and circumstances forming the basis for the
ground; and
(d) if the proposed action is to amend the exemption (including a
condition of the exemption)—stating the proposed amendment; and
(e) inviting the holder
to make, within a stated time of at least 14 days after the notice is given
to the holder, written representations about why the proposed action should not
be taken.
(3) If, after considering all written representations made under
subsection (2)(e),
the Regulator still considers a ground exists to take the proposed action, the
Regulator may—
(a) if the proposed action was to amend the exemption—amend the
exemption, including, for example, by imposing additional conditions on the
exemption, in a way that is not substantially different from the proposed
action; or
(b) if the proposed action was to cancel the exemption—
(i) amend the exemption, including, for example, by imposing additional
conditions on the exemption; or
(ii) cancel the exemption.
(4) The Regulator must
give the holder an information notice for the decision to amend or cancel the
exemption.
(5) The amendment or
cancellation takes effect—
(a) when the information notice is given to the holder; or
(b) if a later time is stated in the information notice, at the later
time.
77—Immediate suspension on Regulator's
initiative
(1) This section applies if the Regulator considers it is necessary to
suspend a vehicle standards exemption (permit) immediately to prevent or
minimise serious harm to public safety or significant damage to road
infrastructure.
(2) The Regulator may, by notice (immediate suspension
notice) given to the person to whom the permit was given, immediately
suspend the exemption until the earliest of the following:
(a) the Regulator gives the person an information notice under
section 76(4) and
the amendment or cancellation takes effect under
section 76(5);
(b) the Regulator cancels the suspension;
(c) the end of 56 days after the day the immediate suspension notice is
given to the person.
(3) This section applies despite
sections 75 and
76.
78—Minor amendment of vehicle standards exemption
(permit)
The Regulator may, by notice given to the holder of a permit for a vehicle
standards exemption (permit), amend the exemption in a minor
respect—
(a) for a formal or clerical reason; or
(b) in another way that does not adversely affect the holder’s
interests.
79—Return of permit
(1) If a person’s vehicle standards exemption (permit) is amended or
cancelled, the Regulator may, by notice, require the person to return the
person’s permit for the exemption to the Regulator.
(2) The person must comply with the notice within 7 days after the
notice is given to the person or, if a longer period is stated in the notice,
within the longer period.
Maximum penalty: $4 000.
(3) If the exemption has been amended, the Regulator must give the person
a replacement permit for the exemption as amended.
80—Replacement of defaced etc
permit
(1) If a person’s
permit for a vehicle standards exemption (permit) is defaced, destroyed, lost or
stolen, the person must, as soon as reasonably practicable after becoming aware
of the matter, apply to the Regulator for a replacement permit.
Maximum penalty: $4 000.
(2) If the Regulator is satisfied the permit has been defaced, destroyed,
lost or stolen, the Regulator must give the person a replacement permit as soon
as practicable.
(3) If the Regulator decides not to give the person a replacement permit,
the Regulator must give the person an information notice for the
decision.
(4)
Subsection (1) does not
apply to a vehicle standards exemption (permit) for which an application to
cancel the permit has been made and is pending determination.
Division 4—Operating under vehicle standards
exemption
81—Contravening condition of vehicle standards
exemption
(1) A person must not
contravene a condition of a vehicle standards exemption.
Maximum penalty: $3 000.
(2) A person must not
use, or permit to be used, on a road a heavy vehicle that contravenes a
condition of a vehicle standards exemption applying to the vehicle.
Maximum penalty: $3 000.
(3) A person must not
use a heavy vehicle, or permit a heavy vehicle to be used, on a road in a way
that contravenes a condition of a vehicle standards exemption applying to the
vehicle.
Maximum penalty: $3 000.
(4) A person does not
commit an offence against this Law in relation to a heavy vehicle contravening a
heavy vehicle standard if—
(a) the heavy vehicle is exempt, under a vehicle standards exemption, from
compliance with the heavy vehicle standard; and
(b) the heavy vehicle, and its use on a road, complies with the conditions
of the exemption.
(5) However, if a
person commits a condition offence in relation to the exemption—
(a) the exemption does not operate in the person’s favour while the
contravention constituting the offence continues; and
(b) the exemption must be disregarded in deciding whether the person has
committed an offence in relation to a contravention of a heavy vehicle standard
applying to a heavy vehicle.
(6) If, because of the
operation of
subsection (5), a
person commits an offence against a provision of this Law (the other
offence provision) in relation to a heavy vehicle standard to which the
exemption applies, the person—
(a) may be charged with the condition offence or an offence against the
other offence provision; but
(b) must not be charged with both offences.
(7)
Subsection (1) does not
apply to a condition mentioned in
section 82(1).
(8) In this section—
condition offence means an offence against
subsection (1),
(2) or
(3).
82—Keeping relevant document while driving under
vehicle standards exemption (notice)
(1) This section
applies if a vehicle standards exemption (notice) is subject to the condition
that the driver of a heavy vehicle who is driving the vehicle under the
exemption must keep a relevant document in the driver’s
possession.
(2) A driver of the
heavy vehicle who is driving the vehicle under the vehicle standards exemption
(notice) must comply with the condition.
Maximum penalty: $3 000.
(3) If the driver of a
heavy vehicle commits an offence against
subsection (2), each
relevant party for the driver is taken to have committed an offence against this
subsection.
Maximum penalty: $3 000.
(4) A person charged with an offence against
subsection (3) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (3), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See Divisions 1 and 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(6) In a proceeding for an offence against
subsection (3)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the offence against
subsection (2);
and
(b) evidence a court has convicted the driver of the offence against
subsection (2) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
offence against
subsection (2) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the infringement notice.
(7) In this section—
relevant document, for a vehicle standards exemption
(notice), means a copy of—
(a) the Commonwealth Gazette notice for the exemption; or
(b) an information sheet about the exemption published by the Regulator on
the Regulator’s website;
relevant party, for the driver of a heavy vehicle,
means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making a journey for the
operator.
83—Keeping copy of permit while driving under
vehicle standards exemption (permit)
(1) The driver of a
heavy vehicle who is driving the vehicle under a vehicle standards exemption
(permit) must keep a copy of the permit for the exemption in the driver’s
possession.
Maximum penalty: $3 000.
(2) If the driver of a heavy vehicle is driving the vehicle under a
vehicle standards exemption (permit) granted to a relevant party for the driver
and the relevant party has given the driver a copy of a permit for the purpose
of
subsection (1), the
driver must, as soon as reasonably practicable, return the copy to the relevant
party if the driver stops working for the relevant party.
Maximum penalty: $3 000.
(3) If the driver of a
heavy vehicle commits an offence against
subsection (1), each
relevant party for the driver is taken to have committed an offence against this
subsection.
Maximum penalty: $3 000.
(4) A person charged with an offence against
subsection (3) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (3), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(6) In a proceeding for an offence against
subsection (3)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the offence against
subsection (1);
and
(b) evidence a court has convicted the driver of the offence against
subsection (1) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
offence against
subsection (1) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the infringement notice.
(7) In this section—
relevant party, for the driver of a heavy vehicle,
means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making a journey for the
operator.
Part 3—Modifying heavy
vehicles
84—Definition for
Part 3
In this Part—
modification, of a heavy vehicle, means an alteration to the
vehicle resulting in—
(a) noncompliance with an applicable heavy vehicle standard; or
(b) a departure from an applicable vehicle standards exemption, unless the
departure brings the vehicle into full compliance with all relevant heavy
vehicle standards (even if the departure complies with a particular heavy
vehicle standard).
85—Modifying heavy vehicle requires
approval
(1) A person must not modify a heavy vehicle unless the modification has
been approved by—
(a) an approved vehicle examiner under
section 86; or
(b) the Regulator under
section 87.
Maximum penalty: $3 000.
(2) A person must not use, or permit to be used, on a road a heavy vehicle
that has been modified unless the modification has been approved
by—
(a) an approved vehicle examiner under
section 86; or
(b) the Regulator under
section 87.
Maximum penalty: $3 000.
86—Approval of modifications by approved vehicle
examiners
(1) An approved vehicle examiner may, if authorised to do so under the
national regulations, approve a modification of a heavy vehicle if, and only if,
the modification complies with a code of practice prescribed by the national
regulations for the purposes of this section.
(2) If an approved
vehicle examiner approves a modification of a heavy vehicle, the examiner
must—
(a) give a certificate approving the modification, in the approved form,
to—
(i) the registered operator of the vehicle; or
(ii) if there is no registered operator of the vehicle—an owner of
the vehicle; and
(b) ensure a plate or
label that complies with
subsection (3) is
fitted or affixed to a conspicuous part of the vehicle.
Maximum penalty: $3 000.
(3) For the purposes of
subsection (2)(b), a
plate or label complies with this subsection if—
(a) it is of a type approved by the Regulator; and
(b) it is stamped, engraved or marked so as to display information that
relates to the modification and that is—
(i) approved by the Regulator; or
(ii) prescribed by the national regulations for the purposes of this
section.
87—Approval of modification by
Regulator
(1) The Regulator may
approve a modification of a heavy vehicle if the Regulator is
satisfied—
(a) the use on a road of the modified vehicle will not pose a significant
safety risk; and
(b) as to either or both of the following (as relevant)—
(i) the modified
vehicle will comply with applicable noise and emission standards prescribed by
national regulations, except as provided by
subparagraph (ii);
(ii) the Regulator has
exempted the modified vehicle from a noise or emission standard referred to in
subparagraph (i) and
the Regulator is satisfied that the modified vehicle complies with the
requirements of the exemption.
(2)
Subsection (1) applies
whether or not the modification complies with a code of practice prescribed by
the national regulations prescribed for the purposes of this section.
(3) If the Regulator
approves a modification of a heavy vehicle, the Regulator must—
(a) give a certificate approving the modification, in the approved form,
to—
(i) the registered operator of the vehicle; or
(ii) if there is no registered operator of the vehicle—an owner of
the vehicle; and
(b) ensure a plate or
label that complies with
subsection (4) is
fitted or affixed to a conspicuous part of the vehicle.
(4) For the purposes of
subsection (3)(b), a
plate or label complies with this subsection if—
(a) it is of a type approved by the Regulator; and
(b) it is stamped, engraved or marked so as to display information that
relates to the modification and that is—
(i) approved by the Regulator; or
(ii) prescribed by the national regulations for the purposes of this
section.
88—National regulations for heavy vehicle
modification
The national regulations may provide for any matter relating to the
modification of heavy vehicles.
Part 4—Other offences
89—Safety requirement
(1) A person must not
use, or permit to be used, on a road a heavy vehicle that is unsafe.
Maximum penalty: $6 000.
(2) For the purposes of
subsection (1), a
heavy vehicle is unsafe only if the condition of the vehicle, or any of its
components or equipment—
(a) makes the use of the vehicle unsafe; or
(b) endangers public safety.
(3)
Subsection (1) does not
apply to a heavy vehicle for which a vehicle defect notice is in force and that
is being moved in accordance with the terms of the notice.
90—Requirement about properly operating emission
control system
(1) A person must not use, or permit to be used, on a road a heavy vehicle
that is not fitted with an emission control system for each relevant emission if
and as required by an applicable heavy vehicle standard.
Maximum penalty: $3 000.
(2) A person must not
use, or permit to be used, on a road a heavy vehicle fitted with an emission
control system that is not operating in accordance with the manufacturer's
design.
Maximum penalty: $3 000.
(3) A person must not
use, or permit to be used, on a road a heavy vehicle fitted with an emission
control system if the operation of the system results in a failure to comply
with an applicable heavy vehicle standard (whether in relation to the vehicle or
in relation to the system).
Maximum penalty: $3 000.
(4)
Subsections (2) and
(3) do not apply to a
heavy vehicle that—
(a) is on a journey to a place for the repair of the emission control
system or any of the vehicle’s components or equipment that affect the
operation of the emission control system; and
(b) is travelling on the most direct or convenient route to that place
from the place where the journey began.
(5) The national regulations may prescribe testing standards for relevant
emissions from heavy vehicles.
(6) In this section—
emission control system means a device or system fitted to a
heavy vehicle that reduces the emission of a relevant emission from the
vehicle.
91—Person must not tamper with emission control
system fitted to heavy vehicle
(1) A person must not
tamper with an emission control system fitted to a heavy vehicle.
Maximum penalty: $10 000.
(2) An operator of a
heavy vehicle must not use or permit the vehicle to be used on a road if the
vehicle is fitted with an emission control system that the operator knows or
ought reasonably to know has been tampered with in contravention of
subsection (1).
Maximum penalty: $10 000.
(3)
Subsection (1) does not
apply to—
(a) conduct associated with repairing a malfunctioning emission control
system or maintaining an emission control system; or
(b) an authorised officer when exercising functions under this
Law.
(4)
Subsection (2) does not
apply to a heavy vehicle that—
(a) is on a journey to a place for the repair of the emission control
system or any of the vehicle’s components or equipment that affect the
operation of the emission control system; and
(b) is travelling on the most direct or convenient route to that place
from the place where the journey began.
(5) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(6) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(7) In this section—
emission control system means a device or system fitted to a
heavy vehicle that reduces the emission of a relevant emission from the
vehicle;
tamper, with an emission control system fitted to a heavy
vehicle, means alter, damage, remove, override or otherwise interfere
with—
(a) the system in a way that renders the system totally ineffective or
less effective than as provided by an applicable heavy vehicle standard or (in
the absence of an applicable heavy vehicle standard) as designed; or
(b) the vehicle or any component of the vehicle in a way that renders the
system totally ineffective or less effective than as provided by an applicable
heavy vehicle standard or (in the absence of an applicable heavy vehicle
standard) as designed.
92—Display of warning signs required by heavy
vehicle standards on vehicles to which the requirement does not
apply
(1) This section applies if, under the heavy vehicle standards, a warning
sign is required to be displayed on a heavy vehicle of a particular type, size
or configuration.
(2) A person must not use, or permit to be used, on a road a heavy vehicle
that has the warning sign displayed on it unless the vehicle is of the
particular type, size or configuration.
Maximum penalty: $3 000.
(3) In this section—
warning sign means a sign indicating that the vehicle to
which it is attached is of a particular type, size or configuration.
Example of warning sign—
A sign (consisting of 1 or more parts) showing the words "LONG VEHICLE" or
"ROAD TRAIN".
93—Person must not tamper with speed limiter fitted
to heavy vehicle
(1) A person must not
tamper with a speed limiter that is required under an Australian road law or by
order of an Australian court to be, and is, fitted to a heavy vehicle.
Maximum penalty: $10 000.
(2) A person must not
fit, or direct the fitting of, a speed limiter to a heavy vehicle in
circumstances where the person knows or ought reasonably to know that the speed
limiter has been tampered with in such a way that, had it been fitted to the
vehicle at the time of the tampering, an offence would have been committed
against
subsection (1).
Maximum penalty: $10 000.
(3) An operator of a
heavy vehicle must not use or permit the vehicle to be used on a road if the
operator knows, or ought reasonably to know, that a speed limiter fitted to the
vehicle, as required under an Australian road law or by order of an Australian
court, has been tampered with in contravention of
subsection (1)
or fitted to the vehicle in contravention of
subsection (2).
Maximum penalty: $10 000.
(4)
Subsections (1) and
(2) do not apply
to—
(a) conduct associated with repairing a malfunctioning speed limiter or
maintaining a speed limiter; or
(b) an authorised officer when exercising functions under this
Law.
(5)
Subsection (3) does not
apply to a heavy vehicle that—
(a) is on a journey to a place for the repair of the speed limiter or any
of the vehicle’s components or equipment that affect the operation of the
speed limiter; and
(b) is travelling on the most direct or convenient route to that place
from the place where the journey began.
(6)
Subsection (3) applies
whether or not a person has been proceeded against or found guilty of an offence
against
subsection (1) or
(2) in relation to the
tampering.
(7) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(8) However, in a
proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(9) In this section—
speed limiter means a device or system that is used to limit
the maximum road speed of a heavy vehicle to which it is fitted and that
complies with any applicable heavy vehicle standard;
tamper, with a speed limiter fitted to a heavy vehicle, means
alter, damage, remove, override or otherwise interfere with the speed limiter in
a way that—
(a) enables the vehicle to be driven at a speed higher than the speed
permitted by an applicable heavy vehicle standard; or
(b) alters, or may alter, any information recorded by the speed limiter;
or
(c) results, or may result, in the speed limiter recording inaccurate
information.
Chapter 4—Vehicle
operations—mass, dimension and loading
Part 1—Preliminary
94—Main purposes of
Chapter 4
(1) The main purposes of this Chapter are—
(a) to improve public safety by decreasing risks to public safety caused
by excessively loaded or excessively large heavy vehicles; and
(b) to minimise any adverse impact of excessively loaded or excessively
large heavy vehicles on road infrastructure or public amenity.
(2) The purposes are
achieved by—
(a) imposing mass
limits for heavy vehicles, particular components of heavy vehicles, and loads on
heavy vehicles; and
(b) imposing restrictions about the size of heavy vehicles and the
projections of loads on heavy vehicles; and
(c) imposing
requirements about securing loads on heavy vehicles; and
(d) restricting access to roads by heavy vehicles of a particular mass,
size or configuration even if the vehicles comply with the mass limits,
restrictions and requirements mentioned in
paragraphs (a) to
(c).
(3) However, this Chapter recognises that the use of particular heavy
vehicles that do not comply with the mass limits, restrictions and requirements
mentioned in
subsection (2)(a) to
(c) may be permitted on
roads in particular circumstances and subject to particular
conditions—
(a) to allow for—
(i) the efficient road transport of goods or passengers by heavy vehicles;
or
(ii) the efficient use of large heavy vehicles that are transporting
neither goods nor passengers and need to use roads for special uses;
and
(b) without compromising the achievement of the purposes.
Part 2—Mass requirements
Division 1—Requirements
95—Prescribed mass
requirements
(1) The national
regulations may prescribe requirements (the prescribed mass
requirements) about the following:
(a) the mass of heavy vehicles;
(b) the mass of components of heavy vehicles.
(2) Without limiting
subsection (1), the
prescribed mass requirements may include the following:
(a) requirements about mass limits relating to—
(i) the tare mass of heavy vehicles; or
(ii) the mass of heavy vehicles together with their loads; or
(iii) the mass on tyres, axles or axle groups of heavy vehicles;
(b) requirements about mass limits relating to axle spacing.
(3) Also, without limiting
subsection (1) or
(2), the prescribed mass
requirements may—
(a) include mass limits that are to apply only to particular areas or
routes; and
(b) authorise or require the Regulator to decide the areas or routes to
which the mass limits are to apply.
(4) The national regulations may prescribe requirements (that are not
prescribed mass requirements) about the use on roads of heavy vehicles under
particular mass limits, including, for example—
(a) a requirement that drivers of heavy vehicles using the vehicles under
mass limits applying only to particular areas or routes decided by the Regulator
must comply with conditions on the use of heavy vehicles on roads under the mass
limits imposed by the Regulator (including conditions required by road managers
for the roads); and
(b) a requirement that drivers of heavy vehicles who are driving the
vehicles under particular mass limits must carry particular documents;
and
(c) a requirement that a particular document or other thing must be
displayed on heavy vehicles used under particular mass limits.
(5) In this section—
tare mass, of a heavy vehicle, means the mass of the vehicle
that—
(a) is ready for service; and
(b) is fitted with all standard equipment, together with any options that
are fitted; and
(c) is unoccupied and unladen; and
(d) has all fluid reservoirs (other than for fuel) filled to nominal
capacity; and
(e) has 10 litres of fuel in the fuel reservoir or reservoirs (but
excluding any loaded fuel in excess of 10 litres).
96—Compliance with mass
requirements
(1) A person must not
drive on a road a heavy vehicle that (together with its load) does not, or whose
components do not, comply with the mass requirements applying to the
vehicle.
Maximum penalty:
(a) for a minor risk breach—$4 000; or
(b) for a substantial risk breach—$6 000; or
(c) for a severe risk breach—$10 000, plus an additional
maximum $500 for every additional 1% over a 120% overload (but so that the
additional maximum penalty does not exceed $20 000).
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(4) If a PBS vehicle is
authorised by its PBS vehicle approval to have a mass limit that exceeds a limit
that would otherwise apply to the vehicle under a prescribed mass requirement,
the authorised limit is taken to be the applicable limit, and the vehicle is
regarded for the purposes of this Law as complying with the prescribed mass
requirement.
Division 2—Categories of breaches of mass
requirements
97—Definitions for Division 2
In this Division—
severe risk breach lower limit, for a particular mass
requirement applying to a heavy vehicle, means a mass equalling 120% of the
maximum mass (rounded up to the nearest 0.1t) permitted for the vehicle under
that mass requirement;
substantial risk breach lower limit, for a particular mass
requirement applying to a heavy vehicle, means the higher of the
following:
(a) a mass equalling 105% of the maximum mass (rounded up to the nearest
0.1t) permitted for the vehicle under that mass requirement;
(b) 0.5t.
98—Minor risk breach
A contravention of a mass requirement applying to a heavy vehicle is a
minor risk breach if the subject matter of the contravention is
less than the substantial risk breach lower limit for the requirement.
99—Substantial risk breach
A contravention of a mass requirement applying to a heavy vehicle is a
substantial risk breach if the subject matter of the contravention
is—
(a) equal to or greater than the substantial risk breach lower limit for
the requirement; and
(b) less than the severe risk breach lower limit for the
requirement.
100—Severe risk breach
A contravention of a mass requirement applying to a heavy vehicle is a
severe risk breach if the subject matter of the contravention is
equal to or greater than the severe risk breach lower limit for the
requirement.
Part 3—Dimension
requirements
Division 1—Requirements
101—Prescribed dimension
requirements
(1) The national
regulations may prescribe requirements (the prescribed dimension
requirements) about the following:
(a) the dimensions of a heavy vehicle (together with its
equipment);
(b) the dimensions of a component of a heavy vehicle;
(c) the dimensions of a heavy vehicle’s load.
(2) Without limiting
subsection (1), the
prescribed dimension requirements may include requirements about the
following:
(a) the dimensions of a heavy vehicle (together with its equipment)
disregarding its load;
(b) the dimensions of a heavy vehicle together with its equipment and
load;
(c) the dimensions by which a heavy vehicle’s load projects from the
vehicle;
(d) the internal measurements of a heavy vehicle, including, for
example—
(i) the distance between components of the vehicle; and
(ii) for a combination, the distance between—
(A) the component vehicles of the combination; or
(B) a component vehicle of the combination and a component of another
component vehicle of the combination.
(3) The national regulations may also prescribe requirements (that are not
prescribed dimension requirements) about the use of a vehicle to which a
dimension requirement applies, including, for example, requirements about the
use of signs and warning devices.
102—Compliance with dimension
requirements
(1) A person must not
drive on a road a heavy vehicle that (together with its load) does not, or whose
components do not or whose load does not, comply with the dimension requirements
applying to the vehicle.
Maximum penalty:
(a) if the heavy vehicle does not have goods or passengers in
it—$3 000; or
(b) if the heavy vehicle has goods or passengers in it—
(i) for a minor risk breach—$3 000; or
(ii) for a substantial risk breach—$5 000; or
(iii) for a severe risk breach—$10 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(4) If a PBS vehicle is
authorised by its PBS vehicle approval to have a dimension that exceeds a
dimension limit that would otherwise apply to the vehicle under a prescribed
dimension requirement, the authorised dimension is taken to be the applicable
dimension, and the vehicle is regarded for the purposes of this Law as complying
with the prescribed dimension requirement.
Division 2—Categories of breaches of dimension
requirements
103—Application of Division 2
This Division applies to a heavy vehicle only while it is carrying goods or
passengers.
104—Definitions for Division 2
In this Division—
severe risk breach lower limit means—
(a) for a particular dimension requirement applying to a heavy vehicle
relating to its length—the length equalling the maximum length permitted
for the vehicle under the dimension requirement plus 600mm; or
(b) for a particular dimension requirement applying to a heavy vehicle
relating to its width—the width equalling the maximum width permitted for
the vehicle under the dimension requirement plus 80mm; or
(c) for a particular dimension requirement applying to a heavy vehicle
relating to its height—the height equalling the maximum height permitted
for the vehicle under the dimension requirement plus 300mm; or
(d) for a particular dimension requirement applying to a heavy vehicle
relating to its load projection—the projection of the vehicle’s load
equalling the maximum load projection permitted from any side of the vehicle
under the dimension requirement plus 80mm;
substantial risk breach lower limit means—
(a) for a particular dimension requirement applying to a heavy vehicle
relating to its length—the length equalling the maximum length permitted
for the vehicle under the dimension requirement plus 350mm; or
(b) for a particular dimension requirement applying to a heavy vehicle
relating to its width—the width equalling the maximum width permitted for
the vehicle under the dimension requirement plus 40mm; or
(c) for a particular dimension requirement applying to a heavy vehicle
relating to its height—the height equalling the maximum height permitted
for the vehicle under the dimension requirement plus 150mm; or
(d) for a particular dimension requirement applying to a heavy vehicle
relating to its load projection—the projection of the vehicle’s load
equalling the maximum load projection permitted from any side of the vehicle
under the dimension requirement plus 40mm.
105—Minor risk breach
A contravention of a dimension requirement applying to a heavy vehicle is a
minor risk breach if the subject matter of the contravention is
less than the substantial risk breach lower limit for the requirement.
Note—
See also
section 108(2).
106—Substantial risk breach
(1) A contravention of
a dimension requirement applying to a heavy vehicle is a substantial risk
breach if—
(a) the subject matter
of the contravention is—
(i) equal to or greater than a substantial risk breach lower limit for the
requirement; and
(ii) less than the severe risk breach lower limit for the requirement;
or
(b) the requirement is a substantial risk breach of a dimension
requirement under
subsection (2) or
(3).
(2) A contravention of
a dimension requirement applying to a heavy vehicle relating to its length is a
substantial risk breach if—
(a) the contravention would only be a minor risk breach of the dimension
requirement if this subsection were not enacted; and
(b) either—
(i) the rear of the vehicle’s load does not carry a sign or warning
device required by the national regulations; or
(ii) the vehicle’s load projects in a way that is dangerous to
persons or property.
(3) A contravention of
a dimension requirement applying to a heavy vehicle relating to its width is a
substantial risk breach if—
(a) the contravention would only be a minor risk breach of the dimension
requirement if this subsection were not enacted; and
(b) the contravention happens—
(i) at night; or
(ii) in hazardous weather conditions causing reduced visibility.
Note—
See also
section 108(3).
107—Severe risk breach
(1) A contravention of a dimension requirement applying to a heavy vehicle
is a severe risk breach if—
(a) the subject matter of the contravention is equal to or greater than
the severe risk breach lower limit for the dimension requirement; or
(b) the contravention is a severe risk breach of the dimension requirement
under
subsection (2) or
(3).
(2) A contravention of
a dimension requirement applying to a heavy vehicle relating to its length is a
severe risk breach if—
(a) the contravention would only be a substantial risk breach of the
dimension requirement as provided by
section 106(1)(a) if
this subsection were not enacted; and
(b) either—
(i) the rear of the vehicle’s load does not carry a sign or warning
device required by the national regulations; or
(ii) the vehicle’s load projects from it in a way that is dangerous
to persons or property.
(3) A contravention of
a dimension requirement applying to a heavy vehicle relating to its width is a
severe risk breach if—
(a) the contravention would only be a substantial risk breach of the
dimension requirement as provided by
section 106(1)(a) if
this subsection were not enacted; and
(b) either—
(i) the contravention happens—
(A) at night; or
(B) in hazardous weather conditions causing reduced visibility;
or
(ii) the vehicle’s load projects from it in a way that is dangerous
to persons or property.
Division 3—Other provisions relating to load
projections
108—Dangerous projections taken to be contravention
of dimension requirement
(1) This section applies if a heavy vehicle’s load projects in a way
that is dangerous to persons or property even if all dimension requirements, and
all warning and other requirements prescribed by the national regulations, are
met.
(2) The projection of
the load is taken to be—
(a) a contravention of a dimension requirement; and
(b) a minor risk breach of that requirement unless
subsection (3)
applies.
(3) The projection of
the load is taken to be—
(a) a contravention of a dimension requirement; and
(b) a substantial risk breach of that requirement if the contravention
happens—
(i) at night; or
(ii) in hazardous weather conditions causing reduced visibility.
109—Warning signals required for rear projection of
loads
(1) This section applies if—
(a) a load projects more than 1.2m behind a heavy vehicle consisting of
only a motor vehicle; or
(b) a load projects more than 1.2m behind either the towing vehicle or a
trailer in a heavy combination; or
(c) a load projects from a pole-type trailer in a heavy combination;
or
(d) a load projects from a heavy vehicle in a way that it would not be
readily visible to a person following immediately behind the vehicle.
(2) A person must not use the heavy vehicle, or permit the heavy vehicle
to be used, on a road unless—
(a) during the daytime—a brightly coloured red, red and yellow, or
yellow flag at least 300mm by 300mm is fixed to the extreme back of the load;
or
(b) at night—a light showing a clear red light to the back, visible
at a distance of at least 200m, is fixed to the extreme back of the
load.
Maximum penalty: $3 000.
Part 4—Loading
requirements
Division 1—Requirements
110—National regulations may prescribe loading
requirements
(1) The national
regulations may prescribe requirements (the loading requirements)
about securing a load on a heavy vehicle or a component of a heavy
vehicle.
(2) Without limiting
subsection (1), the
loading requirements may include requirements about the restraint or positioning
of a load or any part of it on a motor vehicle or trailer.
111—Compliance with loading
requirements
(1) A person must not
drive on a road a heavy vehicle that does not, or whose load does not, comply
with the loading requirements applying to the vehicle.
Maximum penalty:
(a) for a minor risk breach—$3 000; or
(b) for a substantial risk breach—$5 000; or
(c) for a severe risk breach—$10 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
Division 2—Categories of breaches of loading
requirements
112—Minor risk breach
A contravention of a loading requirement applying to a heavy vehicle is a
minor risk breach if—
(a) the subject matter of the contravention does not involve a loss or
shifting of the load; and
(b) had the subject matter of the contravention involved a loss or
shifting of the load, the loss or shifting of the load would not have been
likely to have involved—
(i) an appreciable safety risk; or
(ii) an appreciable risk of—
(A) damage to road infrastructure; or
(B) causing an adverse effect on public amenity.
113—Substantial risk breach
(1) A contravention of a loading requirement applying to a heavy vehicle
is a substantial risk breach if the subject matter of the
contravention involves a loss or shifting of the load that does not
involve—
(a) an appreciable safety risk; or
(b) an appreciable risk of—
(i) damage to road infrastructure; or
(ii) causing an adverse effect on public amenity.
(2) A contravention of a loading requirement applying to a heavy vehicle
is also a substantial risk breach if—
(a) the subject matter of the contravention does not involve a loss or
shifting of the load; and
(b) had the subject matter of the contravention involved a loss or
shifting of the load, the loss or shifting of the load would have been likely to
have involved—
(i) an appreciable safety risk; or
(ii) an appreciable risk of—
(A) damage to road infrastructure; or
(B) causing an adverse effect on public amenity.
114—Severe risk breach
A contravention of a loading requirement applying to a heavy vehicle is a
severe risk breach if the subject matter of the contravention
involves a loss or shifting of the vehicle’s load that
involves—
(a) an appreciable safety risk; or
(b) an appreciable risk of—
(i) damage to road infrastructure; or
(ii) causing an adverse effect on public amenity.
Division 3—Evidentiary
provision
115—Proof of contravention of loading
requirement
(1) In a proceeding for an offence against
Division 1—
(a) evidence that a load on a heavy vehicle was not placed, secured or
restrained in a way that met a performance standard stated in the Load
Restraint Guide as in force at the time of the offence is evidence the load
was not placed, secured or restrained in compliance with a loading requirement
applying to the vehicle; and
(b) evidence that a load, or part of a load, has fallen off a heavy
vehicle is evidence that the load was not properly secured; and
(c) a court must presume a document purporting to be the Load Restraint
Guide as in force at the time of the offence is the Load Restraint
Guide as in force at the time of the offence, until the contrary is
proved.
(2) In this section—
Load Restraint Guide means a document of that name prepared
by the National Transport Commission and published in the Commonwealth Gazette,
from time to time.
Note—
The Load Restraint Guide may be accessed on the National Transport
Commission’s website at <www.ntc.gov.au>.
Part 5—Exemptions for particular overmass or
oversize vehicles
Division 1—Preliminary
116—Class 1 heavy vehicles and class 3 heavy
vehicles
(1) A heavy vehicle is
a class 1 heavy vehicle if it, together with its load, does not
comply with a prescribed mass requirement or prescribed dimension requirement
applying to it, and—
(a) it is a special purpose vehicle; or
(b) it is an agricultural vehicle other than an agricultural trailer;
or
Note—
See
subsection (2) for
agricultural trailers.
(c) it—
(i) is a heavy vehicle carrying, or designed for the purpose of carrying,
a large indivisible item, including, for example, a combination including a low
loader; but
(ii) is not a road train or B-double, or carrying a freight container
designed for multi-modal transport.
(2) An agricultural
trailer is a class 1 heavy vehicle, irrespective of whether it,
together with its load, does or does not comply with a prescribed mass
requirement or prescribed dimension requirement applying to it.
(3) A heavy vehicle is
a class 3 heavy vehicle if—
(a) it, together with its load, does not comply with a prescribed mass
requirement or prescribed dimension requirement applying to it; and
(b) it is not a class 1 heavy vehicle.
(4) In this section—
concrete pump means a vehicle with a component that can be
used to transfer liquid concrete by pumping;
large indivisible item means an item that—
(a) cannot be divided without extreme effort, expense or risk of damage to
it; and
(b) cannot be carried on any heavy vehicle without contravening a mass
requirement or dimension requirement;
low loader means a trailer with a loading deck no more than
1m above the ground;
special purpose vehicle means—
(a) a motor vehicle or trailer, other than an agricultural vehicle or a
tow truck, built for a purpose other than carrying goods; or
(b) a concrete pump or fire truck.
Division 2—Exemptions by Commonwealth Gazette
notice
117—Regulator’s power to exempt category of
class 1 or 3 heavy vehicles from compliance with mass or dimension
requirement
(1) The Regulator may,
by Commonwealth Gazette notice complying with
section 121, exempt, for a
period of not more than 5 years, a stated category of class 1 heavy
vehicles or class 3 heavy vehicles from—
(a) a prescribed mass requirement; or
(b) a prescribed dimension requirement.
(2) An exemption under
subsection (1) is a
mass or dimension exemption (notice).
Note—
See
Division 3 of
Chapter 4 Part 7
in relation to amendment, suspension or cancellation of a mass or dimension
exemption (notice).
118—Restriction on grant of mass or dimension
exemption (notice)
(1) The Regulator may grant a mass or dimension exemption (notice) for a
category of heavy vehicles only if—
(a) the Regulator is satisfied the use of heavy vehicles of that category
on a road under the exemption will not pose a significant risk to public safety;
and
(b) each relevant road manager for the exemption has consented to the
grant; and
(c) the Regulator is satisfied all other consents required for the
exemption under the law of the relevant jurisdiction have been obtained or
given.
(2) In deciding whether to grant a mass or dimension exemption (notice),
the Regulator must have regard to the approved guidelines for granting mass or
dimension exemptions.
119—Conditions of mass or dimension exemption
(notice)
(1) A mass or dimension
exemption (notice)—
(a) must include a condition about the areas or routes to which the
exemption applies; and
(b) is subject to
conditions prescribed by the national regulations for the exemption;
and
(c) must be subject to the road conditions or travel conditions required
by a relevant road manager for the exemption under
section 160 or
161; and
(d) may be subject to any other conditions the Regulator considers
appropriate, including, for example—
(i) conditions about 1
or more matters mentioned in
Schedule 2; and
(ii) without limiting
subparagraph (i),
intelligent access conditions; and
(iii) a condition that the driver of a class 1 heavy vehicle or class 3
heavy vehicle who is driving the vehicle under the exemption must keep in the
driver’s possession a copy of—
(A) the Commonwealth Gazette notice for the exemption; or
(B) an information sheet about the exemption published by the Regulator on
the Regulator’s website.
(2) The condition about
the areas or routes to which the exemption applies may be imposed by stating
that the areas or routes to which the exemption applies are the areas or routes
shown on a stated map prepared by the relevant road authority and published by
the Regulator.
(3) If the condition about the areas or routes to which the exemption
applies is imposed as mentioned in
subsection (2)—
(a) the Regulator or the relevant road authority may amend the stated map
but only by omitting, varying, extending or adding areas or routes to which the
exemption applies, including, for example, by adding additional areas or routes;
and
(b) the Regulator must ensure a copy of the stated map as in force from
time to time is—
(i) made available for inspection, without charge, during normal business
hours at each office of the Regulator; and
(ii) published on the Regulator’s website.
(4) When amending the stated map, the Regulator must comply with the
consent requirements of
Chapter 4
Part 7.
(5) Without limiting the conditions that may be prescribed under
subsection (1)(b),
the national regulations may—
(a) prescribe conditions that are to apply only to particular areas or
roads; and
(b) authorise the Regulator to decide the areas or roads to which the
conditions are to apply.
(6) In this section—
relevant road authority, for a mass or dimension exemption
(notice), means the road authority for the participating jurisdiction in which
the road likely to be travelled under the exemption is situated.
120—Period for which mass or dimension exemption
(notice) applies
A mass or dimension exemption (notice)—
(a) takes effect—
(i) when the Commonwealth Gazette notice for the exemption is published;
or
(ii) if a later time is stated in the Commonwealth Gazette notice, at the
later time; and
(b) applies for the period stated in the Commonwealth Gazette
notice.
121—Requirements about Commonwealth Gazette
notice
(1) A Commonwealth Gazette notice for a mass or dimension exemption
(notice) must state the following:
(a) the category of heavy vehicles to which the exemption
applies;
(b) the mass requirement or dimension requirement to which the exemption
applies;
(c) the areas or routes to which the exemption applies;
(d) the conditions mentioned in
section 119(1)(b),
including, for example, by referencing the relevant provision of the national
regulations;
(e) the road conditions or travel conditions required by a relevant road
manager for the exemption under
section 160 or
161;
(f) the other conditions of the exemption;
(g) the period for which the exemption applies.
(2) The Regulator must publish a copy of the Commonwealth Gazette notice
on the Regulator’s website.
Division 3—Exemptions by
permit
122—Regulator’s power to exempt particular
class 1 or class 3 heavy vehicle from compliance with mass or dimension
requirement
(1) The Regulator may,
by giving a person a permit as mentioned in
section 127, exempt, for a
period of not more than 3 years—
(a) a class 1 heavy vehicle or class 3 heavy vehicle from
compliance with—
(i) a prescribed mass requirement; or
(ii) a prescribed dimension requirement; or
(b) a class 1 heavy vehicle or class 3 heavy vehicle from a requirement
relating to the GCM of the vehicle, if
subsection (2)
applies.
(2) The Regulator may,
under
subsection (1),
exempt a class 1 heavy vehicle or class 3 heavy vehicle that includes 2 or more
prime movers or 2 or more hauling units from compliance with a mass requirement
relating to the GCM of the individual prime movers or hauling units if the total
GCM of the prime movers or hauling units complies with the mass requirement
relating to the GCM of the combined prime movers or hauling units.
(3) An exemption under
subsection (1) is a
mass or dimension exemption (permit).
(4) A mass or dimension exemption (permit) may apply to 1 or more heavy
vehicles.
Note—
See
Division 4 of
Chapter 4 Part 7
in relation to amendment, suspension or cancellation of a mass or dimension
exemption (permit).
123—Application for mass or dimension exemption
(permit)
(1) A person may apply to the Regulator for a mass or dimension exemption
(permit).
(2) The application must be—
(a) in the approved form; and
(b) accompanied by the prescribed fee for the application.
(3) The Regulator may, by notice given to the applicant, require the
applicant to give the Regulator any additional information the Regulator
reasonably requires to decide the application.
124—Restriction on grant of mass or dimension
exemption (permit)
(1) The Regulator may grant a mass or dimension exemption (permit) for a
heavy vehicle only if—
(a) the Regulator is satisfied the use of the heavy vehicle on a road
under the exemption will not pose a significant risk to public safety;
and
(b) each relevant road manager for the exemption has consented to the
grant; and
(c) the Regulator is satisfied all other consents required for the
exemption under the law of the relevant jurisdiction have been obtained by the
applicant or have been otherwise given.
(2) In deciding whether to grant a mass or dimension exemption (permit),
the Regulator must have regard to the approved guidelines for granting mass or
dimension exemptions.
125—Conditions of mass or dimension exemption
(permit)
(1) A mass or dimension
exemption (permit)—
(a) must include a
condition about the areas or routes to which the exemption applies;
and
(b) is subject to
conditions prescribed by the national regulations for the exemption;
and
(c) must be subject to
the road conditions or travel conditions required by a relevant road manager for
the exemption under
section 160 or
161; and
(d) may be subject to
any other conditions the Regulator considers appropriate, including, for
example—
(i) conditions about 1
or more matters mentioned in
Schedule 2; and
(ii) without limiting
subparagraph (i),
intelligent access conditions.
(2) Without limiting the conditions that may be prescribed under
subsection (1)(b),
the national regulations may—
(a) prescribe conditions that are to apply only to particular areas or
roads; and
(b) authorise the Regulator to decide the areas or roads to which the
conditions are to apply.
126—Period for which mass or dimension exemption
(permit) applies
(1) A mass or dimension exemption (permit) applies for the period stated
in the permit for the exemption.
(2) The period may be less than the period sought by the applicant for the
mass or dimension exemption (permit).
127—Permit for mass or dimension exemption (permit)
etc
(1) If the Regulator grants a mass or dimension exemption (permit) to a
person, the Regulator must give the person—
(a) a permit for the exemption; and
(b) if the Regulator has imposed conditions on the exemption under
section 125(1)(a),
(c) or
(d)
or has granted the exemption for a period less than the period of not more than
3 years sought by the person—an information notice for the decision
to impose the conditions or grant the exemption for the shorter
period.
Note—
See
sections 164
and
165 for the requirements
for an information notice relating to the imposition of a road condition or
travel condition at the request of a relevant road manager.
(2) A permit for a mass or dimension exemption (permit) must state the
following:
(a) the name of the person to whom the permit is given;
(b) a description of each heavy vehicle to which the exemption applies,
including the registration number of the vehicle if it is registered;
(c) the mass requirement or dimension requirement to which the exemption
applies;
(d) the areas or routes to which the exemption applies;
(e) the conditions mentioned in
section 125(1)(b),
including, for example, by referencing the relevant provision of the national
regulations;
(f) the road conditions or travel conditions required by a relevant road
manager for the exemption under
section 160 or
161;
(g) the other conditions of the exemption;
(h) the period for which the exemption applies.
128—Refusal of application for mass or dimension
exemption (permit)
If the Regulator refuses an application for a mass or dimension exemption
(permit), the Regulator must give the applicant an information notice for the
decision to refuse the application.
Note—
See
section 166
for the requirements for an information notice relating to a relevant road
manager’s decision not to give consent to the grant of a mass or dimension
exemption (permit).
Division 4—Operating under mass or dimension
exemption
129—Contravening condition of mass or dimension
exemption generally
(1) The driver or
operator of a heavy vehicle being used on a road under a mass or dimension
exemption must not contravene a condition of the exemption.
Maximum penalty: $6 000.
(2) A person must not
use, or permit to be used, on a road a heavy vehicle that contravenes a
condition of a mass or dimension exemption applying to the vehicle.
Maximum penalty: $6 000.
(3) A person must not
use a heavy vehicle, or permit a heavy vehicle to be used, on a road in a way
that contravenes a condition of a mass or dimension exemption applying to the
vehicle.
Maximum penalty: $6 000.
(4) A person does not commit an offence against this Law in relation to a
heavy vehicle contravening a mass requirement or dimension requirement
if—
(a) the vehicle is exempt, under a mass or dimension exemption, from
compliance with the mass requirement or dimension requirement; and
(b) the vehicle, and its use on a road, complies with the conditions of
the exemption.
(5) However, if a
person commits a condition offence—
(a) the exemption does not operate in the person’s favour while the
contravention constituting the offence continues; and
(b) the exemption must be disregarded in deciding—
(i) whether the person has committed an offence in relation to a
contravention of a mass requirement or dimension requirement applying to a heavy
vehicle; and
(ii) the risk category for the contravention.
(6) If, because of the operation of
subsection (5), a
person commits an offence against a provision of this Law (the other
offence provision) in relation to a mass requirement or dimension
requirement to which an exemption under this Part applies, the
person—
(a) may be charged with the condition offence or an offence against the
other offence provision; but
(b) must not be charged with both offences.
(7)
Subsection (1) does not
apply to a condition mentioned in
section 132(1).
(8) In this section—
condition offence means an offence against
subsection (1),
(2) or
(3).
130—Contravening condition of mass or dimension
exemption relating to pilot or escort vehicle
(1) This section applies if a mass or dimension exemption is subject to a
condition requiring a heavy vehicle to which the exemption applies to be
accompanied by a pilot vehicle or escort vehicle while the heavy vehicle is used
on a road.
(2) The driver of the
pilot vehicle or escort vehicle accompanying the heavy vehicle must comply with
the conditions of the mass or dimension exemption about the use of the pilot
vehicle or escort vehicle.
Maximum penalty: $6 000.
(3) If the driver of
the pilot vehicle or escort vehicle commits an offence against
subsection (2), the
operator of the heavy vehicle is taken to have committed an offence against this
subsection.
Maximum penalty: $6 000.
(4) In a proceeding for an offence against
subsection (3)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the offence against
subsection (2);
and
(b) evidence a court has convicted the driver of the offence against
subsection (2) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
offence against
subsection (2) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the infringement notice.
131—Using pilot vehicle with a heavy vehicle that
contravenes certain conditions of mass or dimension
exemption
(1) The driver of a
pilot vehicle must ensure the pilot vehicle does not accompany a heavy vehicle
to which a mass or dimension exemption applies if the heavy vehicle, or its use
on a road, contravenes a condition of the exemption because the heavy
vehicle—
(a) travels on a route not allowed under the exemption; or
(b) travels at a time other than a time allowed under the exemption;
or
(c) is accompanied by fewer than the number of pilot or escort vehicles
required under the exemption.
Maximum penalty: $6 000.
(2) If a person is both the driver of a pilot vehicle accompanying a heavy
vehicle to which a mass or dimension exemption applies and an operator of the
heavy vehicle, the person may, in relation to the heavy vehicle or its use on a
road contravening a condition of the exemption of the kind contemplated by
subsection (1), be
prosecuted under
section 129 or
subsection (1), but
not both.
132—Keeping relevant document while driving under
mass or dimension exemption (notice)
(1) This section
applies if a mass or dimension exemption (notice) is subject to the condition
that the driver of a class 1 heavy vehicle or class 3 heavy vehicle
who is driving the vehicle under the exemption must keep a relevant document in
the driver’s possession.
(2) A driver of the
class 1 heavy vehicle or class 3 heavy vehicle who is driving the
vehicle under the mass or dimension exemption (notice) must comply with the
condition.
Maximum penalty: $3 000.
(3) If the driver of a
class 1 heavy vehicle or class 3 heavy vehicle commits an offence
against
subsection (2), each
relevant party for the driver is taken to have committed an offence against this
subsection.
Maximum penalty: $3 000.
(4) A person charged with an offence against
subsection (3) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (3), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(6) In a proceeding for an offence against
subsection (3)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the offence against
subsection (2);
and
(b) evidence a court has convicted the driver of the offence against
subsection (2) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
offence against
subsection (2) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the infringement notice.
(7) In this section—
relevant document, for a mass or dimension exemption
(notice), means a copy of—
(a) the Commonwealth Gazette notice for the exemption; or
(b) an information sheet about the exemption published by the Regulator on
the Regulator’s website;
relevant party, for the driver of a class 1 heavy
vehicle or class 3 heavy vehicle, means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making a journey for the
operator.
133—Keeping copy of permit while driving under mass
or dimension exemption (permit)
(1) The driver of a
class 1 heavy vehicle or class 3 heavy vehicle who is driving the vehicle
under a mass or dimension exemption (permit) must keep a copy of the permit for
the exemption in the driver’s possession.
Maximum penalty: $3 000.
(2) If the driver of a class 1 heavy vehicle or class 3 heavy vehicle
is driving the vehicle under a mass or dimension exemption (permit) granted to a
relevant party for the driver and the relevant party has given the driver a copy
of a permit for the purpose of
subsection (1), the
driver must, as soon as reasonably practicable, return the copy to the relevant
party if the driver stops working for the relevant party.
Maximum penalty: $4 000.
(3) If the driver of a
class 1 heavy vehicle or class 3 heavy vehicle commits an offence against
subsection (1), each
relevant party for the driver is taken to have committed an offence against this
subsection.
Maximum penalty: $3 000.
(4) A person charged with an offence against
subsection (3) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (3), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(6) In a proceeding for an offence against
subsection (3)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the offence against
subsection (1);
and
(b) evidence a court has convicted the driver of the offence against
subsection (1) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
offence against
subsection (1) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the infringement notice.
(7) In this section—
relevant party, for the driver of a class 1 heavy vehicle or
class 3 heavy vehicle, means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making a journey for the
operator.
Division 5—Other
provision
134—Displaying warning signs on vehicles if not
required by dimension exemption
(1) A heavy vehicle warning sign must not be displayed on a heavy vehicle
unless it is being used under a dimension exemption.
Maximum penalty: $3 000.
(2) A pilot vehicle warning sign must not be displayed on a vehicle unless
it is being used as a pilot vehicle for a heavy vehicle being used under a
dimension exemption.
Maximum penalty: $3 000.
(3) In this section—
dimension exemption means an exemption under this Part from
compliance with a dimension requirement;
heavy vehicle warning sign means a warning sign required
under the national regulations to be attached to a heavy vehicle being used
under a dimension exemption;
pilot vehicle warning sign means a warning sign required
under the national regulations to be attached to a vehicle being used as a pilot
vehicle for a heavy vehicle being used under a dimension exemption.
Part 6—Restricting access to roads by large
vehicles that are not overmass or oversize vehicles
Division 1—Preliminary
135—Main purpose of
Part 6
The main purpose of this Part is to restrict access to roads by heavy
vehicles that, while complying with mass requirements and dimension requirements
applying to them, may, because of their size—
(a) endanger public safety; or
(b) damage road infrastructure; or
(c) adversely affect public amenity.
136—Class 2 heavy vehicles
A heavy vehicle is a class 2 heavy vehicle
if—
(a) it—
(i) complies with the prescribed mass requirements and prescribed
dimension requirements applying to it; and
(ii) is—
(A) a B-double; or
(B) a road train; or
(C) a bus, other than an articulated bus, that is longer than 12.5m;
or
(D) a combination designed and built to carry vehicles on more than 1 deck
that, together with its load is longer than 19m or higher than 4.3m;
or
(E) a motor vehicle, or a combination, that is higher than 4.3m and is
built to carry cattle, sheep, pigs or horses; or
(b) it is a PBS vehicle.
Division 2—Restriction
137—Using class 2 heavy
vehicle
A person must not use a class 2 heavy vehicle, or permit a class 2
heavy vehicle to be used, on a road other than in accordance with a class 2
heavy vehicle authorisation.
Maximum penalty: $6 000.
Division 3—Authorisation by Commonwealth
Gazette notice
138—Regulator’s power to authorise use of all
or stated categories of class 2 heavy vehicles
(1) The Regulator may,
by Commonwealth Gazette notice complying with
section 142, authorise,
for a period of not more than 5 years, the use of all or stated categories
of class 2 heavy vehicles in one or more of the following ways:
(a) in stated areas or on stated routes;
(b) during stated hours of stated days;
(c) in the case of PBS vehicles, in accordance with a stated requirement
that the vehicles are operated in accordance with the conditions contained in a
PBS vehicle approval.
(2) An authorisation
under
subsection (1) is a
class 2 heavy vehicle authorisation (notice).
Note—
See
Division 3 of
Chapter 4 Part 7
in relation to amendment, suspension or cancellation of a class 2 heavy vehicle
authorisation (notice).
139—Restriction on grant of class 2 heavy vehicle
authorisation (notice)
(1) The Regulator may grant a class 2 heavy vehicle authorisation (notice)
only if—
(a) the Regulator is satisfied the use of class 2 heavy vehicles, or
the stated categories of class 2 heavy vehicles, on a road under the
authorisation will not pose a significant risk to public safety; and
(b) each relevant road manager for the authorisation has consented to the
grant; and
(c) the Regulator is satisfied all other consents required for the
authorisation under the law of the relevant jurisdiction have been obtained or
given.
(2) In deciding whether to grant a class 2 heavy vehicle
authorisation (notice), the Regulator must have regard to the approved
guidelines for granting class 2 heavy vehicle authorisations.
140—Conditions of class 2 heavy vehicle
authorisation (notice)
A class 2 heavy vehicle authorisation (notice) may be subject to a
condition that the driver of a class 2 heavy vehicle who is driving the
vehicle under the authorisation must keep in the driver’s possession a
copy of—
(a) the Commonwealth Gazette notice for the authorisation; or
(b) an information sheet about the authorisation published by the
Regulator on the Regulator’s website.
Note—
Section 160
requires the Regulator to impose certain road conditions, and
section 161 requires the
Regulator to impose certain travel conditions.
141—Period for which class 2 heavy vehicle
authorisation (notice) applies
A class 2 heavy vehicle authorisation (notice)—
(a) takes effect—
(i) when the Commonwealth Gazette notice for the authorisation is
published; or
(ii) if a later time is stated in the Commonwealth Gazette notice, at the
later time; and
(b) applies for the period stated in the Commonwealth Gazette
notice.
142—Requirements about Commonwealth Gazette notice
etc
(1) A Commonwealth Gazette notice for a class 2 heavy vehicle
authorisation (notice) must state the following:
(a) that the authorisation applies to all class 2 heavy vehicles or,
if the authorisation only applies to particular categories of class 2 heavy
vehicles, the categories of class 2 heavy vehicles to which the
authorisation applies;
(b) the areas or routes to which the authorisation applies;
(c) the days and hours to which the authorisation applies;
(d) any conditions applying to class 2 heavy vehicles being used on a
road under the authorisation;
(e) the period for which the authorisation applies.
(2) The Commonwealth
Gazette notice may state that the areas or routes to which the authorisation
applies are the areas or routes shown on a stated map prepared by the relevant
road authority and published by the Regulator.
(3) The Regulator must publish a copy of the Commonwealth Gazette notice
on the Regulator’s website.
(4) If the Commonwealth Gazette notice states the areas or routes to which
the authorisation applies as mentioned in
subsection (2)—
(a) the Regulator or the relevant road authority may amend the stated map
but only by omitting, varying or extending the areas or routes to which the
authorisation applies, including, for example, by adding additional areas or
routes; and
(b) the Regulator must ensure a copy of the stated map as in force from
time to time is—
(i) made available for inspection, without charge, during normal business
hours at each office of the Regulator; and
(ii) published on the Regulator’s website.
(5) When amending the stated map, the Regulator must comply with the
consent requirements of
Chapter 4
Part 7.
(6) In this section—
relevant road authority, for a class 2 heavy vehicle
authorisation (notice), means the road authority for the participating
jurisdiction in which the road likely to be travelled under the authorisation is
situated.
Division 4—Authorisation by
permit
143—Regulator’s power to authorise use of a
particular class 2 heavy vehicle
(1) The Regulator may,
by giving a person a permit as mentioned in
section 148, authorise,
for a period of not more than 3 years, the use of a class 2 heavy
vehicle—
(a) in stated areas or on stated routes; and
(b) during stated hours of stated days.
(2) An authorisation
under
subsection (1) is a
class 2 heavy vehicle authorisation (permit).
(3) A class 2 heavy vehicle authorisation (permit) may apply to 1 or more
heavy vehicles.
Note—
See
Division 4 of
Chapter 4 Part 7
in relation to amendment, suspension or cancellation of a class 2 heavy
vehicle authorisation (permit).
144—Application for class 2 heavy vehicle
authorisation (permit)
(1) A person may apply to the Regulator for a class 2 heavy vehicle
authorisation (permit).
(2) The application must be—
(a) in the approved form; and
(b) accompanied by the prescribed fee for the application.
(3) The Regulator may, by notice given to the applicant, require the
applicant to give the Regulator any additional information the Regulator
reasonably requires to decide the application.
145—Restriction on grant of class 2 heavy vehicle
authorisation (permit)
(1) The Regulator may grant a class 2 heavy vehicle authorisation (permit)
for a class 2 heavy vehicle only if—
(a) the Regulator is satisfied the use of the class 2 heavy vehicle
on a road under the authorisation will not pose a significant risk to public
safety; and
(b) each relevant road manager for the authorisation has consented to the
grant; and
(c) the Regulator is satisfied all other consents required for the
authorisation under the law of the relevant jurisdiction have been obtained by
the applicant or have been otherwise given.
(2) In deciding whether to grant a class 2 heavy vehicle
authorisation (permit), the Regulator must have regard to the approved
guidelines for granting class 2 heavy vehicle authorisations.
146—Conditions of a class 2 heavy vehicle
authorisation (permit)
A class 2 heavy vehicle authorisation (permit)—
(a) must be subject to the road conditions or travel conditions required
by a relevant road manager for the authorisation under
section 160 or
161; and
(b) may be subject to any other conditions the Regulator considers
appropriate, including, for example—
(i) conditions about 1
or more matters mentioned in
Schedule 2; and
(ii) without limiting
subparagraph (i),
intelligent access conditions.
147—Period for which class 2 heavy vehicle
authorisation (permit) applies
(1) A class 2 heavy vehicle authorisation (permit) applies for the period
stated in the permit for the authorisation.
(2) The period may be less than the period sought by the applicant for the
class 2 heavy vehicle authorisation (permit).
148—Permit for class 2 heavy vehicle authorisation
(permit) etc
(1) If the Regulator grants a class 2 heavy vehicle authorisation (permit)
to a person, the Regulator must give the person—
(a) a permit for the authorisation; and
(b) if the Regulator has imposed conditions on the authorisation under
section 146 or has granted
the authorisation for a period less than the period of not more than
3 years sought by the person—an information notice for the decision
to impose the conditions or grant the authorisation for the shorter
period.
Note—
See
sections 164
and
165 for the requirements
for an information notice relating to the imposition of a road condition or
travel condition at the request of a relevant road manager.
(2) A permit for a class 2 heavy vehicle authorisation (permit) must state
the following:
(a) the name and address of the person to whom the permit is
given;
(b) if the authorisation applies to particular categories of class 2 heavy
vehicles, the categories of heavy vehicles to which the authorisation
applies;
(c) the areas or routes to which the authorisation applies;
(d) the days and hours to which the authorisation applies;
(e) the road conditions or travel conditions required by a relevant road
manager for the authorisation under
section 160 or
161;
(f) any other conditions applying to a class 2 heavy vehicle being
used on a road under the authorisation;
(g) the period for which the authorisation applies.
149—Refusal of application for class 2 heavy
vehicle authorisation (permit)
If the Regulator refuses an application for a class 2 heavy vehicle
authorisation (permit), the Regulator must give the applicant an information
notice for the decision to refuse the application.
Note—
See
section 166
for the requirements for an information notice relating to a road
manager’s decision not to give consent to the grant of a class 2
heavy vehicle authorisation (permit).
Division 5—Operating under class 2 heavy
vehicle authorisation
150—Contravening condition of class 2 heavy vehicle
authorisation
(1) The driver or
operator of a class 2 heavy vehicle being used on a road under a class 2
heavy vehicle authorisation must not contravene a condition of the
authorisation.
Maximum penalty: $6 000.
(2)
Subsection (1) does not
apply to a condition mentioned in
section 151(1).
151—Keeping relevant document while driving under
class 2 heavy vehicle authorisation (notice)
(1) This section
applies if a class 2 heavy vehicle authorisation (notice) is subject to the
condition that the driver of a class 2 heavy vehicle who is driving the
vehicle under the authorisation must keep a relevant document in the
driver’s possession.
(2) A driver of the
class 2 heavy vehicle who is driving the vehicle under the class 2 heavy
vehicle authorisation (notice) must comply with the condition.
Maximum penalty: $3 000.
(3) If the driver of a
class 2 heavy vehicle commits an offence against
subsection (2),
each relevant party for the driver is taken to have committed an offence against
this subsection.
Maximum penalty: $3 000.
(4) A person charged with an offence against
subsection (3) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (3), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(6) In a proceeding for an offence against
subsection (3)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the offence against
subsection (2);
and
(b) evidence a court has convicted the driver of the offence against
subsection (2) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
offence against
subsection (2) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the infringement notice.
(7) In this section—
relevant document, for a class 2 heavy vehicle authorisation
(notice), means a copy of—
(a) the Commonwealth Gazette notice for the authorisation; or
(b) an information sheet about the authorisation published by the
Regulator on the Regulator’s website;
relevant party, for the driver of a class 2 heavy vehicle,
means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making a journey for the
operator.
152—Keeping copy of permit while driving under
class 2 heavy vehicle authorisation (permit)
(1) The driver of a
class 2 heavy vehicle who is driving the vehicle under a class 2 heavy
vehicle authorisation (permit) must keep a copy of the permit for the
authorisation in the driver’s possession.
Maximum penalty: $3 000.
(2) If the driver of a class 2 heavy vehicle is driving the vehicle under
a class 2 heavy vehicle authorisation (permit) granted to a relevant party
for the driver and the relevant party has given the driver a copy of a permit
for the purpose of
subsection (1), the
driver must, as soon as reasonably practicable, return the copy to the relevant
party if the driver stops working for the relevant party.
Maximum penalty: $4 000.
(3) If the driver of a
class 2 heavy vehicle commits an offence against
subsection (1),
each relevant party for the driver is taken to have committed an offence against
this subsection.
Maximum penalty: $3 000.
(4) A person charged with an offence against
subsection (3) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (3), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(6) In a proceeding for an offence against
subsection (3)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the offence against
subsection (1);
and
(b) evidence a court has convicted the driver of the offence against
subsection (1) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
offence against
subsection (1) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the infringement notice.
(7) In this section—
relevant party, for the driver of a class 2 heavy vehicle,
means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making a journey for the
operator.
153—Keeping copy of PBS vehicle approval while
driving under class 2 heavy vehicle authorisation
(1) A driver of a
class 2 heavy vehicle that is a PBS vehicle who is driving under a
class 2 heavy vehicle authorisation must keep a copy of the PBS vehicle
approval in the driver’s possession.
Maximum penalty: $3 000.
(2) If the driver of a
class 2 heavy vehicle commits an offence against
subsection (1),
each relevant party for the driver is taken to have committed an offence against
this subsection.
Maximum penalty: $3 000.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(5) In a proceeding for an offence against
subsection (2)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the offence against
subsection (1);
and
(b) evidence a court has convicted the driver of the offence against
subsection (1) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
offence against
subsection (1) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the infringement notice.
(6) In this section—
relevant party, for the driver of a class 2 heavy vehicle,
means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making a journey for the
operator.
Part 7—Particular provisions about mass or
dimension authorities
Division 1—Preliminary
154—Definitions for
Chapter 4
Part 7
In this Part—
road condition—
(a) means a condition
directed at—
(i) protecting road
infrastructure; or
(ii) preventing or
minimising an adverse effect on the community arising from noise, emissions or
traffic congestion or from other matters stated in approved guidelines;
or
(iii) preventing or
minimising significant risks to public safety arising from heavy vehicle use
that is incompatible with road infrastructure or traffic conditions;
but
(b) does not include a condition requiring the installation of equipment
or another thing in a vehicle unless the equipment or thing is required to be
installed in the vehicle for an intelligent access condition imposed in
connection with a condition directed at the matters mentioned in
paragraph (a)(i),
(ii) or
(iii);
route assessment, in relation to a mass or dimension
authority, means an assessment of the road infrastructure in the areas or on the
routes to which the authority is to apply to decide the impact the grant of the
authority will have, or is likely to have, on the road infrastructure;
travel condition means a condition directed at ensuring that
access to a stated route or area is limited to either or both of the
following:
(a) stated days or hours (or both);
(b) travel in a stated direction;
vehicle condition means a condition directed at ensuring a
vehicle can operate safely on roads.
Division 2—Obtaining consent of relevant road
managers
155—Application of
Division 2
This Division applies in relation to the Regulator obtaining the consent of
the road manager for a road for the purpose of granting a mass or dimension
authority.
156—Deciding request for consent
generally
(1) If the Regulator
asks a road manager for a road for the road manager’s consent to the grant
of a mass or dimension authority, the road manager must decide to give or not to
give the consent—
(a) within—
(i) 28 days after the request is made, unless
subparagraph (ii)
applies; or
(ii) if this section
applies because the road manager gave the Regulator a notice of objection to the
grant under
section 167—14 days
after giving the notice of objection; or
(b) within a longer
period, of not more than 6 months after the request is made, agreed to by
the Regulator.
Note—
See, however,
sections 159,
167 and
168.
(2) The road manager may ask for, and the Regulator may agree to, a longer
period under
subsection (1)(b)
only if—
(a) consultation is required under a law with another entity (including,
for example, for the purpose of obtaining that entity’s approval to give
the consent); or
(b) the road manager considers a route assessment is necessary for
deciding whether to give or not to give the consent; or
(c) the road manager is the road authority for the participating
jurisdiction and considers that a local government authority that is not
required under a law to be consulted should nevertheless be consulted before
deciding whether to give or not to give the consent.
(3) The road manager may decide not to give the consent only if the road
manager is satisfied—
(a) the mass or dimension authority will, or is likely to—
(i) cause damage to road infrastructure; or
(ii) impose adverse effects on the community arising from noise, emissions
or traffic congestion or from other matters stated in approved guidelines;
or
(iii) pose significant risks to public safety arising from heavy vehicle
use that is incompatible with road infrastructure or traffic conditions;
and
(b) it is not possible to grant the authority subject to road conditions
or travel conditions that will avoid, or significantly minimise—
(i) the damage or likely damage; or
(ii) the adverse effects or likely adverse effects; or
(iii) the significant risks or likely significant risks.
(4) Also, in deciding whether or not to give the consent, the road manager
must have regard to—
(a) for a mass or dimension exemption—the approved guidelines for
granting mass or dimension exemptions; or
(b) for a class 2 heavy vehicle authorisation—the approved
guidelines for granting class 2 heavy vehicle authorisations.
(5) If the Regulator agrees to a longer period under
subsection (1)(b),
the Regulator must give the applicant for the mass or dimension authority
concerned a written statement of the decision—
(a) identifying the road manager concerned; and
(b) indicating the ground on which the road manager asked for a longer
period.
(6) If a relevant road manager for a mass or dimension authority decides
not to give consent to the grant of the authority, the relevant road manager
must give the Regulator a written statement that explains the road
manager’s decision and complies with
section 172.
157—Obtaining third party’s approval for
giving consent for permit
(1) This section applies if—
(a) a person (the applicant) applies for a mass or dimension
exemption (permit) or class 2 heavy vehicle authorisation (permit);
and
(b) consultation with another entity is required under a law.
(a) notify the applicant that consultation is required; and
(b) notify the road manager that the applicant has been notified of the
requirement.
(3) The Regulator must, as far as practicable, give the notifications
under
subsection (2)
concurrently with asking the road manager for the consent.
158—Action pending consultation with third
party
(1) This section applies if—
(a) consultation with another entity is required under a law;
and
(b) the road manager does not ask for a longer period under
section 156(1)(b)
or the Regulator refuses to agree to a longer period asked for under
section 156(1)(b).
(2) If the consultation with the other entity is not yet completed, the
road manager must, as far as practicable, deal with the request for consent and
decide to give or not to give the consent (even though the consultation with the
other entity is not completed).
(3) If the road manager decides to give the consent even though the
consultation with the other entity is not completed, the consent is not
operative unless and until—
(a) the consultation is completed; and
(b) if the other entity’s approval is required, the other entity
gives its approval.
(4) If—
(a) the consultation with the other entity is completed and the other
entity’s approval is required; and
(b) the road manager has not yet decided to give or not to give the
consent,
the road manager may—
(c) decide not to give the consent, on the ground that the consent would
be inoperative; or
(d) decide to give the consent, but the consent is inoperative without the
other entity’s approval.
(5) The Regulator must not grant a mass or dimension authority
if—
(a) consultation is required under a law with another entity;
and
(b) the other entity’s approval is required; and
(c) the other entity has declined to give its approval.
159—Deciding request for consent if route
assessment required
(1) This section applies if—
(a) a person (the applicant) applies for a mass or dimension
exemption (permit) or class 2 heavy vehicle authorisation (permit);
and
(b) the Regulator asks a road manager for a road for the road
manager’s consent to the grant of the exemption or authorisation;
and
(c) the road manager considers a route assessment is necessary for
deciding whether to give or not to give the consent.
(2) The road manager may notify the Regulator of the following:
(a) that a route assessment is required for the road manager deciding
whether to give or not to give the consent;
(b) the fee payable (if any) for the route assessment under a law of the
jurisdiction in which the road is situated.
(3) The Regulator must
notify the applicant of the following:
(a) that a route assessment is required for the road manager deciding
whether to give or not to give the consent;
(b) the fee payable (if any) for the route assessment under a law of the
jurisdiction in which the road is situated;
(c) if a fee is payable for the route assessment under a law of the
jurisdiction in which the road is situated, that the road manager may stop
considering whether to give or not to give the consent until the fee is
paid;
(d) if, under
section 156(1)(b),
the Regulator agrees to a longer period for the road manager deciding whether to
give or not to give the consent, the longer period agreed by the
Regulator.
(4) If a fee is payable for the route assessment under a law of the
jurisdiction in which the road is situated—
(a) the road manager may stop considering whether to give or not to give
the consent until the fee is paid; and
(b) the period between the day the applicant is given the notification
under
subsection (3) and
the day the fee is paid must not be counted in working out the period taken by
the road manager to decide whether to give or not to give the consent.
(5) If the applicant does not pay the fee for the route assessment within
28 days after the notification is given to the applicant under
subsection (3), or a
longer period agreed to by the Regulator, the application lapses.
160—Imposition of road
conditions
(1) A relevant road
manager for a mass or dimension authority may consent to the grant of the
authority subject to—
(a) except in the case
of a class 2 heavy vehicle authorisation (notice)—the condition that a
stated road condition is imposed on the authority; or
(b) in the case of a
class 2 heavy vehicle authorisation (notice)—the condition that a stated
road condition of a type prescribed by the national regulations is imposed on
the authority.
(2) If a relevant road manager for a mass or dimension authority consents
to the grant of the authority subject to a condition as mentioned in
subsection (1)(a)—
(a) the relevant road manager must give the Regulator a written statement
that explains the road manager’s decision to give consent to the grant of
the authority subject to the condition and complies with
section 172; and
(b) the Regulator must impose the stated road condition on the
authority.
(3) If a relevant road manager for a mass or dimension authority consents
to the grant of the authority subject to a condition as mentioned in
subsection (1)(b),
the Regulator must impose the stated road condition on the authority.
(4) The national regulations may prescribe road conditions, or kinds of
road conditions, for the purposes of
subsection (1)(b)
and must prescribe the circumstances in which it is appropriate to impose such a
condition.
161—Imposition of travel
conditions
(1) A relevant road
manager for a mass or dimension authority may consent to the grant of the
authority subject to the condition that a stated travel condition is imposed on
the authority.
(2) If a relevant road manager for a mass or dimension authority consents
to the grant of the authority as mentioned in
subsection (1)—
(a) the relevant road manager must give the Regulator a written statement
that explains the road manager’s decision to give consent to the grant of
the authority subject to the condition and complies with
section 172; and
(b) the Regulator must impose the stated travel condition on the
authority.
162—Imposition of vehicle
conditions
(1) A relevant road
manager for a mass or dimension authority who gives consent to the grant of the
authority may ask the Regulator to impose a stated vehicle condition on the
authority.
(2) If a relevant road manager for a mass or dimension authority makes a
request as mentioned in
subsection (1), the
Regulator must—
(a) consider the
request and decide—
(i) to impose the stated vehicle condition on the authority (with or
without modification); or
(ii) not to impose the stated vehicle condition on the authority;
and
(b) notify the relevant road manager of the decision under
paragraph (a).
163—Obtaining consent of road authority if
particular road manager refuses to give consent
(1) This section applies if a relevant road manager for a mass or
dimension authority—
(a) is a public authority other than a road authority; and
(b) either—
(i) decides not to consent to the grant of the mass or dimension
authority; or
(ii) consents to the grant of the mass or dimension authority subject to
the imposition of road conditions or travel conditions the Regulator considers
are not necessary to avoid, or significantly minimise—
(A) damage, or likely damage, to road infrastructure; or
(B) adverse effects, or likely adverse effects, on the community arising
from noise, emissions or traffic congestion or from other matters stated in
approved guidelines; or
(C) significant risks, or likely significant risks, to public safety
arising from heavy vehicle use that is incompatible with road infrastructure or
traffic conditions.
(2) The Regulator may ask the relevant road authority to consent to the
grant.
(3) If the Regulator asks the relevant road authority for consent under
this section, the road authority must decide to give or not to give the
consent—
(a) within 3 months of the request; or
(b) within a longer period, of not more than 6 months, agreed to by the
Regulator.
(4) If the relevant road authority gives the consent or gives the consent
on the condition that a stated road condition or travel condition is imposed on
the mass or dimension authority—
(a) the decision of the relevant road manager has no effect for the
purposes of this Law; and
(b) to the extent this Law applies in relation to the consent of, or the
road conditions or travel conditions required by, the relevant road manager,
this Law (other than this section) applies as if a reference in it to the
relevant road manager were a reference to the relevant road authority.
(5) In this section—
relevant road authority, for a decision of a relevant road
manager for a mass or dimension authority, means the road authority for the
participating jurisdiction in which the road for which the relevant road manager
is a road manager is situated.
164—Information notice for imposition of road
conditions requested by road manager
(1) This section applies if—
(a) the Regulator grants a mass or dimension authority by giving a person
a permit; and
(b) the authority is subject to a road condition required by a relevant
road manager for the authority when consenting to the grant of the
authority.
(2) The information notice for the decision to impose the condition given
to the person under this Law must state the following, in addition to any other
information required to be included in the information notice:
(a) that the road manager consented to the mass or dimension authority on
the condition that the road condition is imposed on the authority;
(b) a written statement that explains the road manager’s decision to
give the consent on the condition that the road condition be imposed on the
authority and complies with
section 172;
(c) the review and appeal information for the road manager’s
decision to give the consent on the condition that the road condition be imposed
on the authority.
165—Information notice for imposition of travel
conditions requested by road manager
(1) This section applies if—
(a) the Regulator grants a mass or dimension authority by giving a person
a permit; and
(b) the authority is subject to a travel condition required by a relevant
road manager for the authority when consenting to the grant of the
authority.
(2) The information notice for the decision to impose the condition given
to the person under this Law must state the following, in addition to any other
information required to be included in the information notice—
(a) that the road manager consented to the mass or dimension authority on
the condition that the travel condition is imposed on the authority;
(b) a written statement that explains the road manager’s decision to
give the consent on the condition that the travel condition be imposed on the
authority and complies with
section 172;
(c) the review and appeal information for the road manager’s
decision to give the consent on the condition that the travel condition be
imposed on the authority.
166—Information notice for decision to refuse
application because road manager did not give consent
(1) This section applies if an application for a mass or dimension
authority is refused, wholly or partly, because a relevant road manager for the
authority has refused to consent to the authority.
(2) The information notice for the decision to refuse the application
given to the applicant under this Law must state the following, in addition to
any other information required to be included in the information
notice:
(a) that the road manager has refused to consent to the mass or dimension
authority;
(b) a written statement that explains the road manager’s decision to
refuse to give the consent and complies with
section 172;
(c) the review and appeal information for the road manager’s
decision to refuse to give the consent.
167—Expedited procedure for road manager’s
consent for renewal of mass or dimension authority
(1) This section applies if—
(a) the relevant road manager has previously consented to a grant of a
mass or dimension authority (the previous authority);
and
(b) the Regulator proposes to grant a mass or dimension authority (the
proposed replacement authority) by way of renewal so as to replace
the previous authority on its expiry; and
(c) the Regulator proposes to impose the same conditions on the proposed
replacement authority as applied to the previous authority; and
(d) the Regulator informs the relevant road manager that the Regulator is
seeking to obtain the manager’s consent in accordance with the procedure
under this section (the expedited procedure).
(2) However, this
section does not apply, or ceases to apply, if—
(a) there are differences between the terms of the previous authority and
the terms of the proposed replacement authority, including, for
example—
(i) differences relating to the description of the type of heavy vehicle
covered by the proposed replacement authority; and
(ii) additional, deleted or varied conditions; and
(iii) the inclusion of additional areas or routes; or
(b) the relevant road manager gives the Regulator a notice of objection to
the application of this section to the proposed replacement authority and that
notice of objection is given within the period (the relevant
period) of—
(i) 14 days after the request for consent is made; or
(ii) 28 days after the request for consent is made if the road manager
seeks the extension of time within the initial 14 days; or
(c) the Regulator gives the relevant road manager a notice that the
Regulator withdraws the proposed replacement authority from the expedited
procedure; or
(d) a law of this jurisdiction requires consultation with third parties
before the grant of the proposed replacement authority or before access to a
particular route or area covered by it is given.
(3) The road manager is taken to have given the consent at the end of the
relevant period to the grant of the proposed replacement authority on the same
conditions as applied to the previous authority, unless before the end of that
period the road manager gives written notice to the Regulator that the road
manager gives or refuses consent.
168—Operation of section 167
(1)
Sections 156
to
166 do not apply to a
request for consent while a proposed replacement authority is being dealt with
under the expedited procedure under
section 167.
(2) Those sections apply to the request for consent if
section 167 does not apply
or ceases to apply, as referred to in
section 167(2).
169—Granting limited consent for trial
purposes
(1) A relevant road manager may give consent to the grant of a mass or
dimension authority for a trial period of no more than 3 months specified by the
road manager.
(2) The trial period determines the maximum period for which the mass or
dimension authority applies.
(3) If there is more than one relevant road manager in relation to a
proposed mass or dimension authority, the consent of one or more of the road
managers is ineffective unless all the road managers give their consent to the
same effect.
170—Renewal of limited consent for trial
purposes
(1) The Regulator must notify each relevant road manager that gave consent
under
section 169 that
the mass or dimension authority concerned will be renewed with effect from the
end of the current period of its duration unless action is taken under this
section.
(2) The notification must be given at least one month before the end of
the current trial period.
(3) The Regulator must renew the mass or dimension authority for a further
trial period of no more than 3 months, unless the Regulator receives a written
objection to its renewal from a relevant road manager within the current trial
period.
(4) The mass or dimension authority is renewable for one or more further
trial periods.
171—Period for which mass or dimension authority
applies where limited consent
(1) This section applies where a mass or dimension exemption is granted
under
section 169 or
170.
(2) In the case of a mass or dimension exemption (permit) or a class 2
heavy vehicle authorisation (permit), the period for which the permit applies
must not exceed the length of the trial period.
(3) In the case of a mass or dimension exemption (notice) or a class 2
heavy vehicle authorisation (notice), then, despite
section 120 or
141, the period for which the
notice applies is so much of the period stated in the Commonwealth Gazette
notice referred to in that section as does not exceed the trial
period.
172—Requirements for statement explaining adverse
decision of road manager
(1) This section applies to a written statement explaining a decision of a
relevant road manager under this Division—
(a) not to give consent to the grant of a mass or dimension authority (as
referred to in
section 156); or
(b) to consent to the grant of a mass or dimension authority on the
condition that—
(i) a road condition is imposed on the authority (as referred to in
section 160); or
(ii) a travel condition is imposed on the authority (as referred to in
section 161).
(2) The written statement complies with this section if
it—
(a) sets out the findings on material questions of fact, referring to the
evidence or other material on which those findings were based and giving the
reasons for the road manager’s decision; and
(b) identifies every document or part of a document that is relevant to
the road manager’s decision and is—
(i) in the road manager’s possession; or
(ii) under the road manager’s control; or
(iii) otherwise available to the road manager.
Division 3—Amendment, cancellation or
suspension of mass or dimension authority granted by Commonwealth Gazette
notice
173—Amendment or cancellation on Regulator’s
initiative
(1) It is a ground for amending or cancelling a mass or dimension
authority granted by Commonwealth Gazette notice if the use of heavy vehicles on
a road under the authority has caused, or is likely to cause, a significant risk
to public safety.
(2) If the Regulator considers a ground exists to amend or cancel the mass
or dimension authority, the Regulator may amend or cancel the authority by
complying with
subsections (3) to
(5).
(3) The Regulator must
publish a notice in the Commonwealth Gazette, in a newspaper circulating
generally throughout each relevant participating jurisdiction and on the
Regulator’s website—
(a) stating that the Regulator believes a ground exists to amend or cancel
the authority; and
(b) outlining the facts and circumstances forming the basis for the
belief; and
(c) stating the action the Regulator is proposing to take under this
section (the proposed action); and
(d) inviting persons
who will be affected by the proposed action to make, within a stated time of at
least 14 days after the Commonwealth Gazette notice is published, written
representations about why the proposed action should not be taken.
(4) If, after considering all written representations made under
subsection (3)(d),
the Regulator still considers a ground exists to take the proposed action, the
Regulator may—
(a) if the proposed
action was to amend the mass or dimension authority—amend the authority in
a way that is not substantially different from the proposed action, including,
for example, by—
(i) amending the areas
or routes to which the authority applies; or
(ii) amending the days
or hours to which the authority applies; or
(iii) imposing
additional vehicle conditions on the authority; or
(b) if the proposed action was to cancel the mass or dimension
authority—
(i) amend the authority, including, for example, as mentioned in
paragraph (a)(i),
(ii) or
(iii); or
(ii) cancel the authority.
(5) Notice of the
amendment or cancellation must be published—
(a) in—
(i) the Commonwealth Gazette; and
(ii) a newspaper circulating generally throughout each relevant
participating jurisdiction; and
(b) on the Regulator’s website; and
(c) in any other newspaper the Regulator considers appropriate.
Example for the purposes of paragraph (c)—
If the mass or dimension authority relates to a particular part of a
participating jurisdiction, the Regulator may consider it appropriate to publish
the notice in a newspaper circulating generally in the part.
(6) The amendment or
cancellation takes effect—
(a) 28 days after the Commonwealth Gazette notice is published under
subsection (5);
or
(b) if a later time is stated in the Commonwealth Gazette notice, at the
later time.
(7) In this section—
relevant participating jurisdiction, for a mass or dimension
authority, means a participating jurisdiction in which the whole or part of an
area or route to which the authority applies is situated.
174—Amendment or cancellation on request by
relevant road manager
(1) This section applies if a relevant road manager for a mass or
dimension authority granted by Commonwealth Gazette notice is satisfied the use
of heavy vehicles on a road under the authority—
(a) has caused, or is likely to cause, damage to road infrastructure;
or
(b) has had, or is likely to have, an adverse effect on the community
arising from noise, emissions or traffic congestion or from other matters stated
in approved guidelines; or
(c) has posed, or is likely to pose, a significant risk to public safety
arising from heavy vehicle use that is incompatible with road infrastructure or
traffic conditions.
(2) The road manager may ask the Regulator to—
(a) amend the mass or dimension authority by—
(i) amending the areas or routes to which the authority applies;
or
(ii) amending the days or hours to which the authority applies;
or
(iii) imposing or amending road conditions or travel conditions;
or
(b) cancel the authority.
(3) The Regulator must comply with the request.
(4) However, if consent to the grant of the mass or dimension authority
was given by a road authority under
section 163—
(a) the Regulator may refer the request to the road authority;
and
(b) if the road authority gives the Regulator its written approval of the
request, the Regulator must comply with the request; and
(c) if the road authority does not give written approval of the road
manager’s request within 28 days after the referral is made, the
Regulator—
(i) must not comply with the request; and
(ii) must notify the road manager that the road authority has not given
its written approval of the request and, as a result, the Regulator must not
comply with it.
(5) Notice of the
amendment or cancellation must be published—
(a) in—
(i) the Commonwealth Gazette; and
(ii) a newspaper circulating generally throughout each relevant
participating jurisdiction; and
(b) on the Regulator’s website; and
(c) in any other newspaper the Regulator considers appropriate.
Example for the purposes of paragraph (c)—
If the mass or dimension authority relates to a particular part of a
participating jurisdiction, the Regulator may consider it appropriate to publish
the notice in a newspaper circulating generally in the part.
(6) The amendment or
cancellation takes effect—
(a) 28 days after the Commonwealth Gazette notice is published under
subsection (5);
or
(b) if a later time is stated in the Commonwealth Gazette notice, at the
later time.
(7) In this section—
relevant participating jurisdiction, for a mass or dimension
authority, means a participating jurisdiction in which the whole or part of an
area or route to which the authority applies is situated.
175—Immediate suspension
(1) This section applies if the Regulator considers it is necessary to
suspend a mass or dimension authority granted by Commonwealth Gazette notice
immediately to prevent or minimise serious harm to public safety or significant
damage to road infrastructure.
(2) The Regulator may, by publishing a notice as mentioned in
subsection (3)
(immediate suspension notice), immediately suspend the authority
until the earliest of the following:
(a) the Regulator publishes a notice under
section 173(5)
or
174(5) and the amendment
or cancellation takes effect under
section 173(6) or
174(6);
(b) the Regulator cancels the suspension;
(c) the end of 56 days after the day the immediate suspension notice is
published.
(3) The immediate
suspension notice, and (where relevant) notice of the cancellation of the
suspension, must be published—
(a) in—
(i) the Commonwealth Gazette; and
(ii) a newspaper circulating generally throughout each relevant
participating jurisdiction; and
(b) on the Regulator’s website; and
(c) in any other newspaper the Regulator considers appropriate.
Example for the purposes of paragraph (c)—
If the mass or dimension authority relates to a particular part of a
participating jurisdiction, the Regulator may consider it appropriate to publish
the notice in a newspaper circulating generally in the part.
(4) The suspension, and (where relevant) the cancellation of the
suspension, takes effect immediately after the Commonwealth Gazette notice is
published under
subsection (3).
(5) This section applies despite
sections 173 and
174.
(6) In this section—
relevant participating jurisdiction, for a mass or dimension
authority, means a participating jurisdiction in which the whole or part of an
area or route to which the authority applies is situated.
Division 4—Amendment, cancellation or
suspension of mass or dimension authority granted by permit
176—Amendment or cancellation on application by
permit holder
(1) The holder of a permit for a mass or dimension authority may apply to
the Regulator for an amendment or cancellation of the authority.
(2) The application must—
(a) be in writing; and
(b) be accompanied by the prescribed fee for the application;
and
(c) if the application is for an amendment, state clearly the amendment
sought and the reasons for the amendment; and
(d) be accompanied by the permit.
(3) The Regulator may, by notice given to the applicant, require the
applicant to give the Regulator any additional information the Regulator
reasonably requires to decide the application.
(4) If the proposed amendment of the mass or dimension authority
is—
(a) to amend the areas or routes to which the authority applies (otherwise
than by omitting an area or route or reducing an area or route in size);
or
(b) to impose or amend road conditions or travel conditions,
then—
(c) the Regulator must ask the relevant road managers (for the roads to
which the amendment relates) for their consent to the amendment; and
(d) the provisions of
Division 2 apply to the
request for consent in the same way as they apply to a request for consent under
that Division, with the modifications (if any) prescribed by the national
regulations and with any necessary modifications.
(5) The Regulator must decide the application as soon as practicable after
receiving it.
(6) If the Regulator decides to grant the application—
(a) the Regulator must give the applicant notice of the decision;
and
(b) the amendment or cancellation takes effect—
(i) when notice of the decision is given to the applicant; or
(ii) if a later time is stated in the notice, at the later time;
and
(c) if the Regulator amended the authority, the Regulator must give the
applicant a replacement permit for the authority as amended.
(7) If the Regulator decides not to amend or cancel the mass or dimension
authority as sought by the applicant, the Regulator must—
(a) give the applicant an information notice for the decision;
and
(b) return the permit for the authority to the applicant.
177—Amendment or cancellation on Regulator’s
initiative
(1) Each of the following is a ground for amending or cancelling a mass or
dimension authority granted by giving a person a permit:
(a) the authority was granted because of a document or representation that
was—
(i) false or misleading; or
(ii) obtained or made in an improper way;
(b) the holder of the permit for the authority has contravened a condition
of the authority;
(c) the use of heavy vehicles on a road under the authority has caused, or
is likely to cause, a significant risk to public safety.
(2) If the Regulator
considers a ground exists to amend or cancel a mass or dimension authority
granted by giving a person a permit (the proposed action), the
Regulator must give the holder of the permit a notice—
(a) stating the proposed action; and
(b) stating the ground for the proposed action; and
(c) outlining the facts and circumstances forming the basis for the
ground; and
(d) if the proposed action is to amend the authority (including a
condition of the authority)—stating the proposed amendment; and
(e) inviting the holder
to make, within a stated time of at least 14 days after the notice is given
to the holder, written representations about why the proposed action should not
be taken.
(3) If, after considering all written representations made under
subsection (2)(e),
the Regulator still considers a ground exists to take the proposed action, the
Regulator may—
(a) if the proposed
action was to amend the mass or dimension authority—amend the authority in
a way that is not substantially different from the proposed action, including,
for example, by—
(i) amending the areas
or routes to which the authority applies; or
(ii) amending the days
or hours to which the authority applies; or
(iii) imposing
additional vehicle conditions on the authority; or
(b) if the proposed action was to cancel the authority—
(i) amend the authority, including, for example, as mentioned in
paragraph (a)(i),
(ii) or
(iii); or
(ii) cancel the authority.
(4) The Regulator must
give the holder an information notice for the decision.
(5) The amendment or
cancellation takes effect—
(a) when the information notice is given to the holder; or
(b) if a later time is stated in the information notice, at the later
time.
178—Amendment or cancellation on request by
relevant road manager
(1) This section applies if a relevant road manager for a mass or
dimension authority granted by giving a person a permit is satisfied the use of
heavy vehicles on a road under the authority—
(a) has caused, or is likely to cause, damage to road infrastructure;
or
(b) has had, or is likely to have, an adverse effect on the community
arising from noise, emissions or traffic congestion or from other matters stated
in approved guidelines; or
(c) has posed, or is likely to pose, a significant risk to public safety
arising from heavy vehicle use that is incompatible with road infrastructure or
traffic conditions.
(2) The road manager may ask the Regulator to—
(a) amend the mass or dimension authority, including, for example,
by—
(i) amending the areas or routes to which the authority applies;
or
(ii) amending the days or hours to which the authority applies;
or
(iii) imposing or amending road conditions or travel conditions on the
authority; or
(b) cancel the authority.
(3) The Regulator must comply with the request.
(4) However, if consent to the grant of the mass or dimension authority
was given by a road authority under
section 163—
(a) the Regulator may refer the request to the road authority;
and
(b) if the road authority gives the Regulator its written approval of the
request, the Regulator must comply with the request; and
(c) if the road authority does not give written approval of the request
within 28 days after the referral is made, the Regulator—
(i) must not comply with the request; and
(ii) must notify the road manager that the road authority has not given
its written approval of the request and, as a result, the Regulator must not
comply with it.
(5) If the mass or
dimension authority is amended or cancelled under this section, the Regulator
must give the holder of the permit for the authority notice of the amendment or
cancellation at least 28 days before the amendment or cancellation is to
take effect.
(6) The notice given to the holder must state—
(a) the day the amendment or cancellation is to take effect; and
(b) the reasons given by the road manager for the amendment or
cancellation; and
(c) the review and appeal information for the road manager’s
decision.
179—Immediate suspension
(1) This section applies if the Regulator considers it is necessary to
suspend a mass or dimension authority granted by issuing a permit to someone
immediately to prevent or minimise serious harm to public safety or significant
damage to road infrastructure.
(2) The Regulator may, by notice (immediate suspension
notice) given to the person to whom the permit was given, immediately
suspend the authority until the earliest of the following:
(a) the Regulator gives the person a notice under
section 177(4) or
178(5) and the amendment
or cancellation takes effect under
section 177(5) or
178;
(b) the Regulator cancels the suspension;
(c) the end of 56 days after the day the immediate suspension notice is
given to the person.
(3) This section applies despite
sections 176,
177 and
178.
180—Minor amendment of permit for a mass or
dimension authority
(1) The Regulator may, by notice given to the holder of a permit for a
mass or dimension authority, amend the authority in a minor
respect—
(a) for a formal or clerical reason; or
(b) in another way that does not adversely affect the holder’s
interests.
(2) The Regulator must provide the relevant road manager with notice of
the amendment.
Division 5—Provisions about permits for mass
or dimension authorities
181—Return of permit
(1) This section applies to a mass or dimension authority granted by
giving a person a permit.
(2) If the mass or dimension authority is amended or cancelled, the
Regulator may, by notice, require the person to return the person’s permit
for the authority to the Regulator.
(3) The person must comply with the notice within 7 days after the notice
is given to the person or, if a longer period is stated in the notice, within
the longer period.
Maximum penalty: $4 000.
(4) If the mass or dimension authority has been amended, the Regulator
must give the person a replacement permit for the authority as
amended.
182—Replacement of defaced etc
permit
(1) If a person’s permit for a mass or dimension authority is
defaced, destroyed, lost or stolen, the person must, as soon as reasonably
practicable after becoming aware of the matter, apply to the Regulator for a
replacement permit.
Maximum penalty: $4 000.
(2) If the Regulator is satisfied the permit has been defaced, destroyed,
lost or stolen, the Regulator must give the person a replacement permit as soon
as practicable.
(3) If the Regulator decides not to give a replacement permit to the
person, the Regulator must give the person an information notice for the
decision.
Part 8—Extended liability
183—Liability of employer etc for contravention of
mass, dimension or loading requirement
(1) This section applies to an offence against
section 96,
102 or
111 (a relevant
offence).
(2) If a relevant
offence is committed in relation to a heavy vehicle, each of the following
persons is taken to have committed an offence against this subsection:
(a) an employer of the driver of the vehicle if the driver is an employed
driver;
(b) a prime contractor of the driver of the vehicle if the driver is a
self-employed driver;
(c) an operator of the vehicle or, if it is a combination, an operator of
a vehicle in the combination;
(d) a consignor of any goods for road transport using the vehicle that are
in the vehicle;
(e) a packer of any goods in the vehicle;
(f) a loading manager for any goods in the vehicle;
(g) a loader of any goods in the vehicle.
Maximum penalty for an offence against this subsection: an amount equal to
the maximum penalty for the relevant offence.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(5) In a proceeding for an offence against
subsection (2)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the relevant offence; and
(b) evidence a court has convicted the driver of the relevant offence is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
relevant offence is evidence that the offence happened at the time and place,
and in the circumstances, stated in the infringement notice.
Part 9—Other offences
Division 1—Towing
restriction
184—Towing restriction
(1) A person must not
drive a heavy motor vehicle towing more than 1 other vehicle.
Maximum penalty: $3 000.
(2)
Subsection (1) does not
apply to a person driving a heavy vehicle—
(a) under a mass or dimension authority; or
(b) in circumstances prescribed by the national regulations.
Division 2—Coupling
requirements
185—Requirements about coupling
trailers
(1) A person commits an offence if—
(a) the person uses, or permits to be used, on a road a heavy combination;
and
(b) a trailer in the combination is not securely coupled to the vehicle in
front of it.
Maximum penalty: $6 000.
(2) A person commits an offence if—
(a) the person uses, or permits to be used, on a road a heavy combination;
and
(b) the components of a coupling used between vehicles in the heavy
combination are not compatible with, or properly connected to, each
other.
Maximum penalty: $6 000.
(3) In this section—
coupling means a device used to couple a vehicle in a
combination to the vehicle in front of it.
Division 3—Transport
documentation
186—False or misleading transport documentation for
goods
(1) This section applies if goods are consigned for road transport using a
heavy vehicle, or for transport partly by road using a heavy vehicle and partly
by some other means.
(2) Each consignor of
the goods commits an offence if the transport documentation for the consignment
in so far as it relates to the mass, dimension or loading of any or all of the
goods is false or misleading in a material particular.
Maximum penalty: $10 000.
(3) Each packer of the
goods commits an offence if—
(a) the goods are packed in Australia in a freight container or other
container, or in a package or on a pallet, for road transport; and
(b) the transport documentation for the consignment in so far as it
relates to the mass, dimension or loading of any or all of the goods is false or
misleading in a material particular.
Maximum penalty: $10 000.
(4) Each loading
manager, or loader of, the goods commits an offence if—
(a) the goods are loaded onto a heavy vehicle for road transport;
and
(b) the transport documentation for the consignment in so far as it
relates to the mass, dimension or loading of any or all of the goods is false or
misleading in a material particular.
Maximum penalty: $10 000.
(5) Each receiver of
the goods in Australia commits an offence if—
(a) the goods are packed outside Australia in a freight container or other
container, or in a package or on a pallet, for road transport; and
(b) the transport documentation for the consignment in so far as it
relates to the mass, dimension or loading of any or all of the goods is false or
misleading in a material particular.
Maximum penalty: $10 000.
(6) A person charged with an offence against
subsection (2),
(3),
(4) or
(5) does not have the
benefit of the mistake of fact defence for the offence.
(7) However, in a proceeding for an offence against
subsection (2),
(3),
(4) or
(5), the person charged
has the benefit of the reasonable steps defence for the offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(8) In a proceeding for an offence against
subsection (2),
(3),
(4) or
(5), it is enough for a
charge to state that the transport documentation was ‘false or
misleading’, without specifying whether it was false or whether it was
misleading.
(9) In this section—
receiver, of goods in Australia, means a person who, other
than the person who merely unloads the goods—
(a) first receives the goods in Australia; or
(b) unpacks the goods after the goods are first unloaded in
Australia.
187—False or misleading information in container
weight declaration
(1) This section applies in relation to a freight container to be
transported by road using a heavy vehicle, or partly by road using a heavy
vehicle and partly by some other means.
(2) The responsible
entity for the freight container commits an offence if—
(a) the responsible entity gives the container to an operator of a heavy
vehicle; and
(b) the container weight declaration for the container contains
information that is false or misleading in a material particular.
Maximum penalty: $10 000.
(3) An operator of a
heavy vehicle commits an offence if—
(a) the operator arranges for the freight container to be transported by
road using the vehicle; and
(b) the container weight declaration for the container given to the
vehicle’s driver contains information that is false or misleading in a
material particular.
Maximum penalty: $10 000.
(4) For the purposes of this section, information in a container weight
declaration is not false or misleading merely because it overstates the actual
weight of the freight container and its contents.
(5) A person charged with an offence against
subsection (2) or
(3) does not have the
benefit of the mistake of fact defence for the offence.
(6) However, in a proceeding for an offence against
subsection (2) or
(3), the person charged
has the benefit of the reasonable steps defence for the offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(7) In a proceeding for an offence against
subsection (2)
or
(3), it is enough for a
charge to state that information contained in the container weight declaration
was ‘false or misleading’, without specifying whether it was false
or whether it was misleading.
Division 4—Other offences about container
weight declarations
188—Application of
Division 4
This Division applies to a freight container consigned for road transport
using a heavy vehicle, or for transport partly by road using a heavy vehicle and
partly by some other means.
189—Meaning of complying container weight
declaration
A container weight declaration for a freight container is a complying
container weight declaration if—
(a) it contains the
following additional information:
(i) the number and other particulars of the freight container necessary to
identify the container;
(ii) the name and residential address or business address in Australia of
the responsible entity for the freight container;
(iii) the date the container weight declaration is made; and
(b) it is written and easily legible; and
(c) the information in the container weight declaration is in a form
readily available to an authorised officer who seeks to ascertain it while in
the presence of the freight container, including, for example,
by—
(i) examining documents located in the heavy vehicle on which the freight
container is loaded or to be loaded; or
(ii) obtaining the information by radio or mobile telephone or by other
means.
190—Duty of responsible entity
(1) The responsible
entity for the freight container must not permit an operator or driver of a
heavy vehicle to transport the freight container by road using the vehicle
unless the operator or driver has been provided with a complying container
weight declaration for the freight container.
Maximum penalty: $6 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
191—Duty of operator
(1) An operator of a
heavy vehicle must not permit the vehicle’s driver to transport the
freight container by road using the vehicle unless the driver has been provided
with a complying container weight declaration for the freight
container.
Maximum penalty: $6 000.
(2) If the driver of a heavy vehicle does not have the complying container
weight declaration when transporting the freight container by road using the
vehicle, an operator of the vehicle is taken to have contravened
subsection (1)
unless the operator proves that the driver was provided with the declaration
before the driver started transporting the freight container.
(3) If the freight
container is to be transported partly by a person (a carrier) by a
means other than by road using a heavy vehicle, an operator of a heavy vehicle
must not give the freight container to the carrier unless the carrier has been
provided with—
(a) a complying container weight declaration for the freight container;
or
(b) the prescribed particulars contained in a complying container weight
declaration for the freight container.
Maximum penalty: $6 000.
(4) A person charged with an offence against
subsection (1) or
(3) does not have the
benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (1) or
(3), the person charged
has the benefit of the reasonable steps defence for the offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(6) In this section—
prescribed particulars, contained in a complying container
weight declaration for a freight container, means—
(a) information about the weight of the freight container and its
contents; and
(b) the information mentioned in
section 189(a).
192—Duty of driver
(1) A person must not
drive a heavy vehicle loaded with the freight container on a road unless the
person has a complying container weight declaration for the container.
Maximum penalty: $6 000.
(2) The driver of a
heavy vehicle loaded with the freight container must, when driving the vehicle
on a road, keep the complying container weight declaration for the
container—
(a) in or about the vehicle; and
(b) in a way that enables the information in the declaration to be readily
available to an authorised officer who seeks to ascertain it while in the
presence of the freight container.
Maximum penalty: $3 000.
(3) A person charged with an offence against
subsection (1) or
(2) does not have the
benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (1) or
(2), the person charged
has the benefit of the reasonable steps defence for the offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
Division 5—Other offences
193—Weight of freight container exceeding weight
stated on container or safety approval plate
(1) This section applies if a freight container contains goods consigned
for road transport using a heavy vehicle, or for transport partly by road using
a heavy vehicle and partly by some other means.
(2) Each consignor or
packer of the goods commits an offence if the weight of the container exceeds
the maximum gross weight marked on the container or the container’s safety
approval plate.
Maximum penalty: $10 000.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(5) In this section—
safety approval plate, for a freight container, means the
safety approval plate required to be attached to the container under the
International Convention for Safe Containers set out in Schedule 5 of the
Navigation Act 1912 of the Commonwealth.
194—Conduct of consignee resulting or potentially
resulting in contravention of mass, dimension or loading
requirement
(1) A person who is a
consignee of goods consigned for road transport using a heavy vehicle commits an
offence if—
(a) the person does an act or makes an omission; and
(b) the doing of the
act or making of the omission results, or is likely to result, in inducing or
rewarding a contravention of a mass, dimension or loading requirement;
and
(ii) is reckless or negligent as to the matter mentioned in
paragraph (b).
Maximum penalty: $10 000.
(2) Without limiting
subsection (1)(c)(i),
the person is taken to have intended the result mentioned in
subsection (1)(b) if
the person knew or ought reasonably to have known that—
(a) a container weight declaration for the container in which the goods
were consigned was not given as required by this Law; or
(b) a container weight declaration given for the container contained
information about the weight of the container and its contents that was false or
misleading in a material particular.
Part 10—Other provisions
195—Conflicting mass
requirements
(1) This section applies if 2 or more conflicting mass requirements apply
to a heavy vehicle.
(2) Of the conflicting requirements, the requirement imposing the lower or
lowest mass limit applies to the heavy vehicle and the other requirement or
requirements must be disregarded to the extent of the conflict.
196—Conflicting dimension
requirements
(1) This section applies if 2 or more conflicting dimension requirements
apply to a heavy vehicle.
(2) Of the conflicting requirements, the requirement imposing the more or
most restrictive dimension limit applies to the heavy vehicle and the other
requirement or requirements must be disregarded to the extent of the
conflict.
197—Exemption from compliance with particular
requirements in emergency
(1) The Regulator may,
orally or in writing, exempt a heavy vehicle, or the driver or operator of a
heavy vehicle, from a prescribed requirement if the Regulator is
satisfied—
(a) the vehicle is being used, or is intended to be used, in an emergency,
including, for example, a fire, explosion or natural disaster—
(i) to protect life or property; or
(ii) to restore communication or the supply of energy or water or
services, including, for example, sewage disposal; and
(b) granting the exemption will not create an unreasonable danger to other
road users.
(2) An exemption granted under
subsection (1) may
be subject to conditions the Regulator considers appropriate.
(3) If an exemption is granted orally under
subsection (1),
the Regulator must, as soon as practicable—
(a) make a written record of the exemption and any conditions to which it
is subject; and
(b) give a copy of the written record to an operator of the heavy vehicle
to which it relates.
(4) An exemption under this section has effect only while the conditions,
if any, to which it is subject are complied with.
(5) The Regulator is to notify the relevant road authority of the grant of
an exemption under
subsection (1) as
soon as practicable after it is granted.
(6) In this section—
prescribed requirement means—
(a) a mass requirement; or
(b) a dimension requirement; or
(c) a requirement under
Chapter 4 Part 5,
including, for example, a requirement to comply with a condition of an exemption
under that Part; or
(d) a requirement under
Chapter 4 Part 6,
including, for example, a requirement to comply with a condition of an
authorisation under that Part;
relevant road authority, for an exemption granted under
subsection (1),
means the road authority for the participating jurisdiction in which the road
likely to be travelled under the exemption is situated.
198—Recovery of losses arising from non-provision
of container weight declaration
(1) This section applies if the driver of a heavy vehicle transporting a
freight container by road using the vehicle has not been provided with a
container weight declaration for the freight container before starting to
transport the freight container.
(2) A person who has
incurred a loss as a result of the declaration not being provided (the
plaintiff) has a right to recover the loss from the responsible
entity for the freight container.
(3) For the purposes of
subsection (2), the
losses that may be recovered include the following:
(a) loss incurred from delays in the delivery of the freight container,
any of its contents or any other goods;
(b) loss incurred from the damage to or spoliation of anything contained
in the freight container;
(c) loss incurred from providing another heavy vehicle, and loss incurred
from delays arising from providing another heavy vehicle;
(d) costs or expenses incurred for weighing the freight container or any
of its contents.
(4) The plaintiff may enforce the plaintiff’s right to recovery
under
subsection (2) by
bringing a proceeding in a court of competent jurisdiction for an order for
payment of the monetary value of the loss.
199—Recovery of losses for provision of inaccurate
container weight declaration
(a) an operator or driver of a heavy vehicle transporting a freight
container by road using the vehicle has been provided with a container weight
declaration for the freight container; and
(b) the declaration
contains information (the false or misleading information) that is
false or misleading in a material particular because it—
(i) understates the weight of the container; or
(ii) otherwise indicates the weight of the container is lower than its
actual weight; and
(c) a contravention of a mass requirement applying to the heavy vehicle
occurs as a result of the operator or driver relying on the false or misleading
information; and
(d) at the relevant time, the operator or driver either—
(i) had a reasonable belief the vehicle was not in contravention of the
mass requirement; or
(ii) did not know, and ought not reasonably to have known, that the
minimum weight stated in the declaration was lower than the actual weight of the
container.
(2) A person who has
incurred a loss as a result of the declaration containing the false or
misleading information (the plaintiff) has a right to recover the
loss from the responsible entity for the freight container.
(3) For the purposes of
subsection (2), the
losses that may be recovered include the following:
(a) the amount of a fine or other penalty imposed on the plaintiff for an
offence against this Law;
(b) the amount of a fine or other penalty imposed on an employee or agent
of the plaintiff for an offence against this Law and reimbursed by the
plaintiff;
(c) loss incurred from delays in the delivery of the freight container,
any of its contents, or any other goods;
(d) loss incurred from the damage to or spoliation of anything contained
in the freight container;
(e) loss incurred from providing another heavy vehicle, and loss incurred
from delays arising from providing another heavy vehicle;
(f) costs or expenses incurred for weighing the freight container or any
of its contents.
(4) The plaintiff may
enforce the plaintiff’s right to recovery under
subsection (2) by
bringing a proceeding in a court of competent jurisdiction for an order for
payment of the monetary value of the loss.
200—Recovery by responsible entity of amount paid
under
section 199
(1) This section applies if, under
section 199, a person
brings a proceeding (a recovery proceeding) in a court for an
order that the responsible entity for a freight container pay the person an
amount for loss incurred by the person as a result of the container weight
declaration for the freight container containing false or misleading information
mentioned in
section 199(1)(b).
(2) The responsible
entity has a right to recover from a person (the information
provider) who provided the responsible entity with all or part of the
false or misleading information the part of the amount (the attributable
amount) attributable to the information provided by the information
provider.
(3) The responsible entity may enforce the entity’s right to
recovery under
subsection (2)
by—
(a) if the recovery proceeding has not been decided—joining the
information provider in the proceeding and applying to the court for an order
that the information provider pay the attributable amount to the responsible
entity if an order is made under
section 199(4);
or
(b) if the recovery proceeding has been decided—bringing a
proceeding in a court of competent jurisdiction for an order that the
information provider pay the attributable amount to the responsible
entity.
201—Assessment of monetary value or attributable
amount
(1) The court may assess the monetary value of a loss recoverable under
section 198(2) or
199(2), or the
attributable amount recoverable under
section 200(2), in
the way it considers appropriate.
(2) In making the assessment, the court may have regard to the matters it
considers appropriate, including any evidence adduced in a proceeding for an
offence against this Law.
Chapter 5—Vehicle
operations—speeding
Part 1—Preliminary
202—Main purpose of
Chapter 5
The main purpose of this Chapter is to improve public safety and compliance
with Australian road laws by imposing responsibility for speeding by heavy
vehicles on persons whose business activities influence the conduct of the
drivers of heavy vehicles.
203—Outline of the main features of
Chapter 5
This Chapter—
(a) requires persons who are most directly responsible for the use of a
heavy vehicle to take reasonable steps to ensure their activities do not cause
the vehicle’s driver to exceed speed limits; and
(b) requires anyone who schedules the activities of a heavy vehicle, or
its driver, to take reasonable steps to ensure the schedule for the
vehicle’s driver does not cause the driver to exceed speed limits;
and
(c) requires loading managers to take reasonable steps to ensure the
arrangements for loading goods onto and unloading goods from a heavy vehicle do
not cause the vehicle’s driver to exceed speed limits; and
(d) requires particular persons who consign goods for transport by a heavy
vehicle, or who receive the goods, to take reasonable steps to ensure the terms
of consignment of the goods do not cause the vehicle’s driver to exceed
speed limits; and
(e) prohibits anyone from asking the driver of a heavy vehicle to exceed
speed limits and from entering into an agreement that causes the driver of a
heavy vehicle to exceed speed limits; and
(f) imposes liability on persons who are most directly responsible for the
use of a heavy vehicle for offences committed by the vehicle’s driver
exceeding speed limits.
Part 2—Particular duties and
offences
Division 1—Employers, prime contractors and
operators
204—Duty of employer, prime contractor or operator
to ensure business practices will not cause driver to exceed speed
limit
(1) A relevant party
for the driver of a heavy vehicle must take all reasonable steps to ensure the
relevant party’s business practices will not cause the driver to exceed a
speed limit applying to the driver.
Examples of reasonable steps—
• regular consultation with other parties in the chain of
responsibility, unions and industry associations to address compliance
issues
• reviewing driving, work and trip records
• a program to report and monitor (for example, by GPS tracking)
incidents of speeding and related risks and hazards
• training and information about speeding for drivers of heavy
vehicles, staff and parties in the chain of responsibility for heavy vehicles
(within the meaning given by
section 214)
• regular maintenance of vehicle components that relate to complying
with speed limits (for example, speedometer, engine management system and speed
limiters)
Maximum penalty: $10 000.
Notes—
1
Section 622 sets out
some of the factors a court may consider in deciding whether a person has taken
all reasonable steps.
2
Section 623 sets out
1 method by which an employer, prime contractor and operator can take all
reasonable steps for the purposes of this section.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) In this section—
business practices, of a relevant party for the driver of a
heavy vehicle, means the practices of the relevant party in running the relevant
party’s business, and includes each of the following:
(a) the operating policies and procedures of the business;
(b) the human resource and contract management arrangements of the
business;
(c) arrangements for managing safety;
relevant party, for the driver of a heavy vehicle, means any
of the following:
(a) an employer of the driver if the driver is an employed
driver;
(b) a prime contractor of the driver if the driver is a self-employed
driver;
(c) an operator of the vehicle if the driver is making or is to make a
journey for the operator.
205—Duty of employer not to cause driver to drive
if particular requirements not complied with
(1) An employer of an
employed driver of a heavy vehicle must not cause the driver to drive the heavy
vehicle unless—
(a) the employer has complied with
section 204; and
(b) the employer is reasonably satisfied each scheduler for the vehicle
has complied with
sections
207 and
208.
Maximum penalty: $4 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
206—Duty of prime contractor or operator not to
cause driver to drive if particular requirements not complied
with
(1) This section applies to—
(a) a prime contractor of a self-employed driver of a heavy vehicle (the
driver); and
(b) an operator of a heavy vehicle that is to be driven by someone else
(also the driver).
(2) The prime
contractor, or operator, must not cause the driver to drive the heavy vehicle
unless—
(a) the prime contractor, or operator, has complied with
section 204; and
(b) the prime contractor, or operator, is reasonably satisfied each
scheduler for the vehicle has complied with
sections 207 and
208.
Maximum penalty: $4 000.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
Division 2—Schedulers
207—Duty to ensure driver’s schedule will not
cause driver to exceed speed limit
(1) A scheduler for a
heavy vehicle must take all reasonable steps to ensure the schedule for the
vehicle’s driver will not cause the driver to exceed a speed limit
applying to the driver.
Examples of reasonable steps—
• consulting drivers about their schedules and work
requirements
• taking account of the average speed that can be travelled lawfully
on scheduled routes
• allowing for traffic conditions or other delays in
schedules
• contingency planning concerning schedules
Maximum penalty: $10 000.
Notes—
1
Section 622 sets out
some of the factors a court may consider in deciding whether a person has taken
all reasonable steps.
2
Section 623 sets out
1 method by which a scheduler for a heavy vehicle can take all reasonable steps
for the purposes of this section.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
208—Duty not to cause driver to drive if particular
requirements not complied with
(1) A scheduler for a
heavy vehicle must not cause the vehicle’s driver to drive the vehicle
unless—
(a) the scheduler has complied with
section 207; and
(b) the driver’s schedule for driving the vehicle
allows—
(i) for compliance with all speed limits; and
(ii) for the driver to take all required rest in compliance with all laws
regulating the driver’s work times and rest times; and
(iii) for traffic conditions and other delays that could reasonably be
expected.
Examples for the purposes of subparagraph (iii)—
• the actual average speed able to be travelled lawfully and safely
by the driver on the route to be travelled by the heavy vehicle
• known traffic conditions, for example, road works or traffic
congestion on the route
• delays caused by loading, unloading or queuing
Maximum penalty: $4 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
Division 3—Loading
managers
209—Duty to ensure loading arrangements will not
cause driver to exceed speed limit
(1) A loading manager
for goods in heavy vehicles must take all reasonable steps to ensure the
arrangements for loading goods onto and unloading goods from heavy vehicles will
not cause the driver of a heavy vehicle to exceed a speed limit applying to the
driver.
Examples of reasonable steps—
• reviewing loading and unloading times and delays at loading and
unloading places
• identifying potential loading and unloading congestion in
consultation with drivers and other parties in the chain of
responsibility
• having a system of setting and allocating loading and unloading
times the driver can reasonably rely on allowing loading and unloading to happen
at an agreed time
Maximum penalty: $10 000.
Notes—
1
Section 622 sets out
some of the factors a court may consider in deciding whether a person has taken
all reasonable steps.
2
Section 623 sets out
1 method by which a loading manager can take all reasonable steps for the
purposes of this section.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
Division 4—Particular consignors and
consignees
210—Consignors to whom
Division 4
applies
This Division applies to a person (a commercial consignor)
who engages a particular operator of a heavy vehicle, either directly or through
an agent or other intermediary, to transport goods for the person by road for
commercial purposes.
211—Consignees to whom
Division 4
applies
This Division applies only to a consignee of goods—
(a) who has consented to being, and is named or otherwise identified as,
the intended consignee of goods in the transport documentation relating to the
transport of the goods by road by a particular operator of a heavy vehicle;
and
(b) who knows, or who ought reasonably to know, that the goods are to be
transported by road.
Note—
See
section 632
for the matters a court may consider when deciding whether a person ought
reasonably to have known something.
212—Duty to ensure terms of consignment will not
cause driver to exceed speed limit etc
(1) A commercial
consignor or a consignee of goods must take all reasonable steps to ensure the
terms of consignment will not cause the relevant driver to exceed a speed limit
applying to the driver.
Maximum penalty: $10 000.
(2) A commercial
consignor or a consignee of goods must take all reasonable steps to ensure the
terms of consignment will not cause a relevant party for the relevant driver to
cause the driver to exceed a speed limit applying to the driver.
Examples of reasonable steps for the purposes of
subsections (1) and
(2)—
• ensuring contractual arrangements and documentation for the
consignment and delivery of goods enable speed limit compliance
• contingency planning concerning consignments and delivery
times
• regular consultation with other parties in the chain of
responsibility, unions and industry associations to address compliance
issues
Maximum penalty: $10 000.
Notes for the purposes of
subsections (1) and
(2)—
1
Section 622 sets out
some of the factors a court may consider in deciding whether a person has taken
all reasonable steps.
2
Section 623 sets out
1 method by which a consignor or consignee can take all reasonable steps for the
purposes of
subsection (1) or
(2).
(3) A person charged with an offence against
subsection (1) or
(2) does not have the
benefit of the mistake of fact defence for the offence.
(4) In this section—
relevant driver, for consigned goods, means the driver of the
heavy vehicle by which the goods are to be or are being transported;
relevant party, for the relevant driver for consigned goods,
means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the heavy vehicle by which the goods are transported if
the driver is to make, or is making, a journey for the operator.
213—Duty not to make a demand that may result in
driver exceeding the speed limit
A commercial consignor or a consignee of goods must not make a demand that
affects, or may affect, a time in a schedule for the transport of the consigned
goods unless—
(a) the consignor or consignee has complied with
section 212; and
(b) the consignor or consignee is reasonably satisfied the making of the
demand will not cause a person to contravene
section 207 or
208.
Maximum penalty: $6 000.
Division 5—Particular requests etc and
contracts etc prohibited
214—Who is a party in the chain of
responsibility
(1) For the purposes of this Division, each of the following persons is a
party in the chain of responsibility for a heavy
vehicle:
(a) an employer of the vehicle’s driver if the driver is an employed
driver;
(b) a prime contractor for the vehicle’s driver if the driver is a
self-employed driver;
(c) an operator of the vehicle;
(d) a scheduler for the vehicle;
(e) a loading manager for any goods in the vehicle;
(f) a commercial consignor of any goods for transport by the vehicle that
are in the vehicle;
(g) a consignee of any goods in the vehicle, if
Division 4 applies to the
consignee.
Note—
The exercise of any of these functions, whether exclusively or
occasionally, decides whether a person falls within any of these definitions,
rather than the person’s job title or contractual description.
(2) A person may be a party in the chain of responsibility for a heavy
vehicle in more than 1 capacity.
Example—
A person may be simultaneously the driver’s employer, an operator and
a consignor of goods in relation to a heavy vehicle and be subject to duties in
each of the capacities.
215—Particular requests etc
prohibited
A person must not ask, direct or require, directly or indirectly, the
driver of a heavy vehicle, or a party in the chain of responsibility for a heavy
vehicle, to do something the person knows, or ought reasonably to know, would
have the effect of causing the driver to exceed a speed limit applying to the
driver.
Example of a requirement that contravenes this
section—
a requirement that the driver complete a journey in a time the person knows
or ought reasonably to know cannot be complied with unless the driver exceeds
the speed limit or does not have all the rest time the driver is required to
have under a minimum rest requirement
Maximum penalty: $10 000.
Note—
See
section 632
for the matters a court may consider when deciding whether a person ought
reasonably to have known something.
216—Particular contracts etc
prohibited
(1) A person must not enter into a contract or other agreement with the
driver of a heavy vehicle, or with a party in the chain of responsibility for a
heavy vehicle, that the person knows, or ought reasonably to know, would have
the effect of causing the vehicle’s driver to exceed a speed limit
applying to the driver.
Maximum penalty: $10 000.
(2) A person must not enter into a contract or other agreement with the
driver of a heavy vehicle, or with a party in the chain of responsibility for a
heavy vehicle, that the person knows, or ought reasonably to know, would
encourage or provide an incentive for the vehicle’s driver, or a party in
the chain of responsibility for the vehicle to cause the vehicle’s driver,
to exceed a speed limit applying to the driver.
Maximum penalty: $10 000.
Notes for the purposes of subsections (1) and (2)—
1 See
section 632
for the matters a court may consider when deciding whether a person ought
reasonably to have known something.
2 See also
section 742, which
provides that particular contracts or other agreements are void.
Division 6—Provisions about offences against
this Part
217—Objective reasonableness test to be used in
deciding causation
(1) This section
applies in relation to a proceeding for an offence against this Part that may be
committed by a person failing to take all reasonable steps to ensure someone
else does not drive a heavy vehicle in excess of a speed limit applying to the
vehicle’s driver (prohibited act).
(2) For the purposes of
subsection (1), a
person failing to take all reasonable steps to ensure someone else does not do a
prohibited act includes—
(a) the person failing to take reasonable steps to ensure the other person
does not do the prohibited act; and
(b) the person failing to take reasonable steps to ensure the
person’s activities, or anything arising out of the person’s
activities, do not—
(i) cause the other person to do the prohibited act; or
(ii) result in the other person doing the prohibited act; or
(iii) provide an incentive for the other person to do the prohibited
act.
(3)
Subsection (4)
applies if—
(a) a person does an act or makes an omission; and
(b) as a result of the act or omission someone else does a prohibited
act.
(4) A court may find
the person caused the other person to do the prohibited act if the court is
satisfied a reasonable person would have foreseen that the person’s act or
omission would be reasonably likely to cause the other person to do the
prohibited act.
218—Commission of speeding offence is irrelevant to
Chapter 5 Part 2
prosecution
In a prosecution for an offence against this Part, it is not necessary to
prove the driver of the heavy vehicle exceeded a speed limit applying to the
driver.
Part 3—Extended liability
219—Liability of employer etc for speeding
offence
(1) If a speeding
offence is committed in relation to a heavy vehicle, each of the following
persons is taken to have committed an offence against this subsection:
(a) an employer of the driver if the driver is an employed
driver;
(b) a prime contractor of the driver if the driver is a self-employed
driver;
(c) an operator of the vehicle if the driver is making a journey for the
operator.
Maximum penalty:
(a) if the speeding offence involves the driver of a heavy vehicle
exceeding a speed limit of 50km/h or 60km/h—$3 000; or
(b) if the speeding offence involves the driver of a heavy vehicle
exceeding a speed limit of 70km/h or 80km/h—
(i) by less than 15km/h—$3 000; or
(ii) by 15km/h or more—$5 000; or
(c) if the speeding offence involves the driver of a heavy vehicle other
than a road train exceeding a speed limit of 90km/h—
(i) by less than 15km/h—$3 000; or
(ii) by 15km/h or more—$5 000; or
(d) if the speeding offence involves the driver of a road train exceeding
a speed limit of 90km/h—
(i) by less than 15km/h—$5 000; or
(ii) by 15km/h or more—$10 000; or
(e) if the speeding offence involves the driver of a heavy vehicle
exceeding a speed limit of 100km/h or more—
(i) by less than 15km/h—$5 000; or
(ii) by 15km/h or more—$10 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(4) In a proceeding for an offence against
subsection (1)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the speeding offence; and
(b) evidence a court has convicted the driver of the speeding offence is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
speeding offence is evidence that the offence happened at the time and place,
and in the circumstances, stated in the infringement notice.
(5) In this section—
speeding offence means an offence committed by the driver of
a heavy vehicle because the driver exceeded a speed limit applying to the
driver.
Chapter 6—Vehicle
operations—driver fatigue
Part 1—Preliminary
220—Main purpose of
Chapter 6
(1) The main purpose of this Chapter is to provide for the safe management
of the fatigue of drivers of fatigue-regulated heavy vehicles while they are
driving on a road.
(2) The main purpose is achieved by—
(a) imposing duties on drivers of fatigue-regulated heavy vehicles and
particular persons whose activities influence the conduct of drivers of
fatigue-regulated heavy vehicles in a way that affects the drivers’
fatigue when driving on a road; and
(b) imposing general duties directed at preventing persons driving
fatigue-regulated heavy vehicles on a road while impaired by fatigue;
and
(c) imposing additional duties directed at helping drivers of
fatigue-regulated heavy vehicles to comply with this Chapter, which are imposed
on particular parties in the chain of responsibility; and
(d) providing for the maximum work requirements and minimum rest
requirements applying to drivers of fatigue-regulated heavy vehicles;
and
(e) providing for recording the work times and rest times of drivers,
amongst other things.
221—Definitions for
Chapter 6
In this Chapter—
100km work has the meaning given by
section 289(1);
100+km work has the meaning given by
section 289(2);
AFM fatigue management system has the meaning given by
section 457;
AFM hours has the meaning given by
section 257;
approved electronic recording system means an electronic
recording system the subject of a current approval under
section 343 or a
corresponding fatigue law;
approved sleeper berth means—
(a) for a fatigue-regulated heavy vehicle other than a fatigue-regulated
bus—a driver’s sleeper berth that complies with ADR 42 and is able
to be used by the driver when resting; or
(b) for a fatigue-regulated bus—a driver’s sleeper berth
that—
(i) complies with a standard for sleeper berths that is approved by the
responsible Ministers under
section 654; and
(ii) is able to be used by the driver when resting;
BFM hours has the meaning given by
section 253;
cancel, in relation to an unused daily sheet in a written
work diary, means cancel by writing ‘cancelled’ in large letters
across the sheet;
cause of fatigue means any factor that could cause or
contribute to a person being fatigued while driving a fatigue-regulated heavy
vehicle on a road (whether or not the cause arises while the person is at
work);
Examples—
• physical or mental exertion
• long periods of time awake
• not enough sleep or not enough restorative sleep
• not enough rest time
• a person’s circadian rhythm (body clock)
• environmental stress factors, including heat, noise,
vibrations
• personal health
corresponding fatigue law—
(1) A
corresponding fatigue law is a law of a non-participating
jurisdiction that provides for the same, or substantially the same, matters as
this Chapter.
(2) A corresponding fatigue law for a provision of this
Chapter is a provision of a corresponding fatigue law within the meaning of
paragraph (1) that
corresponds, or substantially corresponds, to the provision of this
Chapter.
(3) For the purposes of
paragraph (1), it is
irrelevant whether the law of the non-participating
jurisdiction—
(a) is in 1 instrument or 2 or more instruments; or
(b) is part of an instrument; or
(c) is part of an instrument and the whole or part of 1 or more other
instruments;
critical risk breach , for a maximum work requirement or
minimum rest requirement, has the meaning given by
section 222(4);
daily sheet, for a written work diary, has the meaning given
by
section 338(2)(b);
electronic recording system means a system of recording
information electronically;
electronic work diary means a device that—
(a) is, or is part of, an approved electronic recording system;
and
(b) is fitted to or used in a fatigue-regulated heavy vehicle;
and
(c) has attached to it an electronic work diary label relating to the
approval;
electronic work diary label means a label
that—
(a) indicates that the device to which it is attached is, or is part of,
an approved electronic recording system; and
(b) states the number of the certificate of approval issued by the
Regulator for the approved electronic recording system; and
(c) is in a form approved by the Regulator;
entry, in a work record, means anything written in the work
record;
exemption hours has the meaning given by
section 259;
fatigue has the meaning given by
section 223;
impaired by fatigue has the meaning given by
section 225;
intelligent access reporting entity, for an approved
intelligent transport system, means a person on whom there is an obligation,
imposed by
Chapter 7, to report
a malfunction of or tampering with the system to the Regulator;
loading manager—
Note—
Section 5 contains
the definition loading manager. That definition is affected by the
definition regular loading or unloading premises, and is used in
this Chapter (including
sections 227,
238,
239 and
261).
As a result of the interaction of the 2 definitions, this Chapter applies
to a person as a loading manager only if the premises concerned are premises at
or from which an average of at least 5 fatigue-regulated heavy vehicles are
loaded or unloaded on each day the premises are operated for loading or
unloading heavy vehicles.
major rest break means rest time of at least 5 continuous
hours;
malfunction, of an electronic work diary or an odometer,
means the work diary or odometer—
(a) ceases to work at all, or works only intermittently; or
(b) does not perform 1
or more functions required under this Chapter; or
(c) performs the functions mentioned in
paragraph (b)
only intermittently; or
(d) performs the functions mentioned in
paragraph (b)
in a way that is inaccurate or unreliable, including intermittently inaccurate
or unreliable;
Examples of an electronic work diary malfunctioning—
• corruption of data held in the electronic work diary
• a software program fault
• physical damage that impairs the functioning of the electronic
work diary
Example of an odometer malfunctioning—
• an odometer that no longer keeps an accurate record of distance
travelled
minor risk breach has the meaning given by
section 222(1);
night work time means work time between midnight and 6
am;
Note—
Under
sections 248
and
303, the time must be
based on the time zone of the driver’s base for drivers on a journey in a
different time zone to the driver’s base.
non-participating jurisdiction means a State or Territory
that is not a participating jurisdiction;
participating jurisdiction means a State or Territory in
which—
(a) this Chapter applies as a law of the State or Territory; or
(b) a law containing provisions that substantially correspond to the
provisions of this Chapter is in force;
party in the chain of responsibility, for a fatigue-regulated
heavy vehicle, has the meaning given by
section 227;
record keeper has the meaning given by
section 317;
record location, of the driver of a fatigue-regulated heavy
vehicle, has the meaning given by
section 290;
rest, in relation to a fatigue-regulated heavy vehicle, means
not work in relation to a fatigue-regulated heavy vehicle;
rest time, for the driver of a fatigue-regulated heavy
vehicle, means any time that is not work time for the driver;
severe risk breach has the meaning given by
section 222(3);
sign of fatigue means any sign that a person was, is or will
be fatigued while driving a fatigue-regulated heavy vehicle on a road (whether
the sign manifests itself before, during or after the driver drove the
vehicle);
Examples—
• lack of alertness
• inability to concentrate
• reduced ability to recognise or respond to external
stimuli
• poor judgment or memory
• making more mistakes than usual
• drowsiness, or falling asleep, at work (including
microsleeps)
• finding it difficult to keep eyes open
• needing more frequent naps than usual
• not feeling refreshed after sleep
• excessive head-nodding or yawning
• blurred vision
• mood changes, increased irritability or other changes to the
person’s mental health
• changes to the person’s health or fitness
solo driver means a driver who is not a party to a two-up
driving arrangement;
standard hours has the meaning given by
section 249;
stationary rest time means rest time a driver
spends—
(a) out of a fatigue-regulated heavy vehicle; or
(b) in an approved sleeper berth of a stationary fatigue-regulated heavy
vehicle;
substantial risk breach has the meaning given by
section 222(2);
supplementary record means a supplementary record made under
section 305;
tamper, with an approved electronic recording system, has the
meaning given by
section 334;
two-up driving arrangement means an arrangement under which 2
persons share the driving of a fatigue-regulated heavy vehicle that has an
approved sleeper berth;
work, in relation to a fatigue-regulated heavy vehicle,
means—
(a) drive a fatigue-regulated heavy vehicle; or
(b) instruct another person to drive, or supervise another person driving,
a fatigue-regulated heavy vehicle; or
(c) perform another task relating to the use of a fatigue-regulated heavy
vehicle, including, for example—
(i) load things onto,
or unload things from, the heavy vehicle; and
(ii) inspect, service or repair the heavy vehicle; and
(iii) inspect or attend to a load on the heavy vehicle; and
(iv) if the heavy vehicle is a bus, attend to passengers on the bus;
and
(v) clean or refuel the heavy vehicle; and
(vi) perform marketing
tasks in relation to the use of the vehicle; and
Examples for the purposes of subparagraph (vi)—
• arranging for the transport of goods or passengers by the heavy
vehicle
• canvassing for orders for the transport of goods or passengers by
the heavy vehicle
(vii) help another person to perform, or supervise another person
performing, a task mentioned in any of
subparagraphs (i) to
(vi); and
(viii) record information or complete a document, as required under this
Law, a corresponding fatigue law or otherwise, in relation to the use of the
vehicle; or
(d) occupy the driver’s seat of a fatigue-regulated heavy vehicle
while its engine is running;
work and rest change, for the driver of a fatigue-regulated
heavy vehicle, means—
(a) a change from work time to rest time; or
(b) a change from rest time to work time; or
(c) a change from being a solo driver to being a driver who is a party to
a two-up driving arrangement; or
(d) a change from being a driver who is a party to a two-up driving
arrangement to being a solo driver;
work and rest hours option has the meaning given by
section 243;
work diary, for the driver of a fatigue-regulated heavy
vehicle—
(a) generally, means a written work diary or electronic work diary kept by
the driver for the purposes of this Law; and
(b) for
Subdivision 1 of
Division 2 of
Chapter 6 Part 4, see
section 292;
work record means—
(a) a written or
electronic work diary of the driver of a fatigue-regulated heavy vehicle;
or
(b) a supplementary
record; or
(c) a record required
to be made or kept under (or by a condition under)
Division 2,
Division 3,
Division 9 or
Division 10 of
Chapter 6 Part 4;
or
(d) a copy of a document, or an entry in a document, mentioned in
paragraph (a),
(b) or
(c);
work time, for the driver of a fatigue-regulated heavy
vehicle, means any time the driver spends undertaking work in relation to the
vehicle;
written work diary means a written work diary issued to the
driver of a fatigue-regulated heavy vehicle by the Regulator under
section 340 or a
corresponding fatigue law.
222—Categories of breaches
(1) A contravention of
a maximum work requirement or minimum rest requirement is a minor risk
breach if it is declared under the national regulations to be a breach
in the minor risk category.
(2) A contravention of
a maximum work requirement or minimum rest requirement is a substantial
risk breach if it is declared under the national regulations to be a
breach in the substantial risk category.
(3) A contravention of
a maximum work requirement or minimum rest requirement is a severe risk
breach if it is declared under the national regulations to be a breach
in the severe risk category.
(4) A contravention of
a maximum work requirement or minimum rest requirement is a critical risk
breach if it is declared under the national regulations to be a breach
in the critical risk category.
Part 2—Duties relating to
fatigue
Division 1—Preliminary
223—What is fatigue
(1) Fatigue includes (but is not limited
to)—
(b) feeling physically
or mentally tired, weary or drowsy; and
(c) feeling exhausted
or lacking energy; and
(d) behaving in a way consistent with
paragraph (a),
(b) or
(c).
(2) The national regulations may contain provisions supplementing,
clarifying or providing examples for any of the provisions of
sections 223 to
226.
224—Matters court may consider in deciding whether
person was fatigued
(1) When deciding
whether the driver of a fatigue-regulated heavy vehicle was fatigued, a court
may consider the following:
(a) what is commonly understood as being fatigued;
(b) the causes of fatigue;
(c) the signs of fatigue;
(d) any relevant body of fatigue knowledge;
(e) any other matter prescribed by the national regulations.
(2)
Subsection (1) does not
limit the matters the court may consider when deciding whether a driver was
impaired by fatigue.
225—What is impaired by
fatigue
A driver is impaired by fatigue if the driver's ability to
drive a fatigue-regulated heavy vehicle safely is affected by fatigue.
226—Matters court may consider in deciding whether
person was impaired by fatigue
(1) When deciding
whether the driver of a fatigue-regulated heavy vehicle was impaired by fatigue,
a court may consider any of the following:
(a) any relevant cause
of fatigue or sign of fatigue that was evident, and the degree to which it may
indicate that the driver was impaired by fatigue;
(b) any behaviour exhibited by the driver that may have resulted from the
driver being impaired by fatigue;
Examples for the purposes of paragraph (b)—
• the circumstances of any incident, crash or near miss
• poor driving judgement
• inattentive driving such as drifting into other lanes on a road or
not changing gears smoothly
(c) the nature and extent of any physical or mental exertion by the
driver;
(d) whether the driver was in breach of the driver’s work and rest
hours option.
(2)
Subsection (1) does not
limit the matters the court may consider when deciding whether a driver was
impaired by fatigue.
(3) A court may consider the driver to be impaired by fatigue even if the
driver has complied with—
(a) the requirements of this Law, including, for example, the maximum work
requirements and minimum rest requirements applying to the driver; or
(b) any other law.
227—Who is a party in the chain of
responsibility
(1) Each of the following persons is a party in the chain of
responsibility for a fatigue-regulated heavy vehicle:
(a) an employer of the vehicle’s driver;
(b) a prime contractor for the vehicle’s driver;
(c) an operator of the vehicle;
(d) a scheduler for the vehicle;
(e) a consignor of any goods for transport by the vehicle that are in the
vehicle;
(f) a consignee of any goods in the vehicle;
(g) a loading manager for any goods in the vehicle;
(h) a loader of any goods in the vehicle;
(i) an unloader of any goods in the vehicle.
(2) A person may be a party in the chain of responsibility for a
fatigue-regulated heavy vehicle in more than 1 capacity.
Example—
A person may be simultaneously a driver’s employer, an operator and a
consignor of goods in relation to a fatigue-regulated heavy vehicle, and be
subject to duties in each of the capacities.
Division 2—Duty to avoid and prevent
fatigue
228—Duty of driver to avoid driving while
fatigued
(1) A person must not
drive a fatigue-regulated heavy vehicle on a road while the person is impaired
by fatigue.
Maximum penalty: $6 000.
(2) If, in relation to conduct at a particular time in relation to which a
driver has been charged with an offence under
subsection (1),
the driver has been convicted of a prescribed driver offence under another law
in relation to—
(a) the same conduct; or
(b) the same kind of conduct occurring during the same journey,
the court must discharge the proceedings against the driver.
(3) If, in relation to conduct at a particular time in relation to which a
driver has been charged with an offence under
subsection (1),
the driver has been convicted of the offence and is also charged with a
prescribed driver offence under another law (the other offence) in
relation to—
(a) the same conduct; or
(b) the same kind of conduct occurring during the same journey,
the court dealing with the other offence must discharge the proceedings
against the driver for the other offence.
(4) In this section—
prescribed driver offence under another law means an offence
under another law of any jurisdiction prescribed for this definition by the
national regulations or a law of that jurisdiction.
229—Duty of party in the chain of responsibility to
prevent driver driving while fatigued
(1) A party in the
chain of responsibility (a party) for a fatigue-regulated heavy
vehicle must take all reasonable steps to ensure a person (the other
person) does not drive the vehicle on a road while the other person is
impaired by fatigue.
Maximum penalty: $10 000.
(2) In relation to proof of whether a party took all reasonable steps to
ensure the other person did not drive the vehicle on a road while impaired by
fatigue, in a proceeding for an offence against
subsection (1)—
(a) evidence that, at the relevant time, the party complied with a
prescribed fatigue duty under another law is evidence the party took the
reasonable steps; and
(b) if the party is an operator of the fatigue-regulated heavy
vehicle—evidence that, at the relevant time, the party, in that capacity,
complied with the conditions of the operator’s BFM accreditation or AFM
accreditation is evidence the party, in that capacity, took the reasonable
steps.
(3) In a proceeding for an offence against
subsection (1),
it is not necessary for the prosecution to prove that the other person drove, or
would or may have driven, the vehicle on a road while impaired by
fatigue.
(4) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(5) In this section—
prescribed fatigue duty under another law means a duty under
another law of a participating jurisdiction prescribed by the national
regulations.
Division 3—Additional duties of employers,
prime contractors and operators
230—Duty of employer, prime contractor or operator
to ensure business practices will not cause driver to drive while fatigued
etc
(1) A relevant party
for the driver of a fatigue-regulated heavy vehicle must take all reasonable
steps to ensure the relevant party’s business practices will not cause the
driver to—
(a) drive while impaired by fatigue; or
(b) drive while in breach of the driver’s work and rest hours
option; or
(c) drive in breach of another law to avoid driving while impaired by
fatigue or while in breach of the driver’s work and rest hours
option.
Maximum penalty: $6 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) In this section—
business practices, of a relevant party for the driver of a
fatigue-regulated heavy vehicle, means the practices of the relevant party in
running the relevant party’s business, and includes—
(a) the operating policies and procedures of the business; and
(b) the human resource and contract management arrangements of the
business; and
(c) arrangements for managing safety;
relevant party, for the driver of a fatigue-regulated heavy
vehicle, means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making, or is to make, a
journey for the operator.
231—Duty of employer not to cause driver to drive
if particular requirements not complied with
(1) An employer of an
employed driver of a fatigue-regulated heavy vehicle must not cause the driver
to drive the vehicle unless—
(a) the employer has complied with
section 230; and
(b) the employer, after making reasonable inquiries, is satisfied each
scheduler for the vehicle has complied with
Division 4.
Maximum penalty: $4 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
232—Duty of prime contractor or operator not to
cause driver to drive if particular requirements not complied
with
(1) This section applies to—
(a) a prime contractor of a self-employed driver (the
driver) of a fatigue-regulated heavy vehicle; and
(b) an operator of a fatigue-regulated heavy vehicle being driven by
someone else (also the driver).
(2) The prime
contractor or operator must not cause the driver to drive the fatigue-regulated
heavy vehicle, or enter into a contract or other agreement with the driver to
that effect, unless—
(a) the prime contractor or operator has complied with
section 230; and
(b) the prime contractor or operator, after making reasonable inquiries,
is satisfied each scheduler for the vehicle has complied with
Division 4.
Maximum penalty: $4 000.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
Division 4—Additional duties of
schedulers
233—Duty to ensure driver’s schedule will not
cause driver to drive while fatigued etc
(1) A scheduler for a
fatigue-regulated heavy vehicle must take all reasonable steps to ensure the
schedule for the vehicle’s driver will not cause the driver
to—
(a) drive while impaired by fatigue; or
(b) drive while in breach of the driver’s work and rest hours
option; or
(c) drive in breach of another law to avoid driving while impaired by
fatigue or while in breach of the driver’s work and rest hours
option.
Maximum penalty: $6 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
234—Duty not to cause driver to drive if particular
requirements not complied with
(1) A scheduler for a
fatigue-regulated heavy vehicle must not cause the vehicle’s driver to
drive the vehicle unless—
(a) the scheduler has complied with
section 233; and
(b) the schedule for the vehicle’s driver allows
for—
(i) the driver to have the rest time required under the driver’s
work and rest hours option; and
(ii) traffic conditions and other delays that could reasonably be
expected.
Examples of traffic conditions and other delays that could reasonably be
expected—
• the actual average speed able to be travelled lawfully and safely
by the driver on the route to be travelled by the vehicle
• known traffic conditions, for example, road works or traffic
congestion on the route
• delays caused by loading, unloading or queuing
Maximum penalty: $6 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
Division 5—Additional duties of consignors and
consignees
235—Duty to ensure terms of consignment will not
cause driver to drive while fatigued etc
(1) A consignor or
consignee of goods for transport by a fatigue-regulated heavy vehicle must take
all reasonable steps to ensure the terms of consignment will not result in,
encourage or provide an incentive to the vehicle’s driver
to—
(a) drive while impaired by fatigue; or
(b) drive while in breach of the driver’s work and rest hours
option; or
(c) drive in breach of another law to avoid driving while impaired by
fatigue or while in breach of the driver’s work and rest hours
option.
Maximum penalty: $10 000.
(2) A consignor or
consignee of goods for transport by a fatigue-regulated heavy vehicle must take
all reasonable steps to ensure the terms of consignment will not result in,
encourage or provide an incentive to a relevant party for the vehicle’s
driver to cause the driver to—
(a) drive while impaired by fatigue; or
(b) drive while in breach of the driver’s work and rest hours
option; or
(c) drive in breach of another law in order to avoid driving while
impaired by fatigue or while in breach of the driver’s work and rest hours
option.
Example of terms of consignment—
delivery times
Maximum penalty: $10 000.
(3) A person charged with an offence against
subsection (1) or
(2) does not have the
benefit of the mistake of fact defence for the offence.
(4) In this section—
relevant party, for the driver of a fatigue-regulated heavy
vehicle, means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making, or is to make, a
journey for the operator.
236—Duty not to cause driver to drive if particular
requirements not complied with
(1) A consignor or
consignee of goods for transport by a fatigue-regulated heavy vehicle must not
cause the vehicle’s driver to drive the vehicle, or enter into a contract
or other agreement to that effect, unless—
(a) the consignor or consignee has complied with
section 235; and
(b) the consignor or consignee, after making reasonable inquiries, is
satisfied—
(i) each relevant party for the driver has complied with
Division 3; and
(ii) each scheduler for the vehicle has complied with
Division 4.
Maximum penalty: $4 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) In this section—
relevant party, for the driver of a fatigue-regulated heavy
vehicle, means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making, or is to make, a
journey for the operator.
237—Duty not to make a demand that may result in
driver driving while fatigued etc
(1) A consignor or
consignee of goods for transport by a fatigue-regulated heavy vehicle must not
make a demand that affects, or may affect, a time in a schedule for the
transport of the consigned goods and that may cause the vehicle’s driver
to—
(a) drive while impaired by fatigue; or
(b) drive while in breach of the driver’s work and rest hours
option; or
(c) drive in breach of another law to avoid driving while impaired by
fatigue or while in breach of the driver’s work and rest hours
option.
Maximum penalty: $10 000.
(2)
Subsection (1) does not
apply if the consignor or consignee, before making the demand—
(a) has complied with
section 235; and
(b) is satisfied, after making reasonable inquiries, that the making of
the demand will not cause a scheduler for the fatigue-regulated heavy vehicle to
contravene
Division 4.
(3) A person charged with an offence against
subsection
(1) does not have the benefit of the mistake of fact defence for the
offence.
Division 6—Additional duties of loading
managers
238—Duty to ensure loading arrangements will not
cause driver to drive while fatigued etc
(1) A loading manager
for goods in heavy vehicles must take all reasonable steps to ensure the
arrangements for loading goods onto and unloading goods from fatigue-regulated
heavy vehicles at or from the premises in relation to which the person is a
loading manager will not cause the driver of a fatigue-regulated heavy vehicle
to—
(a) drive while impaired by fatigue; or
(b) drive while in breach of the driver’s work and rest hours
option; or
(c) drive in breach of another law in order to avoid driving while
impaired by fatigue or while in breach of the driver’s work and rest hours
option.
Examples of reasonable steps to comply with this
section—
• providing for necessary rest time to be had with adequate
facilities
• providing for the reporting of travel delays and providing a
mechanism for managing late arrivals
• allowing loading and unloading to happen at an agreed
time
• having a system of setting and allocating loading and unloading
times the driver of a fatigue-regulated heavy vehicle can reasonably rely on to
comply with the maximum work requirements and minimum rest requirements applying
to the driver
Maximum penalty: $10 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
239—Duty to ensure drivers can rest in particular
circumstances
(1) This section applies if a loading manager for goods in a
fatigue-regulated heavy vehicle, or a person acting under the loading
manager’s supervision or control—
(a) has advised the vehicle’s driver, either directly or indirectly,
of when the loading of goods onto or unloading of goods from the vehicle is to
start, and the loading manager or person becomes aware the loading or unloading
will, or is likely to, start more than 30 minutes late; or
(b) has advised the vehicle’s driver, either directly or indirectly,
of when the loading of goods onto or unloading of goods from the vehicle is to
finish, and the loading manager or person becomes aware the loading or unloading
will, or is likely to, finish more than 30 minutes late; or
(c) is unable to advise the vehicle’s driver of when the loading of
goods onto or unloading of goods from the vehicle is to start; or
(d) is unable to advise the vehicle’s driver of when the loading of
goods onto or unloading of goods from the vehicle is to finish.
(2) The loading manager
must take all reasonable steps to ensure the driver is able to rest while
waiting for the goods to be loaded onto or unloaded from the fatigue-regulated
heavy vehicle.
Example of reasonable steps that may be taken to ensure the driver of a
fatigue-regulated heavy vehicle is able to rest—
providing a system of notifying the driver when goods can be loaded onto or
unloaded from the driver’s vehicle that does not require the driver to be
awake or unreasonably alert
Maximum penalty: $6 000.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
Division 7—Particular requests etc and
contracts etc prohibited
240—Particular requests etc
prohibited
A person must not ask, direct or require, directly or indirectly, the
driver of a fatigue-regulated heavy vehicle, or a party in the chain of
responsibility for a fatigue-regulated heavy vehicle, to do or not do something
the person knows, or ought reasonably to know, would have the effect of causing
the vehicle’s driver to—
(a) drive while impaired by fatigue; or
(b) drive while in breach of the driver’s work and rest hours
option; or
(c) drive in breach of another law in order to avoid driving while
impaired by fatigue or while in breach of the driver’s work and rest hours
option.
Example of a requirement that contravenes this
section—
a requirement that the driver complete a journey in a time the person knows
or ought reasonably to know cannot be complied with unless the driver commits a
speeding offence or does not have all the rest time the driver is required to
have under this Law
Maximum penalty: $10 000.
Note—
See
section 632
for the matters a court may consider when deciding whether a person ought
reasonably to have known something.
241—Particular contracts etc
prohibited
(1) A person must not enter into a contract or other agreement with the
driver of a fatigue-regulated heavy vehicle, or with a party in the chain of
responsibility for a fatigue-regulated heavy vehicle, that the person knows, or
ought reasonably to know, would have the effect of causing the vehicle’s
driver to—
(a) drive while impaired by fatigue; or
(b) drive while in breach of the driver’s work and rest hours
option; or
(c) drive in breach of another law to avoid driving while impaired by
fatigue or while in breach of the driver’s work and rest hours
option.
Maximum penalty: $10 000.
(2) A person must not enter into a contract or other agreement with the
driver of a fatigue-regulated heavy vehicle, or with a party in the chain of
responsibility for a fatigue-regulated heavy vehicle that the person knows, or
ought reasonably to know, would encourage or provide an incentive for the
vehicle’s driver, or a party in the chain of responsibility for the
vehicle to cause the vehicle’s driver, to—
(a) drive while impaired by fatigue; or
(b) drive while in breach of the driver’s work and rest hours
option; or
(c) drive in breach of another law to avoid driving while impaired by
fatigue or while in breach of the driver’s work and rest hours
option.
Maximum penalty: $10 000.
Notes for the purposes of subsections (1) and (2)—
1 See
section 632
for the matters a court may consider when deciding whether a person ought
reasonably to have known something.
2 See
section 742,
which provides that particular contracts or other agreements are void.
Division 8—Provisions about offences against
this Part
242—Objective reasonableness test to be used in
deciding causation
(1) This section
applies in relation to a proceeding for an offence against this Part that may be
committed by a person failing to take all reasonable steps to ensure someone
else does not drive a fatigue-regulated heavy vehicle while impaired by fatigue
(prohibited act).
(2) For the purposes of
subsection (1), a
person failing to take all reasonable steps to ensure someone else does not do a
prohibited act includes—
(a) the person failing to take reasonable steps to ensure the other person
does not do the prohibited act; and
(b) the person failing to take reasonable steps to ensure the
person’s activities, or anything arising out of the person’s
activities, do not—
(i) cause the other person to do the prohibited act; or
(ii) result in the other person doing the prohibited act; or
(iii) provide an incentive for the other person to do the prohibited
act.
(3)
Subsection (4) applies
if—
(a) a person does an act or makes an omission; and
(b) as a result of the act or omission someone else does a prohibited
act.
(4) A court may find
the person caused the other person to do the prohibited act if the court is
satisfied a reasonable person would have foreseen the person’s act or
omission would be reasonably likely to cause the other person to do the
prohibited act.
Part 3—Requirements relating to work time and
rest time
Division 1—Preliminary
243—What is a driver’s work and rest hours
option
(1) The work and rest hours option of the driver of a
fatigue-regulated heavy vehicle is the maximum work requirements and minimum
rest requirements applying to the driver under this Law.
(2) The work and rest hours option is—
(a) the standard work and rest arrangements, which—
(i) apply to drivers of fatigue-regulated heavy vehicles operating other
than under a BFM accreditation, AFM accreditation or work and rest hours
exemption; and
(ii) are known as ‘standard hours’; or
(b) the BFM work and rest arrangements, which—
(i) apply to drivers of fatigue-regulated heavy vehicles operating under a
BFM accreditation; and
(ii) are known as ‘BFM hours’; or
(c) the AFM work and rest arrangements, which—
(i) apply to drivers of fatigue-regulated heavy vehicles operating under
an AFM accreditation; and
(ii) are known as ‘AFM hours’; or
(d) the maximum work times and minimum rest times stated in a work and
rest hours exemption, which—
(i) apply to drivers of fatigue-regulated heavy vehicles operating under
the exemption; and
(ii) are known as ‘exemption hours’.
244—Counting time spent in participating
jurisdictions
When counting work time or rest time spent by the driver of a
fatigue-regulated heavy vehicle for this Part, the work time or rest time spent
by the driver in any participating jurisdiction must be counted.
245—Counting time spent outside participating
jurisdictions
(1) This section applies to the driver of a fatigue-regulated heavy
vehicle if the driver drives a fatigue-regulated heavy vehicle into a
participating jurisdiction from a non-participating jurisdiction.
(2) If, within the last 7 days, the driver has spent any work time in a
participating jurisdiction, any time spent by the driver in the
non-participating jurisdiction must be treated in the same way as it would have
been treated if the time had been spent in a participating
jurisdiction.
(3) If, within the last 7 days, the driver spent work time only in
non-participating jurisdictions—
(a) any time spent by
the driver in the non-participating jurisdiction before the start of the
driver’s last major rest break before entering a participating
jurisdiction must be disregarded; and
(b) any time spent by the driver in the non-participating jurisdiction
after the start of the last major rest break mentioned in
paragraph (a) must
be—
(i) taken into account; and
(ii) treated in the same way as it would have been treated if the time had
been spent in a participating jurisdiction.
246—Counting periods of less than 15
minutes
(1) Work time must be counted in 15 minute periods.
(2) A period of work time of less than 15 minutes counts as
15 minutes work time.
Examples for the purposes of subsection (2)—
1 A period of working for 14 minutes counts as 15 minutes work
time.
2 A period of working for 17 minutes counts as 30 minutes work
time.
3 A period of working for 53 minutes counts as 1 hour work
time.
(3) Rest time must be counted in blocks of time of no less than
15 minutes.
(4) A period of rest time of less than 15 minutes must be
disregarded.
Examples for the purposes of subsection (4)—
1 A period of not working for only 14 minutes does not count as rest time,
because 14 minutes is less than 15 minutes.
2 A period of not working for 17 minutes counts as 15 minutes rest
time, because 17 minutes is more than 15 minutes, but is less than 2
lots of 15 minutes (30 minutes).
247—Time to be counted after rest time
ends
When counting time in a period, the time must not be counted from within
rest time, but instead must be counted forward from—
(a) if 1 or more major rest breaks are relevant to the period—the
end of a relevant major rest break; or
(b) in any other
case—the end of a relevant period of rest time.
Example—
An authorised officer intercepts the driver of a fatigue-regulated heavy
vehicle on a Friday and inspects the driver’s work diary. The driver
operates under standard hours. The officer examines the work diary entries for
the previous Monday. The entries show that the driver completed 7 continuous
hours of stationary rest time at 6.30 am on that day, started work at that time,
worked until 11 am that day, had 45 minutes of rest time, worked until 5 pm that
day, then had stationary rest time until 4.30 am on the following day, Tuesday,
and then worked until 6.30 am on that day.
In order to determine the total number of hours worked by the driver in a
24 hour period starting on the Monday, then in accordance with section 247(a)
the officer must commence counting from the end of the relevant major rest
break, which in this case is from 6.30 am on the Monday until 6.30 am on the
Tuesday. Adding up the driver’s work periods — 6.30 am to 11 am,
11.45 am to 5.00 pm and 4.30 am to 6.30 am — results in a total of
11¾ hours worked in the 24 hour period.
The officer might also decide to assess whether the driver has complied
with his or her maximum work and minimum rest requirements for the same 24 hour
period.
For instance, in any period of 5½ hours, a driver must not work for
more than 5¼ hours and must have at least 15 minutes continuous rest when
operating under standard hours. To assess whether the driver has complied with
this requirement, then in accordance with
section 247(b) the
officer must commence counting only from the end of a period of rest —
from either 6.30 am or 11.45 am on the Monday, or from 4.30 am on the Tuesday.
If the officer commenced counting at the end of the rest time that finished at
11.45 am, the officer would see that the driver had worked for 5¼
continuous hours before commencing rest.
For the purposes of determining whether on Monday the driver had a minimum
of 7 continuous hours stationary rest in a 24 hour period as required under
standard hours, the officer must assess the length of the periods of stationary
rest time the driver had between the end of the major rest break that finished
at 6.30 am on the Monday and 6.30 am on the Tuesday. The officer sees that
between 5 pm on the Monday and 4.30 am on the Tuesday the driver had a total of
11½ continuous hours of stationary rest time.
248—Time to be counted by reference to time zone of
driver’s base
If the driver of a fatigue-regulated heavy vehicle undertakes a journey and
is in a different time zone from the time zone of the driver’s base at the
time when a period of time is relevant for the purposes of this Law, the period
must be counted by reference to the time zone of the driver’s
base.
Example—
If, for the driver of a fatigue-regulated heavy vehicle with a base in
Queensland, it is necessary to work out the hours of night work time while the
driver is in Western Australia on a journey, the hours of night work time are
the hours between midnight and 6 am in the Queensland time zone (being the time
zone in which the driver’s base is situated), even though the hours equate
to 10 pm and 4 am in Western Australia.
Division 2—Standard work and rest
arrangements
249—Standard hours
(1) The national
regulations may prescribe the maximum work times and minimum rest times (the
standard hours) applying to the driver of a fatigue-regulated
heavy vehicle for a period if the driver is not operating under a BFM
accreditation, AFM accreditation or work and rest hours exemption.
(2) Without limiting
subsection (1), the
national regulations may prescribe—
(a) different standard hours for solo drivers, solo drivers of
fatigue-regulated buses and drivers who are a party to a two-up driving
arrangement; and
(b) that a solo driver of a fatigue-regulated bus may operate under
either, but not both, the standard hours for solo drivers or the standard hours
for solo drivers of fatigue-regulated buses.
250—Operating under standard hours—solo
drivers
(1) The solo driver of
a fatigue-regulated heavy vehicle commits an offence if, in any period stated in
the standard hours for the driver, the driver—
(a) works for more than the maximum work time stated in the standard hours
for the period; or
(b) rests for less than the minimum rest time stated in the standard hours
for the period.
Maximum penalty:
(a) for a minor risk breach—$4 000; or
(b) for a substantial risk breach—$6 000; or
(c) for a severe risk breach—$10 000; or
(d) for a critical risk breach—$15 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
251—Operating under standard hours—two-up
drivers
(1) The driver of a
fatigue-regulated heavy vehicle who is a party to a two-up driving arrangement
commits an offence if, in any period stated in the standard hours for the
driver, the driver—
(a) works for more than the maximum work time stated in the standard hours
for the period; or
(b) rests for less than the minimum rest time stated in the standard hours
for the period.
Maximum penalty:
(a) for a minor risk breach—$4 000; or
(b) for a substantial risk breach—$6 000; or
(c) for a severe risk breach—$10 000; or
(d) for a critical risk breach—$15 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
252—Defence relating to short rest breaks for
drivers operating under standard hours
(1) This section applies if, at a particular time, the driver of a
fatigue-regulated heavy vehicle is required, under
section 250 or
251, to have a short rest
break.
Examples of when this section applies—
The driver is required to have 15 continuous minutes rest time
because—
(a) the driver has worked for 5¼ hours; or
(b) the driver has worked for 7½ hours and has only had
15 continuous minutes rest time during that period; or
(c) the driver has worked for 10 hours and has only had 3 lots of
15 continuous minutes rest time during that period.
(2) In a proceeding for an offence against
section 250 or
251 relating to the driver
failing to have the short rest break, it is a defence for the driver to prove
that—
(a) at the time the driver was required to have the short rest break,
there was no suitable rest place for fatigue-regulated heavy vehicles;
and
(b) the driver had the short rest break—
(i) at the next suitable rest place for fatigue-regulated heavy vehicles
available after that time on the forward route of the driver’s journey;
and
(ii) no later than 45 minutes after the time the driver was required to
have the short rest break.
Example of when the defence applies—
The driver of a fatigue-regulated heavy vehicle fails to have a short rest
break after 5¼ hours of work time because there was no suitable rest place
for fatigue-regulated heavy vehicles when the driver was scheduled to have the
short rest break. Instead, the driver has a short rest break after 5½ hours
work at a suitable rest place for fatigue-regulated heavy vehicles down the
road.
(3) In this section—
short rest break means rest time of less than 1
hour.
Division 3—BFM work and rest
arrangements
253—BFM hours
(1) The national
regulations may prescribe the maximum work times and minimum rest times applying
to the driver of a fatigue-regulated heavy vehicle for a period if the driver is
operating under a BFM accreditation (the BFM hours).
(2) Without limiting
subsection (1), the
national regulations may prescribe different BFM hours for solo drivers and
drivers who are a party to a two-up driving arrangement.
254—Operating under BFM hours—solo
drivers
(1) The solo driver of
a fatigue-regulated heavy vehicle commits an offence if, in any period stated in
the BFM hours for the driver, the driver—
(a) works for more than the maximum work time stated in the BFM hours for
the period; or
(b) rests for less than the minimum rest time stated in the BFM hours for
the period.
Maximum penalty:
(a) for a minor risk breach—$4 000; or
(b) for a substantial risk breach—$6 000; or
(c) for a severe risk breach—$10 000; or
(d) for a critical risk breach—$15 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
255—Defence for solo drivers operating under BFM
hours relating to split rest breaks
(1) This section applies if, at a particular time, the driver of a
fatigue-regulated heavy vehicle is required under
section 254 to have
7 continuous hours of stationary rest time in a period of 24
hours.
(2) In a proceeding for an offence against
section 254 for a solo
driver of a fatigue-regulated heavy vehicle relating to the driver failing to
have the 7 continuous hours of stationary rest time, it is a defence for
the driver to prove that—
(a) at the time the driver was required to have the 7 continuous
hours of stationary rest time, the driver was operating under BFM hours as a
solo driver of a fatigue-regulated heavy vehicle; and
(b) during the period of 24 hours for which the 7 continuous hours of
stationary rest time was required to be had, the driver had 6 continuous
hours of stationary rest time and 2 continuous hours of stationary rest
time (a split rest break); and
(c) the driver had not had a split rest break in the previous 24-hour
period.
Example of when the defence applies—
The driver of a fatigue-regulated heavy vehicle stops work to have
7 continuous hours of stationary rest time, but cannot sleep, and so the
driver has only 2 continuous hours of stationary rest time and then drives
on for a further 2 hours and has a further 6 continuous hours of
stationary rest time at another place down the road. In the previous 24-hour
period the driver had 7 continuous hours of stationary rest time.
256—Operating under BFM hours—two-up
drivers
(1) The driver of a
fatigue-regulated heavy vehicle who is a party to a two-up driving arrangement
commits an offence if, in any period stated in the BFM hours for the driver, the
driver—
(a) works for more than the maximum work time stated in the BFM hours for
the period; or
(b) rests for less than the minimum rest time stated in the BFM hours for
the period.
Maximum penalty:
(a) for a minor risk breach—$4 000; or
(b) for a substantial risk breach—$6 000; or
(c) for a severe risk breach—$10 000; or
(d) for a critical risk breach—$15 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
Division 4—AFM work and rest
arrangements
257—AFM hours
AFM hours are the maximum work times and minimum rest times
applying, for a period, to the driver of a fatigue-regulated heavy vehicle
operating under an AFM accreditation, and stated in the accreditation
certificate for the accreditation.
258—Operating under AFM hours
(1) The driver of a
fatigue-regulated heavy vehicle commits an offence if, in any period stated in
the AFM hours for the driver, the driver—
(a) works for more than the maximum work time stated in the AFM hours;
or
(b) rests for less than the minimum rest time stated in the AFM
hours.
Maximum penalty:
(a) for a minor risk breach—$4 000; or
(b) for a substantial risk breach—$6 000; or
(c) for a severe risk breach—$10 000; or
(d) for a critical risk breach—$15 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
Division 5—Arrangements under work and rest
hours exemption
259—Exemption hours
(1) Exemption hours are the maximum work times and minimum
rest times applying, for a period, to the driver of a fatigue-regulated heavy
vehicle operating under a work and rest hours exemption, and stated in the
relevant document for the exemption.
(2) In this section—
relevant document means—
(a) for a work and rest hours exemption (notice)—the Commonwealth
Gazette notice for the exemption; or
(b) for a work and rest hours exemption (permit)—the permit for the
exemption.
260—Operating under exemption
hours
(1) The driver of a
fatigue-regulated heavy vehicle operating under a work and rest hours exemption
commits an offence if, in any period stated in the exemption hours for the
exemption, the driver—
(a) works for more than the maximum work time stated in the exemption
hours; or
(b) rests for less than the minimum rest time stated in the exemption
hours.
Maximum penalty:
(a) for a minor risk breach—$4 000; or
(b) for a substantial risk breach—$6 000; or
(c) for a severe risk breach—$10 000; or
(d) for a critical risk breach—$15 000.
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
Division 6—Extended
liability
261—Liability of employer etc for driver’s
contravention of maximum work requirement or minimum rest
requirement
(1) This section applies to an offence committed because the driver of a
fatigue-regulated heavy vehicle contravenes a maximum work requirement or
minimum rest requirement applying to the driver under
Division 2,
Division 3,
Division 4 or
Division 5 (the
relevant offence).
(2) If a relevant
offence is committed involving the driver of a fatigue-regulated heavy vehicle,
each of the following persons is taken to have committed an offence against this
subsection:
(a) an employer of the driver if the driver is an employed
driver;
(b) a prime contractor of the driver if the driver is a self-employed
driver;
(c) an operator of the vehicle;
(d) a scheduler for the vehicle;
(e) a consignor of any goods for transport by the vehicle that are in the
vehicle;
(f) a consignee of any goods in the vehicle;
(g) a loading manager for any goods in the vehicle;
(h) a loader of any goods in the vehicle;
(i) an unloader of goods in the vehicle.
Maximum penalty:
(a) for a minor risk breach—$4 000; or
(b) for a substantial risk breach—$6 000; or
(c) for a severe risk breach—$10 000; or
(d) for a critical risk breach—$15 000.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(5) In a proceeding for an offence against
subsection (2)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the relevant offence; and
(b) evidence a court has convicted the driver of the relevant offence is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
relevant offence is evidence that the offence happened at the time and place,
and in the circumstances, stated in the infringement notice.
Division 7—Changing work and rest hours
option
262—Changing work and rest hours
option
(1) The driver of a fatigue-regulated heavy vehicle may operate under only
1 work and rest hours option at any 1 time.
(2) However, the driver of a fatigue-regulated heavy vehicle may change
from 1 work and rest hours option to a different work and rest hours
option.
263—Operating under new work and rest hours option
after change
(1) The driver of a
fatigue-regulated heavy vehicle must not drive the vehicle after changing from 1
work and rest hours option to a different work and rest hours option
unless—
(a) if the change is from standard hours or BFM hours, either the
driver—
(i) is in compliance with all the maximum work requirements and minimum
rest requirements under the work and rest hours option to which the driver has
changed; or
(ii) has had a reset rest break; and
Examples for the purposes of paragraph (a)—
1 If the driver of a fatigue-regulated heavy vehicle is changing from BFM
hours to standard hours and the minimum rest requirements applying to drivers
operating under standard hours requires the driver to have a longer rest time
than is required under BFM hours, the driver may start driving under standard
hours only if the driver has had the longer rest time or a reset rest
break.
2 If the driver of a fatigue-regulated heavy vehicle is changing from BFM
hours to standard hours and the minimum rest requirements applying to drivers
operating under standard hours requires the driver to have rest time earlier
than is required under BFM hours, the driver may start driving under standard
hours only if the driver has had the earlier rest time or a reset rest
break.
(b) if the change is from AFM hours or exemption hours, the driver has had
a reset rest break; and
(c) the driver complies with all other requirements of the work and rest
hours option to which the driver has changed.
Example of other requirements for the purposes of paragraph
(c)—
If the driver is changing to BFM hours or AFM hours, the driver must be
inducted into the relevant operator’s BFM or AFM fatigue management
system.
Maximum penalty: $4 000.
(2) If the driver of a fatigue-regulated heavy vehicle has had a reset
rest break between changing from 1 work and rest hours option to a different
work and rest hours option, the period to which the new work and rest hours
option applies must be counted forward from the end of the reset rest
break.
(3) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(5) In this section—
reset rest break means a period of rest time of at least
48 continuous hours.
264—Duty of employer, prime contractor, operator
and scheduler to ensure driver compliance
(1) This section applies if the driver of a fatigue-regulated heavy
vehicle changes from 1 work and rest hours option to a different work and rest
hours option.
(2) A relevant party
for the driver must—
(a) ensure the driver does not drive a fatigue-regulated heavy vehicle
after making the change unless the driver has complied with
section 263; and
(b) take whatever action is necessary to ensure the driver can comply with
his or her obligations in relation to the change.
Maximum penalty: $6 000.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(5) In this section—
relevant party, for the driver of a fatigue-regulated heavy
vehicle, means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making a journey for the
operator; or
(d) a scheduler for the vehicle.
Division 8—Exemptions relating to work times
and rest times
Subdivision 1—Exemption for emergency
services
265—Emergency services
exemption
(1) A person who is
acting for an emergency service and who has time-critical duties on the way to,
or during, an emergency is exempted in the course of carrying out the duties
from compliance with this Part.
(2) A person who is
acting for an emergency service and who is returning from attending an emergency
is exempted from compliance with this Part if the person reasonably believes the
noncompliance does not present an unreasonable danger to other road
users.
(3) A person who is acting for an emergency service is exempted from
compliance with this Part under
subsection (1) or
(2) only if, at the
relevant time, the person complies with any guidelines regarding the management
of fatigue issued by or on behalf of the emergency service or an authority
responsible for oversight of the emergency service.
(4) In this section—
emergency means an event, or an anticipated event,
that—
(a) endangers, or may endanger, life, property or the environment;
or
(b) has disrupted, or may disrupt, communications, energy supply, water
supply or sewerage services; or
(c) is declared to be an emergency or disaster by—
(i) the Commonwealth or a State or Territory; or
(ii) a Commonwealth or State or Territory authority responsible for
managing responses to emergencies or disasters;
Examples of an emergency—
fire, explosion or natural disaster
emergency service means an entity that has a statutory
responsibility to respond to an emergency and includes the following:
(a) an ambulance service;
(b) a fire brigade, including a volunteer fire brigade;
(c) a police force or police service;
(d) a disaster or emergency organisation of the Commonwealth or a State or
Territory.
Subdivision 2—Exemptions by Commonwealth
Gazette notice
266—Regulator’s power to exempt class of
drivers from particular maximum work requirements and minimum rest
requirements
(1) The Regulator may,
by Commonwealth Gazette notice complying with
section 270, grant an
exemption to allow, for a period of not more than 3 years, a class of
drivers of fatigue-regulated heavy vehicles to operate under the maximum work
times and minimum rest times stated in the exemption.
(2) An exemption under
subsection (1) is a
work and rest hours exemption (notice).
267—Restriction on grant of work and rest hours
exemption (notice)
(1) The Regulator may grant a work and rest hours exemption (notice) only
if the Regulator is satisfied—
(a) requiring the class of drivers to whom the exemption is to apply to
comply with the standard hours would be an unreasonable restriction on
operations conducted by—
(i) the class of drivers; or
(ii) relevant parties for the class of drivers; and
(b) if the maximum work times and minimum rest times to apply under the
exemption could be accommodated within BFM hours or AFM hours—the
requirements applying to BFM accreditation or AFM accreditation under this Law
would, having regard to the nature of the operations, be unreasonable for the
operations conducted by—
(i) the class of drivers; or
(ii) relevant parties for the class of drivers; and
(c) the driver fatigue management practices that are to apply to drivers
operating under the exemption would, if followed, safely manage fatigue risks;
and
(d) the class of drivers to whom the exemption is to apply is likely to
follow the practices consistently and effectively.
(2) In deciding whether or not to grant a work and rest hours exemption
(notice), the Regulator must have regard to the approved guidelines for granting
work and rest hours exemptions.
(3) In this section—
relevant parties, for a class of drivers of fatigue-regulated
heavy vehicles, means—
(a) employers of the class of drivers if they are employed drivers;
or
(b) prime contractors for the class of drivers if they are self-employed
drivers; or
(c) operators of fatigue-regulated heavy vehicles if the drivers of the
class are to make journeys for the operators using the vehicles.
268—Conditions of work and rest hours exemption
(notice)
A work and rest hours exemption (notice) may be subject to any conditions
the Regulator considers appropriate, including, for example—
(a) conditions about driver fatigue management practices that are to apply
to drivers operating under the exemption; and
(b) conditions about keeping records relating to the driver fatigue
management practices; and
(c) a condition that the driver of a fatigue-regulated heavy vehicle who
is operating under the exemption must keep in the driver’s possession a
copy of—
(i) the Commonwealth Gazette notice for the exemption; or
(ii) an information sheet about the exemption published by the Regulator
on the Regulator’s website.
269—Period for which work and rest hours exemption
(notice) applies
A work and rest hours exemption (notice)—
(a) takes effect—
(i) when the Commonwealth Gazette notice for the exemption is published;
or
(ii) if a later time is stated in the Commonwealth Gazette notice, at the
later time; and
(b) applies for the period stated in the Commonwealth Gazette
notice.
270—Requirements about Commonwealth Gazette
notice
(1) A Commonwealth Gazette notice for a work and rest hours exemption
(notice) must state the following:
(a) the class of drivers of fatigue-regulated heavy vehicles to which the
exemption applies;
(b) the maximum work times and minimum rest times that are to apply to
drivers operating under the exemption;
(c) the other conditions of the exemption;
(d) the period for which the exemption applies.
(2) The Regulator must publish a copy of the Commonwealth Gazette notice
on the Regulator’s website.
271—Amendment or cancellation of work and rest
hours exemption (notice)
(1) Each of the
following is a ground for amending or cancelling a work and rest hours exemption
(notice):
(a) since the exemption
was granted, there has been a change in the circumstances that were relevant to
the Regulator’s decision to grant the exemption and, had the changed
circumstances existed when the exemption was granted, the Regulator would not
have granted the exemption, or would have granted the exemption subject to
conditions or different conditions;
(b) the use of fatigue-regulated heavy vehicles under the exemption has
caused, or is likely to cause, a significant risk to public safety.
(2) If the Regulator considers a ground exists to amend or cancel a work
and rest hours exemption (notice), the Regulator may amend or cancel the
exemption by complying with
subsections (3) to
(5).
(3) The Regulator must
publish a notice in the Commonwealth Gazette, in a newspaper circulating
generally throughout each participating jurisdiction and on the
Regulator’s website—
(a) stating that the Regulator believes a ground mentioned in
subsection (1)(a) or
(b) for amending or
cancelling the exemption exists; and
(b) outlining the facts
and circumstances forming the basis for the belief; and
(c) stating the action the Regulator is proposing to take under this
section (the proposed action); and
(d) inviting persons
who will be affected by the proposed action to make, within a stated time of at
least 14 days after the Commonwealth Gazette notice is published, written
representations about why the proposed action should not be taken.
(4) If, after considering all written representations made under
subsection (3)(d),
the Regulator still considers a ground exists to take the proposed action, the
Regulator may—
(a) if the proposed action was to amend the exemption—amend the
exemption, including, for example, by imposing additional conditions on the
exemption, in a way that is not substantially different from the proposed
action; or
(b) if the proposed action was to cancel the exemption—
(i) amend the exemption, including, for example, by imposing additional
conditions on the exemption; or
(ii) cancel the exemption.
(5) Notice of the
amendment or cancellation must be published—
(a) in—
(i) the Commonwealth Gazette; and
(ii) a newspaper circulating generally throughout each participating
jurisdiction; and
(b) on the Regulator’s website.
(6) The amendment or
cancellation takes effect—
(a) 28 days after the Commonwealth Gazette notice is published;
or
(b) if a later time is stated in the Commonwealth Gazette notice, at the
later time.
272—Immediate suspension
(1) This section applies if the Regulator considers—
(a) a ground exists to cancel a work and rest hours exemption (notice);
and
(b) it is necessary to suspend the exemption immediately to prevent or
minimise serious harm to public safety.
(2) The Regulator may, by publishing a notice as mentioned in
subsection (3)
(immediate suspension notice), immediately suspend the work and
rest hours exemption (notice) until the earliest of the following:
(a) the Regulator publishes a notice under
section 271(5)
and the amendment or cancellation takes effect under
section 271(6);
(b) the Regulator cancels the suspension;
(c) the end of 56 days after the day the immediate suspension notice is
published.
(3) The immediate
suspension notice, and (where relevant) notice of the cancellation of the
suspension, must be published—
(a) in—
(i) the Commonwealth Gazette; and
(ii) a newspaper circulating generally throughout each relevant
participating jurisdiction; and
(b) on the Regulator’s website; and
(c) in any other newspaper the Regulator considers appropriate.
Example for the purposes of paragraph (c)—
If the work and rest hours exemption (notice) relates to a particular part
of a participating jurisdiction, the Regulator may consider it appropriate to
publish the notice in a newspaper circulating generally in the part.
(4) The suspension, or (where relevant) the cancellation of the
suspension, takes effect immediately after the Commonwealth Gazette notice is
published under
subsection (3).
(5) This section applies despite
section 271.
(6) In this section—
relevant participating jurisdiction, for a work and rest
hours exemption (notice), means a participating jurisdiction in which the whole
or part of an area or route to which the exemption applies is
situated.
Subdivision 3—Exemptions by
permit
273—Regulator’s power to exempt drivers from
particular maximum work requirements and minimum rest
requirements
(1) The Regulator may,
by giving a person a permit as mentioned in
section 278, grant an
exemption to allow, for a period of not more than 3 years, a driver of a
fatigue-regulated heavy vehicle, or a class of drivers of fatigue-regulated
heavy vehicles, to operate under the maximum work times and minimum rest times
stated in the exemption.
(2) An exemption under
subsection (1) is a
work and rest hours exemption (permit).
(3) The Regulator may grant a work and rest hours exemption (permit) to
the operator of a fatigue-regulated heavy vehicle in combination with the
operator’s BFM accreditation or AFM accreditation.
(4) The Regulator may grant a work and rest hours exemption
(permit)—
(a) in a way that does not cover all the drivers sought by the applicant;
or
(b) setting maximum work times and minimum rest times different to the
maximum work times and minimum rest times sought by the applicant.
274—Application for work and rest hours exemption
(permit)
(1) Any of the following persons may apply to the Regulator for a work and
rest hours exemption (permit):
(a) an employer of a driver of a fatigue-regulated heavy
vehicle;
(b) a prime contractor for a driver of a fatigue-regulated heavy
vehicle;
(c) an operator of a fatigue-regulated heavy vehicle;
(d) a self-employed driver of a fatigue-regulated heavy vehicle.
(2) The application must—
(a) be in the approved form; and
(b) state the following:
(i) the period for which the exemption is sought;
(ii) any conditions to which the exemption is sought to be
subject;
(iii) the name of the driver of a fatigue-regulated heavy vehicle to whom
the exemption is sought to apply, or details of the class of drivers of
fatigue-regulated heavy vehicles to whom the exemption is sought to
apply;
(iv) the proposed maximum work times and minimum rest times that would be
followed by drivers operating under the exemption;
(v) if the proposed maximum work times and minimum rest times to apply
under the exemption could be accommodated within BFM hours or AFM
hours—
(A) the driver fatigue management practices that would be followed by the
applicant and drivers operating under the exemption; and
(B) how the practices would safely manage fatigue risks; and
(C) how the requirements applying to BFM accreditation or AFM
accreditation under this Law would be unreasonable for the operations conducted
by the applicant, having regard to the nature of the operations; and
(c) be accompanied by the prescribed fee for the application.
(3) The Regulator may, by notice given to the applicant, require the
applicant to give the Regulator any additional information the Regulator
reasonably requires to decide the application.
275—Restriction on grant of work and rest hours
exemption (permit)
(1) The Regulator may grant a work and rest hours exemption (permit) only
if the Regulator is satisfied—
(a) requiring the drivers to whom the exemption is to apply to comply with
the standard hours would be an unreasonable restriction on operations conducted
by the applicant; and
(b) if the maximum work times and minimum rest times to apply under the
exemption could be accommodated within BFM hours or AFM hours—the
requirements applying to BFM accreditation or AFM accreditation under this Law
would be unreasonable for the operations conducted by the applicant, having
regard to the nature of the operations; and
(c) the driver fatigue management practices that are to apply to drivers
operating under the exemption would, if followed, safely manage fatigue risks;
and
(d) the drivers to whom the exemption is to apply are likely to follow the
practices consistently and effectively.
(2) In deciding whether or not to grant a work and rest hours exemption
(permit), the Regulator must have regard to the approved guidelines for granting
work and rest hours exemptions.
276—Conditions of work and rest hours exemption
(permit)
(1) If the Regulator
grants a work and rest hours exemption (permit) to the operator of a
fatigue-regulated heavy vehicle in combination with the operator’s BFM
accreditation or AFM accreditation, it is a condition of the exemption that the
operator must comply with all the conditions of the operator’s BFM
accreditation or AFM accreditation.
(2) A work and rest
hours exemption (permit) may be subject to any other conditions the Regulator
considers appropriate, including, for example, conditions about—
(a) driver fatigue management practices that are to apply to drivers
operating under the exemption; and
(b) keeping records relating to the driver fatigue management
practices.
277—Period for which work and rest hours exemption
(permit) applies
(1) A work and rest hours exemption (permit) applies for the period stated
in the permit for the exemption.
(2) The period may be less than the period sought by the applicant for the
work and rest hours exemption (permit).
278—Permit for work and rest hours exemption
(permit) etc
(1) If the Regulator grants a work and rest hours exemption (permit) to a
person, the Regulator must give the person—
(a) a permit for the exemption; and
(b) if prescribed circumstances apply to the grant of the
exemption—an information notice for the prescribed
circumstances.
(2) A permit for a work and rest hours exemption (permit) must state the
following:
(a) the name of the person to whom the permit is given;
(b) the driver of a fatigue-regulated heavy vehicle, or class of drivers
of fatigue-regulated heavy vehicles, to which the exemption applies;
(c) the maximum work times and minimum rest times that apply to drivers
operating under the exemption;
(d) the conditions of the exemption, including, if applicable, the
condition mentioned in
section 276(1);
(e) the period for which the exemption applies.
(3) In this section—
prescribed circumstances, for a work and rest hours exemption
(permit), means the Regulator has—
(a) imposed conditions on the exemption under
section 276(2);
or
(b) granted the exemption in a way that does not cover all the drivers
sought by the applicant for the exemption; or
(c) granted the exemption setting maximum work times and minimum rest
times different to the maximum work times and minimum rest times sought by the
applicant for the exemption; or
(d) granted the exemption for a period less than the period of not more
than 3 years sought by the applicant for the exemption.
279—Refusal of application for work and rest hours
exemption (permit)
If the Regulator refuses an application for a work and rest hours exemption
(permit), the Regulator must give the applicant an information notice for the
decision to refuse the application.
280—Amendment or cancellation of work and rest
hours exemption (permit) on application by permit holder
(1) The holder of a permit for a work and rest hours exemption (permit)
may apply to the Regulator for an amendment or cancellation of the
exemption.
(2) The application must—
(a) be in the approved form; and
(b) be accompanied by the prescribed fee for the application;
and
(c) if the application is for an amendment—state clearly the
amendment sought and the reasons for the amendment; and
(d) be accompanied by the permit.
(3) The Regulator may, by notice given to the applicant, require the
applicant to give the Regulator any additional information the Regulator
reasonably requires to decide the application.
(4) The Regulator must decide the application as soon as practicable after
receiving it.
(5) If the Regulator decides to grant the application—
(a) the Regulator must give the applicant notice of the decision;
and
(b) the amendment or cancellation takes effect—
(i) when notice of the decision is given to the applicant; or
(ii) if a later time is stated in the notice, at the later time;
and
(c) if the Regulator amended the exemption, the Regulator must give the
applicant a replacement permit for the exemption as amended.
(6) If the Regulator decides not to amend or cancel the exemption as
sought by the applicant, the Regulator must—
(a) give the applicant an information notice for the decision;
and
(b) return the permit for the exemption to the applicant.
281—Amendment or cancellation of work and rest
hours exemption (permit) on Regulator’s initiative
(1) Each of the following is a ground for amending or cancelling a work
and rest hours exemption (permit):
(a) the exemption was granted because of a document or representation that
was—
(i) false or misleading; or
(ii) obtained or made in an improper way;
(b) the holder of the permit for the exemption has contravened this Law or
a corresponding fatigue law;
(c) a driver of a fatigue-regulated heavy vehicle to whom the exemption
applies has contravened this Law or a corresponding fatigue law;
(d) since the exemption was granted, there has been a change in the
circumstances that were relevant to the Regulator’s decision to grant the
exemption and, had the changed circumstances existed when the exemption was
granted, the Regulator would not have granted the exemption, or would have
granted the exemption subject to conditions or different conditions.
(2) If the Regulator
considers a ground exists to amend or cancel a work and rest hours exemption
(permit) (the proposed action), the Regulator must give the holder
of the permit for the exemption a notice—
(a) stating the proposed action; and
(b) stating the ground for the proposed action; and
(c) outlining the facts and circumstances forming the basis for the
ground; and
(d) if the proposed action is to amend the exemption (including a
condition of the exemption)—stating the proposed amendment; and
(e) inviting the holder
to make, within a stated time of at least 14 days after the notice is given to
the holder, written representations about why the proposed action should not be
taken.
(3) If, after considering all written representations made under
subsection (2)(e),
the Regulator still considers a ground exists to take the proposed action, the
Regulator may—
(a) if the proposed action was to amend the exemption—amend the
exemption, including, for example, by imposing additional conditions on the
exemption, in a way that is not substantially different from the proposed
action; or
(b) if the proposed action was to cancel the exemption—
(i) amend the exemption, including, for example, by imposing additional
conditions on the exemption; or
(ii) cancel the exemption.
(4) The Regulator must
give the holder an information notice for the decision.
(5) The amendment or
cancellation takes effect—
(a) when the information notice is given to the holder; or
(b) if a later time is stated in the information notice, at the later
time.
282—Immediate suspension of work and rest hours
exemption (permit)
(1) This section applies if the Regulator considers—
(a) a ground exists to cancel a work and rest hours exemption (permit);
and
(b) it is necessary to suspend the exemption immediately to prevent or
minimise serious harm to public safety.
(2) The Regulator may, by notice (immediate suspension
notice) given to the person to whom the permit for the exemption was
given, immediately suspend the exemption until the earliest of the
following:
(a) the Regulator gives the holder a notice under
section 281(4) and
the amendment or cancellation takes effect under
section 281(5);
(b) the Regulator cancels the suspension;
(c) the end of 56 days after the day the immediate suspension notice is
given to the holder.
(3) This section applies despite
sections 280 and
281.
283—Minor amendment of work and rest hours
exemption (permit)
The Regulator may, by notice given to the holder of a permit for a work and
rest hours exemption (permit), amend the exemption in a minor
respect—
(a) for a formal or clerical reason; or
(b) in another way that does not adversely affect the holder’s
interests.
284—Return of permit
(1) If a person’s work and rest hours exemption (permit) is amended
or cancelled, the Regulator may, by notice given to the person, require the
person to return the person’s permit for the exemption to the
Regulator.
(2) The person must comply with the notice within 7 days after the notice
is given to the person or, if a longer period is stated in the notice, within
the longer period.
Maximum penalty: $6 000.
(3) If the exemption has been amended, the Regulator must give the person
a replacement permit for the exemption as amended.
285—Replacement of defaced etc
permit
(1) If a person’s permit for a work and rest hours exemption
(permit) is defaced, destroyed, lost or stolen, the person must, as soon as
reasonably practicable after becoming aware of the matter, apply to the
Regulator for a replacement permit.
Maximum penalty: $4 000.
(2) If the Regulator is satisfied the permit has been defaced, destroyed,
lost or stolen, the Regulator must give the person a replacement permit as soon
as practicable.
(3) If the Regulator decides not to give a replacement permit to the
person, the Regulator must give the person an information notice for the
decision.
Subdivision 4—Offences relating to operating
under work and rest hours exemption etc
286—Contravening condition of work and rest hours
exemption
(1) A person must not contravene a condition of a work and rest hours
exemption.
Maximum penalty: $6 000.
(2) In this section—
condition, of a work and rest hours exemption, does not
include—
(a) a condition mentioned in
section 287(1);
or
(b) anything stating the exemption hours for the exemption.
287—Keeping relevant document while operating under
work and rest hours exemption (notice)
(1) This section
applies if a work and rest hours exemption (notice) is subject to the condition
that the driver of a fatigue-regulated heavy vehicle who is operating under the
exemption must keep a relevant document in the driver’s
possession.
(2) A driver of the
fatigue-regulated heavy vehicle who is operating under the work and rest hours
exemption (notice) must comply with the condition.
Maximum penalty: $3 000.
(3) If an offence is
committed against
subsection (2)
involving the driver of a fatigue-regulated heavy vehicle, each relevant party
for the driver is also taken to have committed an offence against this
subsection.
Maximum penalty: $3 000.
(4) A person charged with an offence against
subsection (3) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (3), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(6) In a proceeding for an offence against
subsection (3)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the offence against
subsection (2);
and
(b) evidence a court has convicted the driver of the offence against
subsection (2) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
offence against
subsection (2) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the infringement notice.
(7) In this section—
relevant document, for a work and rest hours exemption
(notice), means a copy of—
(a) the Commonwealth Gazette notice for the exemption; or
(b) an information sheet about the exemption published by the Regulator on
the Regulator’s website;
relevant party, for the driver of a fatigue-regulated heavy
vehicle, means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making a journey for the
operator.
288—Keeping copy of permit while driving under work
and rest hours exemption (permit)
(1) The driver of a
fatigue-regulated heavy vehicle who is driving the vehicle under a work and rest
hours exemption (permit) must keep a copy of the permit for the exemption in the
driver’s possession.
Maximum penalty: $3 000.
(2) If the driver of a fatigue-regulated heavy vehicle is operating under
a work and rest hours exemption (permit) granted to a relevant party for the
driver and the relevant party has given the driver a copy of a permit for the
purpose of
subsection (1), the
driver must, as soon as reasonably practicable, return the copy to the relevant
party if the driver—
(a) stops working for the relevant party; or
(b) stops operating under the relevant party’s exemption;
or
(c) no longer meets the requirements relating to drivers under the
relevant party’s exemption.
Maximum penalty: $4 000.
(3) If an offence is
committed against
subsection (1)
involving the driver of a fatigue-regulated heavy vehicle, each relevant party
for the driver is also taken to have committed an offence against this
subsection.
Maximum penalty: $3 000.
(4) A person charged with an offence against
subsection (3) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (3), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(6) In a proceeding for an offence against
subsection (3)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the offence against
subsection (1);
and
(b) evidence a court has convicted the driver of the offence against
subsection (1) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
offence against
subsection (1) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the infringement notice.
(7) In this section—
relevant party, for the driver of a fatigue-regulated heavy
vehicle, means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making a journey for the
operator.
Part 4—Requirements about record
keeping
Division 1—Preliminary
289—What is 100km work and 100+km
work
(1) The driver of a
fatigue-regulated heavy vehicle is undertaking 100km work if the
driver is driving in an area with a radius of 100km or less from the
driver’s base.
(2) The driver of a
fatigue-regulated heavy vehicle is undertaking 100+km work if the
driver is driving in an area with a radius of more than 100km from the
driver’s base.
(3) To remove any doubt, it is declared that the driver of a
fatigue-regulated heavy vehicle to whom
subsection (2)
applies—
(a) is taken to be engaged in 100+km work even while the driver is driving
in an area within a radius of 100km or less from the driver’s base;
and
(b) if the driver is required to record information in a work diary under
this Part, must record particulars of the journey in the driver’s work
diary from the beginning of the journey.
290—What is a driver’s record
location
The record location of the driver of a fatigue-regulated
heavy vehicle is—
(a) if the driver’s record keeper has advised the driver of the
place that is the driver’s record location—the place advised;
or
(b) otherwise—the driver’s base.
Division 2—Work diary
requirements
Subdivision 1—Requirement to carry work
diary
291—Application of
Subdivision 1
This Subdivision applies if the driver of a fatigue-regulated heavy
vehicle—
(a) is undertaking 100+km work under standard hours; or
(b) was undertaking 100+km work under standard hours in the last
28 days; or
(c) is working under BFM hours, AFM hours or exemption hours; or
(d) was working under BFM hours, AFM hours or exemption hours in the last
28 days.
292—Meaning of work diary for
Subdivision 1
(1) In this Subdivision, a reference to a work diary in
relation to the driver of a fatigue-regulated heavy vehicle is a reference to
the following:
(a) if the driver has used only 1 or more written work diaries in the last
28 days—
(i) the written work diary the driver is currently using; and
(ii) any filled-up written work diary the driver has used during the last
28 days;
(b) if the driver has used only 1 or more electronic work diaries in the
last 28 days—
(i) the electronic work diary the driver is currently using; and
(ii) printouts of the information no longer stored in the electronic work
diary the driver is currently using and relating to any period during the last
28 days; and
(iii) printouts of the information in any other electronic work diary the
driver has used in the last 28 days, relating to any period during the last
28 days and not stored in the electronic work diary the driver is currently
using;
(c) if the driver has used a combination of written work diaries and
electronic work diaries in the last 28 days—
(i) the written work diary, or electronic work diary, the driver is
currently using; and
(ii) each written work diary the driver has used during the last
28 days; and
(iii) if the driver is currently using an electronic work diary, printouts
of the information no longer stored in the diary and relating to any period
during the last 28 days; and
(iv) printouts of the information in any electronic work diary the driver
has used in the last 28 days, relating to any period during the last
28 days and not recorded in the written work diary or electronic work diary
the driver is currently using.
(2) If the driver has
made a supplementary record in the last 28 days, for this Subdivision, the
supplementary record is taken to be part of the driver’s work
diary.
Note—
Section 305(4)
provides in effect that a driver can no longer use a supplementary record if the
driver is issued with a new work diary, the driver’s existing electronic
work diary is made capable of recording new information or is brought back into
working order, or 7 business days have expired (whichever first
happens).
293—Driver of fatigue-regulated heavy vehicle must
carry work diary
(1) The driver of a
fatigue-regulated heavy vehicle must—
(a) keep a work diary; and
(b) ensure—
(i) the driver’s work diary records the information required to be
recorded under
Subdivision 2 for each day
in the previous 28 days; and
(ii) the driver’s work diary is in the driver’s possession
while the driver is driving the vehicle.
Maximum penalty: $6 000.
Notes—
1 For the requirement to record particular information in a supplementary
record if the work diary of the driver of a fatigue-regulated heavy vehicle is
filled up, destroyed, lost, stolen or, for an electronic diary, is
malfunctioning, see
section 305.
2 Under
section 568, an authorised
officer may require the driver of a fatigue-regulated heavy vehicle to produce
for inspection the driver’s work diary.
(2)
Subsection (1)
applies irrespective of the number of days in the previous 28 days the
driver spent working in relation to a fatigue-regulated heavy vehicle.
(3) In a proceeding for an offence against
subsection (1)
relating to the driver failing to keep a work diary containing particular
information, it is a defence for the driver to prove that—
(a) the information was recorded in a work diary that, at the time of the
offence, has been destroyed (other than by the driver) or lost or stolen;
or
(b) the information was—
(i) recorded in an electronic work diary; and
(ii) destroyed or lost as a result of a malfunction of the electronic work
diary before the information was given to the driver’s record keeper or
recorded in any other way.
Subdivision 2—Information required to be
included in work diary
294—Purpose of and definition for
Subdivision 2
(1) This Subdivision provides for the information the driver of a
fatigue-regulated heavy vehicle must record in the driver’s work diary for
each day on which the driver—
(a) undertakes 100+km work under standard hours; or
(b) works under BFM hours, AFM hours or exemption hours.
(2) In this Subdivision—
required information means information required by the
national regulations under
section 295 to be recorded
in the driver's work diary.
295—National regulations for information to be
included in work diary
(1) The national
regulations may provide for—
(a) the information that is to be recorded in the driver’s work
diary; and
(b) the manner in which information is to be recorded in the
driver’s work diary; and
(c) any other matter relating to information that is to be recorded in the
driver’s work diary.
(2) Without limiting
subsection (1), the
national regulations may provide—
(a) for information to be recorded on a daily basis (including each period
of work time and rest time the driver has on a day) or on some other stated
basis; and
(b) for information to be recorded immediately before or after a period of
work time or rest time; and
(c) for information to be recorded when finishing work for a day;
and
(d) for information to be recorded when there is a change of the
driver’s base; and
(e) for information to be recorded when there is a change of the
driver’s record location; and
(f) for information to be recorded regarding the parties to a two-up
driving arrangement.
(3) Without limiting
subsections (1) and
(2), the national
regulations may provide that, if the driver stops working on a day and starts a
major rest break that will continue until the end of the day, the driver may
stop recording information for the day when the driver stops working and starts
the major rest break.
296—Recording information under the national
regulations—general
(1) The driver must
record the required information in the driver’s work diary in the manner
and at the time prescribed by the national regulations.
Maximum penalty: $1 500.
(2)
Subsection (1) does not
apply to information to which
section 297
applies.
297—Information required to be recorded immediately
after starting work
(1) This section applies to required information that the national
regulations specify for the purposes of this section as required to be recorded
immediately after the driver starts work on a day.
(2) The driver must
record the required information to which this section applies immediately after
starting work on a day.
Maximum penalty: $3 000.
(3) In a proceeding for an offence against
subsection (2)
in relation to the failure of the driver to record information immediately after
starting to undertake 100+km work under standard hours on a day, it is a defence
for the driver to prove that at the time of the offence—
(a) the driver was unaware that the driver would be undertaking 100+km
work under standard hours on the day; and
(b) the driver recorded the information in the driver’s work diary
as soon as practicable after becoming aware that the driver would be undertaking
100+km work under standard hours on the day.
298—Failing to record information about odometer
reading
(1) The driver of a
fatigue-regulated heavy vehicle must record the odometer reading in the manner
prescribed by the national regulations if and when required to do so by the
national regulations.
Maximum penalty: $1 500.
(2) In a proceeding for the offence against
subsection (1),
it is a defence for the driver to prove that—
(a) at the time of the offence, the odometer was malfunctioning;
and
(b) the driver has complied with
section 397.
299—Two-up driver to provide
details
If the driver is a party to a two-up driving arrangement, the driver must,
at the request of the other driver (the other driver) who is a
party to the arrangement, provide the other driver with the details relating to
the arrangement that are prescribed by the national regulations for the purposes
of this section.
Maximum penalty: $3 000.
Subdivision 3—How information must be recorded
in work diary
300—Purpose of
Subdivision 3
This Subdivision states how the driver of a fatigue-regulated heavy vehicle
who is required to record information in the driver’s work diary under
Subdivision 2 must record
the information.
301—Recording information in written work
diary
If the driver’s work diary is a written work diary, the driver must
record information in the work diary in the following way:
(a) the information for each day must be written on a separate daily sheet
in the work diary that has not been cancelled by the Regulator;
(b) if, on a day, the driver changes the work and rest hours option under
which the driver is working, the information for the part of the day after the
change must be written on a separate daily sheet in the work diary that has not
been cancelled by the Regulator;
(c) information must be written on a daily sheet in the way stated in the
instructions in the work diary for recording information on daily
sheets;
(d) the daily sheets in the work diary must be used in turn from the front
of the work diary;
(e) each daily sheet must be—
(i) signed and dated by the driver; and
(ii) if the driver is driving under a two-up driving
arrangement—signed by the other driver who is a party to the
arrangement;
(f) information must be written on a daily sheet with enough pressure to
ensure a readable record of the information appears on the duplicate daily
sheets;
(g) information recorded other than on a daily sheet must be written in
the work diary in the way stated in the instructions in the work diary for the
recording of the information.
Maximum penalty: $1 500.
302—Recording information in electronic work
diary
If the driver’s work diary is an electronic work diary, the driver
must record information in the work diary in a way complying
with—
(a) if the Regulator
has, when approving the electronic recording system constituting the work diary,
or of which the work diary is a part, imposed any conditions in relation to the
way information must be recorded in the work diary—those conditions;
and
(b) the manufacturer’s instructions for recording information in the
electronic work diary, to the extent the instructions are consistent with the
conditions mentioned in
paragraph (a).
Maximum penalty: $1 500.
Note—
The Regulator may impose conditions on the use of an electronic recording
system under
section 343.
303—Time zone of driver’s base must be
used
The driver must record time in the driver’s work diary according to
the time zone in the place where the driver’s base is, rather than the
time zone in the place where the driver is.
Maximum penalty: $1 500.
Note—
See also
section 248, which
requires that time periods be counted by reference to the time zone of a
driver’s base when the driver’s journey involves travelling into a
different time zone.
Subdivision 4—Requirements about work diaries
that are filled up etc
304—Application of Subdivision
4
This Subdivision applies to the driver of a fatigue-regulated heavy vehicle
who is required to record information in the driver’s work diary under
Subdivision 2
if—
(a) for a driver who
uses a written work diary—the driver’s work diary has been filled
up, destroyed, lost or stolen; or
(b) for a driver who
uses an electronic work diary—the driver’s work
diary—
(i) has been filled up, destroyed, lost or stolen; or
(ii) is not in working
order because a part of the diary has been destroyed, lost or stolen;
or
(iii) is malfunctioning or has malfunctioned.
305—Driver must make supplementary records in
particular circumstances
(1) During any period
in which the driver of a fatigue-regulated heavy vehicle is unable to use the
driver’s work diary (the existing work diary) because of
circumstances mentioned in
section 304(a) or
(b), the driver must
record in a supplementary record the information the driver is required under
Subdivision 2 to record
for the period (the required information).
Maximum penalty: $6 000.
Note—
Under
Subdivision 1, the driver
of a fatigue-regulated heavy vehicle must keep a supplementary record for
28 days after it is made as part of the driver’s work diary. See
section 292(2) and
293.
Also, under
section 341, the
driver’s record keeper must keep the supplementary record for at least
3 years after it is made (if the record keeper is the driver) or received
by the record keeper (if the record keeper is not the driver). However, the
period can be less than 3 years if a condition of an exemption states a record
must be kept for a period of less than 3 years.
(2) For a supplementary record that is not in electronic form, the
required information must be recorded in the record as follows:
(a) the information for each day must be written on a separate page of the
record;
(b) if, on a day, the driver changes the work and rest hours option under
which the driver is working, the information for the part of the day after the
change must be written on a separate page of the record;
(c) each page of the record must be—
(i) signed and dated by the driver; and
(ii) if the driver is driving under a two-up driving
arrangement—signed by the other driver who is a party to the
arrangement.
Maximum penalty: $3 000.
(3) The driver must
record time in the supplementary record according to the time zone in the place
where the driver’s base is, rather than the time zone in the place where
the driver is.
Maximum penalty: $1 500.
(4)
Subsections (1) to
(3) cease to
apply—
(a) if the existing work diary is a written work diary, when the first of
the following happens:
(i) the driver is issued a new written work diary, or obtains an
electronic work diary that is in working order;
(ii) the expiry of 7 business days after the day on which the driver
starts recording information under this section; or
(b) if the existing work diary is an electronic work diary, when the first
of the following happens:
(i) the driver obtains a new electronic work diary that is in working
order, or a written work diary;
(ii) the existing work diary is—
(A) if the diary is filled up—made capable of recording new
information; or
(B) if the diary is not in working order as mentioned in
section 304(b)(ii)
or is malfunctioning—brought into working order;
(iii) the expiry of 7 business days after—
(A) the day on which the driver starts recording information under this
section; or
(B) if the driver is directed to use a written work diary under
section 313 and the driver
did not have a written work diary when the direction was given—the day the
direction is given to the driver under that section.
Note—
If one of the circumstances in
subsection (4)
applies, a driver may no longer use a supplementary record to record the
information required to be recorded under
Subdivision 2, and if the
driver does not begin to keep a work diary in accordance with
section 293 then the
driver commits an offence against that section.
(5) In this section—
supplementary record means a record that—
(a) is not made in a written or electronic work diary; but
(b) is in a similar form to a written or electronic work diary.
306—Driver must notify Regulator if written work
diary filled up etc
Within 2 business days after the driver of a fatigue-regulated heavy
vehicle becomes aware that the driver’s written work diary has been filled
up, destroyed, lost or stolen, the driver must notify the Regulator in the
approved form of that happening.
Maximum penalty: $3 000.
307—Driver must notify Regulator if electronic work
diary filled up etc
(1) This section applies if the driver of a fatigue-regulated heavy
vehicle—
(a) becomes aware that the driver’s electronic work diary has been
filled up, destroyed, lost or stolen or is not in working order as mentioned in
section 304(b)(ii);
or
(b) becomes aware or has reason to suspect that the driver’s
electronic work diary is malfunctioning or has malfunctioned.
(2) The driver must notify the Regulator in the approved form of the
matter within 2 business days.
Maximum penalty: $3 000.
308—What driver must do if lost or stolen written
work diary found or returned
(1) If a lost or stolen
written work diary (the old work diary) is found by or returned to
the driver of a fatigue-regulated heavy vehicle after a replacement work diary
has been issued to the driver, the driver must do the following:
(a) immediately cancel
any unused daily sheets in the old work diary;
(b) if the old work diary is found or returned within 28 days after it was
lost or stolen—
(i) immediately notify the Regulator in the approved form that it has been
found or returned; and
(ii) give it to the Regulator within 2 business days after the 28-day
period ends;
(c) if the old work diary is found or returned later than 28 days after it
was lost or stolen—give it to the Regulator as soon as practicable after
it is found or returned.
Maximum penalty: $3 000.
(2) If a driver of a fatigue-regulated heavy vehicle gives a previously
lost or stolen written work diary to the Regulator under
subsection (1), the
Regulator must—
(a) if the driver has not complied with
subsection (1)(a),
cancel any unused daily sheets in the work diary; and
(b) return the work diary to the driver.
309—Driver must notify record keeper if electronic
work diary filled up etc
(1) This section applies if—
(a) the driver of a fatigue-regulated heavy vehicle—
(i) becomes aware that the driver’s electronic work diary has been
filled up, destroyed, lost or stolen or is not in working order as mentioned in
section 304(b)(ii);
or
(ii) becomes aware or has reason to suspect that the driver’s
electronic work diary is malfunctioning or has malfunctioned; and
(b) the driver’s record keeper is a person other than the
driver.
(2) The driver must, within 2 business days after the driver becomes aware
of the matter, inform the driver’s record keeper of the matter.
Maximum penalty: $6 000.
310—Intelligent access reporting entity must notify
record keeper if approved electronic recording system
malfunctioning
(1) This section applies if—
(a) an approved electronic recording system—
(i) constitutes an electronic work diary or has a part that constitutes an
electronic work diary; and
(ii) is or is part of an approved intelligent transport system;
and
(b) an intelligent access reporting entity for the approved intelligent
transport system becomes aware or has reason to suspect that the approved
electronic recording system is malfunctioning or has malfunctioned.
(2) The intelligent access reporting entity must inform the driver’s
record keeper of the matter within 2 business days.
Maximum penalty: $6 000.
311—What record keeper must do if electronic work
diary filled up
(1) This section applies if—
(a) the record keeper for the driver of a fatigue-regulated heavy vehicle
is a person other than the driver; and
(b) the driver uses an electronic work diary supplied to the driver by the
record keeper; and
(c) the record keeper is informed, under
section 309, that the
electronic work diary has been filled up.
(2) The record keeper
must, as soon as reasonably practicable after being informed of the
matter—
(a) either—
(i) make the electronic work diary capable of recording new information;
or
(ii) give the driver a new electronic work diary that is in working order;
and
(b) if the record keeper removes any information relating to any period
during the last 28 days from the work diary to make it capable of recording new
information—give the driver a printout of the removed
information.
Maximum penalty: $6 000.
(3) If the record keeper has engaged another person under a contract for
services to comply with
subsection (2) for
the record keeper—
(a) the record keeper remains liable for an offence against
subsection (2);
and
(b) the other person is also liable for an offence against
subsection (2) as if
the other person were the record keeper mentioned in the subsection.
(4) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
312—What record keeper must do if electronic work
diary destroyed, lost or stolen
(1) This section applies if—
(a) the record keeper for the driver of a fatigue-regulated heavy vehicle
is a person other than the driver; and
(b) the driver uses an electronic work diary supplied to the driver by the
record keeper; and
(c) the record keeper is informed, under
section 309, that the
electronic work diary has been destroyed, lost or stolen.
(2) The record keeper
must, as soon as reasonably practicable after being informed of the
matter—
(a) give the driver a new electronic work diary that is in working order;
and
(b) give the driver a printout of any information that was in the
destroyed, lost or stolen electronic work diary that—
(i) has been given to the record keeper; and
(ii) relates to any period during the last 28 days; and
(iii) is not stored in the new electronic work diary.
Maximum penalty: $6 000.
(3) If the record keeper has engaged another person under a contract for
services to comply with
subsection (2) for
the record keeper—
(a) the record keeper remains liable for an offence against
subsection (2);
and
(b) the other person is also liable for an offence against
subsection (2) as if
the other person were the record keeper mentioned in the subsection.
(4) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
313—What record keeper must do if electronic work
diary not in working order or malfunctioning
(1) This section applies if—
(a) the record keeper for the driver of a fatigue-regulated heavy vehicle
is a person other than the driver; and
(b) the driver uses an electronic work diary supplied to the driver by the
record keeper; and
(c) the record keeper—
(i) is informed, under
section 309, that the
electronic work diary is not in working order as mentioned in
section 304(b)(ii);
or
(ii) is informed, under
section 309 or
310, of malfunctioning or
suspected malfunctioning of the electronic work diary.
(2) The record keeper
must, as soon as reasonably practicable after being informed of the
matter—
(i) ensure the
electronic work diary is examined and brought into working order;
(ii) give the driver a
new electronic work diary;
(iii) direct the driver, in writing, to use a written work diary for
recording information the driver is required to record in the driver’s
work diary under this Part; and
(b) give the driver a printout of any information that was in the
electronic work diary that—
(i) has been given to the record keeper; and
(ii) relates to any period during the last 28 days; and
(iii) is not stored in the work diary that has been brought into working
order under
paragraph (a)(i), or
a new electronic work diary given to the driver under
paragraph (a)(ii).
Maximum penalty: $6 000.
(3) If the record
keeper has engaged another person under a contract for services to comply with
subsection (2) for
the record keeper—
(a) the record keeper remains liable for an offence against
subsection (2);
and
(b) the other person is also liable for an offence against
subsection (2) as if
the other person were the record keeper mentioned in the subsection.
(4)
Subsection (3) does not
apply if the other person is engaged under a contract for services only to
repair or otherwise bring the electronic work diary into working
order.
Example for the purposes of subsection (4)—
A person in the business of repairing electronic recording systems is
engaged under a contract for services to repair or otherwise bring the
electronic work diary into working order on behalf of the record
keeper.
(5) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(6) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
Subdivision 5—Use of electronic work
diaries
314—How electronic work diary must be
used
(1) This section applies if the driver of a fatigue-regulated heavy
vehicle who is required to record information in the driver’s work diary
under
Subdivision 2
uses an electronic work diary.
(2) The driver must use
the electronic work diary in a way complying with—
(a) any conditions
applying under this Law or a corresponding fatigue law in relation to the use of
the approved electronic recording system constituting the work diary or of which
the work diary is a part; and
(b) the manufacturer’s specifications for the electronic recording
system that is or includes the work diary, to the extent the specifications are
consistent with the conditions mentioned in
paragraph (a).
Maximum penalty: $3 000.
Note—
The Regulator may impose conditions on the use of an electronic recording
system under
section 343.
(3) The record keeper
of a driver of a fatigue-regulated heavy vehicle who uses an electronic work
diary must ensure the driver complies with the requirements of
subsection (2).
Maximum penalty: $6 000.
(4) In a proceeding for an offence against
subsection (2)
or
(3) involving a person
failing to comply with a particular specification of the manufacturer of an
electronic recording system, it is a defence for the person to prove
that—
(a) the specification was not integral to the effective operation of the
electronic recording system; or
(b) what was done or not done in relation to the specification was in
accordance with industry practice in relation to the handling or maintenance of
an electronic recording system of that type from that manufacturer.
Subdivision 6—Extended
liability
315—Liability of employer etc for driver’s
contravention of particular requirements of this Division
(1) This section applies to an offence committed because the driver of a
fatigue-regulated heavy vehicle contravenes a provision of
Subdivision 1,
Subdivision 2,
Subdivision 3 or
Subdivision 4 (a
relevant offence).
(2) If a relevant
offence is committed involving the driver of a fatigue-regulated heavy vehicle,
each of the following persons is taken to have committed the offence against
this subsection:
(a) an employer of the driver if the driver is an employed
driver;
(b) a prime contractor of the driver if the driver is a self-employed
driver;
(c) an operator of the vehicle if the driver is making a journey for the
operator;
(d) a scheduler for the vehicle.
Maximum penalty: $6 000.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(5) In a proceeding for
an offence against
subsection (2)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the relevant offence; and
(b) evidence a court has convicted the driver of the relevant offence is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
relevant offence is evidence that the offence happened at the time and place,
and in the circumstances, stated in the infringement notice.
Division 3—Records relating to
drivers
Subdivision 1—Preliminary
316—Application of
Division 3
This Division—
(a) applies in relation to each record keeper for the driver of a
fatigue-regulated heavy vehicle; and
(b) if there is more than 1 record keeper for the driver of a
fatigue-regulated heavy vehicle—applies only to the extent the driver is
carrying out work in relation to which the record keeper is a record keeper for
the driver.
Example for the purposes of paragraph (b)—
The driver of a fatigue-regulated heavy vehicle is an employed driver
employed by employer A and employer B, each of whom is a record keeper of the
driver. A’s obligations to record information under this Division apply
only to the extent the information is about the work the driver carries out for
A.
For example, under
section 319, A need only
record the registration numbers of the fatigue-regulated heavy vehicles the
driver drives for carrying out work for A and the work times and rest times of
the driver while carrying out that work. A does not need to record the
registration numbers for the fatigue-regulated heavy vehicles the driver drives
for carrying out work for B or the work times and rest times of the driver while
carrying out that work.
317—Who is a driver’s record
keeper
The following person is the record keeper for the driver of a
fatigue-regulated heavy vehicle:
(a) if the driver is operating under a BFM accreditation or AFM
accreditation of an operator of the vehicle or a work and rest hours exemption
(permit) granted in combination with an operator’s BFM accreditation or
AFM accreditation—the operator;
(b) otherwise—
(i) for an employed driver of a fatigue-regulated heavy vehicle—the
driver’s employer; or
(ii) for a self-employed driver of a fatigue-regulated heavy
vehicle—the driver.
Subdivision 2—Record keeping obligations
relating to drivers undertaking 100km work under standard
hours
318—Application of
Subdivision 2
This Subdivision applies in relation to the driver of a fatigue-regulated
heavy vehicle who is undertaking only 100km work under standard hours.
319—Records record keeper must
have
(1) The driver’s
record keeper must—
(a) record the following information within the prescribed
period:
(i) the driver’s name and contact details;
(ii) the driver’s current driver licence number and the jurisdiction
in which the licence was issued;
(iii) the dates on which the driver drives a fatigue-regulated heavy
vehicle on a road;
(iv) the registration number for each fatigue-regulated heavy vehicle the
driver drives, being—
(A) in the case of a vehicle that is not in a combination—that
vehicle; or
(B) in the case of a vehicle that is in a combination—the towing
vehicle in the combination;
(v) the total of the driver’s work times and rest times on each day
on which the driver drives a fatigue-regulated heavy vehicle;
(vi) the total of the driver’s work times and rest times for each
week during which the driver drives a fatigue-regulated heavy vehicle;
(vii) the driver’s rosters and trip schedules, including details of
driver changeovers; and
(b) keep a copy of payment records relating to the driver, including time
sheet records if the driver is paid according to time at work.
Maximum penalty: $6 000.
(2) If the record keeper has engaged another person under a contract for
services to comply with
subsection (1) for
the record keeper—
(a) the record keeper remains liable for an offence against
subsection (1);
and
(b) the other person is also liable for an offence against
subsection (1) as if
the other person were the record keeper mentioned in the subsection.
(3) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(5) In this section—
prescribed period, for recording information mentioned in
subsection (1)
relating to the driver of a fatigue-regulated heavy vehicle,
means—
(a) if the driver’s record keeper is the driver—within 24
hours after the driver stops working on a day for which the information is
relevant; or
(b) if the driver’s record keeper is a person other than the
driver—as soon as possible after the person receives the
information.
Subdivision 3—Record keeping obligations
relating to drivers undertaking 100+km work under standard hours or operating
under BFM hours, AFM hours or exemption hours
320—Application of
Subdivision 3
This Subdivision applies in relation to the driver of a fatigue-regulated
heavy vehicle who is—
(a) undertaking 100+km work under standard hours; or
(b) operating under BFM hours, AFM hours or exemption hours.
321—Records record keeper must
have
(1) The driver’s
record keeper must—
(a) record the following information within the prescribed
period:
(i) the driver’s name and contact details;
(ii) the driver’s current driver licence number and the jurisdiction
in which the licence was issued;
(iii) the driver’s rosters and trip schedules, including details of
driver changeovers; and
(b) keep a copy of all duplicate pages and other copies of work diary
entries, including any entry made in a supplementary record—
(i) given to the record keeper under
section 322; or
(ii) as required to be made by the record keeper as a self-employed driver
under
Division 2;
and
(c) keep a copy of payment records relating to the driver, including time
sheet records if the driver is paid according to time at work.
Maximum penalty: $6 000.
(2) If the driver is
operating under BFM hours or AFM hours, the record keeper must also record the
following information:
(a) the information required to be kept by the record keeper as a
condition of the BFM accreditation or AFM accreditation under which the driver
is operating;
(b) the information required to be kept by the record keeper under the BFM
standards and business rules or AFM standards and business rules.
Maximum penalty: $6 000.
Note—
See also
section 470 for other
record-keeping requirements applying to a record keeper who is an operator
operating under a BFM accreditation or AFM accreditation.
(3) If the record keeper has engaged another person under a contract for
services to comply with
subsection (1) or
(2) for the record
keeper—
(a) the record keeper remains liable for an offence against the
subsection; and
(b) the other person is also liable for an offence against the subsection
as if the other person were the record keeper mentioned in the
subsection.
(4) A person charged with an offence against
subsection (1) or
(2) does not have the
benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (1) or
(2), the person charged
has the benefit of the reasonable steps defence for the offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(6) This section does not apply to the record keeper for the driver of a
fatigue-regulated heavy vehicle who—
(a) is exempt from the requirements of
Division 2 under
section 356; or
(b) is operating under a work diary exemption (notice).
Note—
A record keeper for the driver of a fatigue-regulated heavy vehicle who is
not exempt from the requirements of
Division 2 under
section 356 and who is
operating under a work diary exemption (permit) is not exempt from this section
and therefore is subject to its requirements.
(7) In this section—
AFM standards and business rules has the meaning given by
section 457;
BFM standards and business rules has the meaning given by
section 457;
prescribed period, for recording information mentioned in
subsection (1)
relating to the driver of a fatigue-regulated heavy vehicle,
means—
(a) if the driver’s record keeper is the driver—within 24
hours after the driver stops working on a day for which the information is
relevant; or
(b) if the driver’s record keeper is a person other than the
driver—as soon as possible after the person receives the
information.
322—General requirements about driver giving
information to record keeper
(1) This section applies if—
(a) the driver of a fatigue-regulated heavy vehicle is required to record
information in the driver’s work diary under
Division 2; and
(b) the driver’s record keeper is a person other than the
driver.
(2) The driver must,
within 21 days after the day on which the driver drove the vehicle, give a copy
of the work diary entry recording the information, including any entry made in a
supplementary record recording the information for that day, to each person who
was a record keeper for the driver on that day.
Maximum penalty: $3 000.
(3) For the purposes of
subsection (2), if
the work diary entry is made in an electronic work diary, the driver may give a
copy of the entry to the record keeper by electronically transmitting it to the
record keeper.
(4) The record keeper
must ensure the driver complies with
subsection (2).
Maximum penalty: $3 000.
(5) If the record keeper has engaged another person under a contract for
services to comply with
subsection (4) for
the record keeper—
(a) the record keeper remains liable for an offence against
subsection (4);
and
(b) the other person is also liable for an offence against
subsection (4) as if
the other person were the record keeper mentioned in the subsection.
(6) A person charged with an offence against
subsection (2) or
(4) does not have the
benefit of the mistake of fact defence for the offence.
(7) However, in a proceeding for an offence against
subsection (2) or
(4), the person charged
has the benefit of the reasonable steps defence for the offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
323—Requirements about driver giving information to
record keeper if driver changes record keeper
(1) This section applies if—
(a) the driver of a fatigue-regulated heavy vehicle is, or was in the
previous 28 days, required to record information in the driver’s work
diary under
Division 2;
and
(b) the driver changes record keepers; and
(c) the new record keeper is a person other than the driver.
(2) The driver must,
before driving a fatigue-regulated heavy vehicle for the driver’s new
record keeper, give the new record keeper a copy of information the driver
recorded in a work diary in the 28 days before the change happened that relates
to that 28-day period.
Maximum penalty: $3 000.
(3) The new record
keeper must ensure the driver complies with
subsection (2).
Maximum penalty: $3 000.
(4) If the new record keeper has engaged another person under a contract
for services to comply with
subsection (3) for
the new record keeper—
(a) the new record keeper remains liable for an offence against
subsection (3);
and
(b) the other person is also liable for an offence against
subsection (3) as if
the other person were the new record keeper mentioned in the
subsection.
(5) A person charged with an offence against
subsection (2) or
(3) does not have the
benefit of the mistake of fact defence for the offence.
(6) However, in a proceeding for an offence against
subsection (2) or
(3), the person charged
has the benefit of the reasonable steps defence for the offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
324—Record keeper must give printouts of
information from electronic work diary
(1) This section applies if—
(a) the driver of a fatigue-regulated heavy vehicle is required to record
information in the driver’s work diary under
Division 2; and
(b) the driver’s record keeper is a person other than the driver;
and
(c) the driver is using an electronic work diary supplied to the driver by
the driver’s record keeper.
(2) If the driver stops
using the electronic work diary, the driver’s record keeper must
immediately give the driver a printout of the information recorded in the work
diary for each day on which the driver was using the electronic work
diary.
Maximum penalty: $3 000.
(3) If the record keeper has engaged another person under a contract for
services to comply with
subsection (2) for
the record keeper—
(a) the record keeper remains liable for an offence against
subsection (2);
and
(b) the other person is also liable for an offence against
subsection (2) as if
the other person were the record keeper mentioned in the subsection.
(4) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
Division 4—Provisions about false
representations relating to work records
325—False or misleading
entries
(1) A person must not
record something in a work record that the person knows, or ought reasonably to
know, is false or misleading in a material particular.
Maximum penalty: $10 000.
Note—
See
section 632
for the matters a court may consider when deciding whether a person ought
reasonably to have known something.
(2) In a proceeding for an offence against
subsection (1),
it is enough for a charge to state that the entry was ‘false or
misleading’, without specifying whether it was false or whether it was
misleading.
326—Keeping 2 work diaries simultaneously
prohibited
(1) The driver of a fatigue-regulated heavy vehicle must not have in the
driver’s possession more than 1 written work diary in which information
can be recorded on a daily sheet.
Maximum penalty: $10 000.
(2) The driver of a fatigue-regulated heavy vehicle must not record
information for the same period in—
(a) a written work diary and an electronic work diary; or
(b) more than 1 electronic work diary.
Example—
The driver of a fatigue-regulated heavy vehicle works for A and B. The
driver keeps a written work diary for work done for A and an electronic work
diary for work done for B. On a particular day, the driver works from 1 pm to 5
pm for A and from 6 pm to 11 pm for B.
The driver must record the information about the period between 1 pm and 5
pm in the written work diary kept for A, and the information for the period
between 6 pm and 11 pm in the electronic work diary kept for B.
The driver must not record information about the period between 1 pm and 5
pm, or the period between 6 pm to 11 pm, in both the written work diary and
electronic work diary.
Maximum penalty: $10 000.
327—Possession of purported work records etc
prohibited
The driver of a fatigue-regulated heavy vehicle or the record keeper for a
driver of a fatigue-regulated heavy vehicle must not have in the driver’s
or record keeper’s possession a thing purporting to be a work record if
the driver or record keeper knows, or ought reasonably to know, that it is not a
work record.
Maximum penalty: $10 000.
Note—
See
section 632
for the matters a court may consider when deciding whether a person ought
reasonably to have known something.
328—False representation about work records
prohibited
A person must not falsely represent that a work record was made by the
person.
Maximum penalty: $10 000.
Division 5—Interfering with work
records
Subdivision 1—Work records
generally
329—Defacing or changing work records etc
prohibited
A person must not deface or change a work record that the person knows, or
ought reasonably to know, is correct.
Maximum penalty: $10 000.
Note—
1 Giving
a false or misleading document to an official is prohibited by
section 702.
2 See
section 341 for the
requirement that the record keeper for the driver of a fatigue-regulated heavy
vehicle keep particular records in a way that ensures they are readable and
reasonably capable of being understood and capable of being used as
evidence.
3 See
section 632 for the
matters a court may consider when deciding whether a person ought reasonably to
have known something.
330—Making entries in someone else’s work
records prohibited
(1) A person must not
make an entry in someone else’s work record.
Maximum penalty: $10 000.
(2)
Subsection (1) does not
apply to—
(a) a person who—
(i) makes an entry in another person’s work diary under a work diary
exemption (permit) applying to the other person; and
(ii) is nominated by the other person to make the entry; or
(b) an authorised officer; or
(c) a party to a two-up driving arrangement—
(i) signing the written work diary of the other party to the arrangement;
or
(ii) making an entry in the other party’s electronic work diary
indicating the party’s approval of the information recorded in the work
diary.
331—Destruction of particular work records
prohibited
If a work record is required under (or by a condition under) this Part to
be kept for a particular period by a person, the person or someone else must not
destroy the record before the end of the period.
Maximum penalty: $10 000.
Note—
See
section 341
for the period for which record keepers for drivers of fatigue-regulated heavy
vehicles are required to keep particular work records.
332—Offence to remove pages from written work
diary
A person must not remove a daily sheet, or the duplicates of a daily sheet,
from a written work diary except as required or authorised by this Law or a
corresponding fatigue law.
Maximum penalty: $10 000.
Subdivision 2—Approved electronic recording
systems
333—Application of
Subdivision 2
This Subdivision applies to an approved electronic recording system
constituting an electronic work diary or of which an electronic work diary is a
part.
334—Meaning of tamper
Tamper with an approved electronic recording system
means—
(i) results in the
system, or a part of the system, malfunctioning; or
(ii) could result in the system, or a part of the system, malfunctioning;
or
(iii) alters any of the
data recorded by the system or a part of the system; or
(iv) could alter any of the data recorded by the system or a part of the
system; or
(v) results in
inaccurate information being recorded by the system or a part of the system;
or
(vi) could result in inaccurate information being recorded by the system
or a part of the system; or
(b) engage in conduct that alters or otherwise interferes with an
electronic signal sent to or from the system, or a part of the system, if the
alteration or interference has or could have an effect mentioned in
paragraph (a)(i),
(iii) or
(v).
335—Person must not tamper with approved electronic
recording system
(1) A person must not
tamper with an approved electronic recording system.
Maximum penalty: $10 000.
(2)
Subsection (1) does
not apply to—
(a) conduct associated with repairing an approved electronic recording
system, or a part of an approved electronic recording system, that is
malfunctioning or has malfunctioned; or
(b) conduct associated with maintaining an approved electronic recording
system; or
(c) an authorised officer when exercising functions under this
Law.
(3) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(5) Also, in a proceeding for an offence against
subsection (1)
involving a person engaging in conduct that alters or otherwise interferes with
any electronic signal sent to or from an approved electronic recording system,
or a part of an approved electronic recording system, it is a defence for the
person to prove that the person was not aware, and could not reasonably be
expected to have been aware, that the conduct would alter or otherwise interfere
with the electronic signal.
336—Person using approved electronic recording
system must not permit tampering with it
(1) A person who uses
an approved electronic recording system must not permit another person to tamper
with the system.
Maximum penalty: $10 000.
Examples of a person who uses an approved electronic recording
system—
• a driver of a heavy vehicle
• a driver's record keeper
(2) A person charged with an offence against
subsection (1) does
not have the benefit of the mistake of fact defence for the offence.
(3) However, in a proceeding for an offence against
subsection (1), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
337—Intelligent access reporting entity must not
permit tampering with approved electronic recording system
(1) This section applies if an approved electronic recording system is or
is part of an approved intelligent transport system.
(2) An intelligent
access reporting entity for the approved intelligent transport system must not
permit another person to tamper with the approved electronic recording
system.
Maximum penalty: $10 000.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
Division 6—Obtaining written work
diary
338—Form of written work diary
(1) This section states the requirements for written work diaries issued
by the Regulator under this Division.
(2) A written work
diary must contain—
(a) a unique identifying number for the work diary; and
(b) sheets (daily
sheets) that—
(i) provide for recording information daily; and
(ii) are sequentially numbered; and
(c) 2 duplicates of each daily sheet; and
(d) a duplicate of any application form contained in the work diary under
subsection (3);
and
(e) instructions for use of the work diary.
(3) A written work
diary may contain an application in the approved form for the issue of another
work diary.
(4) Each daily sheet of a written work diary must be in a form that
ensures that, if information is written on the daily sheet in the way stated in
the instructions in the work diary or this Law, the information should be
automatically copied on to the duplicates for the sheet.
339—Application for written work
diary
(1) The driver of a fatigue-regulated heavy vehicle may apply to the
Regulator for a written work diary.
(2) The application must be—
(a) in the approved form; and
(b) accompanied by the prescribed fee for the application.
(3) If the application is for a written work diary to replace a written
work diary previously issued to the driver (the existing written work
diary), the driver must give the existing written work diary to the
Regulator with the application, unless the existing written work diary has been
destroyed, lost or stolen.
(4) If the driver gives the existing written work diary to the Regulator,
the Regulator must—
(a) cancel any unused daily sheets in the written work diary;
and
(b) return the written work diary to the driver when the Regulator issues
the replacement written work diary to the driver.
(5) If the application is for a written work diary to replace a written
work diary that has been destroyed, lost or stolen, the application
must—
(a) state the previous work diary’s number and that it has been
destroyed, lost or stolen; and
(b) briefly outline the circumstances of the destruction, loss or
theft.
340—Issue of written work
diary
(1) The Regulator must issue a written work diary to the driver of a
fatigue-regulated heavy vehicle if the driver—
(a) applies for the work diary under
section 339; and
(b) identifies himself or herself by showing his or her current driver
licence to the Regulator; and
(c) pays the prescribed fee for the issue of the work diary.
(2) If the Regulator issues a written work diary to the driver of a
fatigue-regulated heavy vehicle, the Regulator must note the date, time and
place of issue on the written work diary.
(3) The Regulator may make other notes on the written work diary the
Regulator considers appropriate.
Division 7—Requirements about records record
keeper must make or keep
Note—
In the Heavy
Vehicle National Law set out in the Schedule to the Heavy Vehicle
National Law Act 2012 of Queensland, this Division is numbered
Division 6A.
341—Period for which, and way in which, records
must be kept
(1) The record keeper
of the driver of a fatigue-regulated heavy vehicle must keep a record required
to be made or kept under
Division 3, or a copy of
the record, for 3 years after—
(a) for a record made by the record keeper—the day the record keeper
makes the record; or
(b) for another record—the day the record keeper receives the
record.
Maximum penalty: $6 000.
(2) The record keeper
of the driver of a fatigue-regulated heavy vehicle must keep a record required
to be made or kept under (or by a condition under)
Division 9 or
Division 10, or a copy of
the record, for a period of 3 years, or, if a condition of an exemption states a
record must be kept for a period of less than 3 years, the period stated in the
condition, after—
(a) for a record made by the record keeper—the day the record keeper
makes the record; or
(b) for another record—the day the record keeper receives the
record.
Maximum penalty: $6 000.
(3) Except where the
driver is his or her own record keeper, the record keeper must keep the record
or copy at the driver’s record location in a way that ensures it is
readily available to an authorised officer at the record location.
Maximum penalty: $3 000.
(4) If the driver is his or her own record keeper, the driver as record
keeper must ensure the record or copy of the record is kept at the
driver’s record location in a way that ensures it is readily available to
an authorised officer at the record location by the end of the 21-day period
after the day the record is made.
Maximum penalty: $3 000.
(5) The record keeper
must keep the record or copy in a way that ensures it is—
(a) readable and reasonably capable of being understood; and
(b) capable of being used as evidence.
Example—
To ensure a record kept in a storage facility does not become unreadable,
for example, by degrading, the record keeper could scan the hard copy of the
record and keep it in an electronic format that is readable.
Maximum penalty: $6 000.
(6) If the record keeper has engaged another person under a contract for
services to comply with
subsection (1),
(2),
(3) or
(5) for the record
keeper—
(a) the record keeper remains liable for an offence against the
subsection; and
(b) the other person is also liable for an offence against the subsection
as if the other person were the record keeper mentioned in the
subsection.
(7) A person charged with an offence against
subsection (1),
(2),
(3) or
(5) does not have the
benefit of the mistake of fact defence for the offence.
(8) However, in a proceeding for an offence against
subsection (1),
(2),
(3) or
(5), the person charged
has the benefit of the reasonable steps defence for the offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
Division 8—Approval of electronic recording
systems
Note—
In the Heavy
Vehicle National Law set out in the Schedule to the Heavy Vehicle
National Law Act 2012 of Queensland, this Division is numbered
Division 7.
Subdivision 1—Approval of electronic recording
systems
342—Application for approval of electronic
recording system
(1) A person may apply to the Regulator for the approval of an electronic
recording system.
Examples of persons who may apply for an approval under this
section—
• manufacturers of electronic recording systems
• operators of fatigue-regulated heavy vehicles
• drivers of fatigue-regulated heavy vehicles
(2) The application must be—
(a) in the approved form; and
(b) accompanied by the prescribed fee for the application.
343—Deciding application for
approval
(1) The Regulator must, as soon as practicable after receiving an
application for an electronic recording system approval—
(a) grant the approval, with or without conditions about the use or
maintenance of the electronic recording system to which the approval relates;
or
(b) refuse the application.
(2) The Regulator may approve an electronic recording system only if the
Regulator is satisfied the system—
(a) is suitable or has a part that is suitable for fitting to, or for use
in, a fatigue-regulated heavy vehicle; and
(b) has a mechanism that readily indicates to the driver of the
fatigue-regulated heavy vehicle to which it or a part of it is fitted, or in
which it or a part of it is used, that the system is or is not properly
functioning; and
(i) accurately monitoring and recording the work times and rest times of
the driver of the fatigue-regulated heavy vehicle to which it or a part of it is
fitted, or in which it or a part of it is used; and
(ii) accurately recording any other information the driver is required by
this Law to record in a work diary; and
(d) if the system or a part of it is to be fitted to a fatigue-regulated
heavy vehicle and is to be used by more than 1 driver of the vehicle, is capable
of ensuring the following:
(i) all of the information mentioned in
paragraph (c)
can be accurately monitored or recorded for each of the drivers;
(ii) the details recorded by, or in relation to, 1 of the drivers are
readily distinguishable from the details recorded by, or in relation to, the
other drivers;
(iii) the name of the driver in relation to whom details are recorded is
shown whenever the details are accessed;
(iv) 1 of the drivers cannot record any information, that the driver is
required by this Law to record in a work diary, in the system for any of the
other drivers; and
(e) has a mechanism to ensure the driver of the fatigue-regulated heavy
vehicle to which it or a part of it is fitted, or in which it or a part of it is
used, cannot alter any information the driver records in the system once the
driver has had an opportunity to confirm the accuracy of the information;
and
(f) if the system is designed to enable the driver of the
fatigue-regulated heavy vehicle to which it or a part of it is fitted, or in
which it or a part of it is used, to send information to the driver’s
record keeper—has a mechanism that readily indicates to the driver that
the information has, or has not, been sent to the record keeper; and
(g) is capable of readily reproducing, on being accessed by the record
keeper for the driver of the fatigue-regulated heavy vehicle to which it or a
part of it is fitted, or in which it or a part of it is used, the information
that the system contains; and
(h) is capable of readily reproducing, on being accessed by an authorised
officer while the vehicle to which it or a part of it is fitted, or in which it
or a part of it is used, is on a road, the information the system contains in a
form that—
(i) is readily accessible by the officer; and
(ii) is reasonably capable of being understood by the officer;
and
(iii) can be used as evidence.
(3) In deciding whether or not to grant the approval, the Regulator must
have regard to the approved guidelines for granting electronic recording system
approvals.
(4) An approved electronic recording system may be, or be a part of, an
approved intelligent transport system.
344—Steps after decision to grant
approval
(1) If the Regulator grants an approval under
section 343, the Regulator
must give the applicant—
(a) a numbered certificate of approval; and
(b) an electronic work diary label the holder can use to create a copy for
attaching to a device that is or is part of the electronic recording system the
subject of the approval.
(2) If the Regulator imposes conditions on the approval, the certificate
of approval given to the applicant must state the conditions.
(3) If the Regulator imposes conditions on the approval not sought by the
applicant, the Regulator must give the applicant an information notice for the
decision to impose the conditions.
345—Steps after decision to refuse
application
If the Regulator decides not to grant an application for an electronic
recording system approval, the Regulator must give the applicant an information
notice for the decision.
346—Effect of approval
(1) An electronic recording system approval granted under this Subdivision
applies to any system identical to the system given to the Regulator for
approval.
(2) The conditions imposed on the approval under
section 343, or
Subdivision 3, apply to
each identical system to which the approval applies.
Subdivision 2—Provisions about electronic work
diary labels
347—Placing electronic work diary label on
device
(1) A person may place on any device that is, or is part of, an approved
electronic recording system an electronic work diary label relating to the
approval.
Note—
Under the definition of electronic work diary in
section 221, placing an
electronic work diary label on a device that is, or is part of, an approved
electronic recording system and is fitted to or used in a fatigue-regulated
heavy vehicle makes the device an electronic work diary for the purposes of this
Law.
See also
section 349.
(2) A person must not place an electronic work diary label on a device
unless the device is, or is part of, an approved electronic recording system to
which the label relates.
Maximum penalty: $10 000.
(3) A person must not place any other label on a device indicating the
device is, or is part of, an approved electronic recording system, unless the
device is, or is part of, an approved electronic recording system.
Maximum penalty: $10 000.
348—Particular label indicates device is an
approved electronic recording system
(1) This section applies if a device has attached to it an electronic work
diary label.
(2) The existence of the electronic work diary label on the device is
evidence the device is, or is part of, an approved electronic recording
system.
349—Effect of electronic work diary label on
device
(1) This section applies if a device has attached to it a label that is,
or appears to be, an electronic work diary label.
(2) For the purposes of this Law, a person is entitled to rely on the
label as indicating the device is, or is part of, an approved electronic
recording system unless the person knows, or ought reasonably to know, the
device is neither an approved electronic recording system nor a part of an
approved electronic recording system.
Example for the purposes of subsection (2)—
The record keeper for the driver of a fatigue-regulated heavy vehicle gives
the driver a device to which an electronic work diary label is attached for
recording information required to be included in the driver’s work diary
under this Law. The driver may rely on the label as indicating the device is, or
is part of, an approved electronic recording system meaning the driver may
record the required information in the device on the basis it is an electronic
work diary. However, the driver may not rely on the label if the driver knows,
or ought reasonably to know the device is not, or is not part of, an approved
electronic recording system.
Note—
See
section 632
for the matters a court may consider when deciding whether a person ought
reasonably to have known something.
350—Prohibition on using device as electronic work
diary if it is not, and is not a part of, an approved electronic recording
system
(1) A person must not use as an electronic work diary for the purposes of
this Law a device that has attached to it an electronic work diary label if the
person knows, or ought reasonably to know, the device is neither an approved
electronic recording system, nor a part of an approved electronic recording
system, to which the label relates.
Maximum penalty: $10 000.
(2) A person must not use as an electronic work diary for the purposes of
this Law a device that has attached to it any other label indicating the device
is, or is part of, an approved electronic recording system, if the person knows,
or ought reasonably to know, the device is neither an approved electronic
recording system, nor a part of an approved electronic recording
system.
Maximum penalty: $10 000.
Note—
See
section 632
for the matters a court may consider when deciding whether a person ought
reasonably to have known something.
Subdivision 3—Amendment or cancellation of
approval
351—Amendment or cancellation of approval on
application
(1) The holder of an electronic recording system approval may apply to the
Regulator for an amendment or cancellation of the approval.
(2) The application must—
(a) be in writing; and
(b) be accompanied by the prescribed fee for the application;
and
(c) if the application is for an amendment of the approval, state clearly
the amendment sought and outline the reasons for the application; and
(d) be accompanied by the certificate of approval for the
approval.
(3) The Regulator may, by notice given to the applicant, require the
applicant to give the Regulator any additional information the Regulator
reasonably requires to decide the application.
(4) The Regulator must decide the application as soon as practicable after
receiving it.
(5) If the Regulator decides to grant the application—
(a) the Regulator must give the applicant notice of the decision;
and
(b) the amendment or cancellation takes effect—
(i) when notice of the decision is given to the applicant; or
(ii) if a later time is stated in the notice, at the later time;
and
(c) if the Regulator amended the approval, the Regulator must give the
applicant a replacement certificate of approval for the approval as
amended.
(6) If the Regulator decides not to amend or cancel the approval as sought
by the applicant, the Regulator must—
(a) give the applicant an information notice for the decision;
and
(b) return the certificate of approval for the approval to the
applicant.
(7) In this section—
certificate of approval, for an electronic recording system
approval, means the certificate of approval issued by the Regulator under
section 344 for the
approval.
352—Amendment or cancellation of approval on
Regulator’s initiative
(1) Each of the following is a ground for amending or cancelling an
electronic recording system approval:
(a) the approval was granted because of a document or representation that
was—
(i) false or misleading; or
(ii) obtained or made in an improper way;
(b) since the approval was granted, there has been a change in the
circumstances that were relevant to the Regulator’s decision to grant the
approval and, had the changed circumstances existed when the approval was
granted, the Regulator would not have granted the approval, or would have
granted the approval subject to conditions or different conditions.
(2) If the Regulator
considers a ground exists to amend or cancel an electronic recording system
approval (the proposed action), the Regulator must give the holder
of the approval a notice—
(a) stating the proposed action; and
(b) stating the ground for the proposed action; and
(c) outlining the facts and circumstances forming the basis for the
ground; and
(d) if the proposed action is to amend the approval (including a condition
of the approval)—stating the proposed amendment; and
(e) inviting the holder
to make, within a stated time of at least 14 days after the notice is given
to the holder, written representations about why the proposed action should not
be taken.
(3) If, after considering all written representations made under
subsection (2)(e),
the Regulator still considers a ground exists to take the proposed action, the
Regulator may—
(a) if the proposed action was to amend the approval—amend the
approval, including, for example, by imposing additional conditions on the
approval, in a way that is not substantially different from the proposed action;
or
(b) if the proposed action was to cancel the approval—
(i) amend the approval, including, for example, by imposing additional
conditions on the approval; or
(ii) cancel the approval.
(4) The Regulator must give the holder an information notice for the
decision.
(5) The amendment or cancellation takes effect—
(a) when the information notice is given to the holder; or
(b) if a later time is stated in the information notice, at the later
time.
353—Minor amendment of
approval
The Regulator may, by notice given to the holder of an electronic recording
system approval, amend the approval in a minor respect—
(a) for a formal or clerical reason; or
(b) in another way that does not adversely affect the holder’s
interests.
354—Requirements if approval
amended
(1) This section applies if, under this Subdivision—
(a) the Regulator amends an electronic recording system approval to change
the conditions about the use or maintenance of the electronic recording system
the subject of the approval; and
(b) in the Regulator’s opinion, the amendment will, or is likely to,
significantly affect the way the electronic recording system the subject of the
approval is to be used.
(2) The Regulator may,
by notice, direct the holder of the approval to give each person to whom the
holder has supplied an electronic recording system the subject of the approval,
or a device forming part of the system, a notice stating the amended conditions
of the approval.
(3) If the Regulator
gives the holder of the approval a direction under
subsection (2), the
holder must comply with the direction.
Maximum penalty: $6 000.
(4) With the Regulator’s written consent, a person may comply with
subsection (3) by
publishing the amended conditions, and any further details stated by the
Regulator, using at least 2 of the following methods:
(a) by notice published in a newspaper stated by the Regulator;
(b) by notice published in a journal or newsletter stated by the
Regulator;
(c) on a website stated by the Regulator.
(5) If, under
subsection (3), the
holder of the approval gives a person a notice stating the amended conditions of
the approval, the person must give a copy of the notice to each other person to
whom the person has supplied an electronic recording system the subject of the
approval, or a device forming part of the system.
Example for the purposes of subsection (5)—
The holder of an approval is a manufacturer and the manufacturer has
supplied an electronic recording system the subject of the approval to an
operator of a fatigue-regulated heavy vehicle who has supplied the system to the
vehicle’s driver. If, under
subsection (3), the
manufacturer gives the operator a notice stating the amended conditions of the
approval, the operator must, under
subsection (5), give
the driver a copy of the notice.
Maximum penalty: $6 000.
(6) Nothing in this section prevents the Regulator from publishing details
of the amendment by whatever means the Regulator thinks appropriate.
Example—
The Regulator may publish the amended conditions in the Commonwealth
Gazette or on a website.
(7) In this section—
amended conditions, of an electronic recording system
approval that has been amended under this Division, means the conditions of the
approval as they apply after the amendment.
355—Requirements if approval
cancelled
(1) This section applies if, under this Subdivision, the Regulator
notifies the holder of an electronic recording system approval that the approval
has been cancelled.
(2) The holder of the approval must remove from any device that is, or is
part of, an electronic recording system in the holder’s possession any
electronic work diary label relating to the approval.
Maximum penalty: $6 000.
(3) The Regulator may,
by notice, direct the holder of the approval to give each person to whom the
holder has supplied a device that is, or is part of, an electronic recording
system the subject of the approval a notice stating that—
(a) the approval has been cancelled; and
(b) any electronic work diary label relating to the approval on any device
that is, or is part of, the electronic recording system still in the other
person’s possession must be removed.
(4) If the Regulator
gives the holder of the approval a direction under
subsection (3), the
holder must comply with the direction.
Maximum penalty: $6 000.
(5) With the Regulator’s written consent, a person may comply with
subsection (4) by
publishing details of the cancellation, and any further details stated by the
Regulator, using at least 2 of the following methods:
(a) by notice published in a newspaper stated by the Regulator;
(b) by notice published in a journal or newsletter stated by the
Regulator;
(c) on a website stated by the Regulator.
(6) If, under
subsection (4), the
holder of the approval gives a person a notice that the approval has been
cancelled, the person must give a notice to each other person to whom the person
has supplied an electronic recording system the subject of the approval, or a
device forming part of the system, stating that—
(a) the approval has been cancelled; and
(b) any electronic work diary label relating to the approval on any device
that is, or is part of, an electronic recording system still in the other
person’s possession must be removed.
Example for the purposes of subsection (6)—
The holder of an approval is a manufacturer and the manufacturer has
supplied a device that is, or is part of, an electronic recording system the
subject of the approval to an operator of a fatigue-regulated heavy vehicle who
has supplied the device to the vehicle’s driver. If, under
subsection (4), the
manufacturer gives the operator a notice stating the approval has been cancelled
and any electronic work diary label relating to the approval on any device that
is, or is part of, an electronic recording system still in the operator’s
possession must be removed, the operator must give the driver a notice stating
the approval has been cancelled and any electronic work diary label relating to
the approval on any device that is, or is part of, an electronic recording
system still in the driver’s possession must be removed.
Maximum penalty: $6 000.
(7) Nothing in this section prevents the Regulator from publishing details
of the cancellation by whatever means the Regulator thinks
appropriate.
Example—
The Regulator may publish the cancellation in the Commonwealth Gazette or
on a website.
(8) A person who is aware that an electronic recording system approval has
been cancelled must remove from any device that is, or is part of, an electronic
recording system in the person’s possession any electronic work diary
label relating to the approval.
Maximum penalty: $6 000.
(9) In this section—
holder, of an electronic recording system approval that has
been cancelled, means the person who, immediately before the cancellation took
effect, held the approval.
Division 9—Exemptions from work diary
requirements
Note—
In the Heavy
Vehicle National Law set out in the Schedule to the Heavy Vehicle
National Law Act 2012 of Queensland, this Division is numbered
Division 8.
Subdivision 1—Exemption for emergency
services
356—Emergency services
exemption
(1) A person who is
acting for an emergency service and who has time-critical duties on the way to,
or during, an emergency is exempted in the course of carrying out the duties
from compliance with
Division 2.
(2) A person who is
acting for an emergency service and who is returning from attending an emergency
is exempted from compliance with
Division 2 if the person
reasonably believes the noncompliance does not present an unreasonable danger to
other road users.
(3) A person who is acting for an emergency service is exempted from
compliance with
Division 2 under
subsection (1) or
(2) only if, at the
relevant time, the person complies with any guidelines regarding the management
of fatigue issued by or on behalf of the emergency service or an authority
responsible for oversight of the emergency service.
(4) In this section—
emergency means an event, or an anticipated event,
that—
(a) endangers, or may endanger, life, property or the environment;
or
(b) has disrupted, or may disrupt, communications, energy supply, water
supply or sewerage services; or
(c) is declared to be an emergency or disaster by—
(i) the Commonwealth or a State or Territory; or
(ii) a Commonwealth or State or Territory authority responsible for
managing responses to emergencies or disasters;
Examples of an emergency—
fire, explosion or natural disaster
emergency service means an entity that has a statutory
responsibility to respond to an emergency and includes the following:
(a) an ambulance service;
(b) a fire brigade, including a volunteer fire brigade;
(c) a police force or police service;
(d) a disaster or emergency organisation of the Commonwealth or a State or
Territory.
Subdivision 2—Exemptions by Commonwealth
Gazette notice
357—Regulator’s power to exempt particular
drivers from work diary requirements
(1) The Regulator may,
by Commonwealth Gazette notice complying with
section 361, exempt, for a
period of not more than 3 years, drivers of fatigue-regulated heavy
vehicles carrying out a class of work from the requirement to comply with
Subdivision 1 to
Subdivision 5 of
Division 2 for the
work.
(2) An exemption under
subsection (1) is a
work diary exemption (notice).
358—Restriction on grant of work diary exemption
(notice)
(1) The Regulator may grant a work diary exemption (notice) only if the
Regulator is satisfied—
(a) requiring the drivers to whom the exemption is to apply to comply with
Subdivision 1 to
Subdivision 5 of
Division 2 would be an
unreasonable restriction on operations conducted by the drivers; and
(b) the class of work to which the exemption is to apply will not
pose—
(i) a significant risk to public safety; or
(ii) a significant risk of the drivers to whom the exemption is to apply
driving on a road while impaired by fatigue.
(2) In deciding whether or not to grant a work diary exemption (notice),
the Regulator must have regard to the approved guidelines for granting work
diary exemptions.
359—Conditions of work diary exemption
(notice)
A work diary exemption (notice) may be subject to any conditions the
Regulator considers appropriate, including, for example—
(a) conditions about recording information about the work to which the
exemption applies; and
(b) a condition that the driver of a fatigue-regulated heavy vehicle who
is operating under the exemption must keep in the driver’s possession a
copy of—
(i) the Commonwealth Gazette notice for the exemption; or
(ii) an information sheet about the exemption published by the Regulator
on the Regulator’s website.
360—Period for which work diary exemption (notice)
applies
A work diary exemption (notice)—
(a) takes effect—
(i) when the Commonwealth Gazette notice for the exemption is published;
or
(ii) if a later time is stated in the Commonwealth Gazette notice, at the
later time; and
(b) applies for the period stated in the Commonwealth Gazette
notice.
361—Requirements about Commonwealth Gazette
notice
(1) A Commonwealth Gazette notice for a work diary exemption (notice) must
state the following:
(a) the class of work to which the exemption applies;
(b) that drivers of fatigue-regulated heavy vehicles who carry out the
class of work are exempt from the requirement to comply with
Subdivision 1 to
Subdivision 5 of
Division 2 for the
work;
(c) the conditions of the exemption;
(d) the period for which the exemption applies.
(2) The Regulator must publish a copy of the Commonwealth Gazette notice
on the Regulator’s website.
362—Amendment or cancellation of work diary
exemption (notice)
(1) It is a ground for amending or cancelling a work diary exemption
(notice) if, since the exemption was granted, there has been a change in the
circumstances that were relevant to the Regulator’s decision to grant the
exemption and, had the changed circumstances existed when the exemption was
granted, the Regulator would not have granted the exemption, or would have
granted the exemption subject to conditions or different conditions.
(2) If the Regulator considers a ground exists to amend or cancel the work
diary exemption (notice), the Regulator may amend or cancel the exemption by
complying with
subsections (3) to
(5).
(3) The Regulator must
publish a notice in the Commonwealth Gazette, in a newspaper circulating
generally throughout each relevant participating jurisdiction and on the
Regulator’s website—
(a) stating that the Regulator believes a ground exists to amend or cancel
the exemption; and
(b) outlining the facts and circumstances forming the basis for the
belief; and
(c) stating the action the Regulator is proposing to take under this
section (the proposed action); and
(d) inviting persons
who will be affected by the proposed action to make, within a stated time of at
least 14 days after the Commonwealth Gazette notice is published, written
representations about why the proposed action should not be taken.
(4) If, after considering all written representations made under
subsection (3)(d),
the Regulator still considers the circumstances in which the Regulator may grant
the work diary exemption (notice) are no longer satisfied, the Regulator
may—
(a) if the proposed
action was to amend the exemption—amend the exemption in a way that is not
substantially different from the proposed action, including, for example,
by—
(i) amending the class
of work to which the exemption applies; or
(ii) amending the
conditions of the exemption; or
(b) if the proposed action was to cancel the exemption—
(i) amend the exemption, including, for example, by amending the exemption
in a way mentioned in
paragraph (a)(i) or
(ii); or
(ii) cancel the exemption.
(5) Notice of the
amendment or cancellation must be published—
(a) in—
(i) the Commonwealth Gazette; and
(ii) a newspaper circulating generally throughout each relevant
participating jurisdiction; and
(b) on the Regulator’s website; and
(c) in any other newspaper the Regulator considers appropriate.
Example for the purposes of paragraph (c)—
If the work diary exemption (notice) relates to a particular part of a
participating jurisdiction, the Regulator may consider it appropriate to publish
the notice in a newspaper circulating generally in the part.
(6) The amendment or cancellation takes effect—
(a) 28 days after the Commonwealth Gazette notice is published under
subsection (5);
or
(b) if a later time is stated in the Commonwealth Gazette notice, at the
later time.
(7) In this section—
relevant participating jurisdiction, for a work diary
exemption (notice), means a participating jurisdiction in which the whole or
part of an area or route to which the exemption applies is situated.
Subdivision 3—Exemptions by
permit
363—Regulator’s power to exempt driver of
fatigue-regulated heavy vehicle from work diary requirement
(1) The Regulator may,
by giving a person a permit as mentioned in
section 368, exempt, for a
period of not more than 3 years, a driver of a fatigue-regulated heavy
vehicle from the requirement to comply with
Subdivision 1 to
Subdivision 5 of
Division 2.
(2) An exemption under
subsection (1) is a
work diary exemption (permit).
364—Application for work diary exemption
(permit)
(1) The driver of a
fatigue-regulated heavy vehicle who is working under standard hours may apply to
the Regulator for a work diary exemption (permit).
(2) The application must—
(a) be in the approved form; and
(b) state the following:
(i) the period for which the exemption is sought;
(ii) any conditions for the exemption sought by the applicant;
and
(c) nominate a person (the nominee) to make written work
records for the driver; and
(d) be accompanied by the nominee’s written agreement to the
nomination; and
(e) be accompanied by the prescribed fee for the application.
(3) An employer of the driver of a fatigue-regulated heavy vehicle may
make an application under
subsection (1) on
behalf of the driver.
(4) The Regulator may, by notice given to the applicant, require the
applicant to give the Regulator any additional information the Regulator
reasonably requires to decide the application.
365—Restriction on grant of work diary exemption
(permit)
(1) The Regulator may grant a work diary exemption (permit) only if the
Regulator is satisfied—
(a) the driver cannot make records in the driver’s work diary
because of the driver’s inadequate English literacy; and
(b) the nominee for the driver will be able to make records that are no
less complete or accurate than records made under
Subdivision 1 to
Subdivision 5 of
Division 2; and
(c) the driver works only under standard hours.
(2) In deciding whether or not to grant a work diary exemption (permit),
the Regulator must have regard to the approved guidelines for granting work
diary exemptions.
(3) In this section—
nominee, for the driver of a fatigue-regulated heavy vehicle,
means the person nominated, in the application for the work diary exemption
(permit), by the driver to make written work records for the driver.
366—Conditions of work diary exemption
(permit)
(1) A work diary exemption (permit) is subject to the condition that the
driver to whom the exemption applies must carry out all work as a driver of
fatigue-regulated heavy vehicles under standard hours only.
(2) A work diary exemption (permit) may be subject to any other conditions
the Regulator considers appropriate, including, for example, conditions
about—
(a) the information to be included in records about the work carried out
by the driver of a fatigue-regulated heavy vehicle to whom the exemption
applies; and
(b) how the records are to be made.
367—Period for which work diary exemption (permit)
applies
(1) A work diary exemption (permit) applies for the period stated in the
permit for the exemption.
(2) The period may be less than the period sought by the applicant for the
work diary exemption (permit).
368—Permit for work diary exemption (permit)
etc
(1) If the Regulator grants a work diary exemption (permit) to a person,
the Regulator must give the person—
(a) a permit for the exemption; and
(b) if the Regulator has imposed conditions on the exemption under
section 366 or has granted
the exemption for a period less than the period of not more than 3 years
sought by the person—an information notice for the decision to impose the
conditions or grant the exemption for the shorter period.
(2) A permit for a work diary exemption (permit) must state the
following:
(a) the name of the driver of a fatigue-regulated heavy vehicle to whom
the permit is given;
(b) the name of the nominee for the driver;
(c) the conditions of the exemption;
(d) the period for which the exemption applies.
(3) In this section—
nominee, for the driver of a fatigue-regulated heavy vehicle,
means the person nominated, in the application for the work diary exemption
(permit), by the driver to make written work records for the driver.
369—Refusal of application for work diary exemption
(permit)
If the Regulator refuses an application for a work diary exemption
(permit), the Regulator must give the applicant an information notice for the
decision to refuse the application.
370—Amendment or cancellation of work diary
exemption (permit) on application by permit holder
(1) The holder of a permit for a work diary exemption (permit) may apply
to the Regulator for an amendment or cancellation of the exemption.
(2) The application must—
(a) be in the approved form; and
(b) be accompanied by the prescribed fee for the application;
and
(c) if the application is for an amendment—state clearly the
amendment sought and the reasons for the amendment; and
(d) if the application is for an amendment of the person nominated by the
holder to make written work records for the holder—be accompanied by the
nominee’s written agreement to the nomination; and
(e) be accompanied by the permit.
(3) The Regulator may, by notice given to the applicant, require the
applicant to give the Regulator any additional information the Regulator
reasonably requires to decide the application.
(4) The Regulator must decide the application as soon as practicable after
receiving it.
(5) If the Regulator decides to grant the application—
(a) the Regulator must give the applicant notice of the decision;
and
(b) the amendment or cancellation takes effect—
(i) when notice of the decision is given to the applicant; or
(ii) if a later time is stated in the notice, at the later time;
and
(c) if the Regulator amends the exemption, the Regulator must give the
applicant a replacement permit for the exemption as amended.
(6) If the Regulator decides not to amend or cancel the work diary
exemption (permit), as sought by the applicant, the Regulator
must—
(a) give the applicant an information notice for the decision;
and
(b) return the permit for the exemption to the applicant.
371—Amendment or cancellation of work diary
exemption (permit) on Regulator’s initiative
(1) Each of the following is a ground for amending or cancelling a work
diary exemption (permit):
(a) the exemption was granted because of a document or representation that
was—
(i) false or misleading; or
(ii) obtained or made in an improper way;
(b) the person to whom the exemption is granted has contravened this Law
or a corresponding fatigue law;
(c) the nominee has contravened a condition of the exemption;
(d) since the exemption was granted, there has been a change in the
circumstances that were relevant to the Regulator’s decision to grant the
exemption and, had the changed circumstances existed when the exemption was
granted, the Regulator would not have granted the exemption, or would have
granted the exemption subject to conditions or different conditions.
(2) If the Regulator
considers a ground exists to amend or cancel a work diary exemption (permit)
(the proposed action), the Regulator must give the holder of the
permit for the exemption a notice—
(a) stating the proposed action; and
(b) stating the ground for the proposed action; and
(c) outlining the facts and circumstances forming the basis for the
ground; and
(d) if the proposed action is to amend the exemption (including a
condition of the exemption)—stating the proposed amendment; and
(e) inviting the holder
to make, within a stated time of at least 14 days after the notice is given
to the holder, written representations about why the proposed action should not
be taken.
(3) If, after considering all written representations made under
subsection (2)(e),
the Regulator still considers a ground exists to take the proposed action, the
Regulator may—
(a) if the proposed action was to amend the exemption—amend the
exemption, including, for example, by imposing additional conditions on the
exemption, in a way that is not substantially different from the proposed
action; or
(b) if the proposed action was to cancel the exemption—
(i) amend the exemption, including, for example, by imposing additional
conditions on the exemption; or
(ii) cancel the exemption.
(4) The Regulator must give the holder an information notice for the
decision.
(5) The amendment or cancellation takes effect—
(a) when the information notice is given to the holder; or
(b) if a later time is stated in the information notice, at the later
time.
(6) In this section—
nominee, for the person to whom a work diary exemption
(permit) is granted, means the person stated in the permit for the exemption as
the person nominated by the person to make written work records for the
person.
372—Minor amendment of work diary exemption
(permit)
The Regulator may, by notice given to the holder of a permit for a work
diary exemption (permit), amend the exemption in a minor
respect—
(a) for a formal or clerical reason; or
(b) in another way that does not adversely affect the holder’s
interests.
373—Return of permit
(1) If a person’s work diary exemption (permit) is amended or
cancelled under this Subdivision, the Regulator may, by notice given to the
person, require the person to return the person’s permit for the exemption
to the Regulator.
(2) The person must comply with the notice within 7 days after the notice
is given to the person or, if a longer period is stated in the notice, within
the longer period.
Maximum penalty: $6 000.
(3) If the exemption has been amended, the Regulator must give the person
a replacement permit for the exemption as amended.
374—Replacement of defaced etc
permit
(1) If a person’s permit for a work diary exemption (permit) is
defaced, destroyed, lost or stolen, the person must, as soon as reasonably
practicable after becoming aware of the matter, apply to the Regulator for a
replacement permit.
Maximum penalty: $4 000.
(2) If the Regulator is satisfied the permit has been defaced, destroyed,
lost or stolen, the Regulator must give the person a replacement permit as soon
as practicable.
(3) If the Regulator decides not to give a replacement permit to the
person, the Regulator must give the person an information notice for the
decision.
Subdivision 4—Operating under work diary
exemption
375—Contravening condition of work diary
exemption
A person must not contravene a condition of a work diary
exemption.
Maximum penalty: $6 000.
376—Keeping relevant document while operating under
work diary exemption (notice)
(1) This section applies if a work diary exemption (notice) is subject to
the condition that the driver of a fatigue-regulated heavy vehicle who is
operating under the exemption must keep a relevant document in the
driver’s possession.
(2) A driver of the
fatigue-regulated heavy vehicle who is operating under the work diary exemption
(notice) must comply with the condition.
Maximum penalty: $3 000.
(3) If an offence is
committed against
subsection (2)
involving the driver of a fatigue-regulated heavy vehicle, each relevant party
for the driver is taken to have committed an offence against this
subsection.
Maximum penalty: $3 000.
(4) A person charged with an offence against
subsection (3) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (3), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(6) In a proceeding for an offence against
subsection (3)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the offence against
subsection (2);
and
(b) evidence a court has convicted the driver of the offence against
subsection (2) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
offence against
subsection (2) is
evidence that the offence happened at the time and place, and in the
circumstances, stated in the infringement notice.
(7) In this section—
relevant document, for a work diary exemption (notice), means
a copy of—
(a) the Commonwealth Gazette notice for the exemption; or
(b) an information sheet about the exemption published by the Regulator on
the Regulator’s website;
relevant party, for the driver of a fatigue-regulated heavy
vehicle, means—
(a) an employer of the driver if the driver is an employed driver;
or
(b) a prime contractor of the driver if the driver is a self-employed
driver; or
(c) an operator of the vehicle if the driver is making a journey for the
operator.
377—Keeping permit or copy while operating under
work diary exemption (permit)
The driver of a fatigue-regulated heavy vehicle who is operating under a
work diary exemption (permit) must keep the permit or a copy of the permit in
the driver’s possession.
Maximum penalty: $3 000.
Division 10—Exemptions from fatigue record
keeping requirements of Division 3
Note—
In the Heavy
Vehicle National Law set out in the Schedule to the Heavy Vehicle
National Law Act 2012 of Queensland, this Division is numbered
Division 8A.
Subdivision 1—Exemptions by Commonwealth
Gazette notice
378—Regulator’s power to exempt record
keepers from fatigue record keeping requirements
(1) The Regulator may,
by Commonwealth Gazette notice complying with
section 381, exempt, for a
period of not more than 3 years, record keepers for drivers of fatigue-regulated
heavy vehicles carrying out a class of work from the requirement to comply with
all or stated provisions of
Division 3 for the
work.
(2) An exemption under
subsection (1) is a
fatigue record keeping exemption (notice).
(3) In deciding whether or not to grant a fatigue record keeping exemption
(notice), the Regulator must have regard to the approved guidelines for granting
fatigue record keeping exemptions.
379—Conditions of fatigue record keeping exemption
(notice)
A fatigue record keeping exemption (notice)—
(a) is subject to conditions prescribed by the national regulations for
the exemption; and
(b) may be subject to any other conditions the Regulator considers
appropriate, including, for example—
(i) conditions about recording information about the work to which the
exemption applies; and
(ii) a condition that a record keeper for the driver of a
fatigue-regulated heavy vehicle who is operating under the exemption must keep
in the record keeper’s possession—
(A) a copy of the Commonwealth Gazette notice for the exemption;
or
(B) a stated document or stated kind of document relating to the
exemption.
380—Period for which fatigue record keeping
exemption (notice) applies
A fatigue record keeping exemption (notice)—
(a) takes effect—
(i) when the Commonwealth Gazette notice for the exemption is published;
or
(ii) if a later time is stated in the Commonwealth Gazette notice, at the
later time; and
(b) applies for the period stated in the Commonwealth Gazette
notice.
381—Requirements about Commonwealth Gazette
notice
(1) A Commonwealth Gazette notice for a fatigue record keeping exemption
(notice) must state the following:
(a) the class of work to which the exemption applies;
(b) that record keepers for drivers of fatigue-regulated heavy vehicles
who carry out the class of work are exempt from the requirement to comply with
all or stated provisions of
Division 3 for the
work;
(c) the conditions of the exemption;
(d) the period for which the exemption applies.
(2) The Regulator must publish a copy of the Commonwealth Gazette notice
on the Regulator’s website.
382—Amendment or cancellation of fatigue record
keeping exemption (notice)
(1) It is a ground for amending or cancelling a fatigue record keeping
exemption (notice) if, since the exemption was granted, there has been a change
in the circumstances that were relevant to the Regulator’s decision to
grant the exemption and, had the changed circumstances existed when the
exemption was granted, the Regulator would not have granted the exemption, or
would have granted the exemption subject to conditions or different
conditions.
(2) If the Regulator considers a ground exists to amend or cancel a
fatigue record keeping exemption (notice), the Regulator may amend or cancel the
exemption by complying with
subsections (3) to
(5).
(3) The Regulator must
publish a notice in the Commonwealth Gazette, in a newspaper circulating
generally throughout each relevant participating jurisdiction and on the
Regulator’s website—
(a) stating that the Regulator believes a ground exists to amend or cancel
the exemption; and
(b) outlining the facts and circumstances forming the basis for the
belief; and
(c) stating the action the Regulator is proposing to take under this
section (the proposed action); and
(d) inviting persons
who will be affected by the proposed action to make, within a stated time of at
least 14 days after the Commonwealth Gazette notice is published, written
representations about why the proposed action should not be taken.
(4) If, after considering all written representations made under
subsection (3)(d),
the Regulator still considers the circumstances in which the Regulator may grant
the fatigue record keeping exemption (notice) are no longer satisfied, the
Regulator may—
(a) if the proposed
action was to amend the exemption—amend the exemption in a way that is not
substantially different from the proposed action, including, for example,
by—
(i) amending the class
of work to which the exemption applies; or
(ii) amending the conditions of the exemption; or
(b) if the proposed action was to cancel the exemption—
(i) amend the exemption, including, for example, by amending the exemption
in a way mentioned in
paragraph (a)(i) or
(ii); or
(5) Notice of the
amendment or cancellation must be published—
(a) in—
(i) the Commonwealth Gazette; and
(ii) a newspaper circulating generally throughout each relevant
participating jurisdiction; and
(b) on the Regulator’s website; and
(c) in any other newspaper the Regulator considers appropriate.
Example for the purposes of paragraph (c)—
If the fatigue record keeping exemption (notice) relates to a particular
part of a participating jurisdiction, the Regulator may consider it appropriate
to publish the notice in a newspaper circulating generally in the
part.
(6) The amendment or cancellation takes effect—
(a) 28 days after the Commonwealth Gazette notice is published under
subsection (5);
or
(b) if a later time is stated in the Commonwealth Gazette notice, at the
later time.
(7) In this section—
relevant participating jurisdiction, for a fatigue record
keeping exemption (notice), means a participating jurisdiction in which the
whole or part of an area or route to which the exemption applies is
situated.
Subdivision 2—Exemptions by
permit
383—Regulator’s power to exempt record
keepers from fatigue record keeping requirements
(1) The Regulator may,
by giving a person a permit as mentioned in
section 387, exempt, for a
period of not more than 3 years, a record keeper for one or more drivers of a
fatigue-regulated heavy vehicle from the requirement to comply with all or
stated provisions of
Division 3.
(2) An exemption under
subsection (1) is a
fatigue record keeping exemption (permit).
(3) The Regulator may grant a fatigue record keeping exemption (permit) to
the operator of a fatigue-regulated heavy vehicle in combination with the
operator’s BFM accreditation or AFM accreditation.
(4) The Regulator may grant a fatigue record keeping exemption
(permit)—
(a) in a way that does not cover all the drivers sought by the applicant;
or
(b) setting conditions different from those sought by the
applicant.
384—Application for fatigue record keeping
exemption (permit)
(1) The record keeper for a driver of a fatigue-regulated heavy vehicle
may apply to the Regulator for a fatigue record keeping exemption
(permit).
(2) The application must—
(a) be in the approved form; and
(b) state the following:
(i) the period for which the exemption is sought;
(ii) any conditions for the exemption sought by the applicant;
(iii) the name and details of each driver of a fatigue-regulated heavy
vehicle to whom the exemption sought is to apply;
(iv) any other details prescribed by the national regulations;
and
(c) be accompanied by the prescribed fee for the application.
(3) The Regulator may, by notice given to the applicant, require the
applicant to give the Regulator any additional information the Regulator
reasonably requires to decide the application.
(4) In deciding whether or not to grant a fatigue record keeping exemption
(permit), the Regulator must comply with any requirements prescribed by the
national regulations for the purposes of this subsection and have regard to the
approved guidelines for granting fatigue record keeping exemptions.
385—Conditions of fatigue record keeping exemption
(permit)
A fatigue record keeping exemption (permit)—
(a) is subject to conditions prescribed by the national regulations for
the exemption; and
(b) may be subject to any other conditions the Regulator considers
appropriate, including, for example—
(i) a condition about the information to be included in records about the
work carried out by drivers of fatigue-regulated heavy vehicles to whom the
exemption applies; and
(ii) a condition about how the records are to be made; and
(iii) a condition that a record keeper for the driver of a
fatigue-regulated heavy vehicle who is operating under the exemption must keep
in the record keeper’s possession—
(A) the permit for the exemption; or
(B) a stated document or stated kind of document relating to the
exemption.
386—Period for which fatigue record keeping
exemption (permit) applies
(1) A fatigue record keeping exemption (permit) applies for the period
stated in the permit for the exemption.
(2) The period may be less than the period sought by the applicant for the
fatigue record keeping exemption (permit).
387—Permit for fatigue record keeping exemption
(permit) etc
(1) If the Regulator grants a fatigue record keeping exemption (permit) to
a person, the Regulator must give the person—
(a) a permit for the exemption; and
(b) if the Regulator has imposed conditions on the exemption under
section 385 or has granted
the exemption for a period less than the period of not more than 3 years sought
by the person—an information notice for the decision to impose the
conditions or grant the exemption for the shorter period.
(2) A permit for a fatigue record keeping exemption (permit) must state
the following:
(a) the name of the drivers of fatigue-regulated heavy vehicles to whom
the permit applies;
(b) the conditions of the exemption;
(c) the period for which the exemption applies.
388—Refusal of application for fatigue record
keeping exemption (permit)
If the Regulator refuses an application for a fatigue record keeping
exemption (permit), the Regulator must give the applicant an information notice
for the decision to refuse the application.
389—Amendment or cancellation of fatigue record
keeping exemption (permit) on application by permit holder
(1) The holder of a permit for a fatigue record keeping exemption (permit)
may apply to the Regulator for an amendment or cancellation of the
exemption.
(2) The application must—
(a) be in the approved form; and
(b) be accompanied by the prescribed fee for the application;
and
(c) if the application is for an amendment—state clearly the
amendment sought and the reasons for the amendment; and
(d) be accompanied by the permit.
(3) The Regulator may, by notice given to the applicant, require the
applicant to give the Regulator any additional information the Regulator
reasonably requires to decide the application.
(4) The Regulator must decide the application as soon as practicable after
receiving it.
(5) If the Regulator decides to grant the application—
(a) the Regulator must give the applicant notice of the decision;
and
(b) the amendment or cancellation takes effect—
(i) when notice of the decision is given to the applicant; or
(ii) if a later time is stated in the notice, at the later time;
and
(c) if the Regulator amended the exemption, the Regulator must give the
applicant a replacement permit for the exemption as amended.
(6) If the Regulator decides not to amend or cancel the exemption as
sought by the applicant, the Regulator must—
(a) give the applicant an information notice for the decision;
and
(b) return the permit for the exemption to the applicant.
390—Amendment or cancellation of fatigue record
keeping exemption (permit) on Regulator’s initiative
(1) Each of the following is a ground for amending or cancelling a fatigue
record keeping exemption (permit):
(a) the exemption was granted because of a document or representation that
was—
(i) false or misleading; or
(ii) obtained or made in an improper way;
(b) the holder of the permit for the exemption has contravened this Law or
a corresponding fatigue law;
(c) a driver of a fatigue-regulated heavy vehicle to whom the exemption
applies has contravened this Law or a corresponding fatigue law;
(d) since the exemption was granted, there has been a change in the
circumstances that were relevant to the Regulator’s decision to grant the
exemption and, had the changed circumstances existed when the exemption was
granted, the Regulator would not have granted the exemption, or would have
granted the exemption subject to conditions or different conditions.
(2) If the Regulator
considers a ground exists to amend or cancel a fatigue record keeping exemption
(permit) (the proposed action), the Regulator must give the holder
of the permit for the exemption a notice—
(a) stating the proposed action; and
(b) stating the ground for the proposed action; and
(c) outlining the facts and circumstances forming the basis for the
ground; and
(d) if the proposed action is to amend the exemption (including a
condition of the exemption)—stating the proposed amendment; and
(e) inviting the holder
to make, within a stated time of at least 14 days after the notice is given to
the holder, written representations about why the proposed action should not be
taken.
(3) If, after considering all written representations made under
subsection (2)(e),
the Regulator still considers a ground exists to take the proposed action, the
Regulator may—
(a) if the proposed action was to amend the exemption—amend the
exemption, including, for example, by imposing additional conditions on the
exemption, in a way that is not substantially different from the proposed
action; or
(b) if the proposed action was to cancel the exemption—
(i) amend the exemption, including, for example, by imposing additional
conditions on the exemption; or
(ii) cancel the exemption.
(4) The Regulator must give the holder an information notice for the
decision.
(5) The amendment or cancellation takes effect—
(a) when the information notice is given to the holder; or
(b) if a later time is stated in the information notice, at the later
time.
391—Minor amendment of fatigue record keeping
exemption (permit)
The Regulator may, by notice given to the holder of a permit for a fatigue
record keeping exemption (permit), amend the exemption in a minor
respect—
(a) for a formal or clerical reason; or
(b) in another way that does not adversely affect the holder’s
interests.
392—Return of permit
(1) If a person’s fatigue record keeping exemption (permit) is
amended or cancelled, the Regulator may, by notice given to the person, require
the person to return the person’s permit for the exemption to the
Regulator.
(2) The person must comply with the notice within 7 days after the notice
is given to the person or, if a longer period is stated in the notice, within
the longer period.
Maximum penalty: $6 000.
(3) If the exemption has been amended, the Regulator must give the person
a replacement permit for the exemption as amended.
393—Replacement of defaced etc
permit
(1) If a person’s permit for a fatigue record keeping exemption
(permit) is defaced, destroyed, lost or stolen, the person must, as soon as
reasonably practicable after becoming aware of the matter, apply to the
Regulator for a replacement permit.
Maximum penalty: $4 000.
(2) If the Regulator is satisfied the permit has been defaced, destroyed,
lost or stolen, the Regulator must give the person a replacement permit as soon
as practicable.
(3) If the Regulator decides not to give a replacement permit to the
person, the Regulator must give the person an information notice for the
decision.
Subdivision 3—Exemptions by national
regulations
394—Exemptions from provisions of Division
3
(1) The national
regulations may provide for the exemption of record keepers for drivers of
fatigue-regulated heavy vehicles from the requirement to comply with all or
stated provisions of
Division 3.
(2) Without limiting
subsection (1), the
national regulations may prescribe matters about—
(a) one or more classes of record keepers for which an exemption is to
apply; and
(b) one or more classes of drivers of fatigue-regulated heavy vehicles for
which an exemption is to apply; and
(c) conditions to which an exemption is to be subject.
Subdivision 4—Other
provisions
395—Contravening condition of fatigue record
keeping exemption
A person must not contravene a condition of a fatigue record keeping
exemption.
Maximum penalty: $6 000.
Division 11—Requirements about
odometers
Note—
In the Heavy
Vehicle National Law set out in the Schedule to the Heavy Vehicle
National Law Act 2012 of Queensland, this Division is numbered
Division 9.
396—Owner must maintain
odometer
(1) The national regulations may require the fitting and maintenance of an
odometer to a fatigue-regulated heavy vehicle.
(2) An owner of a
fatigue-regulated heavy vehicle required by the national regulations to be
fitted with an odometer must maintain the odometer in accordance with the
requirements prescribed by the national regulations.
Maximum penalty: $6 000.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
397—Driver must report malfunctioning
odometer
(1) This section applies if the driver of a fatigue-regulated heavy
vehicle becomes aware or has reason to suspect an odometer fitted to the vehicle
is malfunctioning or has malfunctioned.
(2) The driver must
inform the following persons of the matter within 2 business days:
(a) each owner of the vehicle;
(b) the driver’s employer if the driver is an employed
driver;
(c) each operator of the vehicle.
Maximum penalty: $3 000.
(3)
Subsection (2) does
not apply to the driver of a fatigue-regulated heavy vehicle in relation to a
malfunction of an odometer if another driver of the vehicle has complied with
the subsection in relation to the malfunction.
398—What owner must do if odometer
malfunctioning
(1) This section applies if an owner of a fatigue-regulated heavy vehicle
is informed under
section 397 of
malfunctioning or suspected malfunctioning of the vehicle’s
odometer.
(2) The owner must, as
soon as reasonably practicable after being informed of the matter, ensure the
odometer is examined and brought into working order.
Maximum penalty: $6 000.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
399—What employer or operator must do if odometer
malfunctioning
(1) This section applies if an employer of the driver of a
fatigue-regulated heavy vehicle or an operator of a fatigue-regulated heavy
vehicle is informed under
section 397 of
malfunctioning or suspected malfunctioning of the vehicle’s
odometer.
(2) The employer or
operator must not drive, or permit another person to drive, the
fatigue-regulated heavy vehicle unless the owner of the vehicle has complied
with
section 398.
Maximum penalty: $6 000.
(3) A person charged with an offence against
subsection (2) does
not have the benefit of the mistake of fact defence for the offence.
(4) However, in a proceeding for an offence against
subsection (2), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See
Division 1 and
Division 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
Chapter 7—Intelligent
Access Program
Part 1—Preliminary
400—Main purposes of
Chapter 7
(1) The main purposes
of this Chapter are—
(a) to ensure the
integrity of systems used for compliance with intelligent access conditions;
and
(b) to provide for
appropriate collection, keeping and handling of intelligent access
information.
(2) The purpose mentioned in
subsection (1)(a) is
achieved by—
(a) requiring particular entities to report relevant contraventions for
intelligent access vehicles; and
(b) requiring particular entities to report tampering or suspected
tampering with, or malfunctioning of, approved intelligent transport systems;
and
(c) prohibiting persons from tampering with approved intelligent transport
systems; and
(d) giving particular entities functions and powers to audit the
activities of intelligent access service providers.
(3) The purpose mentioned in
subsection (1)(b) is
achieved by—
(a) allowing entities to collect, hold, use and disclose intelligent
access information for only limited purposes and subject to restrictions;
and
(b) requiring entities with monitoring or auditing functions to ensure
intelligent access information collected is accurate, complete and up to date;
and
(c) requiring entities who collect intelligent access information to
protect the information and destroy it when it is no longer required by the
entities; and
(d) providing for persons about whom an entity holds personal information
to have access to the information and have it corrected in appropriate
circumstances.
401—What the Intelligent Access Program
is
The Intelligent Access Program is a program to allow heavy vehicles to have
access, or improved access, to the road network in return for monitoring, by an
intelligent transport system, of their compliance with stated access
conditions.
402—Application of
Chapter 7
(1) This Chapter
applies in relation to a heavy vehicle for which a mass or dimension authority
is in force with the following conditions (intelligent access
conditions):
(a) a condition about
the areas or routes to which the authority applies;
(b) conditions about
the use of a heavy vehicle on a road under the authority, including, for
example, conditions about one or more of the following:
(i) the maximum permissible mass of the vehicle, or the vehicle together
with its load, while it is being used on the road under the authority;
(ii) the times when the vehicle may be used on the road under the
authority;
(iii) the maximum speed at which the vehicle may be driven on the road
under the authority;
(c) conditions that—
(i) a heavy vehicle’s compliance with the conditions mentioned in
paragraphs (a) and
(b) is monitored by an
approved intelligent transport system used by an intelligent access service
provider; and
(ii) any noncompliance reports made by the system are sent to the
Regulator within a stated period.
(2) This Chapter also
applies in relation to a heavy vehicle for which an HML authority is in force
with the conditions (also intelligent access conditions)
that—
(a) either or both of
the following is monitored by an approved intelligent transport system used by
an intelligent access service provider:
(i) the roads on which
the vehicle is used under the higher mass limits;
(ii) the
vehicle’s compliance with conditions about the use of a heavy vehicle on a
road under the higher mass limits, including, for example, conditions about one
or more of the following:
(A) the times when the vehicle may be driven on the road under the higher
mass limits;
(B) the maximum speed at which the vehicle may be driven on the road under
the higher mass limits; and
(b) any noncompliance reports made by the system are sent to the Regulator
within a stated period.
403—Definitions for
Chapter 7
In this Chapter—
approved intelligent transport system means an intelligent
transport system approved by TCA, for the purposes of the Intelligent Access
Program, for use by an intelligent access service provider to monitor the
relevant monitoring matters for an intelligent access vehicle;
higher mass limits means the higher mass limits applying
under the mass requirements;
HML authority means a declaration made, or permit granted,
under the national regulations allowing a heavy vehicle to be used on a road
under the higher mass limits;
intelligent access agreement means an agreement between the
operator of a heavy vehicle and an intelligent access service provider under
which the service provider agrees to monitor, by using an approved intelligent
transport system, the relevant monitoring matters for the vehicle;
intelligent access audit means the process of doing 1 or more
of the following:
(a) reviewing intelligent access information held by an intelligent access
service provider to assess whether the information is accurate, complete and up
to date;
(b) reviewing the processes by which intelligent access information held
by an intelligent access service provider is generated, recorded, stored,
displayed, analysed, transmitted and reported;
(c) examining how intelligent access information held by an intelligent
access service provider is used and disclosed by the service provider;
(d) examining an approved intelligent transport system;
intelligent access conditions has the meaning given by
section 402;
intelligent access information means information generated,
recorded, stored, displayed, analysed, transmitted or reported by an approved
intelligent transport system for any purpose relating to the Intelligent Access
Program;
Intelligent Access Program has the meaning given in
section 401;
intelligent access service provider means a person certified
by TCA as a service provider for monitoring, by using an approved intelligent
transport system, the relevant monitoring matters for an intelligent access
vehicle;
intelligent access vehicle means a heavy
vehicle—
(a) for which a mass or dimension exemption is in force with intelligent
access conditions (as referred to in
section 402(1));
or
(b) for which an HML authority is in force with intelligent access
conditions (as referred to in
section 402(2));
law enforcement purposes means the purposes of investigating
or prosecuting an offence against an Australian road law;
malfunction, in relation to an approved intelligent transport
system, means the system—
(a) ceases to work at all, or works only intermittently; or
(b) does not perform
one or more functions required under the Intelligent Access Program;
or
(c) performs a function mentioned in
paragraph (b)—
(i) only intermittently; or
(ii) in a way that the results of it doing so are inaccurate or
unreliable, including intermittently inaccurate or unreliable;
noncompliance report means a report made by an approved
intelligent transport system that reports either or both of the
following:
(a) a relevant contravention for an intelligent access vehicle;
(b) apparent tampering with, or malfunctioning of, the system;
personal information means personal information that is
intelligent access information or otherwise collected for the purposes of this
Chapter;
Note—
See also definition personal information in
section 5.
relevant contravention means—
(a) for an intelligent access vehicle used under a mass or dimension
exemption—the vehicle’s contravention of conditions mentioned in
section 402(1)(a) or
(b) applying to the
vehicle; or
(b) for an intelligent access vehicle used under the higher mass
limits—
(i) the vehicle’s use under the higher mass limits on a road to
which the higher mass limits do not apply; or
(ii) the vehicle’s contravention of a condition about the use of the
vehicle on a road under the higher mass limits;
relevant monitoring matters means—
(a) for a heavy vehicle used under a mass or dimension exemption—the
vehicle’s compliance with conditions mentioned in
section 402(1)(a) or
(b) applying to the
vehicle; or
(b) for a heavy vehicle used under the higher mass limits—the
matters mentioned in
section 402(2)(a)(i)
or
(ii) for the
vehicle;
tamper, with an approved intelligent transport system, means
engage in conduct that has the result that—
(a) the system is changed; or
(b) the system is installed or used in a way that is not in accordance
with the conditions of its approval by TCA; or
(c) any operating software that the system uses internally is
changed.
Part 2—Duties and obligations of operators of
intelligent access vehicles
404—Offence to give false or misleading information
to intelligent access service provider
(1) The operator of an
intelligent access vehicle commits an offence if—
(a) the operator gives information to an intelligent access service
provider with whom the operator has entered into an intelligent access agreement
for the vehicle; and
(b) the information is
relevant to the use of the vehicle; and
(c) the operator knows, or ought reasonably to know, the information is
false or misleading in a material particular.
Maximum penalty: $10 000.
Note—
See
section 632
for the matters a court may consider when deciding whether a person ought
reasonably to have known something.
(2)
Subsection (1) does
not apply if the operator gives the information in writing and, when giving the
information—
(a) tells the intelligent access service provider, to the best of the
operator’s ability, how it is false or misleading; and
(b) if the operator has, or can reasonably obtain, the correct
information—gives the correct information in writing.
(3) Without limiting
subsection (1)(b),
information about the intelligent access conditions applying to an intelligent
access vehicle is relevant to the use of the vehicle.
(4) The operator of a
heavy vehicle commits an offence if—
(a) the operator gives information to an intelligent access service
provider; and
(b) the operator intends that the intelligent access service provider will
enter into an intelligent access agreement with the operator in reliance on the
information; and
(c) the operator knows, or ought reasonably to know, the information is
false or misleading in a material particular.
Maximum penalty: $10 000.
Note—
See
section 632
for the matters a court may consider when deciding whether a person ought
reasonably to have known something.
(5)
Subsection (4) does
not apply if the operator gives the information in writing and, when giving the
information—
(a) tells the intelligent access service provider, to the best of the
operator’s ability, how it is false or misleading; and
(b) if the operator has, or can reasonably obtain, the correct
information—gives the correct information in writing.
(6) In a proceeding for an offence against
subsection (1)
or
(4), it is enough for a
charge to state that the information given was ‘false or misleading’
to the operator’s knowledge, without specifying whether it was false or
whether it was misleading.
405—Advising vehicle driver of collection of
information by intelligent access service provider
(1) The operator of an
intelligent access vehicle must take all reasonable steps to give the
vehicle’s driver the following information, before the vehicle begins a
journey:
(a) that the vehicle will be monitored by an intelligent access service
provider;
(b) that this Chapter provides for the collection of information by the
intelligent access service provider;
(c) the information that will be collected by the intelligent access
service provider;
(d) the purposes for which the information will be collected;
(e) the entities to whom the information collected may be
disclosed;
(f) that, under this
Chapter, the driver has rights of access to personal information or to have
personal information changed to ensure it is accurate, complete and up to
date;
(g) how the rights mentioned in
paragraph (f) can be
exercised;
(h) the name and address of the intelligent access service
provider.
Maximum penalty: $6 000.
(2) The operator of an
intelligent access vehicle is taken to comply with
subsection (1) if
the operator—
(a) gives the
intelligent access vehicle’s driver a notice stating the information
mentioned in the subsection, including, for example, by placing it in the
vehicle’s driving cabin in a clearly visible position; or
(b) includes the
information mentioned in the subsection in a written contract of employment
between the operator and the intelligent access vehicle’s
driver.
(3) The national regulations may prescribe—
(a) a form of notice that may be used under
subsection (2)(a);
and
(b) for
subsection (2)(b), a
standard form of words that may be used as part of a written contract of
employment.
406—Reporting system malfunctions to
Regulator
(1) If an operator of
an intelligent access vehicle becomes aware that a part of an approved
intelligent transport system fitted to the vehicle is malfunctioning or has
malfunctioned, the operator must as soon as practicable report the matter to the
Regulator in person or by radio, telephone, fax or email.
Maximum penalty: $6 000.
(2) The operator must keep, for at least 4 years, a written record of a
report of a malfunction under
subsection (1),
containing the following particulars:
(a) the type of malfunction to which the report relates;
(b) the date and time the operator became aware of the
malfunction;
(c) the location of the vehicle when the operator became aware of the
malfunction;
(d) the date and time the report was made;
(e) the location of the vehicle when the report was made;
(f) the way, in person or by radio, telephone, fax or email, that the
report was made;
(g) the name of the operator or, if someone else made the report on behalf
of the operator, the name of the person who made the report;
(h) the name of the individual to whom the report was made.
Maximum penalty: $6 000.
407—Advising driver of driver’s obligations
about reporting system malfunctions
(1) The operator of an
intelligent access vehicle must take all reasonable steps to tell the
vehicle’s driver before the vehicle begins a journey—
(a) about the vehicle driver’s obligation under
section 408; and
(b) how the vehicle’s driver can make the reports required by that
obligation.
Maximum penalty: $6 000.
(2) The operator of an
intelligent access vehicle is taken to comply with
subsection (1) if
the operator—
(a) gives the
vehicle’s driver a notice stating the information mentioned in the
subsection, including, for example, by placing it in the vehicle’s driving
cabin in a clearly visible position; or
(b) includes the
information mentioned in the subsection in a written contract of employment
between the operator and the vehicle’s driver.
(3) The national regulations may prescribe—
(a) a form of notice that may be used under
subsection (2)(a);
and
(b) for the purposes of
subsection (2)(b), a
standard form of words that may be used as part of a written contract of
employment.
Part 3—Obligations of drivers of intelligent
access vehicles
408—Reporting system malfunctions to
operator
(1) If the driver of an
intelligent access vehicle becomes aware that a part of an approved intelligent
transport system fitted to the vehicle is malfunctioning or has malfunctioned,
the driver must as soon as practicable report the malfunction to the
vehicle’s operator in person or by radio, telephone, fax or
email.
Maximum penalty: $6 000.
(2) The driver must keep, for at least 4 years, a written record of a
report of a malfunction under
subsection (1),
containing the following particulars:
(a) the type of malfunction to which the report relates;
(b) the date and time the driver became aware of the
malfunction;
(c) the location of the vehicle when the driver became aware of the
malfunction;
(d) the date and time the report was made;
(e) the location of the vehicle when the report was made;
(f) the way, in person or by radio, telephone, fax or email, that the
report was made;
(g) the driver’s name;
(h) the name of the individual to whom the report was made.
Maximum penalty: $6 000.
(3)
Subsection (1) does
not apply to the driver of a heavy vehicle in relation to a malfunction of a
part of an approved intelligent transport system if another driver of the
vehicle has complied with the subsection in relation to the
malfunction.
Part 4—Powers, duties and obligations of
intelligent access service providers
409—Powers to collect and hold intelligent access
information
An intelligent access service provider may collect and hold intelligent
access information for monitoring the relevant monitoring matters for an
intelligent access vehicle.
410—Collecting intelligent access
information
(1) An intelligent access service provider must take all reasonable steps
to ensure the intelligent access information the service provider
collects—
(a) is necessary for the purpose for which it is collected or a directly
related purpose; and
(b) is not excessive for that purpose; and
(c) is accurate, complete and up to date.
Maximum penalty: $6 000.
(2) An intelligent access service provider must take all reasonable steps
to ensure the collection of intelligent access information by the service
provider does not intrude to an unreasonable extent on the personal privacy of
any individual to whom the information relates.
Maximum penalty: $6 000.
411—Keeping records of intelligent access
information collected
(1) An intelligent
access service provider must keep, in a way complying with
subsection (2),
records of the intelligent access information collected by the service
provider.
Maximum penalty: $6 000.
(2) Records kept under
subsection (1) must
be organised in a way that allows the records to be conveniently and properly
audited by an intelligent access auditor.
412—Protecting intelligent access
information
An intelligent access service provider must take all reasonable steps to
protect intelligent access information collected by the service provider against
unauthorised access, unauthorised use, misuse, loss, modification or
unauthorised disclosure.
Maximum penalty: $6 000.
413—Making individuals aware of personal
information held
(1) An intelligent access service provider must prepare, and make publicly
available, a document setting out the service provider’s policies on the
management of personal information held by the service provider.
Examples of how a document is made publicly
available—
• making a document available at the service provider’s
office
• making a document available on the service provider’s
website
Maximum penalty: $6 000.
(2) If asked by an
individual about whom an intelligent access service provider holds personal
information, the service provider must, within 28 days after receiving the
request, give the individual the following information if the service provider
can reasonably give the information:
(a) the kind of information the service provider holds about the
individual;
(b) the purpose for which the information is held;
(c) the way in which the service provider collects, holds, uses and
discloses the information;
(d) the entities to whom the information may be disclosed;
(e) that, under this
Chapter, the individual has rights of access to the information or to have the
information changed to ensure it is accurate, complete and up to date;
(f) how the rights mentioned in
paragraph (e) can be
exercised.
Maximum penalty: $6 000.
(3)
Subsection (2) does not
require an intelligent access service provider to inform an individual that a
report under
section 422 or
423 exists or has been
made.
414—Giving individuals access to their personal
information
(1) An intelligent
access service provider must, if asked by an individual about whom the service
provider holds personal information, give the individual access to the
information as soon as practicable and without cost.
Maximum penalty: $6 000.
(2)
Subsection (1) does not
require an intelligent access service provider to give an individual access to a
report made under
section 422 or
423 or information showing that
a report of that kind exists or has been made.
415—Correcting errors etc
(1) This section
applies if an individual about whom an intelligent access service provider holds
personal information asks the service provider to make a particular change to
the personal information.
(2) The intelligent
access service provider must make the change if the service provider is
satisfied the change is appropriate to ensure the personal information is
accurate, complete and up to date.
Maximum penalty: $6 000.
(3) If the intelligent
access service provider is not satisfied as mentioned in
subsection (2), the
service provider may refuse to comply with the request.
(4) If, under
subsection (3), an
intelligent access service provider refuses to comply with an individual’s
request under
subsection (1), the
service provider must—
(a) give the individual a notice stating—
(i) the service provider’s reasons for refusing; and
(ii) that the individual may ask the service provider to attach to or
include with the personal information the individual’s request or a record
of it; and
(b) if asked by the individual, attach to or include with the personal
information the request or a record of the request.
Maximum penalty: $6 000.
416—General restriction on use and disclosure of
intelligent access information
An intelligent access service provider must not use or disclose intelligent
access information other than as required or authorised under this Law or
another law.
Maximum penalty: $6 000.
417—Giving intelligent access auditor access to
records
An intelligent access service provider must give an intelligent access
auditor access to a record kept by the service provider for the purposes of this
Chapter.
Maximum penalty: $6 000.
418—Powers to use and disclose intelligent access
information
(1) An intelligent access service provider may use intelligent access
information for monitoring the relevant monitoring matters for an intelligent
access vehicle.
(2) An intelligent access service provider may disclose intelligent access
information to the Regulator for compliance purposes.
(3) An intelligent
access service provider may disclose intelligent access information
to—
(a) an authorised officer, other than a police officer, for law
enforcement purposes if so authorised by a warrant issued under this Law;
or
(b) an authorised officer who is a police officer, for law enforcement
purposes if so authorised by a warrant issued under this Law or another
law.
(4) If an intelligent access service provider discloses intelligent access
information to an authorised officer or a police officer under this section, the
officer must not use the information, or disclose it to any other person,
unless—
(a) the officer believes the use or disclosure is reasonably necessary for
law enforcement purposes; or
(b) the use or disclosure is otherwise authorised under this Law or any
other law.
(5) An intelligent
access service provider may disclose intelligent access information about an
operator of an intelligent access vehicle to the operator.
(6)
Subsection (5) does not
apply to the following:
(a) a noncompliance report about an intelligent access vehicle operated by
the operator;
(b) information that a noncompliance report has been made about an
intelligent access vehicle operated by the operator;
(c) information disclosed under the authority of a warrant as referred to
in
subsection (3).
(7) An intelligent access service provider may, with the written consent
of an operator of an intelligent access vehicle, disclose intelligent access
information about the operator to a person other than the operator for any
purpose if the information—
(a) does not identify any individual other than the operator;
and
(b) contains nothing by which the identity of any individual, other than
the operator, can reasonably be found out.
(8) An intelligent access service provider may use or disclose intelligent
access information that is personal information with the written consent of the
individual to whom the personal information relates.
(9) This section is subject to
section 424.
419—Keeping record of use or disclosure of
intelligent access information
(1) If an intelligent access service provider uses or discloses
intelligent access information, the service provider must, within 7 days
after the use or disclosure, make a record of the use or disclosure
that—
(a) contains the information mentioned in
subsection (2);
and
(b) is in a form that ensures the record is readily accessible by an
intelligent access auditor at the place where it is kept.
Maximum penalty: $6 000.
(2) The record must
contain the following information:
(a) the intelligent access service provider’s name or, if someone
else used or disclosed the intelligent access information on behalf of the
service provider, the name of the person who used or disclosed the intelligent
access information;
(b) the date of the use or disclosure;
(c) for a use of intelligent access information by or on behalf of the
intelligent access service provider, a brief description of how the information
was used;
(d) for a disclosure of intelligent access information by or on behalf of
the intelligent access service provider, the entity to whom the information was
disclosed;
(e) the provision of this Law or another law the intelligent access
service provider believes authorises the use or disclosure;
(f) if the use or disclosure is authorised only under a particular
document (including, for example, a warrant, a certificate or a consent), a copy
of the document.
(3) An intelligent access service provider must keep a record made under
this section for at least 2 years.
Maximum penalty: $6 000.
420—Keeping noncompliance report
etc
(1) This section applies if a noncompliance report is made by an approved
intelligent transport system operated by an intelligent access service
provider.
(2) The intelligent access service provider must keep the following for at
least 4 years after the noncompliance report is made:
(a) a copy of the report;
(b) the information relied on to make the report.
Example of information that could be relied on to make a noncompliance
report—
GPS information about a vehicle’s position at a particular
time
Maximum penalty: $6 000.
421—Destroying intelligent access information
etc
(1) An intelligent access service provider must take all reasonable
steps—
(a) to destroy intelligent access information collected by the provider
1 year after the information is collected by the service provider;
and
(b) to destroy a record the service provider is required to keep under
section 419 within
1 year after the service provider is no longer required to keep the record
under that section.
Maximum penalty: $6 000.
(2) This section does not apply to a noncompliance report or information
the intelligent service provider is required to keep under
section 420.
422—Reporting relevant contraventions to
Regulator
(1) This section
applies if an intelligent access service provider knows of a relevant
contravention for an intelligent access vehicle.
(2) The intelligent access service provider must, within 7 days, give
the Regulator a report about the relevant contravention in the approved
form.
Maximum penalty: $6 000.
(3) For the purposes of
subsection (1), an
intelligent access service provider is taken to know of a relevant contravention
for an intelligent access vehicle if the service provider’s approved
intelligent transport system has detected the contravention.
423—Reporting tampering or suspected tampering with
approved intelligent transport system
(1) If an intelligent
access service provider knows, or has reasonable grounds to suspect, an approved
intelligent transport system has been tampered with, the service provider must
report the matter to the Regulator—
(a) within 7 days; and
(b) in the approved form.
Maximum penalty: $6 000.
(2) If an intelligent
access service provider knows, or has reasonable grounds to suspect, a
back-office intelligent transport system has been tampered with, the service
provider must report the matter to TCA—
(a) within 7 days; and
(b) in the approved form.
Maximum penalty: $6 000.
(3) For the purposes of
subsections (1) and
(2), an intelligent
access service provider does not know, or have reasonable grounds to suspect, an
approved intelligent transport system or back-office intelligent transport
system has been tampered with merely because the service provider
has—
(a) accessed a report made by the system (including a noncompliance
report) indicating that apparent tampering with the system has been detected
electronically; or
(b) analysed information generated by the system.
(4) In this section—
back-office intelligent transport system means that part of
an approved intelligent transport system that is not fitted, and is not intended
to be fitted, to an intelligent access vehicle.
424—Restriction on disclosing information about
tampering or suspected tampering with approved intelligent transport
system
(1) If an intelligent
access service provider knows, or has reasonable grounds to suspect, an approved
intelligent transport system has been tampered with, the service provider must
not disclose to any entity (other than the Regulator and TCA) the
following:
(a) information that the service provider has that knowledge or
suspicion;
(b) information from which it could reasonably be inferred that the
service provider has that knowledge or suspicion.
Maximum penalty: $6 000.
(2) For the purposes of
subsection (1), an
intelligent access service provider does not know, or have reasonable grounds to
suspect, an approved intelligent transport system has been tampered with merely
because the service provider has—
(a) accessed a report made by the system (including a noncompliance
report) indicating that apparent tampering with the system has been detected
electronically; or
(b) analysed information generated by the system.
(3) If an intelligent
access service provider has made a report to the Regulator under
section 423(1) of
apparent or suspected tampering, the service provider must not disclose to any
entity (other than the Regulator) the following:
(a) information that the report has been made;
(b) information from which it could reasonably be inferred that the
service provider has made the report.
Maximum penalty: $6 000.
(4) If an intelligent
access service provider has made a report to TCA under
section 423(2) of
apparent or suspected tampering, the service provider must not disclose to any
entity (other than the Regulator and TCA) the following:
(a) information that the report has been made;
(b) information from which it could reasonably be inferred that the
service provider has made the report.
Maximum penalty: $6 000.
(5)
Subsection (1),
(3) or
(4)
does not apply if the disclosure of the information to which the subsection
applies is authorised under another law.
Part 5—Functions, powers, duties and
obligations of TCA
425—Functions of TCA
(1) TCA has the
following functions for the purposes of this Chapter:
(a) approving, and cancelling the approval of, intelligent transport
systems for use by intelligent access service providers to monitor the relevant
monitoring matters for an intelligent access vehicle;
(b) managing the certification and audit regime for the Intelligent Access
Program;
(c) certifying and auditing, and cancelling the certification of,
intelligent access service providers;
(d) engaging individuals, consultants and contractors to assist TCA in the
exercise of its auditing activities.
(2) An approval, certification or engagement under
subsection (1) may
be given or made unconditionally or subject to stated conditions imposed or
varied from time to time.
426—Powers to collect and hold intelligent access
information
TCA may collect and hold intelligent access information—
(a) for the exercise of its functions mentioned in
section 425; or
(b) for law enforcement purposes.
427—Collecting intelligent access
information
(1) TCA must take all
reasonable steps to ensure the intelligent access information it
collects—
(a) is necessary for the purpose for which it is collected or a directly
related purpose; and
(b) is not excessive for that purpose; and
(c) is accurate, complete and up to date.
Maximum penalty: $6 000.
(2) TCA must take all
reasonable steps to ensure the collection of intelligent access information by
it does not intrude to an unreasonable extent on the personal privacy of any
individual to whom the information relates.
Maximum penalty: $6 000.
428—Protecting intelligent access information
collected
TCA must take all reasonable steps to protect intelligent access
information collected by it against unauthorised access, unauthorised use,
misuse, loss, modification or unauthorised disclosure.
Maximum penalty: $6 000.
429—Making individuals aware of personal
information held
(1) TCA must prepare,
and make publicly available, a document setting out its policies on the
management of personal information held by it.
Examples of how a document is made publicly
available—
• making a document available at TCA’s office
• making a document available on TCA’s website
Maximum penalty: $6 000.
(2) If asked by an
individual about whom TCA holds personal information, TCA must, within
28 days after receiving the request, give the individual the following
information if it can reasonably give the information:
(a) the kind of information it holds about the individual;
(b) the purpose for which the information is held;
(c) the way in which it collects, holds, uses and discloses the
information;
(d) the entities to whom the information may be disclosed;
(e) that, under this
Chapter, the individual has rights of access to the information or to have the
information changed to ensure it is accurate, complete and up to date;
(f) how the rights mentioned in
paragraph (e) can be
exercised.
Maximum penalty: $6 000.
(3)
Subsection (2) does not
require TCA to inform an individual that a report under
section 422,
423,
438,
451 or
452 exists or has been
made.
430—Giving individuals access to their personal
information
(1) TCA must, if asked
by an individual about whom TCA holds personal information, give the individual
access to the information as soon as practicable and without cost.
Maximum penalty: $6 000.
(2)
Subsection (1) does not
require TCA to give an individual access to a report made under
section 422,
423,
438,
451 or
452 or information showing that
a report of that kind exists or has been made.
431—Correcting errors etc
(1) This section applies if an individual about whom TCA holds personal
information asks TCA to make a particular change to the personal
information.
(2) TCA must make the
change if it is satisfied the change is appropriate to ensure the personal
information is accurate, complete and up to date.
Maximum penalty: $6 000.
(3) If TCA is not
satisfied as mentioned in
subsection (2), it
may refuse to comply with the request.
(4) If TCA refuses,
under
subsection (3), to
comply with an individual’s request, it must give the individual a notice
stating—
(a) TCA’s reasons for refusing; and
(b) that the individual may ask TCA to attach to or include with the
personal information the individual’s request or a record of it.
(5) If an individual referred to in
subsection (4) asks
TCA to do so, it must attach to or include with the personal information the
request or a record of the request.
Maximum penalty: $6 000.
432—General restriction on use and disclosure of
intelligent access information
TCA must not use or disclose intelligent access information other than as
required or authorised under this Law or another law.
Maximum penalty: $6 000.
433—Powers to use and disclose intelligent access
information
(1) TCA may use or disclose intelligent access
information—
(a) for the exercise of its functions mentioned in
section 425; or
(b) for law enforcement purposes.
(2) TCA may disclose intelligent access information to the Regulator if it
is satisfied the information is relevant to the Regulator’s functions
under this Law.
(3) TCA may disclose intelligent access information to an intelligent
access auditor if it is satisfied the information is relevant to an intelligent
access audit the auditor is conducting.
(4) TCA may disclose intelligent access information relating to a
particular operator of an intelligent access vehicle to the operator.
(5) TCA may, with the written consent of an operator of an intelligent
access vehicle, disclose intelligent access information about the operator to a
person other than the operator for any purpose if the
information—
(a) does not identify any individual other than the operator;
and
(b) contains nothing by which the identity of any individual, other than
the operator, can reasonably be found out.
(6) TCA may use or disclose intelligent access information for research
purposes if the information contains no personal information.
(7) TCA may use or disclose intelligent access information that is
personal information with the written consent of the individual to whom the
personal information relates.
(8) This section is subject to
section 439.
434—Restriction about intelligent access
information that may be used or disclosed
TCA must not use or disclose intelligent access information unless TCA is
reasonably satisfied, having regard to the purpose for which the information is
to be used or disclosed, the information is accurate, complete and up to
date.
Maximum penalty: $6 000.
435—Keeping record of use or disclosure of
intelligent access information
(1) If TCA uses or
discloses intelligent access information, TCA must, within 7 days after the
use or disclosure, make a record of the use or disclosure that —
(a) contains the information mentioned in
subsection (2);
and
(b) is in a form that ensures the record is readily accessible by an
authorised officer at the place where it is kept.
Maximum penalty: $6 000.
(2) The record must
contain the following information:
(a) the name of the person who used or disclosed the intelligent access
information on behalf of TCA;
(b) the date of the use or disclosure;
(c) for a use of intelligent access information by or on behalf of TCA, a
brief description of how the information was used;
(d) for a disclosure of intelligent access information by or on behalf of
TCA, the entity to whom the information was disclosed;
(e) the provision of this Law or another law TCA believes authorises the
use or disclosure;
(f) if the use or disclosure is authorised only with a particular document
(including, for example, a warrant, a certificate or a consent), a copy of the
document.
(3) TCA must keep a
record made under this section for at least 2 years.
Maximum penalty: $6 000.
436—Keeping noncompliance
reports
TCA must keep any noncompliance report received by it for at least
4 years after its receipt.
Maximum penalty: $6 000.
437—Destroying intelligent access information or
removing personal information from it
(1) TCA must take all
reasonable steps to destroy intelligent access information collected by
it—
(a) generally—1
year after the information is collected; or
(b) if, at the end of the period mentioned in
paragraph (a), the
information is required for law enforcement purposes—as soon as
practicable after the information ceases to be required for law enforcement
purposes.
Maximum penalty: $6 000.
(2) TCA is taken to have complied with
subsection (1) for
intelligent access information if it permanently removes anything by which an
individual can be identified from the information.
(3) This section does not apply to a noncompliance report TCA is required
to keep under
section 436.
438—Reporting tampering or suspected tampering
with, or malfunction or suspected malfunction of, approved intelligent transport
system to Regulator
(1) If TCA knows, or
has reasonable grounds to suspect, an approved intelligent transport system has
been tampered with or has malfunctioned, TCA must report the matter to the
Regulator within 7 days.
Maximum penalty: $6 000.
(2) For the purposes of
subsection (1), TCA
does not know, or have reasonable grounds to suspect, an approved intelligent
transport system has been tampered with or has malfunctioned merely because it
has—
(a) accessed a report made by the system (including a noncompliance
report) indicating that apparent tampering with, or malfunctioning of, the
system has been detected electronically; or
(b) analysed information generated by the system.
439—Restriction on disclosing information about
tampering or suspected tampering with approved intelligent transport
system
(1) If TCA knows, or
has reasonable grounds to suspect, an approved intelligent transport system has
been tampered with, TCA must not disclose the following to any entity other than
the Regulator:
(a) information that TCA has that knowledge or suspicion;
(b) information from which it could reasonably be inferred that TCA has
that knowledge or suspicion.
Maximum penalty: $6 000.
(2) For the purposes of
subsection (1), TCA
does not know or have reasonable grounds to suspect an approved intelligent
transport system has been tampered with merely because it has—
(a) accessed a report made by the system (including a noncompliance
report) indicating that apparent tampering with the system has been detected
electronically; or
(b) analysed information generated by the system.
(3) If TCA has made a
report of apparent or suspected tampering to the Regulator under
section 438, TCA must not
disclose to any entity other than the Regulator the following:
(a) information that the report has been made;
(b) information from which it could reasonably be inferred that TCA has
made the report.
Maximum penalty: $6 000.
(4)
Subsection (1) or
(3) does not apply if the
disclosure of the information to which the subsection applies is authorised
under another law.
Part 6—Powers, duties and obligations of
intelligent access auditors
440—Powers to collect and hold intelligent access
information
An intelligent access auditor may collect and hold intelligent access
information for conducting an intelligent access audit.
441—Collecting intelligent access
information
(1) An intelligent access auditor must take all reasonable steps to ensure
intelligent access information the auditor collects—
(a) is necessary for the purpose for which it is collected or a directly
related purpose; and
(b) is not excessive for that purpose; and
(c) is accurate, complete and up to date.
Maximum penalty: $6 000.
(2) An intelligent access auditor must take all reasonable steps to ensure
the collection of intelligent access information by the auditor does not intrude
to an unreasonable extent on the personal privacy of any individual to whom the
information relates.
Maximum penalty: $6 000.
442—Protecting intelligent access information
collected
An intelligent access auditor must take all reasonable steps to protect
intelligent access information collected by the auditor against unauthorised
access, unauthorised use, misuse, loss, modification or unauthorised
disclosure.
Maximum penalty: $6 000.
443—Making individuals aware of personal
information held
(1) If asked by an
individual about whom an intelligent access auditor holds personal information,
the auditor must, within 28 days after receiving the request, give the
individual the following information if the auditor can reasonably give the
information:
(a) the kind of information the auditor holds about the
individual;
(b) the purpose for which the information is held;
(c) the entities to whom the information may be disclosed;
(d) that, under this
Chapter, the individual has rights of access to the information or to have the
information changed to ensure it is accurate, complete and up to date;
(e) how the rights mentioned in
paragraph (d) can be
exercised.
Maximum penalty: $6 000.
(2)
Subsection (1) does not
require an intelligent access auditor to inform an individual that a report
under
section 422,
423,
438,
451 or
452 exists or has been
made.
444—Giving individuals access to their personal
information
(1) An intelligent
access auditor must, if asked by an individual about whom the auditor holds
personal information, give the individual access to the information as soon as
practicable and without cost.
Maximum penalty: $6 000.
(2)
Subsection (1) does not
require an intelligent access auditor to give an individual access to a report
made under
section 422,
423,
438,
451 or
452.
445—Correcting errors etc
(1) This section applies if an individual about whom an intelligent access
auditor holds personal information asks the auditor to make a particular change
to the personal information.
(2) The intelligent
access auditor must make the change if the auditor is satisfied the change is
appropriate to ensure the personal information is accurate, complete and up to
date.
Maximum penalty: $6 000.
(3) If the intelligent
access auditor is not satisfied as mentioned in
subsection (2),
the auditor may refuse to comply with the request.
(4) If, under
subsection (3), an
intelligent access auditor refuses to comply with an individual’s request,
the auditor must—
(a) give the individual a notice stating—
(i) the auditor’s reasons for refusing; and
(ii) that the individual may ask the auditor to attach to or include with
the personal information the individual’s request or a record of it;
and
(b) if asked by the individual, attach to or include with the personal
information the request or a record of the request.
Maximum penalty: $6 000.
446—General restriction on use and disclosure of
intelligent access information
An intelligent access auditor must not use or disclose intelligent access
information other than as required or authorised under this Law or another
law.
Maximum penalty: $6 000.
447—Powers to use and disclose intelligent access
information
(1) An intelligent access auditor may use and disclose intelligent access
information for—
(a) conducting an intelligent access audit; or
(b) reporting, to TCA, any of the following:
(i) a relevant contravention for an intelligent access vehicle;
(ii) tampering or suspected tampering with an approved intelligent
transport system by an operator of an intelligent access vehicle;
(iii) tampering or suspected tampering with an approved intelligent
transport system by an intelligent access service provider;
(iv) a failure by an intelligent access service provider to comply with
the service provider’s obligations under this Chapter.
(2) An intelligent access auditor may disclose intelligent access
information to the Regulator if the auditor is reasonably satisfied the
information is relevant to the Regulator’s functions under this
Law.
(3) An intelligent access auditor may disclose intelligent access
information to TCA if the auditor is reasonably satisfied the information is
relevant to TCA’s functions under this Chapter.
(4) An intelligent access auditor may disclose intelligent access
information relating to a particular operator of an intelligent access vehicle
to the operator.
(5) An intelligent access auditor may use and disclose intelligent access
information that is personal information with the written consent of the
individual to whom the personal information relates.
(6) This section is subject to
section 453.
448—Restriction about intelligent access
information that may be used or disclosed
An intelligent access auditor must not use or disclose intelligent access
information unless the auditor is reasonably satisfied, having regard to the
purpose for which the information is to be used or disclosed, the information is
accurate, complete and up to date.
Maximum penalty: $6 000.
449—Keeping record of use or disclosure of
intelligent access information
(1) If an intelligent access auditor uses or discloses intelligent access
information, the auditor must, within 7 days after the use or disclosure,
make a record of the use or disclosure that—
(a) contains the information mentioned in
subsection (2);
and
(b) is in a form that ensures the record is readily accessible by an
authorised officer at the place where it is kept.
Maximum penalty: $6 000.
(2) The record must
contain the following information:
(a) the intelligent access auditor’s name or, if someone else used
or disclosed the intelligent access information on behalf of the auditor, the
name of the person who used or disclosed the intelligent access
information;
(b) the date of the use or disclosure;
(c) for a use of intelligent access information by or on behalf of the
auditor, a brief description of how the information was used;
(d) for a disclosure of intelligent access information by or on behalf of
the auditor, the entity to whom the information was disclosed;
(e) the provision of this Law or another law the auditor believes
authorises the use or disclosure;
(f) if the use or disclosure is authorised only under a particular
document (including, for example, a warrant, a certificate or a consent), a copy
of the document.
Maximum penalty: $6 000.
(3) An intelligent access auditor must keep a record made under this
section for at least 2 years.
Maximum penalty: $6 000.
450—Destroying intelligent access information or
removing personal information from it
(1) An intelligent
access auditor must take all reasonable steps to destroy intelligent access
information held by the auditor that is no longer needed for an intelligent
access audit conducted by the auditor.
Maximum penalty: $6 000.
(2) An intelligent access auditor is taken to have complied with
subsection (1) for
intelligent access information if the auditor permanently removes anything by
which an individual can be identified from the information.
451—Reporting contraventions by intelligent access
service providers to TCA
If an intelligent access auditor knows, or has reasonable grounds to
suspect, an intelligent access service provider has contravened an obligation
under this Chapter, the auditor must, as soon as practicable, report the matter
to TCA.
Maximum penalty: $6 000.
452—Reporting tampering or suspected tampering with
approved intelligent transport system to Regulator or TCA
If an intelligent access auditor knows, or has reasonable grounds to
suspect, an approved intelligent transport system has been tampered with, the
auditor must, as soon as practicable, report the matter—
(a) for tampering or suspected tampering by an operator of an intelligent
access vehicle—to the Regulator; or
(b) for tampering or suspected tampering by an intelligent access service
provider—to TCA.
Maximum penalty: $6 000.
453—Restriction on disclosing information about
tampering or suspected tampering with approved intelligent transport
system
(1) If an intelligent
access auditor knows, or has reasonable grounds to suspect, an approved
intelligent transport system has been tampered with, the auditor must not
disclose the following to any entity other than the Regulator or TCA:
(a) information that the auditor has that knowledge or
suspicion;
(b) information from which it could reasonably be inferred that the
auditor has that knowledge or suspicion.
Maximum penalty: $6 000.
(2) If an intelligent
access auditor has made a report to the Regulator or TCA under
section 452 of apparent or
suspected tampering, the auditor must not disclose the following to any entity
other than the Regulator or TCA:
(a) information that the report has been made;
(b) information from which it could reasonably be inferred that the
auditor has made the report.
Maximum penalty: $6 000.
(3)
Subsection (1) or
(2) does not apply if the
disclosure of the information to which the subsection applies is authorised
under another law.
Part 7—Other provisions
454—Offence to tamper with approved intelligent
transport system
(1) A person commits an offence if—
(a) the person tampers with an approved intelligent transport system;
and
(b) the person does so with the intention of causing the system
to—
(i) fail to generate, record, store, display, analyse, transmit or report
intelligent access information; or
(ii) fail to generate, record, store, display, analyse, transmit or report
intelligent access information correctly.
Maximum penalty: $10 000.
(2) A person commits an offence if—
(a) the person tampers with an approved intelligent transport system;
and
(b) the person is negligent or reckless as to whether, as a result of the
tampering, the system may—
(i) fail to generate, record, store, display, analyse, transmit or report
intelligent access information; or
(ii) fail to generate, record, store, display, analyse, transmit or report
intelligent access information correctly.
Maximum penalty: $8 000.
(3) In this section—
fail—
(a) means does not perform as intended in relation to accuracy,
timeliness, reliability, verifiability or any other performance requirement or
standard; and
(b) includes fail permanently, fail temporarily, fail on a particular
occasion and fail in particular circumstances.
455—Regulator may issue intelligent access
identifiers
(1) The Regulator may issue a distinguishing number for an intelligent
access vehicle that indicates the vehicle is an intelligent access vehicle (an
intelligent access identifier).
(2) The intelligent access identifier may consist of numbers or letters or
a combination of numbers and letters.
(3) If an intelligent access identifier is, or becomes, known to an entity
that has the ability to associate it with a particular individual, the entity
must treat the identifier as personal information for the purposes of this
Chapter or a law relating to privacy.
Part 1—Preliminary
456—Purpose of
Chapter 8
The purpose of accreditation under this Law is to allow operators of heavy
vehicles who implement management systems that achieve the objectives of
particular aspects of this Law to be subject to alternative requirements under
this Law, in relation to the aspects, that are more suited to the
operators’ business operations.
457—Definitions for
Chapter 8
In this Chapter—
AFM fatigue management system, for an operator of a
fatigue-related heavy vehicle, means the operator’s management system for
ensuring compliance with the AFM standards and business rules, including
by—
(a) recording the name, current driver licence number and contact details
of each driver who is currently operating under the operator’s AFM
accreditation; and
(b) ensuring each of the drivers is in a fit state—
(i) to safely perform required duties; and
(ii) to meet any specified medical requirements; and
(c) ensuring each of the drivers—
(i) has been inducted into the system; and
(ii) has been informed of the AFM hours applying under the
operator’s AFM accreditation; and
(d) ensuring anyone employed in the operator’s business, who has
responsibilities relating to scheduling or managing the fatigue of the
drivers—
(i) has been inducted into the system; and
(ii) has been informed of the AFM hours applying under the
operator’s AFM accreditation;
AFM standards and business rules means the standards and
business rules for advanced fatigue management approved by the responsible
Ministers;
Note—
A copy of the AFM standards and business rules is published on the
Regulator’s website.
approved, by the responsible Ministers, means approved by the
responsible Ministers under
section 654;
approved auditor means an auditor of a class approved by the
responsible Ministers;
Note—
Details of the approved classes are published on the Regulator’s
website.
BFM fatigue management system, for an operator of a
fatigue-related heavy vehicle, means the operator’s management system for
ensuring compliance with the BFM standards and business rules, including
by—
(a) recording the name, current driver licence number and contact details
of each driver who is currently operating under the operator’s BFM
accreditation; and
(b) ensuring each of the drivers is in a fit state—
(i) to safely perform required duties; and
(ii) to meet any specified medical requirements; and
(c) ensuring each of the drivers—
(i) has been inducted into the system; and
(ii) has been informed of the BFM hours; and
(d) ensuring anyone employed in the operator’s business, who has
responsibilities relating to scheduling or managing the fatigue of the
drivers—
(i) has been inducted into the system; and
(ii) has been informed of the BFM hours;
BFM standards and business rules means the standards and
business rules for basic fatigue management approved by the responsible
Ministers;
Note—
A copy of the BFM standards and business rules is published on the
Regulator’s website.
maintenance management standards and business rules means the
standards and business rules for heavy vehicle maintenance management approved
by the responsible Ministers;
Note—
A copy of the maintenance management standards and business rules is
published on the Regulator’s website.
maintenance management system, for an operator of a heavy
vehicle, means the operator’s management system for ensuring compliance
with the maintenance management standards and business rules, including
by—
(a) identifying each heavy vehicle currently being operated in accordance
with the management system; and
(b) for each heavy vehicle being operated in accordance with the
management system, having measures for the following:
(i) daily checks of the condition of the vehicle, and its components and
equipment, for each day on which the vehicle is driven on a road;
(ii) recording and reporting vehicle faults;
(iii) identifying, assessing and rectifying all identified
faults;
(iv) periodic maintenance of the vehicle; and
(c) keeping records relating to the operation of the management
system;
mass management standards and business rules means the
standards and business rules for heavy vehicle mass management approved by the
responsible Ministers;
Note—
A copy of the mass management standards and business rules is published on
the Regulator’s website.
mass management system, for an operator of a heavy vehicle,
means the operator’s management system for ensuring compliance with the
mass management standards and business rules, including by—
(a) identifying each heavy vehicle currently being operated in accordance
with the management system; and
(b) for each heavy vehicle being operated in accordance with the
management system, having measures for the following:
(i) weighing the
vehicle and its load before it starts a journey, or starts a part of a journey
after the vehicle’s load is changed;
(ii) recording each measurement made under
subparagraph (i) in
a form that allows the record to be readily available for inspection by an
approved auditor;
(iii) ensuring the vehicle’s suspension system accords with the
specifications given by its manufacturer or a qualified mechanical engineer;
and
(c) keeping records relating to the operation of the management
system;
relevant management system means—
(a) for maintenance management accreditation—a maintenance
management system; or
(b) for mass management accreditation—a mass management system;
or
(c) for BFM accreditation—a BFM fatigue management system;
or
(d) for AFM accreditation—an AFM fatigue management
system;
relevant standards and business rules means—
(a) for maintenance management accreditation—the maintenance
management standards and business rules; or
(b) for mass management accreditation—the mass management standards
and business rules; or
(c) for BFM accreditation—the BFM standards and business rules;
or
(d) for AFM accreditation—the AFM standards and business
rules.
Part 2—Grant of heavy vehicle
accreditation
458—Regulator’s power to grant heavy vehicle
accreditation
The Regulator may grant an operator of a heavy vehicle—
(a) an accreditation
exempting, for a period of not more than 3 years, the vehicle from the
requirement to be inspected before renewal of registration of the vehicle under
this Law (maintenance management accreditation); or
(b) an accreditation
allowing, for a period of not more than 3 years, the vehicle to operate at
concessional mass limits or higher mass limits applying under the mass
requirements (mass management accreditation); or
(c) an accreditation
allowing, for a period of not more than 3 years, drivers of the vehicle to
operate under BFM hours (BFM accreditation); or
(d) an accreditation
allowing, for a period of not more than 3 years, drivers of the vehicle to
operate under AFM hours (AFM accreditation).
459—Application for heavy vehicle
accreditation
(1) An operator of a heavy vehicle may apply to the Regulator for heavy
vehicle accreditation under this Law.
(2) The application must be—
(a) in the approved form; and
(b) accompanied by the following:
(i) a statement by the applicant that the applicant has a relevant
management system for ensuring compliance with the relevant standards and
business rules;
(ii) a statement from an approved auditor that the auditor considers the
applicant’s relevant management system will ensure compliance with the
relevant standards and business rules;
(iii) any other information required for the application under the
relevant standards and business rules;
(iv) the prescribed fee for the application.
(3) The application
must also be accompanied by a declaration by the applicant, declared to be made
after having taken all reasonable steps to find out the following information,
of the applicant’s knowledge of that information:
(a) whether, in the 5
years immediately before the application was made, the applicant or an associate
of the applicant has been convicted of any of the following offences and, if so,
details of the conviction:
(i) an offence against this Law or a previous corresponding law;
(ii) an offence involving fraud or dishonesty punishable on conviction by
imprisonment of 6 months or more, whether committed in this jurisdiction or
elsewhere;
(b) whether the
applicant or an associate of the applicant has had the applicant’s or
associate’s accreditation under this Chapter or a previous corresponding
law, amended, suspended or cancelled under this Chapter or that law and, if so,
details of the amendment, suspension or cancellation.
(4)
Subsection (3)(b) does
not require the applicant to declare information about an amendment, suspension
or cancellation of an accreditation that happened because of a conviction if the
operator is not required to declare the information about the conviction under
subsection (3)(a).
(5) The Regulator may, by notice given to the applicant, require the
applicant—
(a) to give the Regulator any additional information the Regulator
reasonably requires to decide the application; or
(b) to verify by statutory declaration any information relating to the
application given to the Regulator.
460—Obtaining criminal history information about
applicant
(1) The Regulator may, by notice, ask an applicant for heavy vehicle
accreditation under this Law for written consent for the Regulator to obtain the
applicant’s prescribed criminal history.
(2) If the applicant does not consent, or withdraws his or her consent, to
the Regulator obtaining the applicant’s prescribed criminal history, the
application is taken to have been withdrawn.
(3) If the applicant gives written consent to the Regulator obtaining the
applicant’s prescribed criminal history, the Regulator may ask a police
commissioner for a written report about the applicant’s prescribed
criminal history.
(4) The request may include the following:
(a) the applicant’s name and any other name the Regulator believes
the applicant may use or may have used;
(b) the applicant’s date and place of birth, gender and
address.
(5) The police commissioner must give the requested report to the
Regulator.
(6) In this section—
prescribed criminal history, of an applicant for heavy
vehicle accreditation under this Law, means information about each conviction of
the applicant, within the 5 years immediately before the application was made,
of—
(a) an offence against this Law or a previous corresponding law;
or
(b) an offence involving fraud or dishonesty punishable on conviction by
imprisonment of 6 months or more, whether committed in this jurisdiction or
elsewhere.
461—Restriction on grant of heavy vehicle
accreditation
(1) The Regulator may grant an applicant heavy vehicle accreditation only
if the Regulator is satisfied—
(a) the applicant has in place a relevant management system for operations
to be carried out under the accreditation; and
(b) the applicant is able to comply with this Law, having regard
to—
(i) the information provided to the Regulator under this Part;
and
(ii) the matters to which the Regulator may or must have regard under
subsection (4);
and
(c) the applicant is a suitable person to be granted the accreditation,
having regard to—
(i) the information provided to the Regulator under this Part;
and
(ii) the matters to which the Regulator may or must have regard under
subsection (4);
and
(d) for AFM accreditation—
(i) the driver fatigue management practices stated in the
applicant’s AFM fatigue management system, together with the maximum work
times and minimum rest times that are to apply to drivers operating under the
accreditation would, if complied with, safely manage the risk of driver fatigue;
and
(ii) the applicant and drivers operating under the accreditation are
likely to follow the driver fatigue management practices consistently and
effectively; and
(iii) the drivers operating under the accreditation are likely to comply
with the maximum work times and minimum rest times that are to apply to the
drivers under the accreditation.
(2) In considering the maximum work times and minimum rest times that are
to apply to drivers operating under an AFM accreditation, the
Regulator—
(a) must be satisfied the maximum work times and minimum rest times appear
to provide a safe balance between work, rest, risk management and fatigue
countermeasures; and
(b) must not set maximum work times and minimum rest times the Regulator
considers would be unsafe, having regard to the applicant’s AFM fatigue
management system and any relevant body of fatigue knowledge.
(3) The Regulator may grant an AFM accreditation setting maximum work
times and minimum rest times different to the maximum work times and minimum
rest times sought by the applicant.
(4) In deciding an
application for a heavy vehicle accreditation, the Regulator—
(a) may have regard to anything the Regulator considers relevant
including—
(i) the results of any audits carried out on the applicant’s
relevant management system; and
(ii) for assessing an applicant’s AFM fatigue management
system—any relevant body of fatigue knowledge; and
(b) must have regard to the approved guidelines for granting heavy vehicle
accreditations under this Law.
462—Conditions of heavy vehicle
accreditation
(1) A heavy vehicle accreditation granted under this Law is subject to the
condition that the operator who holds the accreditation must comply with the
relevant standards and business rules.
(2) A heavy vehicle
accreditation granted under this Law may be subject to any other conditions the
Regulator considers appropriate, including, for example—
(a) a condition that a named person cannot operate under the
operator’s accreditation for a stated period; and
(b) a condition that a named employee or associate of the operator cannot
be involved in the operator’s relevant management system at all or for a
stated period; and
(c) a condition requiring additional records to be kept, and audits to be
performed, to ensure practices (for example, driver fatigue management
practices) applying under the accreditation are followed consistently and
effectively.
463—Period for which heavy vehicle accreditation
applies
(1) A heavy vehicle accreditation granted under this Law applies for the
period stated in the accreditation certificate for the accreditation.
(2) The period may be less than the period sought by the applicant for the
heavy vehicle accreditation.
464—Accreditation certificate for heavy vehicle
accreditation etc
(1) If the Regulator grants a heavy vehicle accreditation under this Law
to an operator of a heavy vehicle, the Regulator must give the
operator—
(a) an accreditation certificate in the approved form; and
(b) if prescribed circumstances apply to the grant of the
accreditation—an information notice for the prescribed
circumstances.
(2) An accreditation certificate for a heavy vehicle accreditation must
state the following:
(a) the name of the operator who has been granted the
accreditation;
(b) the number identifying the accreditation;
(c) any conditions imposed on the accreditation by the
Regulator;
(d) for an AFM accreditation, the maximum work times and minimum rest
times that apply to drivers of fatigue-regulated heavy vehicles operating under
the accreditation;
(e) the period for which the accreditation applies.
(3) In this section—
prescribed circumstances, for a heavy vehicle accreditation,
means the Regulator has—
(a) imposed a condition on the accreditation that was not sought by the
applicant for the accreditation; or
(b) granted the accreditation for a period less than the period of not
more than 3 years sought by the applicant for the accreditation;
or
(c) for AFM accreditation, granted the AFM accreditation setting maximum
work times and minimum rest times different to the maximum work times and
minimum rest times sought by the applicant for the accreditation.
465—Refusal of application for heavy vehicle
accreditation
If the Regulator refuses an application for heavy vehicle accreditation,
the Regulator must give the applicant an information notice for the decision to
refuse the application.
466—Accreditation labels for maintenance management
accreditation and mass management accreditation
(1) If the Regulator grants maintenance management accreditation or mass
management accreditation to an operator of a heavy vehicle, the Regulator must
give the operator an accreditation label for each relevant vehicle for the
accreditation.
(2) If the operator amends the relevant management system to identify a
new relevant vehicle for the accreditation—
(a) the operator may ask the Regulator for an accreditation label for the
new relevant vehicle; and
(b) the Regulator must give the accreditation label to the
operator.
(3) In this section—
accreditation label, for a relevant vehicle for a maintenance
management accreditation or mass management accreditation, means a label stating
the number identifying the accreditation for attaching to the vehicle;
relevant vehicle, for a maintenance management accreditation
or mass management accreditation, means a vehicle identified in the relevant
management system as currently being operated in accordance with the management
system.
Part 3—Operating under heavy vehicle
accreditation
467—Compliance with conditions of BFM accreditation
or AFM accreditation
The holder of a BFM accreditation or AFM accreditation must comply with the
conditions of the accreditation.
Maximum penalty: $6 000.
468—Driver must carry accreditation
details
(1) The driver of a
heavy vehicle who is operating under a heavy vehicle accreditation must keep in
the driver’s possession—
(a) a copy of the accreditation certificate for the accreditation;
and
(b) a document, signed
by the operator of the vehicle who holds the accreditation, stating that the
driver—
(i) is operating under the operator’s heavy vehicle accreditation;
and
(ii) has been inducted into the operator’s relevant management
system; and
(iii) meets the requirements relating to drivers operating under the
operator’s heavy vehicle accreditation (if any); and
(c) for a driver
operating under AFM accreditation, a document stating the AFM hours applying
under the accreditation.
Example for the purposes of paragraph (c)—
The driver records a statement of the AFM hours applying under the AFM
accreditation in the driver’s electronic work diary (which is a
document).
Maximum penalty: $3 000.
(2)
Subsection (1)
applies even if the driver and operator are the same person.
(3) If an offence is
committed against
subsection (1)
involving the driver of a heavy vehicle, the operator of the vehicle is taken to
have committed an offence against this subsection.
Maximum penalty: $3 000.
(4) A person charged with an offence against
subsection (3) does
not have the benefit of the mistake of fact defence for the offence.
(5) However, in a proceeding for an offence against
subsection (3), the
person charged has the benefit of the reasonable steps defence for the
offence.
Note—
See Divisions 1 and 2 of
Chapter 10 Part 4 for
the reasonable steps defence.
(6) In a proceeding for an offence against
subsection (3)—
(a) it is irrelevant whether or not the driver has been or will be
proceeded against, or convicted of, the offence against
subsection (1);
and
(b) evidence a court has convicted the driver of the offence against
subsection (1) is
evidence the offence happened at the time and place, and in the circumstances,
stated in the charge resulting in the conviction; and
(c) evidence of details stated in an infringement notice issued for the
offence against
subsection (1) is
evidence the offence happened at the time and place, and in the circumstances,
stated in the infringement notice.
469—Driver must return particular documents if
stops operating under accreditation etc
(1) This section applies if—
(a) the driver of a heavy vehicle is operating under a heavy vehicle
accreditation; and
(b) the operator of the heavy vehicle has given the driver a document for
the purposes of
section 468(1);
and
(c) the driver—
(i) stops operating under the operator’s heavy vehicle
accreditation; or
(ii) no longer meets the requirements relating to drivers operating under
the operator’s heavy vehicle accreditation (if any).
(2) The driver must return the document to the operator as soon as
reasonably practicable.
Maximum penalty: $4 000.
470—General requirements applying to operator with
heavy vehicle accreditation
(1) This section applies to an operator of a heavy vehicle who holds a
heavy vehicle accreditation.
(2) The operator must
ensure each driver who operates under the accreditation—
(a) is inducted into the operator’s relevant management system;
and
(b) at all times, meets the requirements relating to drivers operating
under the accreditation (if any).
Maximum penalty: $6 000.
(3) If the
accreditation is AFM accreditation, the operator must also ensure each driver
who operates under the accreditation is informed of the AFM hours applying under
the accreditation.
Maximum penalty: $6 000.
(a) the accreditation certificate for the operator’s heavy vehicle
accreditation; and
(b) if the
operator’s heavy vehicle accreditation is AFM accreditation or BFM
accreditation—a current list of drivers operating under the
operator’s accreditation; and
(c) if the operator’s heavy vehicle accreditation is mass management
accreditation or maintenance management accreditation—a current list of
heavy vehicles to which the operator’s accreditation relates;
and
(d) records
demonstrating the operator has complied with—
(i) if the operator’s heavy vehicle accreditation is AFM
accreditation—
subsections (2) and
(3); or
(ii) otherwise—
subsection (2).
Maximum penalty: $6 000.
(5) The operator must keep a document required to be kept under
subsection (4) for
the following period:
(a) for an accreditation certificate—while the operator’s
heavy vehicle accreditation is current;
(b) for each list made under
subsection (4)(b) or
(c)—at least
3 years after the list is made;
(c) for each record
made under
subsection (4)(d)—at
least 3 years after the record is made.
Maximum penalty: $6 000.
(6) The operator must
keep a document required to be kept under
subsection (4) in a
way that ensures it is—
(a) readily accessible by an authorised officer at the place where the
document is kept; and
(b) reasonably capable of being understood by the authorised officer;
and
(c) capable of being used as evidence.
Maximum penalty: $3 000.
(7) The Regulator may,
by notice, require the operator to give the Regulator, in the form and within
the time required by the Regulator—
(a) a copy of the list mentioned in
subsection (4)(b) or
(c); and
(b) details of any change to the list.
(8) The operator must comply with a requirement made under
subsection (7),
unless the operator has a reasonable excuse.
Maximum penalty: $3 000.
(9)
Subsection (4) to
(6) do not apply in
relation to—
(a) an accreditation certificate given to the Regulator under
section 472 or
476, unless the Regulator has
returned it or given the operator a replacement accreditation certificate;
or
(b) an accreditation certificate that has been defaced, destroyed, lost or
stolen, unless the Regulator has given the operator a replacement accreditation
certificate.
Note—
See
section 477
for the requirement to apply to the Regulator for a replacement accreditation
certificate for a defaced, destroyed, lost or stolen accreditation
certificate.
471—Operator must give notice of amendment,
suspension or ending of heavy vehicle accreditation
(1) This section applies if—
(a) an operator of a heavy vehicle holds a heavy vehicle accreditation;
and
(b) the accreditation is amended or suspended, or the operator ceases to
hold the accreditation.
(2) The operator must
as soon as practicable after the amendment, suspension or cessation happens give
notice of the amendment, suspension or cessation to any driver of, or scheduler
for, a heavy vehicle who may be affected by the amendment, suspension or
cessation.
Maximum penalty: $6 000.
(3) If the driver of a heavy vehicle is given a notice under
subsection (2), the
driver must, as soon as reasonably practicable, return to the operator any
document relevant to the notice given to the driver by the operator for the
purposes of
section 468(1).
Maximum penalty: $4 000.
Part 4—Amendment or cancellation of heavy
vehicle accreditation
472—Amendment or cancellation of heavy vehicle
accreditation on application
(1) A person may apply to the Regulator for an amendment or cancellation
of the person’s heavy vehicle accreditation granted under this
Law.
(2) The application must—
(a) be in writing; and
(b) be accompanied by the prescribed fee for the application;
and
(c) if the application is for an amendment—state clearly the
amendment sought and the reasons for the amendment; and
(d) be accompanied by the accreditation certificate for the
accreditation.
(3) The Regulator may, by notice given to the applicant, require the
applicant to give the Regulator any additional information the Regulator
reasonably requires to decide the application.
(4) The Regulator must decide the application as soon as practicable after
receiving it.
(5) If the Regulator decides to grant the application—
(a) the Regulator must give the applicant notice of the decision;
and
(b) the amendment or cancellation takes effect—
(i) when notice of the decision is given to the applicant; or
(ii) if a later time is stated in the notice, at the later time;
and
(c) if the Regulator amended the accreditation, the Regulator must give
the applicant a replacement accreditation certificate for the accreditation as
amended.
(6) If the Regulator decides not to amend or cancel the accreditation as
sought by the applicant, the Regulator must—
(a) give the applicant an information notice for the decision;
and
(b) return the accreditation certificate to the applicant.
473—Amendment, suspension or cancellation of heavy
vehicle accreditation on Regulator's initiative
(1) Each of the following is a ground for amending, suspending or
cancelling a heavy vehicle accreditation granted under this Law:
(a) the accreditation was granted because of a document or representation
that was—
(i) false or misleading; or
(ii) obtained or made in an improper way;
(b) the holder of the accreditation has contravened a condition of the
accreditation;
(c) the holder of the accreditation, or an associate of the holder, has
been convicted of—
(i) an offence against this Law or a previous corresponding law;
or
(ii) an offence involving fraud or dishonesty punishable on conviction by
imprisonment of 6 months or more, whether committed in this jurisdiction or
elsewhere;
(d) since the accreditation was granted, there has been a change in the
circumstances that were relevant to the Regulator’s decision to grant the
accreditation and, had the changed circumstances existed when the accreditation
was granted, the Regulator would not have granted the accreditation, or would
have granted the accreditation subject to conditions or different
conditions;
(e) for a maintenance management accreditation or mass management
accreditation—
(i) public safety has been endangered, or is likely to be endangered,
because of the accreditation; or
(ii) road infrastructure has been damaged, or is likely to be damaged,
because of the accreditation;
(f) for a BFM accreditation or AFM accreditation—public safety has
been endangered, or is likely to be endangered, because of the
accreditation;
(g) the Regulator considers it necessary in the public interest.
(2) If the Regulator
considers a ground exists to amend, suspend or cancel a heavy vehicle
accreditation granted under this Law (the proposed action), the
Regulator must give the holder of the accreditation a notice—
(a) stating the proposed action; and
(b) stating the ground for the proposed action; and
(c) outlining the facts and circumstances forming the basis for the
ground; and
(d) if the proposed action is to amend the accreditation (including a
condition of the accreditation)—stating the proposed amendment;
and
(e) if the proposed action is to suspend the accreditation—stating
the proposed suspension period; and
(f) inviting the holder
to make, within a stated time of at least 14 days after the notice is given
to the holder, written representations about why the proposed action should not
be taken.
(3) If, after considering all written representations made under
subsection (2)(f),
the Regulator still considers a ground exists to take the proposed action, the
Regulator may—
(a) if the proposed action was to amend the accreditation—amend the
accreditation, including, for example, by imposing additional conditions on the
accreditation, in a way that is not substantially different from the proposed
action; or
(b) if the proposed action was to suspend the accreditation—suspend
the accreditation for no longer than the period stated in the notice;
or
(c) if the proposed action was to cancel the
accreditation—
(i) amend the accreditation, including, for example, by imposing
additional conditions on the accreditation; or
(ii) suspend the accreditation for a period; or
(iii) cancel the accreditation.
(4) The Regulator must
give the holder an information notice for the decision.
(5) The decision takes
effect—
(a) when the information notice is given to the holder; or
(b) if a later time is stated in the information notice, at the later
time.
474—Immediate suspension of heavy vehicle
accreditation
(1) This section applies if the Regulator considers—
(a) a ground exists to suspend or cancel a heavy vehicle accreditation
granted under this Law; and
(b) it is necessary to suspend the accreditation immediately to prevent or
minimise serious harm to public safety.
(2) The Regulator may, by notice given to the holder, immediately suspend
the heavy vehicle accreditation until the earliest of the following:
(a) the Regulator gives the holder an information notice under
section 473(4) and
the decision takes effect under
section 473(5);
(b) the Regulator cancels the suspension;
(c) the end of 56 days after the day the notice is given to the
holder.
(3) This section applies despite
sections 472 and
473.
475—Minor amendment of heavy vehicle
accreditation
The Regulator may, by notice given to the holder of a heavy vehicle
accreditation granted under this Law, amend the accreditation in a minor
respect—
(a) for a formal or clerical reason; or
(b) in another way that does not adversely affect the holder’s
interests.
Part 5—Other provisions about heavy vehicle
accreditations
476—Return of accreditation
certificate
(1) If a person’s heavy vehicle accreditation granted under this Law
is amended, suspended or cancelled, the Regulator may, by notice, require the
person to return the person’s accreditation certificate to the
Regulator.
(2) The person must comply with the notice within 7 days after the
notice is given to the person or, if a longer period is stated in the notice,
within the longer period.
Maximum penalty: $6 000.
(3) If the heavy vehicle accreditation has been amended, the Regulator
must give the person a replacement accreditation certificate for the
accreditation as amended.
(4) If the heavy vehicle accreditation has been suspended, the Regulator
must give the person the accreditation certificate for the accreditation or, if
the accreditation has also been amended, a replacement accreditation certificate
for the accreditation as amended, as soon as practicable after the suspension
ends.
477—Replacement of defaced etc accreditation
certificate
(1) If a person’s accreditation certificate for a heavy vehicle
accreditation granted under this Law is defaced, destroyed, lost or stolen, the
person must, as soon as reasonably practicable after becoming aware of the
matter, apply to the Regulator for a replacement accreditation
certificate.
Maximum penalty: $4 000.
Note—
See
section 470
for the requirement to keep an accreditation certificate for a heavy vehicle
accreditation while the accreditation is current.
(2) If the Regulator is satisfied the accreditation certificate has been
defaced, destroyed, lost or stolen, the Regulator must give the person a
replacement accreditation certificate as soon as practicable.
(3) If the Regulator decides not to give the person a replacement
accreditation certificate, the Regulator must give the person an information
notice for the decision.
478—Offences relating to
auditors
(1) A person must not falsely represent that the person is an approved
auditor.
Maximum penalty: $10 000.
(2) An approved auditor must not falsely represent that the person is an
auditor of a particular approved class.
Maximum penalty: $10 000.
(3) An approved auditor must not falsely represent that the person has
audited an operator’s relevant management system.
Maximum penalty: $10 000.
(4) A person must not falsely represent the opinion of an approved auditor
in relation to an operator’s relevant management system.
Maximum penalty: $10 000.
(5) In this section—
approved class means a class of auditors approved by the
responsible Ministers under
section 654.
Part 1—General matters about authorised
officers
Division 1—Functions
479—Functions of authorised
officers
An authorised officer has the following functions under this Law:
(a) to monitor, investigate and enforce compliance with this
Law;
(b) to monitor or investigate whether an occasion has arisen for the
exercise of powers under this Law;
(c) to facilitate the exercise of powers under this Law.
Division 2—Appointment
480—Application of
Division 2
This Division does not apply to an authorised officer who is a police
officer.
481—Appointment and
qualifications
(1) The Regulator may, by instrument, appoint any of the following
individuals as an authorised officer for the purposes of this Law:
(a) an individual who is—
(i) a member of the staff of the Regulator; or
(ii) a person whose services are being used under an arrangement under
section 685; or
(iii) a consultant or contractor engaged by the Regulator under
section 686;
(b) an employee of the State;
(c) an employee of a local government authority;
(d) an individual of a class prescribed by the national
regulations.
(2) However, the Regulator may appoint a person as an authorised officer
only if the Regulator is satisfied the person is qualified for appointment
because the person has the necessary expertise or experience.
482—Appointment conditions and limit on
powers
(1) An authorised officer holds office on any conditions stated
in—
(a) the officer’s instrument of appointment; or
(b) a notice signed by the Regulator given to the officer; or
(c) the national regulations.
(2) The instrument of appointment, a signed notice given to the authorised
officer, or the national regulations may limit the officer’s
powers.
483—When office ends
(1) The office of a
person as an authorised officer ends if any of the following happens:
(a) the term of office stated in a condition of office ends;
(b) under another condition of office, the office ends;
(c) the officer’s resignation under
section 484 takes
effect.
(2)
Subsection (1) does not
limit the ways an authorised officer may cease to hold office.
(3) In this section—
condition of office means a condition under which the
authorised officer holds office.
484—Resignation
(1) An authorised officer may resign by signed notice given to the
Regulator.
(2) However, if holding office as an authorised officer is a condition of
the officer holding another office, the officer may not resign as an authorised
officer without resigning from the other office.
Division 3—Identity cards
485—Application of
Division 3
This Division does not apply to an authorised officer who is a police
officer.
486—Issue of identity card
(1) The Regulator must issue an identity card to each authorised
officer.
(2) The identity card must—
(a) contain a recent photo of the authorised officer; and
(b) contain a copy of the authorised officer’s signature;
and
(c) identify the person as an authorised officer for the purposes of this
Law; and
(d) state the identification number allocated to the authorised officer;
and
(e) state an expiry date for the card.
(3) This section does not prevent the issue of a single identity card to a
person for the purposes of this Law and other purposes.
487—Production or display of identity
card
(1) In exercising a
power in relation to a person in the person’s presence, an authorised
officer must—
(a) produce the officer’s identity card for the person’s
inspection before exercising the power; or
(b) have the identity card displayed so it is clearly visible to the
person when exercising the power.
(2) However, if it is not practicable to comply with
subsection (1), the
authorised officer must produce the identity card for the person’s
inspection at the first reasonable opportunity.
(3) For the purposes of
subsection (1), an
authorised officer does not exercise a power in relation to a person only
because the officer has entered a place as mentioned in
section 495(1)(b) or
497(1)(b) or
(d).
Note—
Sections 505 and 510 include provisions requiring the production of
identification by an authorised officer in circumstances mentioned in those
sections.
488—Return of identity card
If the office of a person as an authorised officer ends, the person must
return the person’s identity card to the Regulator within 21 days
after the office ends unless the person has a reasonable excuse.
Maximum penalty: $3 000.
Division 4—Miscellaneous
provisions
489—References to exercise of
powers
If—
(a) a provision of this Chapter refers to the exercise of a power by an
authorised officer; and
(b) there is no reference to a specific power,
the reference is to the exercise of all or any authorised officers’
powers under this Chapter or a warrant, to the extent the powers are
relevant.
490—Reference to document includes reference to
reproduction from electronic document
A reference in this Chapter to a document includes a reference to an image
or writing—
(a) produced from an electronic document; or
(b) not yet produced, but reasonably capable of being produced from an
electronic document, with or without the aid of another article or
device.
491—Use of force against
persons
(1) This Chapter does not authorise—
(a) an authorised
officer (or a person assisting or otherwise acting under the direction or
authority of an authorised officer) to use force against a person in the
exercise or purported exercise of a function under this Chapter; or
(b) without limiting
paragraph (a), a
warrant to be issued under this Chapter authorising a person to use force
against a person.
(2) However, subsection (1) does not affect the powers of a police officer
to the extent (if any) the police officer is authorised to use force against a
person under the Application Act of this jurisdiction.
(3) This section has effect despite any other provision of this Chapter in
relation to the use of force against a person, even if the other provision is
expressed as authorising the use of force for the purposes of the
provision.
492—Use of force against
property
(1) A power to use
force against property under another section of this Chapter in the exercise or
purported exercise of a function in relation to this jurisdiction cannot be
exercised by an authorised officer (or a person assisting or otherwise acting
under the direction or authority of the authorised officer)
unless—
(a) the authorised officer is a police officer; or
(b) exercise of the power to use force is authorised under the Application
Act of this jurisdiction.
(2)
Subsection
(1)—
(a) has effect despite any other section of this Chapter in relation to
the use of force against property, even if the other section is expressed as
authorising the use of force for the purposes of the section; but
(b) does not affect any prohibition or restriction on a power to use force
set out in the other section.
(3)
Subsections (1) and
(2) apply to a power to
use force against property whether the power is express or implied.
(4) Despite
subsections (1) to
(3) and any other section
of this Chapter, this Chapter does not preclude the inclusion of additional
circumstances in the Application Act of this jurisdiction in which an authorised
officer, whether or not a police officer, may use force against property in the
exercise or purported exercise of a function under this Chapter in relation to
this jurisdiction.
493—Exercise of functions in relation to light
vehicles
(1) This Chapter does not authorise the exercise of any function under
this Chapter in relation to a vehicle that is not a heavy vehicle.
(2) However, a function under this Chapter may be exercised in relation
to—
(a) a pilot vehicle or escort vehicle; or
(b) a vehicle to the extent (if any) that it is reasonably necessary for
the purpose of determining if the vehicle is or is not a heavy
vehicle.
Part 2—Powers in relation to
places
Division 1—Preliminary
494—Definitions for
Chapter 9
Part 2
(1) In this Part—
place of business, of a responsible person for a heavy
vehicle, means a place—
(a) at or from which the person carries on a business; or
(b) occupied by the person in connection with a business carried on by the
person; or
(c) that is the registered office of the person if the person is a body
corporate;
relevant place—
(i) a place of business of a responsible person for a heavy vehicle;
or
(ii) the relevant garage address of a heavy vehicle; or
(iii) the base of the driver or drivers of a heavy vehicle; or
(iv) a place where records required to be kept under this Law or a heavy
vehicle accreditation are located or are required to be located under this Law
or a heavy vehicle accreditation; but
(b) does not include a place or part of a place mentioned in
paragraph (a) used
predominantly for residential purposes.
(2) For the purposes of this Part, a place or part of a place is taken not
to be used for residential purposes merely because temporary or casual sleeping
or other accommodation is provided there for drivers of heavy
vehicles.
Division 2—Entry of relevant places for
monitoring purposes
495—Power to enter relevant
place
(1) An authorised
officer may, for monitoring purposes, enter a relevant place if—
(a) an occupier of the
place consents under
Division 4 to the entry
and
section 503 has
been complied with for the occupier; or
(i) open for carrying on a business; or
(ii) otherwise open for entry; or
(iii) required to be open for inspection under this Law.
(2) If the power to enter arose only because an occupier of the place
consented to the entry, the power is subject to any conditions of the consent
and ceases if the consent is withdrawn.
(3)
Subsection (1)(b) does
not authorise an authorised officer, without the occupier’s consent or a
warrant, to enter a relevant place that is unattended, unless the officer
reasonably believes the place is attended.
(4) If an authorised officer enters a place reasonably believing the place
is attended, the officer must leave the place immediately after finding the
place is or appears to be unattended.
(5) An authorised officer may open unlocked doors and other unlocked
panels and things at a place for gaining entry to the place under
subsection (1).
(6) This section does not authorise an authorised officer to use force for
exercising a power under this section.
496—General powers after entering relevant
place
(1) If an authorised
officer enters a relevant place under this Division, the officer may, for
monitoring purposes, do any of the following (each a general
power):
(a) inspect any part of the place or a vehicle at the place;
(b) inspect a relevant document at the place;
(c) copy, or take an
extract from, a relevant document at the place;
(d) produce an image or writing at the place from an electronic relevant
document at the place or, if it is not practicable to produce the image or
writing at the place, take a thing containing the electronic relevant document
to another place to produce the image or writing;
(e) look for, and inspect, a relevant device at the place;
(f) take an extract
from a relevant device at the place, including, for example—
(i) by taking a copy of, or an extract from, a readout or other data
obtained from the device; or
(ii) by accessing and downloading information from the device;
(g) exercise a power in relation to a heavy vehicle at the place that the
authorised officer may exercise under
section 520;
(h) take to, into or onto the place and use any persons, equipment,
materials, vehicles or other things the officer reasonably requires for
exercising the officer’s powers under this section.
(2) The authorised officer may take a necessary step to allow the exercise
of a general power, including, for example—
(a) open an unlocked door or an unlocked panel or thing at the place;
and
(b) move but not take away anything that is not locked up or
sealed.
(3) For exercising a power under
subsection (1)(c) or
(f), the authorised
officer may use photocopying equipment at the place free of charge.
Note—
See also
sections 543
and
544 for use of
particular equipment at a place, or in a vehicle, entered under this
Chapter.
(4) If the authorised officer takes from the place a thing containing an
electronic relevant document to produce an image or writing from the document,
the image or writing must be produced, and the thing must be returned to the
place, as soon as practicable.
(5) However, if the authorised officer entered the place under
section 495(1)(a),
the officer’s powers under this section are subject to the conditions of
the consent.
(6) This section does not authorise an authorised officer to use force for
exercising a power under this section.
(7) In this section—
electronic relevant document means a relevant document that
is an electronic document;
relevant device means a device relating to a heavy vehicle
and required to be installed, used or maintained under this Law or a heavy
vehicle accreditation;
Example of a device that may be a relevant device—
a weighing, measuring, recording or monitoring device
relevant document means a document relating to a heavy
vehicle and required to be kept under this Law or a heavy vehicle
accreditation.
Division 3—Entry of places for investigation
purposes
497—General power to enter
places
(1) An authorised
officer may, for investigation purposes, enter a place if—
(a) an occupier of the
place consents under
Division 4 to the entry
and
section 503 has
been complied with for the occupier; or
(b) it is a public
place and the entry is made when it is open to the public; or
(c) the entry is
authorised under a warrant and, if there is an occupier at the place,
section 510 has been
complied with for the occupier; or
(d) it is a relevant
place and is—
(i) open for carrying on a business; or
(ii) otherwise open for entry; or
(iii) required to be open for inspection under this Law; or
(e) the entry is
authorised under
section 498 or
499.
(2) The authorised
officer may exercise powers under this section at the place even if entry to the
place was originally effected under
Division 2 for monitoring
purposes.
(3) If the power to enter arose only because an occupier of the place
consented to the entry, the power is subject to any conditions of the consent
and ceases if the consent is withdrawn.
(4) If the power to enter is under a warrant—
(a) the authorised officer may use force that is reasonably necessary for
gaining entry to the place; and
(b) the power to enter is subject to the terms of the warrant.
(5)
Subsection (1)(d) does
not authorise an authorised officer, without the occupier’s consent or a
warrant, to enter—
(a) a place that is unattended, unless the officer reasonably believes the
place is attended; or
(b) a place, or part of a place, used predominantly for residential
purposes.
(6) If an authorised officer enters a place reasonably believing the place
is attended, the officer must leave the place immediately after finding the
place is or appears to be unattended.
(7) An authorised officer may open unlocked doors and other unlocked
panels and things at a place for gaining entry to the place under
subsection (1).
(8) This section does not authorise an authorised officer to use force for
exercising a power under this section unless the power is exercised under a
warrant.
498—Power to enter a place if evidence suspected to
be at the place
(1) This section
applies if an authorised officer reasonably believes that—
(a) either—
(i) a heavy vehicle is or has been at a place; or
(ii) transport documentation or journey documentation is at a place;
and
(b) there may be at the
place evidence of an offence against this Law that may be concealed or destroyed
unless the place is immediately entered and searched.
(2) The authorised
officer may enter the place if it is—
(a) open for carrying on a business; or
(b) otherwise open for entry; or
(c) required to be open
for inspection under this Law.
(3)
Subsection (2) does
not authorise an authorised officer to enter—
(a) a place that is unattended, unless the officer reasonably believes the
place is attended; or
(b) a place, or part of a place, used predominantly for residential
purposes.
(4) If an authorised officer enters a place reasonably believing the place
is attended, the officer must leave the place immediately after finding the
place is or appears to be unattended.
(5) An authorised officer may open unlocked doors and other unlocked
panels and things at a place for gaining entry to the place under
subsection (2).
(6) An authorised
officer may use force that is reasonably necessary for gaining entry to a place
mentioned in
subsection (2)(c).
(7) This section does not authorise an authorised officer to use force for
exercising a power under this section other than as provided by
subsection (6).
499—Power to enter particular places if incident
involving death, injury or damage
(1) An authorised
officer, without an occupier’s consent or a warrant, may enter a place at
any time if the officer reasonably believes—
(a) an incident involving the death of, or injury to, a person or damage
to property involves or may have involved a heavy vehicle; and
(b) the incident may
have involved an offence against this Law; and
(c) there is a connection between the place and the heavy vehicle;
and
(d) there may be at the
place evidence of the offence mentioned in
paragraph (b) that
may be concealed or destroyed unless the place is immediately entered and
searched.
(2) For the purposes of
subsection (1),
there is a connection between a place and a heavy vehicle if—
(a) the place is the vehicle’s garage address or, if the vehicle is
a combination, the garage address of a heavy vehicle in the combination;
or
(b) the vehicle is, or within the past 72 hours has been, located at the
place; or
(c) the place is, or may be, otherwise directly or indirectly connected
with the vehicle or any part of its equipment or load.
(3) This section does not authorise an authorised officer to enter a place
in relation to an incident that involves the death, or injury to, a person
unless the authorised officer is a police officer.
(4) This section does not authorise an authorised officer, without the
occupier’s consent or a warrant, to enter—
(a) a place that is unattended, unless the officer reasonably believes the
place is attended; or
(b) a place, or part of a place, used predominantly for residential
purposes.
(5) If an authorised officer enters a place without the occupier’s
consent or a warrant, reasonably believing the place is attended, the officer
must leave the place immediately after finding the place is or appears to be
unattended.
(6) An authorised officer may open unlocked doors and other unlocked
panels and things at a place for gaining entry to the place under
subsection (1).
(7) This section does not authorise an authorised officer to use force for
exercising a power under this section.
500—General powers after entering a
place
(1) If an authorised
officer enters a place under
section 497(1), the
officer may, for investigation purposes, do any of the following (each a
general power):
(a) search any part of the place or a vehicle at the place,
including—
(i) searching any part of the place or a vehicle at the place for evidence
of an offence against this Law; and
(ii) searching any part of the place or a vehicle at the place for a
document, device or other thing relating to a heavy vehicle or any part of its
equipment or load;
(b) inspect, examine or film any part of the place or anything at the
place;
(c) take a thing, or a
sample of or from a thing, at the place for examination;
(d) place an identifying mark in or on anything at the place;
(e) take an extract
from a document, device or other thing at the place, including, for
example—
(i) by taking a copy of, or an extract from, a readout or other data
obtained from a device or other thing at the place; or
(ii) by accessing and downloading information from a device or other thing
at the place;
Example of device or other thing—
an intelligent transport system
(f) copy a document at
the place, or take a document at the place to another place to copy
it;
Examples of documents for the purposes of
paragraphs (e) and
(f)—
• a document required to be kept at the place under this Law or a
heavy vehicle accreditation
• transport documentation
• journey documentation
• a document the authorised officer reasonably believes provides, or
may provide on further inspection, evidence of an offence against this
Law
(g) produce an image or writing at the place from an electronic document
at the place or, if it is not practicable to produce the image or writing at the
place, take a thing containing the electronic document to another place to
produce the image or writing;
(h) exercise a power in relation to a heavy vehicle at the place that the
authorised officer may exercise under
Chapter 9
Part 3;
(i) take to, into or onto the place and use any persons, equipment,
materials, vehicles or other things the officer reasonably requires for
exercising the officer’s powers under this section.
Note—
The term public place is defined in section 5 as a place or
part of a place—
(a) that the public is entitled to use, is open to members of the public
or is used by the public, whether or not on payment of money; or
(b) the occupier of which allows members of the public to enter, whether
or not on payment of money.
Accordingly, the term "public place" does not include an office area or an
area behind a reception counter, unless the public have access to the area as
provided in the definition.
(2) The authorised officer may take a necessary step to allow the exercise
of a general power, including, for example—
(a) open an unlocked door or an unlocked panel or thing at the place;
and
(b) move anything that is not locked up or sealed; and
(c) if the authorised officer entered the place under
section 497(1)(c),
use the force that is reasonably necessary for the exercise of the
power.
(3) If an authorised
officer takes, or authorises another person to take, a thing or sample for
examination under
subsection (1)(c),
the officer must—
(a) give a receipt for
the thing or sample to—
(i) the person in possession of the thing or sample or the thing from
which the sample was taken; or
(ii) the person in charge of the place from which the thing or sample was
taken; and
(b) at the end of 6 months after the thing or sample was taken, return it
to the person who appears to be an owner of it, a person to whom a receipt was
given under
paragraph (a) for
it, or a person in charge of the place from which it was taken, unless the thing
or sample—
(i) has been seized under
section 549; or
(ii) does not have any intrinsic value.
Note—
See
section 561
for what happens if a thing or sample cannot be returned to its owner or the
owner cannot be found.
(4) However, if for any reason it is not practicable to comply with
subsection (3)(a),
the authorised officer must leave the receipt at the place in a conspicuous
position and in a reasonably secure way.
(5) For exercising a power under
subsection (1)(f),
the authorised officer may use photocopying equipment at the place free of
charge.
Note—
See also
sections 543
and
544 for use of
particular equipment at a place, or in a vehicle, entered under this
Chapter.
(6) If the authorised officer takes a document from the place to copy it,
the document must be copied and returned to the place as soon as
practicable.
(7) If the authorised officer takes from the place a thing containing an
electronic document to produce an image or writing from the document, the image
or writing must be produced, and the thing must be returned to the place, as
soon as practicable.
(8) However—
(a) if the authorised officer entered the place under
section 497(1)(a),
the officer’s powers under this section are subject to the conditions of
the consent; and
(b) if the authorised officer entered the place under
section 497(1)(c),
the officer’s powers under this section are subject to the terms of the
warrant.
(9) Without limiting
section 497(2), the
authorised officer may exercise powers under this section at the place even if
entry to the place was originally effected under Division 2 for monitoring
purposes.
(10) The power to search under this section does not include a power to
search a person.
Division 4—Procedure for entry by
consent
501—Application of
Division 4
This Division applies if an authorised officer intends to ask an occupier
of a place for consent to the officer or another authorised officer entering the
place under
section 495(1)(a) or
497(1)(a).
502—Incidental entry to ask for
access
(1) For the purpose of
asking the occupier for the consent, the authorised officer may, without the
occupier’s consent or a warrant—
(a) enter land around a building or other structure at the place to an
extent that is reasonable to contact the occupier; or
(b) enter part of the place the officer reasonably believes members of the
public ordinarily are allowed to enter when they wish to contact the
occupier.
(2) The authorised officer must not enter land or a part of a place under
subsection (1) if
the officer knows or ought reasonably to know the place is unattended.
(3) If the authorised officer enters land or a part of a place under
subsection (1), the
officer must leave it immediately after finding the place is or appears to be
unattended.
503—Matters authorised officer must tell
occupier
Before asking for the consent, the authorised officer must give a
reasonable explanation to the occupier about the following:
(a) the purpose of the entry;
(b) that the occupier is not required to consent;
(c) that the consent may be given subject to conditions and may be
withdrawn at any time;
(d) any other powers intended to be exercised to achieve the purpose of
the entry.
504—Consent acknowledgement
(1) If the consent is given, the authorised officer may ask the occupier
to sign an acknowledgement of the consent.
(2) The acknowledgement
must state—
(a) the purpose of the entry, including the powers intended to be
exercised to achieve the purpose of the entry; and
(b) that the following has been explained to the occupier:
(i) the purpose of the entry, including the powers intended to be
exercised to achieve the purpose of the entry;
(ii) that the occupier is not required to consent; and
(c) that the occupier gives the authorised officer consent to enter the
place and exercise the powers; and
(d) the time and day the consent was given; and
(e) any conditions of the consent.
(3) If the occupier signs the acknowledgement, the authorised officer must
immediately give a copy to the occupier.
(4) However, if it is impractical for the authorised officer to give the
occupier a copy of the acknowledgement immediately, the officer must give the
copy as soon as practicable.
(5) If the acknowledgment states some but not all the powers exercised or
intended to be exercised to achieve the purpose of the entry—
(a) the acknowledgment is not necessarily invalid merely because of the
omission; but
(b) if an issue arises in a proceeding about the validity of the
acknowledgment—the court has a discretion to decide if the acknowledgment
is invalid on the ground that the exercise of the power was of such significance
in the particular circumstances as to have warranted its inclusion in the
acknowledgment.
(6) If—
(a) an issue arises in a proceeding about whether the occupier consented
to the entry; and
(b) an acknowledgement complying with
subsection (2) for
the entry is not produced in evidence,
the onus of proof is on the person relying on the lawfulness of the entry
to prove the occupier consented.
505—Procedure for entry with
consent
(1) This section applies if an authorised officer is intending to ask the
occupier for consent to enter a place under this Division (otherwise than under
section 502).
(2) Before asking for
consent, the authorised officer must identify himself or herself to a person who
is an occupier of the place and is present by producing—
(a) for an authorised
officer who is a police officer—an identity card or other document
evidencing the officer’s appointment as a police officer; or
(b) for an authorised officer who is not a police officer—the
identity card issued to the officer under this Law or another document
evidencing the officer’s appointment as an authorised officer.
(3)
Subsection (2)(a) does
not apply to a police officer in uniform.
Division 5—Entry under
warrant
506—Application for warrant
(1) An authorised officer may apply to an authorised warrant official for
a warrant for a place.
(2) The authorised
officer must prepare a written application stating the grounds on which the
warrant is sought.
(3) The written
application must be sworn.
(4) The authorised warrant official may refuse to consider the application
until the authorised officer gives the official all the information the official
requires about the application in the way the official requires.
Example—
The authorised warrant official may require additional information
supporting the written application to be given by statutory
declaration.
507—Issue of warrant
(1) The authorised warrant official may issue the warrant for the place
only if the official is satisfied there are reasonable grounds for suspecting
there is at the place, or will be at the place within the next 72 hours, a
particular thing or activity that may provide evidence of an offence against
this Law.
(2) The warrant must
state the following:
(a) the place to which the warrant applies;
(b) that a stated authorised officer or any authorised officer may, with
necessary and reasonable help and force—
(i) enter the place and any other place necessary for entry to the place;
and
(ii) exercise the authorised officer’s powers;
(c) particulars of the offence that the authorised warrant official
considers appropriate in the circumstances;
(d) the name of the person suspected of having committed the offence
unless the name is unknown or the authorised warrant official considers it
inappropriate to state the name;
(e) the evidence that may be seized under the warrant;
(f) the hours of the day or night when the place may be entered;
(g) the authorised warrant official’s name;
(h) the date and time of the warrant’s issue;
(i) the day, within 14 days after the warrant’s issue, the warrant
ends.
508—Application by electronic communication and
duplicate warrant
(1) An application
under
section 506 may
be made by radio, telephone, fax, email, video conferencing or another form of
electronic communication if the authorised officer reasonably believes it
necessary because of—
(a) urgent circumstances; or
(b) other special circumstances, including, for example, the
officer’s remote location.
(2) The application—
(a) may not be made before the authorised officer prepares the written
application under
section 506(2);
but
(b) may be made before the written application is sworn.
(3) The authorised warrant official may issue the warrant (the
original warrant) only if the official is
satisfied—
(a) it was necessary to make the application under
subsection (1);
and
(b) the way the application was made under
subsection (1)
was appropriate.
(4) After the
authorised warrant official issues the original warrant—
(a) if there is a
reasonably practicable way of immediately giving a copy of the warrant to the
authorised officer, for example, by sending a copy by fax or email, the official
must immediately give a copy of the warrant to the officer; or
(i) the official must tell the authorised officer the information
mentioned in
section 507(2);
and
(ii) the authorised officer must complete a form of warrant, including by
writing on it the information mentioned in
section 507(2)
provided by the official.
(5) The copy of the
warrant mentioned in
subsection (4)(a),
or the form of warrant completed under
subsection (4)(b)
(in either case the duplicate warrant), is a duplicate of, and as
effectual as, the original warrant.
(6) The authorised
officer must, at the first reasonable opportunity, send to the authorised
warrant official—
(a) the written application complying with
section 506(2)
and
(3); and
(b) if the officer completed a form of warrant under
subsection (4)(b)—the
completed form of warrant.
(7) The authorised warrant official must keep the original warrant and, on
receiving the documents under
subsection (6)—
(a) attach the documents to the original warrant; and
(b) file the original warrant and documents in the relevant
court.
(8) Despite
subsection (5),
if—
(a) an issue arises in a proceeding about whether an exercise of a power
was authorised by a warrant issued under this section; and
(b) the original warrant is not produced in evidence,
the onus of proof is on the person relying on the lawfulness of the
exercise of the power to prove a warrant authorised the exercise of the
power.
(9) This section does not limit
section 506.
509—Defect in relation to a
warrant
(1) A warrant is not invalidated by a defect in—
(a) the warrant; or
(b) compliance with this Division,
unless the defect affects the substance of the warrant in a material
particular.
(2) In this section—
warrant includes a duplicate warrant mentioned in
section 508(5).
510—Procedure for entry under
warrant
(1) This section applies if an authorised officer is intending to enter a
place under a warrant issued under this Division.
(2) Before entering the
place, the authorised officer must do or make a reasonable attempt to do the
following things:
(a) identify himself or
herself to a person who is an occupier of the place and is present by
producing—
(i) for an authorised
officer who is a police officer—an identity card or other document
evidencing the officer’s appointment as a police officer; or
(ii) for an authorised officer who is not a police officer—the
identity card issued to the officer under this Law or another document
evidencing the officer’s appointment as an authorised officer;
(b) give the person a copy of the warrant;
(c) tell the person the officer is permitted by the warrant to enter the
place;
(d) give the person an opportunity to allow the officer immediate entry to
the place without using force.
(3) However, the authorised officer need not comply with
subsection (2) if
the officer reasonably believes that entry to the place is required to ensure
the execution of the warrant is not frustrated.
(4)
Subsection (2)(a)(i)
does not apply to a police officer in uniform.
(5) In this section—
warrant includes a duplicate warrant mentioned in
section 508(5).
Part 3—Powers in relation to heavy
vehicles
Division 1—Preliminary
511—Application of
Chapter 9
Part 3
Unless otherwise stated in this Part, this Part applies to a heavy
vehicle—
(a) on a road; or
(b) in or at a public place; or
(c) in or at a place owned or occupied by a road authority or by another
public authority; or
(d) in or at a place entered by an authorised officer under
Chapter 9
Part 2.
512—Persons who are drivers for this
Part
In this Part, a reference to the driver of a heavy vehicle
includes a reference to a person in, on or in the vicinity of the vehicle whom
an authorised officer present at the scene reasonably believes is the
vehicle’s driver.
Division 2—Stopping, not moving or not
interfering with heavy vehicle etc
513—Direction to stop heavy vehicle to enable
exercise of other powers
(1) To enable an
authorised officer to exercise a power under this Law, the officer may direct
the driver of a heavy vehicle to stop the vehicle.
Example—
An authorised officer may direct the driver of a heavy vehicle to stop the
vehicle so that the authorised officer can enter and inspect it under section
520 or enter and search it under
section 521.
(2) The direction may be given orally or in any other way, including, for
example, by way of a sign or electronic or other signal.
(3) The direction may require the heavy vehicle to be—
(a) stopped immediately; or
(b) stopped at a place indicated by the authorised officer as the nearest
place for it to be safely stopped.
(4) A person given a direction under
subsection (1) must
comply with the direction, unless the person has a reasonable excuse.
Maximum penalty: $6 000.
(5) When the heavy
vehicle stops, the authorised officer must as soon as practicable produce for
the inspection of the vehicle’s driver—
(a) for an authorised
officer who is a police officer—an identity card or other document
evidencing the officer’s appointment as a police officer; or
(b) for an authorised officer who is not a police officer—the
identity card issued to the officer under this Law or another document
evidencing the officer’s appointment as an authorised officer.
(6)
Subsection (5)(a) does
not apply to a police officer in uniform.
(7) In this section—
stop a heavy vehicle means to stop the vehicle and keep it
stationary.
514—Direction not to move or interfere with heavy
vehicle etc to enable exercise of other powers
(1) To enable an
authorised officer to exercise a power under this Law, the officer may direct
the driver of a heavy vehicle or any other person not to—
(a) move the vehicle; or
(b) interfere with the vehicle or any equipment in it; or
(c) interfere with the vehicle’s load.
(2) The direction may be given orally or in any other way, including, for
example, by way of a sign or electronic or other signal.
(3) A person given a direction under
subsection (1) must
comply with the direction, unless the person has a reasonable excuse.
Maximum penalty: $6 000.
Division 3—Moving heavy
vehicle
515—Definition for
Division 3
In this Division—
unattended, for a heavy vehicle, means—
(a) there is no-one in or near the vehicle who appears to be its driver;
or
(b) there is a person in or near the vehicle who appears to be its driver
but the person is—
(i) unwilling, or not qualified or fit, to drive the vehicle; or
(ii) not authorised by the operator of the vehicle to drive it;
or
(iii) subject to a direction under
section 524.
516—Direction to move heavy vehicle to enable
exercise of other powers
(1) To enable an
authorised officer to exercise a power under this Law, the officer may direct
the driver or operator of a heavy vehicle that is stationary or has been stopped
under
section 513 to
move the vehicle, or cause it to be moved, to a stated reasonable place within a
30km radius from—
(a) where the vehicle was stationary or stopped; or
(b) if the direction is given within the course of the vehicle’s
journey—any point along the forward route of the journey.
Example—
An authorised officer may direct the driver of a heavy vehicle to move the
vehicle onto a weighing or testing device.
(2) The direction may be made orally or in any other way, including, for
example—
(a) for a direction given to the driver of a heavy vehicle—by way of
a sign or electronic or other signal; or
(b) for a direction given to the operator of a heavy vehicle—by
radio, telephone, fax or email.
(3) A person given a
direction under
subsection (1) must
comply with the direction, unless the person has a reasonable excuse.
Maximum penalty: $6 000.
(4) Without limiting what may be a reasonable excuse for the purposes of
subsection (3), in a
proceeding for an offence against the subsection, it is a defence for the person
charged to prove that—
(a) it was not possible to move the heavy vehicle because it was broken
down; and
(b) the breakdown happened for a physical reason beyond the person’s
control; and
(c) the breakdown could not be readily rectified in a way that would
enable the direction to be complied with within a reasonable time.
517—Direction to move heavy vehicle if causing harm
etc
(1) This section
applies if an authorised officer reasonably believes a stationary heavy vehicle
is—
(a) causing, or creating a risk of, serious harm to public safety, the
environment or road infrastructure; or
(b) obstructing traffic or likely to obstruct traffic.
(2) The authorised
officer may direct the driver or operator of the heavy vehicle to do either or
both of the following:
(a) move the vehicle, or cause it to be moved, to the extent necessary to
avoid the harm or obstruction;
(b) do, or cause to be done, anything else the officer reasonably requires
to avoid the harm or obstruction.
(3) The direction may be made orally or in any other way, including, for
example—
(a) for a direction given to the driver of a heavy vehicle—by way of
a sign or electronic or other signal; or
(b) for a direction given to the operator of a heavy vehicle—by
radio, telephone, fax or email.
(4) A person given a
direction under
subsection (2) must
comply with the direction, unless the person has a reasonable excuse.
Maximum penalty: $6 000.
(5) Without limiting what may be a reasonable excuse for the purposes of
subsection (4), in a
proceeding for an offence against the subsection, it is a defence for the person
charged to prove that—
(a) it was not possible to move the heavy vehicle because it was broken
down; and
(b) the breakdown happened for a physical reason beyond the person’s
control; and
(c) the breakdown could not be readily rectified in a way that would
enable the direction to be complied with within a reasonable time.
518—Moving unattended heavy vehicle on road to
exercise another power
(1) This section applies if an authorised officer—
(a) reasonably believes a heavy vehicle on a road is unattended;
and
(b) intends to exercise a power under this Law in relation to the heavy
vehicle; and
(c) reasonably believes it is necessary to move the heavy vehicle to
enable the exercise of the power.
(2) To the extent
reasonably necessary to enable the exercise of the power, the authorised
officer—
(a) may move the heavy vehicle; or
(b) authorise someone else (the assistant) to move the heavy
vehicle.
Example—
by driving, pushing or towing the heavy vehicle
(3) The authorised officer or assistant may enter the heavy vehicle to
enable the authorised officer or assistant to move it.
(4) Despite
subsection (2), the
authorised officer—
(a) may only drive the heavy vehicle if the officer is qualified and fit
to drive it; and
(b) may only authorise the assistant to drive the heavy vehicle if the
assistant is qualified and fit to drive it.
(5) It is immaterial that—
(a) the assistant is not the operator of the heavy vehicle; or
(b) the authorised officer or assistant is not authorised by the operator
to drive the heavy vehicle.
(6) The authorised
officer or assistant may—
(a) open unlocked doors and other unlocked panels and things in the heavy
vehicle; and
(b) use the force that
is reasonably necessary to—
(i) gain access to the heavy vehicle, its engine or other mechanical
components to enable it to be moved; or
(ii) enable the heavy vehicle to be towed.
(7) The authorised officer must ensure that, so far as is reasonably
practicable, the driver or operator is notified that the vehicle has been moved
and the place to which it has been moved.
(8) The notification may be given orally or in any other way, including,
for example, by radio, telephone, fax or email.
519—Moving unattended heavy vehicle on road if
causing harm etc
(1) This section applies if an authorised officer reasonably
believes—
(a) a heavy vehicle on a road is unattended; and
(b) the heavy vehicle is—
(i) causing, or creating an imminent risk of, serious harm to public
safety, the environment or road infrastructure; or
(ii) obstructing traffic or likely to obstruct traffic.
(2) The authorised officer may move or authorise someone else (the
assistant) to move the heavy vehicle or, if it is a combination,
any component vehicle of the combination, to the extent it is reasonably
necessary to avoid the harm or obstruction.
Example—
by driving, pushing or towing the vehicle
(3) The authorised officer or assistant may—
(a) enter the heavy vehicle to enable the authorised officer or assistant
to move it; and
(b) for a combination—separate any or all of the component vehicles
of the combination for the purpose of moving 1 or more of them.
(4) The authorised
officer or assistant may drive the heavy vehicle even if the officer or
assistant is not qualified to drive it if the authorised officer reasonably
believes there is no-one else in or near the vehicle who is more capable of
driving it and fit and willing to drive it.
(5) It is immaterial that—
(a) the assistant is not the operator of the heavy vehicle; or
(b) the authorised officer or assistant is not authorised by the operator
to drive the heavy vehicle.
(6) In driving the heavy vehicle under
subsection (4), the
authorised officer or assistant is exempt from a provision of an Australian road
law to the extent the provision would require the authorised officer or
assistant to be qualified to drive the vehicle.
(7) The authorised
officer or assistant may use the force that is reasonably necessary to do
anything that is reasonably necessary to avoid the harm or
obstruction.
Division 4—Inspecting and searching heavy
vehicles
520—Power to enter and inspect heavy vehicles for
monitoring purposes
(1) An authorised
officer may enter and inspect a heavy vehicle for monitoring purposes.
(2) Without limiting
subsection (1), the
authorised officer may—
(a) inspect, examine or
film any part of the heavy vehicle or any part of its equipment or load;
and
(b) without limiting
paragraph (a), look
for, check the details of, or film a number plate, label or other thing required
to be displayed on the heavy vehicle under this Law; and
(c) inspect a relevant document in the heavy vehicle; and
(d) copy, or take an extract from, a relevant document in the heavy
vehicle; and
(e) produce an image or writing in or near the vehicle from an electronic
relevant document in the vehicle or, if it is not practicable to produce the
image or writing in or near the vehicle, take a thing containing the electronic
relevant document somewhere else to produce the image or writing; and
(f) take an extract of relevant information from a device or other thing
found in the heavy vehicle, including, for example—
(i) by taking a copy of, or an extract from, a readout or other data
obtained from the device or other thing; or
(ii) by accessing and downloading relevant information from the device or
other thing.
Example of device or other thing—
an intelligent transport system
(3) The authorised officer may take a necessary step to allow the exercise
of a power under
subsection (1) or
(2), including, for
example—
(a) open an unlocked door or an unlocked panel or thing on the heavy
vehicle; and
(b) move but not take away anything that is not locked up or
sealed.
(4) However, this section does not authorise an authorised officer to use
force for exercising a power under this section.
(5) If the authorised officer takes from the heavy vehicle a thing
containing an electronic relevant document to produce an image or writing from
the document, the image or writing must be produced, and the thing must be
returned to the vehicle, as soon as practicable.
(6) In this section—
electronic relevant document means a relevant document that
is an electronic document;
relevant document means a document relating to a heavy
vehicle and required to be kept under this Law or a heavy vehicle accreditation,
including, for example, a document required to be kept in the possession of the
driver of a heavy vehicle;
relevant information means information relating to a heavy
vehicle required to be kept under this Law or a heavy vehicle
accreditation.
521—Power to enter and search heavy vehicle
involved, or suspected to be involved, in an offence etc
(1) An authorised
officer may, using necessary and reasonable help and force, enter and search a
heavy vehicle for investigation purposes if the officer reasonably
believes—
(a) the vehicle is being, or has been, used to commit an offence against
this Law; or
(b) the vehicle, or a thing in the vehicle, may provide evidence of an
offence against this Law that is being, or has been, committed; or
(c) the vehicle has been or may have been involved in an incident
involving the death of, or injury to, a person or damage to property.
(2) The authorised officer may form the necessary belief—
(a) during or after an inspection of the heavy vehicle under
Chapter 9 Part 2 or
section 520;
or
(b) independently of an inspection of the heavy vehicle under
Chapter 9 Part 2 or
section 520.
(3) Without limiting
subsection (1), the
authorised officer may—
(a) search any part of the heavy vehicle or any part of its equipment or
load for evidence of an offence against this Law; and
(b) inspect, examine or
film any part of the heavy vehicle or any part of its equipment or load;
and
(c) without limiting
paragraph (b), look
for, check the details of, or film a number plate, label or other thing required
to be displayed on the heavy vehicle under this Law; and
(d) search for and inspect a document, device or other thing in the heavy
vehicle; and
(e) take an extract
from a document, device or other thing in the heavy vehicle, including, for
example—
(i) by taking a copy of, or an extract from, a readout or other data
obtained from a device or other thing in the vehicle; or
(ii) by accessing and downloading information from a device or other thing
in the vehicle; and
Examples of device or other thing—
an intelligent transport system
(f) copy a document in
the heavy vehicle, or take a document in the heavy vehicle somewhere else to
copy it; and
Examples of documents for the purposes of
paragraphs (e) and
(f)—
• a document required to be kept in the vehicle under this Law or a
heavy vehicle accreditation
• transport documentation
• journey documentation
• a document the authorised officer reasonably believes provides, or
may provide on further inspection, evidence of an offence against this
Law
(g) produce an image or writing in or near the vehicle from an electronic
document in the vehicle or, if it is not practicable to produce the image or
writing in or near the vehicle, take a thing containing the electronic document
somewhere else to produce the image or writing; and
(h) take the persons, equipment or materials the officer reasonably
requires into or onto the heavy vehicle.
(4) If the authorised officer takes a document from the heavy vehicle to
copy it, the document must be copied and returned to the vehicle as soon as
practicable.
(5) If the authorised officer takes from the heavy vehicle a thing
containing an electronic document to produce an image or writing from the
document, the image or writing must be produced, and the thing must be returned
to the vehicle, as soon as practicable.
(6) This section does not authorise an authorised officer to exercise a
power under this section in relation to an incident that involves the death of,
or injury to, a person unless the authorised officer is a police
officer.
(7) The power to search under this section does not include a power to
search a person.
522—Power to order presentation of heavy vehicles
for inspection
(1) An authorised officer may, by notice under
subsection (2),
require to be produced for inspection at a place and time stated in the notice,
a heavy vehicle—
(a) that the officer
reasonably believes has within the preceding 30 days been used or will be used
on a road if the officer reasonably believes that—
(i) the driver of the vehicle has not complied with this Law in driving a
heavy vehicle of that kind; or
(ii) the vehicle does not comply with this Law; or
(iii) the vehicle is a defective heavy vehicle as defined in
section 525; or
(b) without limiting
paragraph (a), for
the purpose of deciding if a vehicle defect notice for the vehicle can be
cleared under
section 530.
(2) A notice must be
served on—
(a) the person in charge of the heavy vehicle; or
(b) the registered operator or, if the heavy vehicle is not registered, an
owner.
(3) If a notice has been served on a person under this
section—
(a) the person may, not later than 24 hours before the time stated in the
notice, request an authorised officer to change the place or time of inspection
or both; and
(b) subject to
paragraph (c), the
authorised officer must—
(i) consider the request; and
(ii) vary the notice by changing the place or time; and
(iii) notify the person of the change; and
(c) the authorised
officer may refuse the request if the officer considers—
(i) there may be a safety risk in acceding to the request; or
(ii) the request is made for an improper reason; or
(iii) it is otherwise not reasonable to vary the notice.
(4) An inspection may include any tests an authorised officer decides to
be appropriate.
(5) A person must not fail to produce a heavy vehicle for
inspection—
(a) subject to
paragraph (b), at
the place and time stated in the notice served on the person; or
(b) if the notice has
been varied under this section, at the place and time stated in the notice as
varied.
Maximum penalty: $6 000.
(6) Failure to produce or allow a heavy vehicle to be inspected as
required under this section is a ground for suspending the registration of the
vehicle.
Division 5—Other powers in relation to all
heavy vehicles
523—Starting or stopping heavy vehicle
engine
(1) To enable an authorised officer to effectively exercise a power under
this Law in relation to a heavy vehicle, the officer may enter the vehicle and
start or stop its engine (take the prescribed action) or authorise
someone else (the assistant) to enter the vehicle and take the
prescribed action if—
(a) a person fails to comply with a requirement made by an authorised
officer under
section 577 to take the
prescribed action; or
(b) no responsible person for the heavy vehicle is available or willing to
take the prescribed action; or
(c) the authorised officer reasonably believes there is no-one else in or
near the vehicle who is more capable of taking the prescribed action and is fit
and willing to do so.
(2) The authorised
officer or assistant may use the force that is reasonably necessary to enter the
heavy vehicle and take the prescribed action.
(3)
Subsection (2) does not
authorise the authorised officer or assistant to use force against a
person.
(4) It is immaterial that—
(a) the assistant is not the operator of the heavy vehicle; or
(b) the authorised officer or assistant is not—
(i) authorised by the operator to take the prescribed action; or
(ii) qualified to take the prescribed action.
(5) This section does not authorise the authorised officer or assistant to
drive the heavy vehicle.
(6) In taking the prescribed action, the authorised officer or assistant
is exempt from a provision of an Australian road law to the extent the provision
would require the authorised officer or assistant to be qualified to take the
prescribed action.
(7) In this section—
start, in relation to a heavy vehicle’s engine,
includes run the engine.
524—Direction to leave heavy
vehicle
(1) This section applies if—
(a) the driver of a heavy vehicle fails to comply with a direction given
by an authorised officer under this Chapter; or
(b) an authorised officer reasonably believes the driver of a heavy
vehicle is not qualified, fit or authorised by the operator to drive the vehicle
in order to comply with a direction the authorised officer may give under this
Chapter; or
(c) an authorised officer reasonably believes it would be unsafe to
inspect or search a heavy vehicle or any part of it or any part of its equipment
or load while the driver occupies the driver’s seat or is in the vehicle
or another person accompanying the driver is in the vehicle.
(2) The authorised
officer may direct the driver to do 1 or more of the following:
(a) to vacate the driver’s seat;
(b) to leave the heavy vehicle;
(c) not to occupy the driver’s seat until permitted by an authorised
officer;
(d) not to enter the heavy vehicle until permitted by an authorised
officer.
(3) The authorised
officer may direct any other person accompanying the driver of the heavy vehicle
to do either or both of the following:
(a) to leave the vehicle;
(b) not to enter the vehicle until permitted by an authorised
officer.
(4) A direction under
subsection (2) or
(3) may be made orally or
in any other way, including, for example, by way of a sign or electronic or
other signal.
(5) A person given a direction under
subsection (2) or
(3) must comply with the
direction unless the person has a reasonable excuse.
Maximum penalty: $6 000.
Division 6—Further powers in relation to heavy
vehicles concerning heavy vehicle standards
525—Definitions for
Division 6
In this Division—
defective heavy vehicle means a heavy vehicle
that—
(a) contravenes the heavy vehicle standards; or
(b) has a part that—
(i) does not perform its intended function; or
(ii) has deteriorated to an extent that it cannot be reasonably relied on
to perform its intended function;
defective vehicle label means a label—
(a) for attaching to a heavy vehicle to which a vehicle defect notice
applies; and
(b) stating—
(i) the vehicle’s registration number or, if the vehicle is not
registered, a temporary identification number marked on the vehicle by the
authorised officer issuing the notice; and
(ii) that the vehicle must not be used on a road except as specified in
the notice; and
(iii) the identification details for the authorised officer who issued the
notice; and
(iv) the day and time the notice was issued; and
(v) the number of the notice;
identification details, for an authorised officer, means
details to identify the authorised officer, including, for
example—
(a) the officer’s name; or
(b) an identification number allocated to the officer under this Law or
another law.
526—Issue of vehicle defect
notice
(1) This section applies if an authorised officer who has inspected a
heavy vehicle under this Law reasonably believes—
(a) the vehicle is a defective heavy vehicle; and
(b) the use of the vehicle on a road poses a safety risk.
(2) The authorised
officer may issue the following notice in relation to the heavy vehicle, in the
way mentioned in
subsection (3):
(a) if the officer
reasonably believes the safety risk is an imminent and serious safety
risk—a notice (a major defect notice) stating the vehicle
must not be used on a road after the notice is issued other than to move it to a
stated location in a stated way; or
(b) if the officer
reasonably believes the safety risk is not an imminent and serious safety
risk—a notice (a minor defect notice) stating the vehicle
must not be used on a road after a stated time unless stated action required to
stop the vehicle from being a defective heavy vehicle is taken.
(3) The authorised
officer may issue the vehicle defect notice by—
(a) if the driver of the heavy vehicle is present—giving the notice
to the driver; or
(b) if the driver of the heavy vehicle is not present—attaching the
notice to the vehicle.
(4) If the driver of a heavy vehicle for which a vehicle defect notice is
issued under this section is not the operator of the vehicle, the driver must,
as soon as practicable, give the notice to the operator.
Maximum penalty: $3 000.
(5) An authorised
officer may, on request made by the operator of a heavy vehicle that is the
subject of a vehicle defect notice, give permission for the vehicle to be used
on a road during a period stated in the permission, but only if the authorised
officer is satisfied that—
(a) the relevant repairs have been undertaken; and
(b) the vehicle will be taken within that stated period to be inspected
for the purpose of enabling the vehicle defect notice to be cleared under
section 530; and
(c) the request is necessary and reasonable; and
(d) the permitted use will not pose a safety risk.
(6) An authorised
officer may, on request made by the operator of a heavy vehicle that is the
subject of a permission under subsection (5), vary the permission by extending
the stated time that the vehicle may be used on a road, but only if the
authorised officer is satisfied—
(a) the relevant repairs have been undertaken; and
(b) the vehicle will be taken within that extended period to be inspected
for the purpose of enabling the vehicle defect notice to be cleared under
section 530; and
(c) the request is necessary and reasonable; and
(d) the permitted use during the extended period will not pose a safety
risk.
(7) A permission under
subsection (5) or an
extension of time under
subsection (6) must
be in writing and may be given unconditionally or subject to any reasonable
conditions imposed by the authorised officer.
(8)
Subsections (5) and
(6) have effect in
relation to a heavy vehicle that is the subject of a major defect notice despite
anything in
subsection (2) or in
the major defect notice.
527—Requirements about vehicle defect
notice
(1) A vehicle defect
notice for a heavy vehicle must be in the approved form and state the
following:
(a) that the vehicle is a defective heavy vehicle and details of how the
vehicle is a defective heavy vehicle;
(b) for a notice given in circumstances mentioned in
section 526(2)(a)—that
the vehicle must not be used on a road after the notice is issued other than to
move it to a location stated in the notice in the way stated in the
notice;
(c) for a notice given in circumstances mentioned in
section 526(2)(b)—that
the vehicle must not be used on a road after a time stated in the notice unless
action required to stop the vehicle from being a defective heavy vehicle stated
in the notice is taken;
(d) the name of the vehicle’s driver if known by the authorised
officer issuing the notice when the notice is issued or, if the driver is not
present or the driver’s name is not known by the authorised officer
issuing the notice when the notice is issued, the term ‘registered
operator’;
(e) details to identify the vehicle, including, for
example—
(i) the vehicle’s registration number or, if the vehicle is not
registered, a temporary identification number marked on the vehicle by the
authorised officer issuing the notice; and
(ii) the vehicle’s make and category; and
(iii) the vehicle’s VIN or, if there is no VIN, the vehicle’s
chassis number or engine number, but only if it is practicable and safe to do
so;
(f) the nature of the inspection that led to the notice being
issued;
(g) whether an infringement notice was also given when the notice was
issued;
(h) the identification details for the authorised officer who issued the
notice;
(i) that, if the notice
is not cleared by the Regulator under
section 530, the
vehicle’s registration may be suspended and subsequently cancelled under
this Law;
(j) any conditions imposed under
subsection (2).
(2) The authorised
officer issuing a vehicle defect notice may impose any conditions on the use of
the defective heavy vehicle the officer considers appropriate for use of the
vehicle on a road.
(3) Any conditions imposed under
subsection (2) are
taken to form part of the vehicle defect notice concerned.
528—Defective vehicle labels
(1) If an authorised
officer issues a major defect notice for a heavy vehicle, the authorised officer
must attach a defective vehicle label to the vehicle.
(2) If an authorised
officer issues a minor defect notice for a heavy vehicle, the authorised officer
may attach a defective vehicle label to the vehicle.
(3) A person must not
remove or deface a defective vehicle label attached to a heavy vehicle under
subsection (1) or
(2).
Maximum penalty: $3 000.
(4)
Subsection (3) does not
apply to a person removing a defective vehicle label under
section 530(2) or
531(4).
529—Using defective heavy vehicles contrary to
vehicle defect notice
A person must not use, or permit to be used, on a road a heavy vehicle in
contravention of a vehicle defect notice.
Maximum penalty: $3 000.
530—Clearance of vehicle defect
notices
(1) A vehicle defect notice may be cleared by the Regulator
if—
(a) the Regulator decides the vehicle is no longer a defective heavy
vehicle; or
(b) the Regulator receives a notice, in the approved form, from an
authorised officer stating that the heavy vehicle is no longer a defective heavy
vehicle.
(2) If the Regulator
clears a vehicle defect notice applying to a heavy vehicle, the Regulator must
arrange for any defective vehicle label for the vehicle to be removed from the
vehicle.
531—Amendment or withdrawal of vehicle defect
notices
(1) A vehicle defect notice issued in this jurisdiction by an authorised
officer who is a police officer may be amended or withdrawn by any authorised
officer who—
(a) is a police officer of this jurisdiction; or
(b) is a police officer of another jurisdiction if the Application Act of
this jurisdiction permits this to be done; or
(c) is not a police officer but is of a class of authorised officers for
the time being approved by the Regulator for the purposes of this
subsection.
(2) A vehicle defect notice issued by an authorised officer who is not a
police officer may be amended or withdrawn by any authorised officer who is of a
class of authorised officers for the time being approved by the Regulator for
the purposes of this subsection.
(3) If an authorised officer amends or withdraws a vehicle defect notice
for a heavy vehicle, the officer must give notice of the amendment or withdrawal
to the Regulator and the person to whom the vehicle defect notice was
issued.
(4) If an authorised
officer withdraws a vehicle defect notice applying to a heavy vehicle, the
Regulator must arrange for the defective vehicle label for the vehicle to be
removed from the vehicle.
Division 7—Further powers in relation to heavy
vehicles concerning mass, dimension or loading requirements
532—Application of
Division 7
This Division applies to a heavy vehicle regardless of whether the vehicle
is, has been, or becomes the subject of a direction or requirement given or made
by an authorised officer under another provision of this Chapter.
533—Powers for minor risk breach of mass, dimension
or loading requirement
(1) This section applies if an authorised officer reasonably believes a
heavy vehicle—
(a) is the subject of 1 or more minor risk breaches of mass, dimension or
loading requirements; and
(b) is not, or is no longer, also the subject of a substantial, or severe,
risk breach of a mass, dimension or loading requirement.
(2) If the authorised
officer reasonably believes it appropriate in the circumstances, the officer may
direct the driver or operator of the heavy vehicle—
(a) to immediately rectify stated breaches of mass, dimension or loading
requirements relating to the vehicle; or
(b) to move the
vehicle, or cause it to be moved, to a stated place and not to move the vehicle,
or cause it to be moved, from there until stated breaches of mass, dimension or
loading requirements relating to the vehicle are rectified.
Examples of circumstances for the purposes of
subsection (2)—
1 Rectification is reasonable and can be carried out easily.
2 Rectification is necessary in the public interest to avoid a safety risk,
damage to road infrastructure or an adverse effect on public amenity.
(3) A place mentioned in
subsection (2)(b)
must be—
(a) a place the authorised officer reasonably believes is suitable for the
purpose of complying with the direction; and
(b) within a 30km radius from—
(i) where the heavy vehicle is located when the direction is given;
or
(ii) if the direction is given in the course of the heavy vehicle’s
journey—any point along the forward route of the journey.
(4) If the authorised officer does not give the driver or operator of a
heavy vehicle a direction under
subsection (2) and
the authorised officer reasonably believes the driver or operator is not, or is
no longer, subject to a direction for the rectification of a minor risk breach
of a mass, dimension or loading requirement relating to the vehicle, the officer
may authorise the driver or operator to continue the vehicle’s
journey.
(5) A direction given
under
subsection (2) must
be in writing and may be given with or without conditions.
(6) Despite
subsection (5), a
direction to move a heavy vehicle may be given orally if the moving of the
vehicle is carried out in the presence, or under the supervision, of an
authorised officer.
(7) The person to whom a direction is given under this section must comply
with the direction, unless the person has a reasonable excuse.
Maximum penalty: $10 000.
(8) In this section—
stated means stated by the authorised officer.
534—Powers for substantial risk breach of mass,
dimension or loading requirement
(1) This section applies if an authorised officer reasonably
believes—
(a) a heavy vehicle is the subject of 1 or more substantial risk breaches
of mass, dimension or loading requirements; and
(b) the heavy vehicle is not, or is no longer, also the subject of a
severe risk breach of a mass, dimension or loading requirement.
(2) The authorised
officer must direct the driver or operator of the heavy vehicle—
(a) not to move the vehicle until stated breaches of mass, dimension or
loading requirements relating to the vehicle are rectified; or
(b) to move the vehicle, or cause it to be moved, to a stated reasonable
place and not to move it, or cause it to be moved, from there until stated
breaches of mass, dimension or loading requirements relating to the vehicle are
rectified.
Examples of reasonable place for the purposes of paragraph
(b)—
• the intended destination of the heavy vehicle’s
journey
• a depot of the heavy vehicle or, if the heavy vehicle is a
combination, a depot of a vehicle in the combination
• a weighbridge
• a rest area
• a place where the heavy vehicle can be loaded or
unloaded
(3) A direction given
under
subsection (2) must
be in writing and may be given with or without conditions.
(4) Despite
subsection (3), a
direction to move a heavy vehicle may be given orally if the moving of the
vehicle is carried out in the presence, or under the supervision, of an
authorised officer.
(5) The person to whom a direction is given under this section must comply
with the direction, unless the person has a reasonable excuse.
Maximum penalty: $10 000.
(6) In this section—
stated means stated by the authorised officer.
535—Powers for severe risk breach of mass,
dimension or loading requirement
(1) This section applies if an authorised officer reasonably believes a
heavy vehicle is the subject of 1 or more severe risk breaches of mass,
dimension or loading requirements.
(2) The authorised
officer must direct the driver or operator of the heavy vehicle—
(a) not to move the heavy vehicle until stated breaches of mass, dimension
or loading requirements relating to the vehicle are rectified; or
(b) if the prescribed circumstances exist—
(i) to move the vehicle, or cause it to be moved, to the nearest stated
safe location; and
(ii) not to proceed from there until stated breaches of mass, dimension or
loading requirements relating to the vehicle are rectified.
(3) A direction given
under
subsection (2) must
be in writing and may be given with or without conditions.
(4) Despite
subsection (3), a
direction to move a heavy vehicle may be given orally if the moving of the
vehicle is carried out in the presence, or under the supervision, of an
authorised officer.
(5) The person to whom a direction is given under this section must comply
with the direction, unless the person has a reasonable excuse.
Maximum penalty: $10 000.
(6) Nothing in this section prevents an authorised officer from taking
into account the safety of the heavy vehicle or any load in it if the officer
reasonably believes the officer can do so without prejudicing the safety of
other property, people, the environment, road infrastructure or public
amenity.
(7) In this section—
prescribed circumstances means—
(a) there is a risk of harm to public safety; or
(b) there is an appreciable risk of harm to the environment, road
infrastructure or public amenity;
risk of harm to public safety, in relation to a heavy
vehicle—
(a) includes the risk of harm to the safety of people, or live animals, in
the vehicle; but
(b) does not include the risk of harm to the safety of the vehicle or
goods, other than a live animal, in the vehicle;
safe location means a location where the authorised officer
reasonably believes the heavy vehicle will pose a reduced risk or no appreciable
risk of harm to public safety, the environment, road infrastructure or public
amenity;
Example of a safe location—
• a depot of the heavy vehicle or, if the heavy vehicle is a
combination, a depot of a vehicle in the combination
• a weighbridge
• a rest area
• a place where the heavy vehicle can be loaded or
unloaded
stated means stated by the authorised officer.
536—Operation of direction in relation to a
combination
(1) This section applies if a direction is given under this Division in
relation to a heavy combination.
(2) Subject to
subsection (3),
nothing in this Division prevents a component vehicle of the heavy combination
from being separately driven or moved if—
(a) the component vehicle is not itself the subject of a contravention of
a mass, dimension or loading requirement; and
(b) it is not otherwise unlawful for the component vehicle to be driven or
moved.
(3)
Subsection (2) does not
apply if a condition of the direction prevents the component vehicle from being
separately driven or moved.
Division 8—Further powers in relation to
fatigue-regulated heavy vehicles
537—Application of
Division 8
This Division applies to a fatigue-regulated heavy vehicle regardless of
whether the vehicle is, has been, or becomes the subject of a direction or
requirement given or made by an authorised officer under another provision of
this Chapter.
538—Requiring driver to rest for contravention of
maximum work requirement
(1) This section applies if an authorised officer reasonably believes the
driver of a fatigue-regulated heavy vehicle has contravened a maximum work
requirement by working for a period in excess of the maximum work time allowed
under the requirement.
(2) If the authorised
officer reasonably believes the contravention is a critical risk breach or
severe risk breach, the authorised officer must, by notice, require the
driver—
(a) to immediately rest for a stated period in accordance with a minimum
rest requirement applying to the driver; and
(b) to work for a stated shorter period when the driver next works to
compensate for the excess period worked.
(3) If the authorised
officer reasonably believes the contravention is a substantial risk breach or
minor risk breach, the authorised officer may, by notice, require the
driver—
(a) to immediately rest for a stated period in accordance with a minimum
rest requirement applying to the driver; and
(b) to work for a stated shorter period when the driver next works to
compensate for the excess period worked.
(4) If the authorised officer imposes a requirement under
subsection (2) or
(3), the authorised
officer must record details of the requirement in the driver’s work
diary.
Note—
Section541deals with
the situation where the driver does not produce the work diary or produces
something as a work diary that the authorised officer reasonably believes to be
unacceptable.
539—Requiring driver to rest for contravention of
minimum rest requirement
(1) This section applies if an authorised officer reasonably believes the
driver of a fatigue-regulated heavy vehicle has contravened a minimum rest
requirement by resting for a period shorter than the minimum rest time required
under the requirement.
(2) If the authorised
officer reasonably believes the contravention is a critical risk breach or
severe risk breach, the authorised officer must, by notice, require the
driver—
(a) to immediately rest for a stated period to compensate for the
shortfall between the period of rest the driver had and the minimum rest time
required under the minimum rest requirement; and
(b) if the driver has failed to have 1 or more night rest breaks required
under a minimum rest requirement—to have 1 or more night rest breaks to
compensate for the shortfall between the number of night rest breaks the driver
had and the number of night rest breaks required under the minimum rest
requirement.
(3) If the authorised
officer reasonably believes the contravention is a substantial risk breach or
minor risk breach, the authorised officer may, by notice, require the
driver—
(a) to immediately rest for a stated period to compensate for the
shortfall between the period of rest the driver had and the minimum rest time
required under the minimum rest requirement; or
(b) to rest for an additional stated period, at the next rest break the
driver is required to have under a maximum work requirement or minimum rest
requirement, to compensate for the shortfall between the period of rest the
driver had and the minimum rest time required under the minimum rest
requirement; or
(c) if the driver has failed to have 1 or more night rest breaks required
under a minimum rest requirement—to have 1 or more night rest breaks to
compensate for the shortfall between the number of night rest breaks the driver
had and the number of night rest breaks required under the minimum rest
requirement.
(4) If the authorised officer imposes a requirement under
subsection (2) or
(3), the authorised
officer must record the details of the requirement in the driver’s work
diary.
Note—
Section 541 deals with
the situation where the driver does not produce the work diary or produces
something as a work diary that the authorised officer reasonably believes to be
unacceptable.
540—Requiring driver to stop working if impaired by
fatigue
(1) This section applies if an authorised officer reasonably believes the
driver of a fatigue-regulated heavy vehicle is impaired by fatigue.
(2) The authorised
officer may, by notice—
(a) require the driver
to immediately stop work and not work again for a stated period; and
(b) if the officer has
observed the driver driving in a way the officer considers on reasonable grounds
to be dangerous, require the driver to also immediately stop being in control of
the fatigue-regulated heavy vehicle.
(3) A stated period under
subsection (2)(a)
must be a reasonable period having regard to the matters prescribed for the
purposes of this section by the national regulations.
(4) If the authorised officer imposes a requirement under subsection
(2)(a), the authorised officer must record details of the requirement in the
driver’s work diary.
Note—
Section 541deals with
the situation where the driver does not produce the work diary or produces
something as a work diary that the authorised officer reasonably believes to be
unacceptable.
(5) If the authorised officer imposes a requirement under
subsection (2)(b),
the authorised officer may authorise a person to move the fatigue-regulated
heavy vehicle to a suitable rest place for fatigue-regulated heavy vehicles but
only if the person is qualified and fit to drive the vehicle.
(6) The national regulations may prescribe the matters to which the
authorised officer, or a court, must or may have regard when deciding whether or
not a person was impaired by fatigue for the purposes of this section.
541—Requiring driver to stop working if work diary
not produced or unreliable
(1) This section applies if—
(a) an authorised officer has, under
section 568, asked the
driver of a fatigue-regulated heavy vehicle to produce a work diary the driver
is required to keep under this Law; and
(b) either—
(i) the driver has failed to produce the diary without a reasonable
excuse; or
(ii) the driver produces a document that the authorised officer reasonably
believes is not the work diary the driver is required to keep under this Law;
or
(iii) the authorised officer reasonably believes the work diary, or
purported work diary, produced by the driver cannot be relied on as an accurate
record of the time the driver recently spent working or resting.
Examples for the purposes of subparagraph (iii)—
• Information in the work diary appears to be incorrect.
• Particular information appears to be missing from the work
diary.
• The work diary appears to have been tampered with.
(2) The authorised officer may, by notice, require the driver to
immediately stop work and to not work again for a stated period of up to
24 hours.
542—Compliance with requirement under this
Division
(1) A person given a notice under this Division must comply with the
notice, unless the person has a reasonable excuse.
Maximum penalty: $10 000.
(2) An authorised officer who gives a person a notice under
section 538,
539 or
541 may, by stating it in the
notice, allow the person to delay complying with the notice for a period of up
to 1 hour if the authorised officer reasonably believes—
(a) the delay is necessary to allow the person time to drive the relevant
fatigue-regulated heavy vehicle to the nearest suitable rest place for
fatigue-regulated heavy vehicles and it is reasonably safe to allow the person
to continue driving the vehicle to that place; or
(b) the delay is necessary to allow the person time to attend to, or to
secure, the load on the relevant fatigue-regulated heavy vehicle before
resting.
Part 4—Other powers
Division 1—Powers relating to
equipment
543—Power to use equipment to access
information
(1) This section applies if—
(a) a thing found at a place, or in a vehicle, entered by an authorised
officer under this Chapter is, or includes, a disc, tape or other device used
for storing information (the storage device); and
(b) equipment at the place, or in the vehicle, may be used with the
storage device to access information on the storage device; and
(c) the authorised officer reasonably believes information stored on the
storage device may be relevant for deciding whether this Law is being complied
with.
(2) The authorised
officer, or a person helping the officer, may operate the equipment to access
the information.
(3) A person may operate equipment under
subsection (2)
only if the person reasonably believes the operation can be carried out without
damaging the equipment.
Note—
See
section 548
for action an authorised officer may take if the officer, or a person helping
the officer, finds a disc, tape or other device containing information the
officer reasonably believes is relevant for deciding whether this Law has been
contravened.
(4) In this section—
equipment, at a place or in a vehicle, includes equipment
taken into the place or vehicle by the authorised officer.
544—Power to use equipment to examine or process a
thing
(1) An authorised
officer, or a person helping an authorised officer, may operate equipment at a
place, or in a vehicle, entered under this Chapter to examine or process a thing
found at the place, or in the vehicle, in order to decide whether it is a thing
that may be seized under this Chapter.
(2) Also, for a heavy
vehicle entered under
section 521, an authorised
officer, or a person helping the authorised officer, may, for deciding whether a
thing may be seized under
section 547—
(a) operate equipment in the vehicle to examine or process the thing;
or
(b) move the thing to another place if it is not practicable to examine or
process the thing where it is found, or the vehicle’s driver consents in
writing, and operate equipment at that place to examine or process the
thing.
(3) However,
subsections (1) and
(2) only apply if the
authorised officer or person reasonably believes—
(a) the equipment is suitable for exercising the power; and
(b) the power can be exercised without damaging the equipment or
thing.
(4) In this section—
equipment, at a place or in a vehicle, includes equipment
taken into the place or vehicle by the authorised officer.
Division 2—Seizure and embargo
notices
Subdivision 1—Power to
seize
545—Seizing evidence at a place that may be entered
without consent or warrant
An authorised officer who enters a place the officer may enter under this
Chapter without the consent of its occupier and without a warrant may seize a
thing at the place if the officer reasonably believes the thing is evidence of
an offence against this Law.
546—Seizing evidence at a place that may be entered
only with consent or warrant
(1) This section applies if—
(a) an authorised officer is authorised to enter a place only with the
consent of an occupier at the place or a warrant; and
(b) the authorised officer enters the place after obtaining the necessary
consent or under a warrant.
(2) If the authorised officer enters the place with the occupier’s
consent, the officer may seize a thing at the place if—
(a) the officer reasonably believes the thing is evidence of an offence
against this Law; and
(b) seizure of the thing is consistent with the purpose of entry as
explained to the occupier when asking for the occupier’s
consent.
(3) If the authorised officer enters the place under a warrant, the
officer may seize the evidence for which the warrant was issued.
(4) The authorised officer may also seize anything else at the place if
the officer reasonably believes—
(a) the thing is evidence of an offence against this Law; and
(b) the seizure is necessary to prevent the thing being—
(i) hidden, lost or destroyed; or
(ii) used to continue, or repeat, the offence.
547—Seizing evidence in a heavy vehicle entered
under
section 521
An authorised officer who enters a heavy vehicle under
section 521 may seize a
thing in the heavy vehicle if the officer reasonably believes the thing is
evidence of an offence against this Law.
548—Additional seizure power relating to
information stored electronically
(1) This section applies if, under this Chapter, an authorised officer, or
a person helping an authorised officer—
(a) enters a place or heavy vehicle; and
(b) finds a disc, tape or other device used for storing information (the
original information storage device) containing information the
authorised officer reasonably believes is relevant for deciding whether this Law
has been contravened.
(2) The authorised officer or person may—
(a) put the information
in documentary form and seize the document; or
(b) copy the
information from the original information storage device to another information
storage device and seize the other information storage device; or
(c) seize the original information storage device and any equipment at the
place or in the vehicle necessary for accessing the information contained in the
device if—
(i) it is not practicable to take action, at the place or in the vehicle,
under
paragraph (a) or
(b) in relation to the
information; and
(ii) the officer or person reasonably believes the device and equipment
can be seized without being damaged.
549—Seizing thing or sample taken for examination
under
section 500
An authorised officer who takes a thing or sample for examination under
section 500(1)(c)
may, after examining it, seize the thing or sample if—
(a) the officer reasonably believes the thing or sample is evidence of an
offence against this Law; and
(b) had the officer had the reasonable belief when the thing or sample was
taken, the officer could have seized the thing or the thing from which the
sample was taken under
section 545 to
548.
550—Seizure of property subject to
security
(1) An authorised officer may seize a thing under this Chapter, and
exercise powers relating to the thing, despite a lien or other security over it
claimed by another person.
(2) However, the seizure does not affect the other person’s claim to
the lien or other security against a person other than the authorised officer or
a person helping the officer.
551—Seizure of number plates
(1) Without limiting any other provision of this Chapter, a power under
this Chapter for an authorised officer to seize a thing includes a power to
seize a number plate for a heavy vehicle under
subsection (2)
or
(3).
(2) An authorised
officer may seize a number plate (whether or not displayed on a heavy vehicle)
if the officer reasonably believes—
(a) that the number plate is being used other than in accordance with this
Law or any other applicable law; or
(b) that the number plate was not issued in accordance with this Law or
any other applicable law.
(3) An authorised
officer may seize a number plate if it is displayed on a heavy vehicle and the
officer reasonably believes—
(a) that the number plate does not bear the registration number last
assigned to the vehicle; or
(b) that—
(i) the vehicle is not registered or exempted from registration;
and
(ii) the period during which the registration of the vehicle may be
renewed has expired.
(4) An authorised
officer may retain—
(a) a number plate seized under
subsection (2) until
the officer is satisfied that it was not being so used and that it was issued in
accordance with this Law or any other applicable law; or
(b) a number plate seized under
(3) until the officer is
satisfied that circumstances exist that allow it to be used without being
subject to retention under this subsection.
(5) An authorised
officer must return a number plate seized under
subsection (2)
or
(3) to—
(a) the driver or operator of the vehicle, if the officer is satisfied as
to the relevant matters referred to in
subsection (4);
or
(b) an appropriate authority, if the officer is not satisfied as to those
matters after a reasonable period.
(6) The national regulations may prescribe, or prescribe guidelines for
determining, an appropriate authority for the purposes of
subsection (5).
552—Restriction on power to seize certain
things
(1) This Chapter does
not authorise an authorised officer to seize—
(a) a heavy vehicle; or
(b) a thing, or a thing of a class, prescribed by the national
regulations.
(2)
Subsection (1) does not
apply if the Application Act of the participating jurisdiction in which the
vehicle or thing is located provides that the heavy vehicle or thing can be
impounded or seized under a law of that jurisdiction.
Subdivision 2—Powers to support
seizure
553—Requirement of person in control of thing to be
seized
(1) To enable a thing to be seized under this Chapter, an authorised
officer may require the person in control of it—
(a) to take it to a stated reasonable place by a stated reasonable time;
and
(b) if necessary, to remain in control of it at the stated place for a
stated reasonable period.
(2) The requirement—
(a) must be made by notice; or
(b) if for any reason it is not practicable to give a notice, may be made
orally and confirmed by notice as soon as practicable.
(3) A person of whom a requirement is made under this section must comply
with the requirement, unless the person has a reasonable excuse.
Maximum penalty: $10 000.
Subdivision 3—Safeguards for seized things or
samples
554—Receipt for seized thing or
sample
(1) This section applies if an authorised officer seizes a thing or sample
under this Chapter unless—
(a) it is impracticable or unreasonable for the officer to account for the
thing or sample given its condition, nature and value; or
(b) for a thing seized other than under
section 549—the
officer reasonably believes there is no-one apparently in possession of the
thing or the thing has been abandoned.
(2) The authorised officer must, as soon as practicable after the thing or
sample is seized, give the relevant person for the thing or sample a receipt
that generally describes the thing or sample and its condition.
(3) However, for a thing seized other than under
section 549, if a relevant
person for the thing is not present when the thing is seized, the receipt may be
given by leaving it in a conspicuous position and in a reasonably secure way at
the place at which the thing was seized.
(4) The receipt may relate to more than 1 seized thing.
(5) In this section—
relevant person means—
(a) for a thing or sample seized under
section 549—
(i) an owner of the thing or sample; or
(ii) a person in possession of the thing, or the thing from which the
sample was taken, before the thing or sample was taken for examination under
section 500(1)(c);
or
(b) for a thing seized under this Chapter other than under
section 549—
(i) an owner of the thing; or
(ii) a person in possession of the thing before it was seized.
555—Access to seized thing
(1) Until a thing
seized under this Chapter is forfeited or returned, the authorised officer who
seized the thing must allow any owner of the thing—
(a) to inspect it at any reasonable time and from time to time;
and
(b) if it is a document—to copy it.
(2)
Subsection (1) does
not apply if it is impracticable or would be unreasonable to allow the
inspection or copying.
(3) The inspection or copying must be allowed free of charge.
556—Return of seized things or
samples
(1) This section applies if—
(a) an authorised officer has seized a thing or sample under this Chapter;
and
(b) the thing or sample is not forfeited under
Division 3.
(2) If an authorised officer is satisfied that—
(a) the thing or sample is not required (or is no longer required) as
evidence of an offence against this Law; and
(b) the continued retention of the thing or sample is not necessary to
prevent the thing or sample being used to continue, or repeat, an offence
against this Law; and
(c) the thing or sample is not subject to a dispute as to ownership, which
would be appropriately resolved by making an application under
subsection (3) for
the return of the thing or sample,
the authorised officer must take reasonable steps to return the thing or
sample to the person from whom it was seized or to the owner if that person is
not entitled to possess it.
(3) An application for
the return of the thing or sample may be made to the relevant tribunal or court
by—
(a) the person from whom it was seized; or
(b) a person who claims to be the owner; or
(c) an authorised officer.
(4) If the relevant tribunal or court is satisfied that—
(a) the thing or sample is not required (or is no longer required) as
evidence of an offence against this Law; and
(b) the continued retention of the thing or sample is not necessary to
prevent the thing or sample being used to continue, or repeat, an offence
against this Law; and
(c) there are no reasonable grounds to suspect that the thing or sample is
likely to be used by any person in the commission of an offence of a kind
prescribed by the national regulations for the purposes of this
subsection,
the relevant tribunal or court may make an order for the return of the
thing or sample to the person from whom it was seized or to the owner if that
person is not entitled to possess it.
(5) The national regulations may—
(a) provide for the
procedures to be followed when an application is made under
subsection (3);
and
(b) without limiting
paragraph (a)—
(i) provide for the notification of the Regulator or an authorised officer
(or both) of the making of the application if it is made by a person who is not
an authorised officer; and
(ii) specify the information that is to be included in the
notification.
(6) Nothing in this section affects a lien or other security over a
thing.
(7) Nothing in this section prevents the return of a thing or sample to
its owner at any time if the Regulator considers there is no reason for its
continued retention.
Subdivision 4—Embargo
notices
557—Power to issue embargo
notice
(1) This section applies if—
(a) an authorised officer may seize a thing under this Chapter;
and
(b) the thing cannot, or cannot readily, be physically seized and
removed.
(2) The authorised
officer may issue a notice (an embargo notice) under this section
prohibiting any dealing with the thing or any part of it without the written
consent of the Regulator or an authorised officer.
(3) The embargo notice—
(a) must be in the approved form; and
(b) must list the activities it prohibits; and
(c) must include a copy of
section 558.
(4) The authorised officer may issue the embargo notice—
(a) by causing a copy of it to be served on the relevant entity;
or
(b) if a relevant entity cannot be located after all reasonable steps have
been taken to do so, by fixing a copy of the notice on the thing the subject of
the notice in a conspicuous position and in a reasonably secure way.
(5) In this section—
dealing, with a thing or part of a thing,
includes—
(a) moving, selling, leasing or transferring the thing or part;
and
(b) changing information on, or deleting information from, the thing or
part;
relevant entity, for an embargo notice,
means—
(a) the driver of the heavy vehicle to which the thing the subject of the
notice relates; or
(b) the occupier of the place in which the thing the subject of the notice
is located.
558—Noncompliance with embargo
notice
(1) A person (the
relevant person) who knows an embargo notice relates to a thing
must not—
(a) do anything the notice prohibits; or
(b) instruct someone else (the other person) to do anything
the notice prohibits—
(i) anyone from doing; or
(ii) the relevant person or other person from doing.
Maximum penalty: $10 000.
(2) In a proceeding for an offence against
subsection (1)
to the extent it relates to a charge that the person charged with the offence
(defendant) moved an embargoed thing, or a part of an embargoed
thing, it is a defence for the defendant to prove that he or
she—
(a) moved the embargoed thing, or part, to protect or preserve it;
and
(b) notified the authorised officer who issued the embargo notice of the
move and new location of the embargoed thing, or part, within 48 hours
after the move.
(3) A person served with an embargo notice must take all reasonable steps
to stop any other person from doing anything prohibited by the notice.
Maximum penalty: $10 000.
(4) Despite any other Act or law, a sale, lease, transfer or other dealing
with an embargoed thing in contravention of this section is void.
559—Power to secure embargoed
thing
(1) An authorised
officer may take reasonable action to restrict access to an embargoed
thing.
(2) For the purposes of
subsection (1), the
authorised officer may, for example—
(a) seal the embargoed
thing, or the entrance to the place where the embargoed thing is located, and
mark the thing or place to show access to the thing or place is restricted;
or
(b) for
equipment—make it inoperable; or
Example—
dismantling equipment or removing a component of equipment without which
the equipment cannot be used
(c) require a person
the authorised officer reasonably believes is in control of the embargoed thing,
or the place where the embargoed thing is located, to do an act mentioned in
paragraph (a) or
(b) or anything else an
authorised officer could do under
subsection (1).
(3) A person of whom a requirement is made under
subsection (2)(c)
must comply with the requirement, unless the person has a reasonable
excuse.
Maximum penalty: $10 000.
(4) If access to an embargoed thing is restricted under this section, a
person must not tamper with the thing or with anything used to restrict access
to the thing without—
(a) an authorised officer’s approval; or
(b) a reasonable excuse.
Maximum penalty: $10 000.
(5) If access to a place is restricted under this section, a person must
not enter the place in contravention of the restriction or tamper with anything
used to restrict access to the place without—
(a) an authorised officer’s approval; or
(b) a reasonable excuse.
Maximum penalty: $10 000.
(6) The restricted access to an embargoed thing, or a place where an
embargoed thing is located, under this section applies only for the period the
thing is an embargoed thing.
560—Withdrawal of embargo
notice
(1) This section applies if—
(a) an authorised officer has issued an embargo notice for a thing;
and
(b) the thing has not been forfeited under
Division 3.
(2) The authorised
officer must withdraw the embargo notice—
(a) generally—at
the end of 3 months after it is issued; or
(b) if a relevant
tribunal or court has made an order under
subsection (5)
extending the time for withdrawing the notice—at the end of the extended
time; or
(c) if a proceeding for an offence involving the thing is started before
the notice must be withdrawn under
paragraph (a) or
(b)—at the end of
the proceeding and any appeal from the proceeding.
(3) Despite
subsection (2), if
the embargo notice is issued on the basis that the thing may provide evidence of
an offence against this Law, the authorised officer must as soon as practicable
withdraw the notice if the officer is satisfied—
(a) the thing is no longer required as evidence of an offence against this
Law; and
(b) it is not necessary for the notice to continue to prevent the thing
being used to continue, or repeat, the offence.
(4) An authorised officer may apply to a relevant tribunal or court within
3 months after the embargo notice is issued for an extension of the time by
which the notice must be withdrawn under this section.
(5) The relevant
tribunal or court may order the extension if it is satisfied the continued
operation of the embargo notice is necessary for investigation
purposes.
Division 3—Forfeiture and
transfers
561—Power to forfeit particular things or
samples
(1) If, under this
Chapter, a thing or sample is taken for examination by an authorised officer or
a person authorised by an authorised officer, or a thing or sample is seized by
an authorised officer, the Regulator may decide it is forfeited to the Regulator
if an authorised officer—
(a) after making reasonable inquiries, cannot find its owner; or
(b) after making reasonable efforts, cannot return it to its
owner.
(2) However, the authorised officer is not required to—
(a) make inquiries if it would be unreasonable to make inquiries to find
the owner; or
(b) make efforts if it would be unreasonable to make efforts to return the
thing or sample to its owner.
Example for the purposes of paragraph (b)—
the owner of the thing or sample has migrated to another country
(3) Regard must be had to the thing’s or sample’s condition,
nature and value in deciding—
(a) whether it is reasonable to make inquiries or efforts; and
(b) if inquiries or efforts are made—what inquiries or efforts,
including the period over which they are made, are reasonable.
(4) A thing or sample seized under this Chapter by a police officer cannot
be forfeited to the Regulator but must be dealt with under—
(a) the national regulations, except as provided by paragraph (b);
or
(b) applicable legislation of the relevant State or Territory.
562—Information notice for forfeiture
decision
(1) If the Regulator decides under
section 561(1) to
forfeit a thing or sample, the Regulator must as soon as practicable give an
information notice for the decision to—
(a) the person from whom the thing or sample was seized; and
(b) the person who was the owner of the thing or sample immediately before
the forfeiture; and
(c) each person having a registered interest in the thing or
sample.
(2) The information
notice may be given—
(a) by post; or
(b) in the case of the
person from whom the thing or sample was seized, by leaving the notice in a
conspicuous position and in a reasonably secure way at—
(i) for a thing or sample taken for examination, whether or not it is
seized under
section 549—the
place where the thing or sample was taken; or
(ii) for a thing or sample seized under this Chapter other than under
section 549—the
place where the thing or sample was seized.
(3) However,
subsection (2)(b)
does not apply if the place is—
(a) a public place; or
(b) a place where the notice is unlikely to be read by the person for whom
it is intended.
563—Forfeited or transferred thing or sample
becomes property of the Regulator
A thing or sample becomes the property of the Regulator if—
(a) the thing or sample is forfeited to the Regulator under
section 561(1);
or
(b) the owner of the
thing or sample and the Regulator agree, in writing, to the transfer of the
ownership of the thing or sample to the Regulator.
564—How property may be dealt
with
(1) This section applies if, under
section 563, a thing or
sample becomes the property of the Regulator.
(2) The Regulator may take action under this section after giving 28
days’ notice of the intention to do so to—
(a) the person from whom the thing or sample was seized; and
(b) the person who was the owner of the thing or sample immediately before
the forfeiture; and
(c) each person having a registered interest in the thing or
sample.
(3) The Regulator may deal with the thing or sample as the Regulator
considers appropriate, including, for example, by destroying it or giving it
away.
(4) The Regulator must not deal with the thing or sample in a way that
could prejudice the outcome of a review of the decision to forfeit the thing or
sample, or an appeal against the decision on that review, under this
Law.
(5) If the Regulator sells the thing or sample, the Regulator may, after
deducting the costs of the sale, return the proceeds of the sale to the person
who was the owner of the thing or sample immediately before the
forfeiture.
565—Third party protection
(1) This section
applies if, under
section 563, a thing or
sample becomes the property of the Regulator and applies to the following
parties:
(a) the owner of the thing or sample, except where the owner gave consent
under
section 563(b);
(b) a person who has a registered interest in the thing or
sample.
(2) A party mentioned in
subsection (1) may
apply to a relevant tribunal or court for an order—
(a) that ownership of the thing or sample be transferred to the applicant,
if the applicant had full ownership of the thing or sample immediately before
the thing or sample became the property of the Regulator under
section 561; or
(b) that, if the applicant had a registered interest in the thing or
sample immediately before it became the property of the
Regulator—
(i) the thing or sample be sold; and
(ii) the Regulator pay to the applicant, and any other persons with a
registered interest in the thing or sample, an amount commensurate with the
value of their respective interest.
(3) If the thing or sample has been sold or otherwise disposed of, the
Regulator must pay to—
(a) an applicant who had a registered interest in the thing or sample
immediately before the thing or sample was sold or otherwise disposed of, an
amount commensurate with the value of the applicant’s interest;
or
(b) an applicant who was an owner of the thing or sample, the amount
obtained through its sale or disposal.
(4) Leave of the
relevant tribunal or court is required to bring an application if 6 months or
more have elapsed since the thing or sample became the property of the
Regulator.
(5) The relevant tribunal or court may grant leave under
subsection (4) only
if it is satisfied that the delay in making the application was not due to the
applicant’s neglect.
(6) The relevant
tribunal or court may make an order—
(a) declaring the nature, extent and, if necessary for the order, the
value (at the time the declaration is made) of the applicant’s registered
interest; and
(b) directing the Regulator—
(i) if the thing or sample is vested in the Regulator and the applicant
has full ownership of the thing or sample, to transfer ownership of the thing or
sample to the applicant; or
(ii) if the thing or sample is no longer vested in the Regulator, or if
the applicant does not have full ownership of the thing or sample, to pay to the
applicant the value of the applicant’s registered interest in the thing or
sample.
(7) The relevant tribunal or court may make an order under
subsection (6) only
if it is satisfied that the offence with respect to which the thing or sample
was seized occurred without the knowledge or consent of the applicant.
(8) Any amount to be paid under this section is to be paid out of the
proceeds (if any) of the sale of the thing or sample.
(9) The Regulator may deduct any reasonable costs incurred in dealing with
the thing or sample from an amount ordered to be paid under this
section.
566—National regulations
The national regulations may prescribe—
(a) the circumstances in which the Regulator must apply to the Registrar
of Personal Property Securities under the Personal
Property Securities Act 2009 of the Commonwealth to register, amend or
cancel an instrument in relation to a sample or thing referred to in this
Division; and
(b) the priority in which the proceeds of the disposal of anything under
this Division are to be applied.
Division 4—Information-gathering
powers
567—Power to require name, address and date of
birth
(1) This section
applies if an authorised officer—
(a) finds a person
committing an offence against this Law; or
(b) finds a person in
circumstances that lead the officer to reasonably suspect the person has
committed an offence against this Law; or
(c) has information
that leads the officer to reasonably suspect a person has committed an offence
against this Law; or
(d) reasonably suspects a person is or was the driver of or other person
in charge of a heavy vehicle that has been or may have been involved in an
incident involving the death of, or injury to, a person or damage to property;
or
(e) reasonably suspects a person is or may be a responsible person for a
heavy vehicle; or
(f) reasonably suspects a person is or may be able to help in the
investigation of an offence against this Law.
(2) The authorised
officer may require the person to state the person’s name, address and
date of birth.
(3) The authorised
officer may also require the person to give evidence of the correctness of the
stated name, address or date of birth if—
(a) the officer reasonably suspects that the stated name, address or date
of birth is incorrect; and
(b) in the circumstances, it would be reasonable to expect the person
to—
(i) be in possession of evidence of the correctness of the stated name,
address or date of birth; or
(ii) otherwise be able to give the evidence.
(4) A person of whom a
requirement is made under
subsection (2) or
(3) must comply with the
requirement, unless the person has a reasonable excuse.
Maximum penalty: $3 000.
(5) If a person of whom
a requirement is made under
subsection (2) or
(3) requests, when the
requirement is made, the authorised officer to produce the officer’s
identification details, the officer must as soon as practicable produce for the
inspection of the person—
(a) for an authorised
officer who is a police officer—an identity card or other document
evidencing the officer’s appointment as a police officer; or
(b) for an authorised officer who is not a police officer—the
identity card issued to the officer under this Law or another document
evidencing the officer’s appointment as an authorised officer.
(6)
Subsection (5)(a) does
not apply to a police officer in uniform.
(7) In a proceeding for an offence of contravening a requirement made
under
subsection (2) to
state a business address, it is a defence for the person charged to prove
that—
(a) the person did not have a business address; or
(b) the person’s business address was not connected, directly or
indirectly, with road transport involving heavy vehicles.
(8) This section does not authorise an authorised officer to impose a
requirement under this section in relation to an incident that involves the
death of, or injury to, a person unless the authorised officer is a police
officer.
(9) In this section—
address, of a person, includes the person’s residential
and business address and, for a person temporarily in this jurisdiction,
includes the place where the person is living in this jurisdiction.
568—Power to require production of document etc
required to be in driver’s possession
(1) This section applies if a heavy vehicle—
(a) is stationary on a road; or
(b) is in or at a place entered by an authorised officer under
Chapter 9 Part 2;
or
(c) has been stopped under
section 513.
(2) An authorised
officer may, for compliance purposes, require the driver of the heavy vehicle to
produce, for inspection by the officer a document, device or other thing the
driver is required under this Law to keep in the driver’s possession while
driving the vehicle.
Examples—
• a copy of a Commonwealth Gazette notice or permit
• a work diary
(3) A person of whom a requirement is made under
subsection (2) must
comply with the requirement, unless the person has a reasonable
excuse.
Maximum penalty: an amount equal to the amount of the maximum penalty for
an offence of failing to keep the document, device or other thing in the
driver’s possession.
(4) It is not a reasonable excuse for the person to fail to comply with a
requirement made under
subsection (2)—
(a) that the person does not have the document, device or other thing in
his or her immediate possession; or
(b) that complying with the requirement might tend to incriminate the
person or make the person liable to a penalty.
(5) The authorised
officer may—
(a) take a copy of, or
an extract from, a document mentioned in
subsection (2);
or
(b) produce an image or
writing from a document mentioned in
subsection (2) that
is an electronic document; or
(c) take an extract
from a device or other thing mentioned in
subsection (2),
including, for example—
(i) by taking a copy of, or an extract from, a readout or other data
obtained from the device or other thing; or
(ii) by accessing and downloading information from the device or other
thing; or
(d) seize a document,
device or other thing mentioned in
subsection (2) if
the authorised officer reasonably believes the document, device or other thing
may provide evidence of an offence against this Law.
(6) If, under
subsection (5), the
authorised officer copies, takes an extract from, or produces an image or
writing from, a document or an entry in a document, the officer may require the
person responsible for keeping the document to certify the copy as a true copy
of the document or entry.
(7) A person of whom a requirement is made under
subsection (6) must
comply with the requirement, unless the person has a reasonable
excuse.
Maximum penalty: $3 000.
(8) If a document, device or other thing is produced to an authorised
officer under this section and it is not seized under
subsection (5)(d),
the officer must return it to the person who produced it—
(a) as soon as practicable after the officer inspects it; or
(b) if the officer takes a copy of, extract from, or produces an image or
writing from, it under
subsection (5)(a),
(b) or
(c),
as soon as practicable after the copy or extract is taken or the image or
writing is produced.
(9) However, if a requirement is made of the person under
subsection (6) for a
document, the authorised officer may keep the document until the person complies
with the requirement.
569—Power to require production of documents etc
generally
(1) An authorised
officer may require a responsible person for a heavy vehicle to make available
for inspection by an authorised officer, or to produce to an authorised officer
for inspection, at a reasonable time and place nominated by the
officer—
(a) a document issued to the person under this Law; or
(b) a document, device
or other thing required to be kept by the person under this Law or a heavy
vehicle accreditation; or
(c) transport
documentation or journey documentation in the person’s possession or under
the person’s control; or
(d) a document in the person’s possession or under the
person’s control relating to—
(i) the use, performance or condition of a heavy vehicle; or
(ii) the ownership, insurance, licensing or registration of a heavy
vehicle; or
(iii) the load or equipment carried or intended to be carried by a heavy
vehicle, including, for example, a document relating to insurance of the load or
equipment; or
(e) a document in the
person’s possession or under the person’s control relating to any
business practices; or
(f) a document in the
person’s possession or under the person’s control showing that a
heavy vehicle’s garage address recorded in the vehicle register is or is
not the vehicle’s actual garage address.
(2) A person of whom a
requirement is made under
subsection (1) must
comply with the requirement, unless the person has a reasonable
excuse.
Maximum penalty: $6 000.
(3) Compliance with a requirement made under
subsection (1) for
an electronic document requires the making available or production of a clear
written reproduction of the electronic document.
(4) It is not a reasonable excuse for the person to fail to comply with a
requirement made under
subsection (1) that
complying with the requirement might tend to incriminate the person or make the
person liable to a penalty.
(5) The authorised
officer may—
(a) take a copy of, or
an extract from, a document mentioned in
subsection (1);
or
(b) produce an image or
writing from a document mentioned in
subsection (1) that
is an electronic document; or
(c) take an extract
from a device or other thing mentioned in
subsection (1)(b),
including, for example—
(i) by taking a copy of, or an extract from, a readout or other data
obtained from the device or other thing; or
(ii) by accessing and downloading information from the device or other
thing; or
(d) seize a document,
device or other thing mentioned in
subsection (1) if
the authorised officer reasonably believes the document, device or other thing
may provide evidence of an offence against this Law.
(6) If, under
subsection (5), the
authorised officer copies, takes an extract from, or produces an image or
writing from, a document or an entry in a document, the officer may require the
person responsible for keeping the document to certify the copy as a true copy
of the document or entry.
(7) A person of whom a requirement is made under
subsection (6) must
comply with the requirement, unless the person has a reasonable
excuse.
Maximum penalty: $3 000.
(8) If a document, device or other thing is produced to an authorised
officer under this section and it is not seized under
subsection (5)(d),
the officer must return it to the person who produced it—
(a) as soon as practicable after the officer inspects it; or
(b) if the officer takes a copy of, extract from, or produces an image or
writing from, it under
subsection (5)(a),
(b) or
(c),
as soon as practicable after the copy or extract is taken or the image or
writing is produced.
(9) However, if a requirement is made of the person under
subsection (6) for a
document, the authorised officer may keep the document until the person complies
with the requirement.
(10) A requirement under
subsection (1) in
relation to a document referred to in
subsection (1)(e)
may be made only in relation to an alleged or possible offence against
section 204 or
230.
570—Power to require information about heavy
vehicles
(1) An authorised
officer may, for compliance purposes, require a responsible person for a heavy
vehicle to give the officer—
(a) information about the vehicle or any load or equipment carried or
intended to be carried by the vehicle; or
(b) personal details known to the responsible person about any other
responsible person for the vehicle.
(2) Without limiting
subsection (1), a
responsible person who is associated with a particular vehicle may be required
to provide information about the current or intended journey of the vehicle,
including, for example, the following:
(a) the location of the start or intended start of the journey;
(b) the route or intended route of the journey;
(c) the location of the destination or intended destination of the
journey.
(3) A person of whom a
requirement is made under
subsection (1) must
comply with the requirement, unless the person has a reasonable
excuse.
Maximum penalty: $6 000.
(4) Without limiting what may be a reasonable excuse for the purposes of
subsection (3), in a
proceeding for an offence of contravening a requirement under
subsection (1), it
is a defence for the person charged to prove that the person did not know, and
could not be reasonably expected to know or ascertain, the required
information.
(5) It is not a reasonable excuse for a person to fail to comply with a
requirement made under
subsection (1) that
complying with the requirement might tend to incriminate the person or make the
person liable to a penalty.
(6) In this section—
information includes electronically stored
information;
personal details, about a responsible person,
means—
(a) the person’s name; or
(b) the person’s residential address or business address;
responsible person, for a heavy vehicle, for the exercise of
a power under this section in relation to a speeding offence, does not
include—
(a) a person mentioned in
section 5, definition
responsible person, paragraph (i), (j), (k) or (n); or
Note—
Those paragraphs deal with persons who pack, load or unload goods or
containers, and owners and operators etc of weighbridges or weighbridge
facilities.
(b) an employer, employee, agent or subcontractor of that
person;
speeding offence means an offence committed by the driver of
a heavy vehicle because the driver exceeded a speed limit applying to the
driver.
Division 5—Improvement
notices
571—Authorised officers to whom Division
applies
(1) This Division
applies to an authorised officer who is a police officer only if the police
officer has the relevant police commissioner’s written authority to issue
improvement notices under this Division.
(2) This Division applies to an authorised officer who is not a police
officer only if the officer’s instrument of appointment provides that the
authorised officer may issue improvement notices under this Division.
572—Improvement notices
(1) This section applies if an authorised officer reasonably believes a
person has contravened or is contravening a provision of this Law in
circumstances that make it likely that the contravention will continue or be
repeated.
(2) The authorised
officer may give the person a notice (an improvement notice)
requiring the person to take action within a stated period to stop the
contravention from continuing or occurring again or to remedy the matters or
activities occasioning the contravention.
(3) The period stated in the improvement notice within which the person is
required to comply with the notice must be at least 7 days after the notice
is given unless the authorised officer is satisfied it is reasonable to require
the person to comply with the notice in a shorter period
because—
(a) it is reasonably practicable for the person to comply with the notice
within the shorter period; and
(b) requiring the person to comply with the notice within the shorter
period is not likely to involve—
(i) a higher cost to the person to comply with the notice; or
(ii) a more adverse effect on the person’s business
operations.
(4) The improvement notice must be in the approved form and state the
following:
(a) that the authorised officer reasonably believes the person has
contravened or is contravening a provision of this Law in circumstances that
make it likely that the contravention will continue or be repeated;
(b) the reasons for that belief;
(c) the provision of this Law in relation to which that belief is
held;
(d) that the person must take action within a stated period to stop the
contravention from continuing or occurring again or to remedy the matters or
activities occasioning the contravention;
(e) the review and appeal information for the decision to give the
notice;
(f) that the notice is given under this section.
(5) The improvement notice may state the way the action is to be
taken.
573—Contravention of improvement
notice
(1) A person given an
improvement notice must comply with the notice, unless the person has a
reasonable excuse.
Maximum penalty: $10 000.
(2) In a proceeding for an offence against
subsection (1),
it is a defence for the person charged to prove that the alleged contravention,
or the matters or activities occasioning the alleged contravention, were
remedied within the period stated in the improvement notice, though in a way
different to that stated in the notice.
(3) A person who is given an improvement notice in relation to a
contravention of a provision of this Law cannot be proceeded against for an
offence constituted by the contravention unless—
(a) the person fails to comply with the improvement notice and does not
have a reasonable excuse for the noncompliance; or
(b) the improvement notice is revoked under
section 575.
574—Amendment of improvement
notice
(1) An improvement notice given by an authorised officer who is a police
officer may be amended by any authorised officer who is a police officer and who
has the relevant police commissioner’s written authority to issue
improvement notices under this Division.
(2) An improvement notice given by an authorised officer who is not a
police officer may be amended by any authorised officer who is not a police
officer.
(3) An amendment of an improvement notice given to a person is ineffective
to the extent it purports to deal with a contravention of a different provision
of this Law to that dealt with in the improvement notice when first
given.
(4) If an authorised officer decides to amend an improvement notice given
to a person, the officer must give the person notice of the amendment stating
the following:
(a) the amendment;
(b) the reasons for the amendment;
(c) the review and appeal information for the decision to amend the
improvement notice.
Note—
Section 23 of
Schedule 1 allows for the
amendment of an improvement notice.
575—Revocation of an improvement
notice
(1) An improvement notice given to a person by an authorised officer who
is a police officer may be revoked, by giving notice of the revocation to the
person, by—
(a) the relevant police commissioner; or
(b) an authorised officer who—
(i) is a police officer; and
(ii) has the relevant police commissioner’s written authority to
issue improvement notices under this Division; and
(iii) is more senior in rank to the police officer who gave the notice to
the person.
(2) An improvement notice given to a person by an authorised officer who
is not a police officer may be revoked by the Regulator by giving notice of the
revocation to the person.
(3)
Section 23 of
Schedule 1 does not apply
in relation to the revocation of the improvement notice.
576—Clearance certificate
(1) An approved authorised officer may issue a certificate (a
clearance certificate) stating that all or stated requirements of
an improvement notice have been complied with.
(2) If a person to whom an improvement notice is given receives a
clearance certificate about the improvement notice, each requirement of the
improvement notice that the certificate states has been complied with stops
being operative.
approved authorised officer means—
(a) for an improvement notice given by an authorised officer who is a
police officer—any authorised officer who is a police officer and who has
the relevant police commissioner’s written authority to issue improvement
notices under this Division; or
(b) for an improvement notice given by an authorised officer who is not a
police officer—any authorised officer who is not a police
officer.
Division 6—Power to require reasonable
help
577—Power to require reasonable
help
(1) An authorised
officer who enters a place under this Chapter may require an occupier of the
place or a person at the place to give the officer reasonable help to exercise a
power under this Chapter.
(2) An authorised
officer who is exercising a power under this Chapter in relation to a heavy
vehicle on a road may require the vehicle’s driver to give the officer
reasonable help to exercise the power.
(3) Without limiting
subsection (1) or
(2), a requirement under
the subsection may be that the occupier, person or driver—
(a) produce a document or give information to the authorised officer;
or
Example—
The authorised officer wishes to obtain information relating to the purpose
of the entry. Information of that type is stored or recorded on a computer at
the place. The authorised officer may require the occupier to give reasonable
help to produce a reproduction of the information from the computer.
(b) help the authorised officer to find and gain access to a document or
information, including electronically stored information; or
Examples of documents or information—
• a document about the heavy vehicle’s performance,
specifications (including the dimensions and other physical attributes of the
vehicle or its fittings), functional capabilities (including the vehicle’s
GVM, GCM and speed capabilities) or authorised operations required to be kept in
the vehicle under this Law or a heavy vehicle accreditation
• a weighing document for a container loaded on to the heavy
vehicle
• a telephone record
(c) help the authorised officer to weigh or measure—
(i) a heavy vehicle or a component of a heavy vehicle; or
(ii) the whole or part of a heavy vehicle’s load or equipment;
or
(d) start or stop the engine of a heavy vehicle under
section 523; or
(e) help the authorised officer to operate equipment or facilities for a
purpose relevant to the power being or proposed to be exercised; or
(f) provide access free of charge to photocopying equipment for the
purpose of copying any records or other material.
(4) A person of whom a
requirement is made under
subsection (1) or
(2) must comply with the
requirement, unless the person has a reasonable excuse.
Maximum penalty: $10 000.
(5) Without limiting
what may be a reasonable excuse for the purposes of
subsection (4), it
is a reasonable excuse for a person not to comply with a requirement made under
subsection (1) or
(2) if doing so would
require the person to take action that is outside the scope of the business or
other activities of the person.
(6) It is not a
reasonable excuse for a person to fail to comply with a requirement made under
subsection (1) or
(2), in relation to a
document or information that is the subject of the requirement, if doing so
might tend to incriminate the person or make the person liable to a
penalty.
(7) If a requirement made under
subsection (1) or
(2) is that the occupier
of, or person at, a place start or stop the engine of a heavy
vehicle—
(a) it is immaterial that the occupier or person is not—
(i) the operator of the vehicle; or
(ii) authorised by the operator to drive the vehicle or start or stop its
engine; or
(iii) qualified to drive the vehicle or start or stop its engine;
and
(b) in starting or stopping the engine of the vehicle in compliance with
the requirement, the occupier or person is exempt from a provision of an
Australian road law to the extent the provision would require the occupier or
person to be qualified to start or stop the engine.
Part 5—Provisions about exercise of
powers
Division 1—Damage in exercising
powers
578—Duty to minimise inconvenience or
damage
(1) In exercising a
power under this Law, an authorised officer must take all reasonable steps to
cause as little inconvenience, and do as little damage, as possible.
(2)
Subsection (1) does not
provide for a statutory right of compensation other than as provided under
Division 2.
Note—
Division 2
provides for compensation for costs, damage or loss incurred because of the
exercise of a power by an authorised officer under this Chapter.
579—Restoring damaged thing
(1) This section applies if—
(a) an authorised officer damages something when exercising, or purporting
to exercise, a power under this Law and the damage was caused by an improper or
unreasonable exercise of the power or the use of unauthorised force;
or
(b) a person (the assistant) acting under the direction or
authority of an authorised officer damages something and the damage was caused
by an improper or unreasonable exercise of a power or the use of unauthorised
force.
(2) The authorised officer must take all reasonable steps to restore the
thing to the condition it was in immediately before the officer exercised the
power, or the assistant took action under the officer’s direction or
authority.
580—Notice of damage
(1) This section applies if—
(a) an authorised officer damages something when exercising, or purporting
to exercise, a power under this Law; or
(b) a person (the assistant) acting under the direction or
authority of an authorised officer damages something.
(2) However, this section does not apply to damage if the authorised
officer reasonably believes—
(a) the thing has been restored to the condition it was in immediately
before the officer exercised the power, or the assistant took action under the
officer’s direction or authority; or
(b) the damage is trivial; or
(c) there is no-one apparently in possession of the thing; or
(d) the thing has been abandoned; or
(e) the damage was not caused by an improper or unreasonable exercise of a
power or the use of unauthorised force.
(3) The authorised
officer must give notice of the damage to the person who appears to the officer
to be an owner, or person in control, of the thing.
(4) However, if for any
reason it is not practicable to comply with
subsection (3), the
authorised officer must—
(a) leave the notice at the place where the damage happened; and
(b) ensure it is left in a conspicuous position and in a reasonably secure
way.
(5) The notice must state—
(a) particulars of the damage; and
(b) that the person who suffered the damage may claim compensation under
section 581.
(6) If the authorised officer believes the damage was caused by a latent
defect in the thing or circumstances beyond the control of the officer or the
assistant the officer may state the belief in the notice.
(7) The authorised officer may delay complying with
subsection (3) or
(4) if the officer
reasonably suspects complying with the subsection may frustrate or otherwise
hinder an investigation by the officer under this Law.
(8) The delay may be only for so long as the authorised officer continues
to have the reasonable suspicion and remains in the vicinity of the
place.
Division 2—Compensation
581—Compensation because of exercise of
powers
(1) A person may claim
compensation from the Regulator if the person incurs costs, damage or loss
because of the exercise, or purported exercise, of a power by or for an
authorised officer, including costs, damage or loss incurred because of
compliance with a requirement made of the person under this Chapter.
(2) However,
subsection (1) does
not apply—
(a) to costs, damage or loss incurred because of a lawful seizure or
forfeiture; or
(b) if the costs, damage or loss was not caused by an improper or
unreasonable exercise of a power or the use of unauthorised force.
(3) The compensation may be claimed and ordered in a
proceeding—
(a) brought in a court with jurisdiction for the recovery of the amount of
compensation claimed; or
(b) for an offence against this Law in relation to which the power was
exercised or purportedly exercised.
(4) A court may order the payment of compensation only if it is satisfied
it is just to make the order in the circumstances of the particular
case.
(5) In considering whether it is just to order compensation, the court
must have regard to any relevant offence committed by the claimant.
(6) The national regulations may prescribe other matters that may, or
must, be taken into account by the court when considering whether it is just to
order compensation.
Division 3—Provision about exercise of
particular powers
582—Duty to record particular information in
driver’s work diary
(1) This section applies if, under this Law, an authorised officer directs
the driver of a fatigue-regulated heavy vehicle to stop the vehicle for
compliance purposes.
(2) If, for the
exercise or purported exercise of a power under this Law, the authorised officer
detains the driver for 5 minutes or longer, the driver may ask the officer to
record the following details in the driver’s work diary:
(a) the officer’s
identifying details;
(b) the time, date and place at which the driver stopped the heavy vehicle
in compliance with the officer’s direction;
(c) the length of time the driver spent talking to the officer in the
exercise or purported exercise of a power under this Law.
(3) The authorised officer must comply with the request.
(4) An authorised officer complies with
subsection (2)(a) by
recording either his or her name, or his or her identification number.
Part 6—Miscellaneous
provisions
Division 1—Powers of
Regulator
583—Regulator may exercise powers of authorised
officers
(1) The Regulator may
exercise a power that is conferred on authorised officers under this Law, and
accordingly, the functions of the Regulator include the powers exercisable by
the Regulator under this subsection.
(2)
Subsection (1) does not
apply to a power that requires the physical presence of an authorised
officer.
Division 2—Other offences relating to
authorised officers
584—Obstructing authorised
officer
(1) A person must not obstruct—
(a) an authorised officer, or someone helping an authorised officer,
exercising a power under this Law; or
(b) an assistant mentioned in
section 518,
519 or
523 exercising a power under
that section.
Maximum penalty: $10 000.
(2) In this section—
obstruct includes assault, hinder, resist, attempt to
obstruct and threaten to obstruct.
585—Impersonating authorised
officer
A person must not impersonate an authorised officer.
Maximum penalty: $10 000.
Division 3—Other
provisions
586—Multiple requirements
An authorised officer may—
(i) give more than 1
direction to, or make more than 1 requirement of, a person under a provision of
this Chapter; or
(ii) give a direction
to, or make a requirement of, a person under a provision of this Chapter and
give a direction to, or make a requirement of, the person under 1 or more other
provisions of this Chapter; or
(b) give a direction
to, or make a requirement of, a person under a provision and give a further
direction to, or make a further requirement of, the person under the same
provision; or
(c) make a combination of directions or requirements under
paragraph (a)(i) or
(ii) or
(b).
587—Compliance with particular
requirements
(1) A person is not
excused from compliance with a requirement imposed by an authorised officer
under this Chapter on the ground that compliance might incriminate the person or
make the person liable to a penalty.
(2)
Subsection (1) has effect
subject to
section 588.
588—Evidential immunity for individuals complying
with particular requirements
(1) This section applies to a requirement made by an authorised officer
under
section 569(1)(c) to
(f),
570 or
577.
(2) The following is
not admissible in evidence against an individual in a criminal proceeding
(except a proceeding for an offence against this Chapter):
(a) information
provided by an individual in compliance with the requirement;
(b) information directly or indirectly derived from information mentioned
in
paragraph (a).
(3) Any document produced by an individual in compliance with the
requirement is not inadmissible in evidence against the individual in a criminal
proceeding on the ground that the document might incriminate the
individual.
(4)
Subsection (2) does not
apply to a proceeding about the false or misleading nature of anything in the
information or in which the false or misleading nature of the information is
relevant evidence.
589—Effect of withdrawal of consent to enter under
this Chapter
(1) This section applies if—
(a) an authorised officer enters a place with the occupier’s consent
and has obtained evidence at the place; but
(b) the occupier’s consent is later withdrawn.
(2) The evidence obtained (including any evidence seized) up to the time
the consent is withdrawn is not invalid or inadmissible in proceedings for a
contravention of this Law merely because the consent was withdrawn.
Chapter 10—Sanctions
and provisions about liability for offences
Part 1—Formal warnings
590—Formal warning
(1) This section applies if an authorised officer reasonably
believes—
(a) a person has contravened this Law; and
(b) the person had taken reasonable steps to prevent the contravention and
was unaware of the contravention; and
(c) the contravention may appropriately be dealt with by way of a warning
under this section.
(2) The authorised officer may give the person a written
warning.
(3) However, a warning must not be given for a contravention of a mass,
dimension or loading requirement constituting a substantial risk breach or
severe risk breach.
(4) Subject to
subsection (6), if a
warning is given to a person under this section for a contravention of this Law,
the person cannot be proceeded against for an offence against this Law
constituted by the contravention.
(5) A warning given
under this section may, within 21 days after it is given, be withdrawn by
an approved authorised officer by giving the person to whom the warning was
given notice of the withdrawal.
(6) After a warning
given under this section is withdrawn under
subsection (5), a
proceeding may be taken against the person to whom the warning was given for the
contravention for which the warning was given.
(7) In this section—
approved authorised officer means—
(a) for a warning given under this section by an authorised officer who is
a police officer—an authorised officer who is a police officer and who has
the relevant police commissioner’s written authority to withdraw warnings
given under this section; or
(b) for a warning given under this section by an authorised officer who is
not a police officer—an authorised officer whose instrument of appointment
provides that the authorised officer may withdraw warnings given under this
section;
proceeding includes action by way of an infringement
notice.
Part 2—Infringement
notices
591—Infringement notices
(1) An authorised officer who reasonably believes that a person has
committed a prescribed offence against this Law may serve the person with an
infringement notice issued as an alternative to prosecution in court for the
offence.
(2) The procedures to be followed in connection with infringement notices
issued for the purposes of this Law as applied in this jurisdiction are to be
the procedures prescribed by or under the Infringement Notice Offences Law of
this jurisdiction.
(3) In this section—
prescribed offence means an offence prescribed by a law of
this jurisdiction for the purposes of this section.
592—Recording information about infringement
penalties
(1) The Regulator may
keep a record of—
(a) each infringement
notice issued for the purposes of this Law; and
(b) the payment of a fine sought by an infringement notice by a person to
whom the notice is issued for the purposes of this Law.
(2) Information in a record kept under
subsection (1) may
be used only—
(a) to accumulate aggregate data for research or education; or
(b) in a proceeding relating to the offence for which the infringement
notice was issued, including, for example, an appeal against the conviction for
the offence; or
(c) in a proceeding for an offence (the extended liability
offence) where—
(i) the extended liability offence arises in connection with another
offence (the relevant offence) for which the infringement notice
was issued; and
(ii) a provision of this Law (for example,
section 315(5))
provides that evidence of details stated in the infringement notice is evidence
in the proceeding that the relevant offence happened at the time and place, and
in the circumstances, stated in the infringement notice; or
(d) for the purposes of
section 601(b) or
608(b); or
(e) as authorised under
subsection (3).
(3) Information in a
record kept under
subsection (1)(a)
may be used by authorised officers in connection with the exercise of functions
under this Law.
Part 3—Court sanctions
Division 1—General
provisions
593—Penalties court may impose
(1) A court that finds a person guilty of an offence against this Law may
impose any 1 or more of the penalties provided for in this Part.
(2) Without limiting the court’s discretion, when imposing 2 or more
penalties under this Part, the court must take into account the combined effect
of the penalties imposed.
(3) This Part does not limit the powers or discretion of the court under
another law.
594—Matters court must consider when imposing
sanction for noncompliance with mass, dimension or loading
requirement
(1) The purpose of this section is to bring to a court’s attention
the implications and consequences of a contravention of a mass, dimension or
loading requirement when deciding the kind and level of sanction to be imposed
for the contravention.
(2) In deciding the
sanction, including the level of a fine, to be imposed for the contravention,
the court must consider the following matters:
(a) a minor risk breach of a mass, dimension or loading requirement
involves either or both of the following:
(i) an appreciable risk of accelerated road wear;
(ii) an appreciable risk of unfair commercial advantage;
(b) a substantial risk breach of a mass, dimension or loading requirement
involves 1 or more of the following:
(i) a substantial risk of accelerated road wear;
(ii) an appreciable risk of damage to road infrastructure;
(iii) an appreciable risk of increased traffic congestion;
(iv) an appreciable risk of diminished public amenity;
(v) a substantial risk of unfair commercial advantage;
(c) a severe risk breach of a mass, dimension or loading requirement
involves 1 or more of the following:
(i) an appreciable risk of harm to public safety or the
environment;
(ii) a serious risk of accelerated road wear;
(iii) a serious risk of damage to road infrastructure;
(iv) a serious risk of increased traffic congestion;
(v) a serious risk of diminished public amenity;
(vi) a serious risk of unfair commercial advantage.
(3) This section does not limit the matters the court may consider in
deciding the sanction for the contravention.
(4) Nothing in this section authorises or requires the court to assign the
contravention to a different risk category.
(5) Nothing in this section requires evidence to be adduced about a matter
mentioned in
subsection (2).
595—Court may treat noncompliance with mass,
dimension or loading requirement as a different risk
category
(1) If a court is satisfied there has been a contravention of a mass,
dimension or loading requirement but is not satisfied the contravention is a
substantial risk breach or a severe risk breach, the court may treat the
contravention as a minor risk breach.
(2) If a court is satisfied there has been a contravention of a mass,
dimension or loading requirement and that the contravention is at least a
substantial risk breach but is not satisfied the contravention is a severe risk
breach, the court may treat the contravention as a substantial risk
breach.
Division 2—Provisions about imposing
fines
596—Body corporate fines under penalty
provision
(1) This section applies to a provision of this Law that—
(a) prescribes a maximum fine for an offence; and
(b) does not expressly prescribe a maximum fine for a body corporate
different to the maximum fine for an individual.
(2) The maximum fine is taken only to be the maximum fine for an
individual.
(3) If a body corporate is found guilty of the offence, the court may
impose a maximum fine of an amount equal to 5 times the maximum fine for an
individual.
Division 3—Commercial benefits penalty
orders
597—Commercial benefits penalty
order
(1) If a court convicts a person of an offence against this Law, the court
may, on application by the prosecutor, make an order (a commercial
benefits penalty order) requiring the person to pay, as a fine, an
amount not exceeding 3 times the amount estimated by the court to be the
gross commercial benefit—
(a) received or receivable, by the person or by an associate of the
person, from the commission of the offence; and
(b) for a journey that was interrupted or not commenced because of action
taken by an authorised officer in connection with the commission of the
offence—that would have been received or receivable, by the person or by
an associate of the person, from the commission of the offence had the journey
been completed.
(2) In estimating the gross commercial benefit, the court may take into
account—
(a) benefits of any kind, whether or not monetary; and
(b) any other matters it considers relevant, including, for
example—
(i) the value of any goods involved in the offence; and
(ii) the distance over which the goods were, or were to be,
carried.
(3) However, in estimating the gross commercial benefit, the court must
disregard any costs, expenses or liabilities incurred by the person or by an
associate of the person.
(4) Nothing in this section prevents the court from ordering payment of an
amount that is less than the estimated gross commercial benefit.
Division 4—Cancelling or suspending
registration
598—Power to cancel or suspend vehicle
registration
(1) This section applies if a court convicts a person of—
(a) an offence against this Law relating to a contravention of a mass,
dimension or loading requirement constituting a severe risk breach; or
(b) an offence against this Law other than an offence relating to a
contravention of a mass, dimension or loading requirement.
(2) The court may make
an order that the registration of a heavy vehicle in relation to which the
offence was committed and of which the person is a registered operator
is—
(a) cancelled; or
(b) suspended for a stated period.
(3) If the court makes
an order under
subsection (2)
against a person, the court may also make an order that the person, or an
associate of the person, is disqualified from applying for the registration of
the heavy vehicle for a stated period.
(4) If the court considers that another person who is not present in court
may be substantially affected by an order under
subsection (2)
or
(3), the court may issue
a summons to that person to show cause why the order should not be
made.
(5) The court is to
ensure that the Regulator is notified of the decision to make an order under
subsection (2) or
(3) and the terms of the
order, but failure to do so does not invalidate the decision or the
order.
Division 5—Supervisory intervention
orders
599—Application of
Division 5
This Division applies if a court—
(a) convicts a person
(the convicted person) of an offence against this Law;
and
(b) considers the person to be, or likely to become, a systematic or
persistent offender of this Law having regard to the circumstances of offences
against this Law and previous corresponding laws for which the person has
previously been convicted.
600—Court may make supervisory intervention
order
(1) The court may, on
application by the prosecutor or the Regulator, make an order (a
supervisory intervention order) requiring the convicted person, at
the person’s own expense and for a stated period of not more than 1 year,
to do 1 or more of the following:
(a) stated things the court considers will improve the person’s
compliance with this Law, or stated aspects of this Law, including, for
example—
(i) appointing staff to, or removing staff from, particular positions;
or
(ii) training and supervising staff; or
(iii) obtaining expert advice about maintaining compliance with this Law,
or stated aspects of this Law; or
(iv) installing equipment for monitoring or managing compliance with this
Law, or stated aspects of this Law, including, for example, intelligent
transport system equipment; or
(v) implementing practices, systems or procedures for monitoring or
ensuring compliance with this Law, or stated aspects of this Law;
(b) implement stated practices, systems or procedures for monitoring or
ensuring compliance with this Law, or stated aspects of this Law, subject to the
direction of the Regulator or a person nominated by the Regulator;
(c) give compliance reports about the convicted person to the Regulator or
the court (or both), in a stated way and for stated periods;
(d) appoint a person to have the following responsibilities:
(i) helping the convicted person to improve the convicted person’s
compliance with this Law or stated aspects of this Law;
(ii) monitoring the convicted person’s compliance with this Law or
stated aspects of this Law and with the order;
(iii) giving compliance reports about the convicted person to the
Regulator or the court (or both), in a stated way and for stated
periods.
(2) In this section—
compliance report, about a person in relation to whom a
supervisory intervention order is made, means a report about the person’s
compliance with this Law, stated aspects of this Law, or the order, including,
for example, a report containing stated information about—
(a) things done by the
person to ensure compliance with this Law or stated aspects of this Law;
and
(b) the effect of the things mentioned in
paragraph (a).
601—Limitation on making supervisory intervention
order
The court may make a supervisory intervention order only if the court is
satisfied the order is capable of improving the convicted person’s ability
or willingness to comply with this Law having regard to—
(a) the offences against this Law or a previous corresponding law for
which the person has previously been convicted; and
(b) the offences
against this Law or a previous corresponding law for which the person has been
proceeded against by way of unwithdrawn infringement notices; and
(c) any other offences or other matters that the court considers relevant
to the person’s conduct in connection with road transport.
602—Supervisory intervention order may suspend
other sanctions
(1) A supervisory
intervention order may direct that any other penalty or sanction imposed for the
offence to which it relates is suspended until the order ends unless the court
decides there has been a substantial failure to comply with the order.
(2) For the purposes of
subsection (1), a
court may decide that a failure to comply with a supervisory intervention order
is a substantial failure if the failure causes, or creates a risk of, serious
harm to public safety, the environment or road infrastructure.
603—Amendment or revocation of supervisory
intervention order
A court that makes a supervisory intervention order may, on application by
the Regulator or the person to whom the order applies, amend or revoke the order
if the court is satisfied there has been a change in circumstances warranting
the amendment or revocation.
604—Contravention of supervisory intervention
order
A person to whom a supervisory intervention order applies must comply with
the order, unless the person has a reasonable excuse.
Maximum penalty: $10 000.
605—Effect of supervisory intervention order if
prohibition order applies to same person
(1) This section applies if both a supervisory intervention order and a
prohibition order is in force at the same time against the same
person.
(2) The supervisory intervention order has no effect while the prohibition
order has effect.
Division 6—Prohibition
orders
606—Application of
Division 6
This Division applies if a court—
(a) convicts a person
(the convicted person) of an offence against this Law;
and
(b) considers the person to be, or likely to become, a systematic or
persistent offender of this Law having regard to the circumstances of offences
against this Law and previous corresponding laws for which the person has
previously been convicted.
607—Court may make prohibition
order
(1) The court may, on
application by the prosecutor or the Regulator, make an order (a
prohibition order) prohibiting the convicted person, for a stated
period of not more than 1 year, from having a stated role or responsibility
associated with road transport.
(2) However, the court cannot make a prohibition order prohibiting the
convicted person from driving a vehicle or having a vehicle registered or
licensed under an Australian road law in the convicted person’s
name.
608—Limitation on making prohibition
order
The court may make a prohibition order only if the court is satisfied the
convicted person should not continue to have the role or responsibilities
prohibited by the order, and that a supervisory intervention order is not
appropriate, having regard to—
(a) the offences against this Law or a previous corresponding law for
which the person has previously been convicted; and
(b) the offences
against this Law or a previous corresponding law for which the person has been
proceeded against by way of unwithdrawn infringement notices; and
(c) any other offences or other matters that the court considers relevant
to the person’s conduct in connection with road transport.
609—Amendment or revocation of prohibition
order
A court that makes a prohibition order may, on application by the Regulator
or the person to whom the order applies, amend or revoke the order if the court
is satisfied there has been a change in circumstances warranting the amendment
or revocation.
610—Contravention of prohibition
order
A person to whom a prohibition order applies must comply with the order,
unless the person has a reasonable excuse.
Maximum penalty: $10 000.
Division 7—Compensation
orders
611—Court may make compensation
order
(1) A court that
convicts a person (the convicted person) of an offence against
this Law may make an order (a compensation order) requiring the
convicted person to pay the road manager for a road, by way of compensation, an
amount the court considers appropriate for loss incurred, or likely to be
incurred, by the road manager for damage caused to road infrastructure as a
result of the offence.
(2) A compensation order may be made on the application of the prosecutor,
the Regulator or the road manager.
(3) The court may make a compensation order in relation to damage the
court considers, on the balance of probabilities, was caused or partly caused by
the commission of the offence.
(4) The court may make a compensation order—
(a) when the court gives its sentence for the offence; or
(b) at a later time, but not after the end of the period within which a
proceeding for the offence must start under this Law.
Note—
See
section 707
for the period within which a proceeding for an offence against this Law must
start.
612—Assessment of compensation
(1) In making a compensation order, the court may assess the amount of
compensation required to be paid by the order in the way it considers
appropriate, including, for example, by reference to the estimated cost of
remedying the damage.
(2) In assessing the
amount of compensation, the court may have regard to—
(a) evidence adduced in connection with the prosecution of the offence;
and
(b) any evidence not adduced in connection with the prosecution of the
offence but adduced in connection with the making of the order; and
(c) if the road manager
is a public authority—
(i) any certificate of the public authority stating that the authority is
responsible for maintaining the road infrastructure in relation to which the
order is sought; and
(ii) any other certificate of the public authority, including, for
example, a certificate—
(A) estimating the monetary value of all or part of the road
infrastructure in relation to which the order is sought; or
(B) estimating the monetary value of, or the cost of remedying, the damage
to the road infrastructure in relation to which the order is sought;
or
(C) estimating the extent to which the commission of the offence
contributed to the damage to the road infrastructure in relation to which the
order is sought; and
(d) any other matters the court considers relevant.
(3) A person who purportedly signs a certificate of a type mentioned in
subsection (2)(c) on
behalf of a public authority is presumed, unless the contrary is proved, to have
been authorised by the public authority to sign the certificate on the public
authority’s behalf.
613—Use of certificates in assessing
compensation
(1) If a public
authority proposes to submit a certificate mentioned in
section 612(2)(c) in
a proceeding for the making of a compensation order, the public authority must
give a copy of the certificate to the defendant at least 28 days before the
day fixed for the hearing of the proceeding.
(2) A certificate of the public authority cannot be used in a proceeding
for the making of a compensation order unless the public authority has complied
with
subsection (1).
(3) A defendant who
intends to challenge a matter stated in a certificate mentioned in
section 612(2)(c) in
a proceeding for the making of a compensation order must—
(a) give the public authority notice of the intention to challenge the
matter; and
(b) if the defendant is intending to challenge the accuracy of any
measurement, analysis or reading in the certificate—
(i) state the reason why the defendant alleges that it is inaccurate;
and
(ii) state the measurement, analysis or reading that the defendant
considers to be correct.
(a) signed by the defendant; and
(b) given at least 14 days before the day fixed for the hearing of the
proceeding.
(5) A defendant cannot challenge a matter stated in a certificate
mentioned in
section 612(2)(c) in
a proceeding for the making of a compensation order unless—
(a) the defendant has complied with
subsections (3) and
(4); or
(b) the court gives leave to the defendant to challenge the matter, in the
interests of justice.
614—Limits on amount of
compensation
(1) If, in making a compensation order, the court is satisfied that the
commission of the offence concerned contributed to damage to road infrastructure
but that other factors not connected with the commission of the offence also
contributed to the damage, the court must limit the amount of compensation
payable under the order to the amount it assesses as being attributable to the
defendant’s conduct.
(2) The amount of compensation payable under a compensation order cannot
exceed the monetary jurisdictional limit of the court in civil
proceedings.
(3) The court may not include in a compensation order any amount
for—
(a) personal injury or death; or
(b) loss of income (whether suffered by the road manager or another
entity); or
(c) damage to property that is not part of the road infrastructure
concerned.
615—Costs
The court has the same power to award costs in relation to proceedings for
the making of a compensation order as it has in relation to civil proceedings,
and the relevant laws applying to costs in relation to civil proceedings before
the court apply with any necessary changes to costs in relation to proceedings
for the making of a compensation order.
616—Enforcement of compensation order and
costs
A compensation order, and any award of costs in relation to a proceeding
for the making of a compensation order, are taken to be, and are enforceable as,
a judgment of the court sitting in civil proceedings.
617—Relationship with orders or awards of other
courts and tribunals
(1) A compensation
order may not be made in favour of a road manager for a road in relation to
damage to road infrastructure if another court or tribunal has awarded
compensatory damages or compensation in civil proceedings to the road manager in
relation to the damage based on the same or similar facts.
(2) If a court purports to make a compensation order contrary to
subsection (1)—
(a) the order is void to the extent it covers the same matters as the
matters covered by the other award; and
(b) any payments made under the order to the extent to which it is void
must be repaid by the road manager.
(3) The making of a compensation order in relation to damage to road
infrastructure does not prevent another court or tribunal from later awarding
damages or compensation in civil proceedings in relation to the damage based on
the same or similar facts, but the court or tribunal must take the compensation
order into account when making its award.
(4) Nothing in this Division affects or limits any liability to pay
compensation under another law, other than as provided by this
section.
Part 4—Provisions about
liability
Division 1—Reasonable steps
defence
618—Reasonable steps defence
If, in relation to a provision of this Law, a person has the benefit of the
reasonable steps defence, it is a defence to a charge for an offence against the
provision for the person charged to prove that—
(a) the person did not know, and could not reasonably be expected to have
known, of the contravention concerned; and
(b) either—
(i) the person took all reasonable steps to prevent the contravention;
or
(ii) there were no steps the person could reasonably be expected to have
taken to prevent the contravention.
Note—
Generally speaking, under various provisions of this Law, a person charged
with an offence does not have the benefit of the mistake of fact defence if the
person has the benefit of the reasonable steps defence for the offence. The
reasonable steps defence is not provided in the case of certain offences that
include the taking of reasonable steps as an ingredient of the
offence.
Division 2—Matters relating to reasonable
steps
619—Application of
Division 2
This Division applies in relation to the following:
(a) a proceeding for an offence against a provision of this Law that may
be committed by a person failing to take all reasonable steps;
(b) a proceeding for an offence against a provision of this Law in
relation to which a person charged has the benefit of the reasonable steps
defence.
620—Matters court may consider for deciding whether
person took all reasonable steps—mass, dimension or loading
offences
(1) In deciding whether things done or omitted to be done by a person
charged with a mass, dimension or loading offence constitute reasonable steps,
the court may have regard to the following:
(a) the circumstances
of the alleged offence, including any risk category for the contravention
constituting the offence;
(b) without limiting
paragraph (a), the
measures available and measures taken for any or all of the following:
(i) to accurately and safely weigh or measure the heavy vehicle or its
load, or to safely restrain the load in the heavy vehicle;
(ii) to provide and obtain sufficient and reliable evidence from which the
weight or measurement of the heavy vehicle or its load might be
calculated;
(iii) to manage, reduce or eliminate a potential contravention arising
from the location of the heavy vehicle, or from the location of the load in the
heavy vehicle, or from the location of goods in the load;
(iv) to manage, reduce or eliminate a potential contravention arising from
weather and climatic conditions, or from potential weather and climatic
conditions, affecting or potentially affecting the weight or measurement of the
load;
(v) to exercise supervision or control over others involved in activities
leading to the contravention;
(c) the measures available and measures taken for any or all of the
following:
(i) to include compliance assurance conditions in relevant commercial
arrangements with other responsible persons for heavy vehicles;
(ii) to provide information, instruction, training and supervision to
employees to enable compliance with this Law;
(iii) to maintain equipment and work systems to enable compliance with
this Law;
(iv) to address and remedy similar compliance problems that may have
happened in the past;
(d) whether the person charged had, either personally or through an
employee or agent, custody or control of the heavy vehicle, its load, or any
goods included or to be included in the load;
(e) the personal expertise and experience that the person charged had or
ought reasonably to have had or that an employee or agent of the person charged
had or ought reasonably to have had.
(2) This section does not limit the matters the court must or may consider
when deciding whether things done or omitted to be done by a person charged with
a mass, dimension or loading offence constitute reasonable steps.
(3) In this section—
mass, dimension or loading offence means an offence against
Chapter 4.
621—Reliance on container weight
declaration—offences about mass
(1) This section applies if the operator or driver of a heavy vehicle is
charged with an offence involving a contravention of a mass requirement for the
vehicle and is seeking to prove the reasonable steps defence in relation to the
offence.
(2) To the extent the weight of a freight container together with its
contents is relevant to the offence, the person charged cannot rely on the
weight stated in the relevant container weight declaration if the person knew or
ought reasonably to have known that—
(a) the weight stated in the relevant container weight declaration was
less than the actual weight; or
(b) the distributed weight of the container and its contents, together
with either of the following would cause a contravention of a mass requirement
applying to the heavy vehicle:
(i) the mass or location of any other load;
(ii) the mass of the vehicle or a component of it.
622—Matters court may consider for deciding whether
person took all reasonable steps—speeding or fatigue management
offences
(1) In deciding whether things done or omitted to be done by a person
charged with a speeding offence or fatigue management offence constitute
reasonable steps, the court may have regard to the following:
(a) the nature of the
activity to which the contravention constituting the offence relates;
(b) the risks to public
safety associated with the activity mentioned in
paragraph (a);
(c) the likelihood of the risks mentioned in
paragraph (b)
arising;
(d) the degree of harm likely to result from the risks mentioned in
paragraph (b)
arising;
(e) the circumstances of the alleged offence, including, for a fatigue
management offence, any risk category for the contravention constituting the
offence;
(f) the measures
available and measures taken—
(i) to prevent, eliminate or minimise the likelihood of a potential
contravention happening; or
(ii) to eliminate or minimise the likelihood of risks to public safety
arising from a potential contravention; or
(iii) to manage, minimise or eliminate risks to public safety arising from
a potential contravention;
(g) the personal expertise and experience that the person charged had or
ought reasonably to have had or that an employee or agent of that person had or
ought reasonably to have had;
(h) the degree of ability the person charged, or an employee or agent of
that person, had to take a measure mentioned in
paragraph (f);
(i) the costs of measures mentioned in
paragraph (f);
(j) the measures available and measures taken for any or all of the
following:
(i) to include compliance assurance conditions in relevant commercial
arrangements with other responsible persons for heavy vehicles;
(ii) to provide information, instruction, training and supervision to
employees to enable compliance with this Law;
(iii) to maintain equipment and work systems to enable compliance with
this Law;
(iv) to address and remedy similar compliance problems that may have
happened in the past.
(2) In addition, in deciding whether things done or omitted to be done by
a person charged with a fatigue management offence constitute reasonable steps,
the court may have regard to any relevant body of fatigue knowledge.
(3) This section does not limit the matters the court must or may consider
when deciding whether things done or omitted to be done by a person charged with
a speeding offence or fatigue management offence constitute reasonable
steps.
(4) In this section—
fatigue management offence means an offence against
Chapter 6;
speeding offence means an offence against
Chapter 5 Part 2 or
section 219.
623—When particular persons regarded to have taken
all reasonable steps—speeding or fatigue management
offences
(1) A party in the chain of responsibility for a heavy vehicle charged
with a speeding offence or fatigue management offence is to be regarded as
having taken all reasonable steps if the party did all of the following to
prevent the act or omission that led to the contravention to which the offence
relates:
(a) identified and
assessed the aspects of the activities of the party, and relevant drivers for
the party, that may lead to a relevant contravention by a relevant driver for
the party;
(b) for each aspect
identified and assessed under
paragraph (a),
identified and assessed—
(i) the risk of the aspect leading to a relevant contravention;
and
(ii) if there is a
substantial risk of the aspect leading to a relevant contravention—the
measures the party may take to eliminate the risk or, if it is not reasonably
possible to eliminate the risk, to minimise the risk;
(c) carried out the identification and assessment mentioned in
paragraphs (a) and
(b)—
(i) at least annually; and
(ii) after each event that indicated the way the activities the subject of
the identification and assessment are being carried out have led, or may lead,
to a relevant contravention;
(d) took the measures
identified and assessed under
paragraph (b)(ii);
(e) for each action mentioned in any of
paragraphs (a)
to
(d) taken by the
party—
(i) kept a record of the action for at least 3 years after taking it;
or
(ii) if 3 years have not passed since taking the action, kept a record of
the action since taking it.
(2) This section does not limit the circumstances in which things done or
omitted to be done by a person charged with a speeding offence or fatigue
management offence constitute reasonable steps.
(3) In this section—
fatigue management offence means an offence against
Chapter 6;
party in the chain of responsibility—
(a) for a heavy vehicle the subject of a speeding offence—has the
meaning given by
section 214; or
(b) for a fatigue-regulated heavy vehicle the subject of a fatigue
management offence—has the meaning given by
section 227;
relevant contravention, for a party in the chain of
responsibility for a heavy vehicle charged with a speeding offence or fatigue
management offence, means a contravention of the type to which the offence
relates;
relevant driver, for a party in the chain of responsibility
for a heavy vehicle charged with a speeding offence or fatigue management
offence, means each driver of the heavy vehicle;
speeding offence means an offence against
Chapter 5 Part 2 or
section 219.
624—Regulation for
section 623
(1) For the purposes of
section 623, the national
regulations may provide for—
(a) the ways, or examples of ways, a person may identify and assess the
aspects of the activities of the person, and relevant drivers for the person,
that may lead to a relevant contravention by a relevant driver for the person;
and
(b) the measures, or examples of measures, a person may take to eliminate
or minimise the risks of aspects of activities of the person, or relevant
drivers for the person, leading to a relevant contravention by the person or a
relevant driver for the person.
(2) In this section—
fatigue management offence means an offence against
Chapter 6;
relevant contravention means a contravention constituting a
fatigue management offence.
625—Proof of compliance with registered industry
code of practice
(1) This section applies for deciding in—
(a) a proceeding for an offence against a provision of this Law that may
be committed by a person failing to take all reasonable steps—whether the
person took all reasonable steps; or
(b) a proceeding for an offence against a provision of this Law in
relation to which a person charged has the benefit of the reasonable steps
defence—whether the person took all reasonable steps.
(2) Proof, as
established by the person, that the person complied with all relevant standards
and procedures under a registered industry code of practice, in relation to
matters to which the offence relates is evidence that the person took all
reasonable steps.
(3)
Subsection (2) does not
apply unless the person has given the complainant notice of the intention to
prove the matters mentioned in the subsection.
(4) The notice must be—
(a) signed by the person; and
(b) given at least 28 days before the day fixed for the hearing of the
charge.
(5) In the case of an offence referred to in
section 620 or
622, this section does not
prevent the court from considering any of the matters referred to in the section
concerned in deciding whether compliance with relevant standards and procedures
under a registered industry code of practice, was reasonable in the
circumstances in which the offence was alleged to have been committed.
Division 3—Other defences
626—Definition for
Division 3
In this Division—
deficiency, of a vehicle, means—
(a) a deficiency of the vehicle or a component of the vehicle, including,
for example, the vehicle—
(i) contravening a heavy vehicle standard; or
(ii) being unsafe; or
(b) a deficiency constituted by the absence of a particular thing required
to be in, or displayed on, the vehicle, including, for example, a thing required
to be in, or displayed on, the vehicle under—
(i) a heavy vehicle standard; or
(ii) a condition of a heavy vehicle accreditation or a mass or dimension
authority.
627—Defence for owner or operator of vehicle if
offence committed while vehicle used by unauthorised person
(1) This section
applies in relation to an offence against this Law that may be committed by a
person—
(a) in the person’s capacity as an owner or operator of a vehicle;
and
(b) in relation to the use of the vehicle by someone else.
(2) Subject to
subsection (3), in a
proceeding for an offence mentioned in
subsection (1), it
is a defence for the person charged to prove that, at the relevant time, the
vehicle was being used by—
(a) a person not entitled (expressly, impliedly or otherwise) to use the
vehicle, other than an employee or agent of the person; or
(b) an employee of the person who was, at the relevant time, acting
outside the scope of the employment; or
(c) an agent of the person who was, at the relevant time, acting outside
the scope of the agency.
(3) If the offence
relates to a deficiency of the vehicle, the defence under
subsection (2) is
not available unless the person charged also proves that—
(a) the vehicle had not, before it ceased to be under the person’s
control, been driven on a road in contravention of this Law arising in
connection with the deficiency; and
(b) one or more material changes, resulting in the deficiency, had been
made after the vehicle had ceased to be under the person’s
control.
628—Defence for driver of vehicle subject to a
deficiency
(1) This section
applies to an offence against this Law relating to a deficiency of a heavy
vehicle.
(2) In a proceeding for an offence mentioned in
subsection (1)
alleged to be committed by the driver of a heavy vehicle, it is a defence for
the driver to prove that the driver—
(a) did not cause the deficiency and had no responsibility for or control
over the maintenance of the vehicle or its equipment at any relevant time;
and
(b) did not know and could not reasonably be expected to have known of the
deficiency; and
(c) could not reasonably be expected to have sought to ascertain whether
there was or was likely to be a deficiency of the kind to which the offence
relates.
629—Defence of compliance with
direction
In a proceeding for an offence against this Law, it is a defence for the
person charged to prove that the conduct constituting the offence was done in
compliance with a direction given—
(a) by an authorised officer; or
(b) by the Regulator (including a delegate of the Regulator); or
(c) by a person under a law of a State or Territory.
630—Sudden or extraordinary
emergency
(1) In a proceeding for an offence against this Law, it is a defence for
the person charged to prove that the conduct constituting the offence occurred
in response to circumstances of sudden or extraordinary emergency.
(2) This section applies if and only if the person carrying out the
conduct reasonably believed that—
(a) circumstances of sudden or extraordinary emergency existed;
and
(b) the conduct was the only reasonable way to deal with the emergency;
and
(c) the conduct was a reasonable response to the emergency.
631—Lawful authority
In a proceeding for an offence against this Law, it is a defence for the
person charged to prove that the conduct constituting the offence is authorised
or excused by or under a law.
Division 4—Other provisions about
liability
632—Deciding whether person ought reasonably to
have known something
(1) This section applies in relation to a proceeding for an offence
against this Law if it is relevant to prove that someone ought reasonably to
have known something.
(2) A court may consider the following when deciding whether the person
ought reasonably to have known the thing:
(a) the person’s abilities, experience, expertise, knowledge,
qualifications and training;
(b) the circumstances of the offence;
(c) any other relevant matter prescribed by the national regulations for
the purposes of this section.
633—Multiple offenders
(1) This section applies if a provision of this Law provides that, for a
particular act or omission or set of circumstances, each of 2 or more persons is
liable for an offence against a provision of this Law.
(2) Proceedings may be taken against all or any of the persons in relation
to the act, omission or circumstances.
(3) Proceedings may be taken against any of the persons in relation to the
act, omission or circumstances—
(a) regardless of whether or not proceedings have been started against any
of the other persons in relation to the act, omission or circumstances;
and
(b) regardless of whether or not any proceedings taken against any of the
other persons in relation to the act, omission or circumstances have ended;
and
(c) regardless of the outcome of any proceedings taken against any of the
other persons in relation to the act, omission or circumstances.
(4) This section is subject to
section 634(1).
634—Multiple offences
(1) A person may be
punished only once in relation to the same contravention of this Law by the
person or a heavy vehicle, even if the person is liable in more than 1
capacity.
(2) A person who has
been punished for an act or omission or circumstances constituting an offence
against this Law as it applies in another participating jurisdiction cannot be
punished for an offence against this Law as it applies in this jurisdiction
arising from the same act or omission or circumstances.
(3) Despite any Act or other law (including
subsections (1)
and
(2))—
(a) a person may be punished for more than 1 contravention of a
requirement of this Law if the contraventions relate to different parts of the
same vehicle; and
(b) a person may be punished for 1 or more contraventions of a requirement
of this Law as it applies in another participating jurisdiction
(interstate contraventions), and 1 or more contraventions of a
requirement of this Law as it applies in this jurisdiction (local
contraventions), if the interstate contraventions and local
contraventions relate to different parts of the same vehicle.
635—Responsibility for acts or omissions of
representative
(1) This section applies in a proceeding for an offence against this
Law.
(2) If it is relevant to prove a person’s state of mind about a
particular act or omission, it is enough to show—
(a) the act was done or omitted to be done by a representative of the
person within the scope of the representative’s actual or apparent
authority; and
(b) the representative had the state of mind.
(3) An act done or omitted to be done for a person by a representative of
the person within the scope of the representative’s actual or apparent
authority is taken to have been done or omitted to be done also by the person,
unless the person proves the person could not, by the exercise of reasonable
diligence, have prevented the act or omission.
(4) In this section—
representative means—
(a) for an individual—an employee or agent of the individual;
or
(b) for a corporation—an executive officer, employee or agent of the
corporation or authority;
state of mind, of a person, includes—
(a) the person’s knowledge, intention, opinion, belief or purpose;
and
(b) the person’s reasons for the intention, opinion, belief or
purpose.
636—Liability of executive officers of
corporation
(1) If a corporation commits an offence against a provision of this Law
specified in column 2 of Schedule 4, each executive officer of the corporation
who knowingly authorised or permitted the conduct constituting the offence also
commits an offence against the provision.
Maximum penalty: the penalty for a contravention of the provision by an
individual.
(2) If a corporation commits an offence against a provision of this Law
specified in column 3 of Schedule 4, each executive officer of the corporation
who knew or ought reasonably to have known—
(a) of the conduct constituting the offence; or
(b) that there was a substantial risk that the offence would be
committed,
also commits an offence against the provision.
Maximum penalty: the penalty for a contravention of the provision by an
individual.
(3) For the purposes of subsection (2), it is a defence for the executive
officer to prove—
(a) the officer exercised reasonable diligence to ensure the corporation
complied with the provision; or
(b) the officer was not in a position to influence the conduct of the
corporation in relation to the offence.
(4) An executive
officer of a corporation may be proceeded against and convicted for an offence
against the provision whether or not the corporation has been proceeded against
or convicted under that provision.
(5) Nothing in this section affects any liability imposed on a corporation
for an offence committed by the corporation under the provision.
(6) Nothing in this section affects the application of any other law
relating to the criminal liability of any persons (whether or not executive
officers of the corporation) who are accessories to the commission of an offence
or are otherwise involved in the contravention giving rise to an
offence.
(7) This section does not apply to an executive officer acting on a
voluntary basis, whether or not the officer is reimbursed for the expenses
incurred by the officer for carrying out activities for the
corporation.
637—Treatment of unincorporated
partnerships
(1) This Law (other than section 636) applies to an unincorporated
partnership as if it were a corporation, but with the changes set out in this
section.
(2) An obligation or liability that would otherwise be imposed on the
partnership by this Law is imposed on each partner instead, but may be
discharged by any of the partners.
(3) An amount that would be payable under this Law by the partnership is
jointly and severally payable by the partners.
(4) An offence against this Law (other than an offence referred to in
subsection (5)) that would otherwise be committed by the partnership is taken to
have been committed by each partner who knowingly authorised or permitted the
conduct constituting the offence.
Maximum penalty: the penalty for a contravention of the provision by an
individual.
(5) An offence against a provision of this Law specified in column 3 of
Schedule 4 that would otherwise be committed by the partnership is taken to have
been committed by each partner who knew or ought reasonably to have
known—
(a) of the conduct constituting the offence; or
(b) that there was a substantial risk that the offence would be
committed.
Maximum penalty: the penalty for a contravention of the provision by an
individual.
(6) For the purposes of subsection (5), it is a defence for the partner to
prove—
(a) the partner exercised reasonable diligence to ensure the partnership
complied with the provision; or
(b) the partner was not in a position to influence the conduct of the
partnership in relation to the offence.
(7) Nothing in this section affects the application of any other law
relating to the criminal liability of any persons (whether or not partners in
the partnership) who are accessories to the commission of an offence or are
otherwise involved in the contravention giving rise to an offence.
(8) Subsections (4) and (5) do not apply to a partner acting on a
voluntary basis, whether or not the partner is reimbursed for the expenses
incurred by the partner for carrying out activities for the
partnership.
(9) For the purposes of this section, a change in the composition of the
partnership does not affect the continuity of the partnership.
638—Treatment of other unincorporated
bodies
(1) This Law (other
than section 636) applies to an unincorporated body as if it were a corporation,
but with the changes set out in this section.
(2) An obligation or liability that would otherwise be imposed on the
unincorporated body by this Law is imposed on each management member of the body
instead, but may be discharged by any of the management members.
(3) An amount that would be payable under this Law by the unincorporated
body is jointly and severally payable by the management members of the
body.
(4) An offence against this Law (other than an offence referred to in
subsection (5)) that would otherwise be committed by the unincorporated body is
taken to have been committed by each management member of the body who knowingly
authorised or permitted the conduct constituting the offence.
Maximum penalty: the penalty for a contravention of the provision by an
individual.
(5) An offence against a provision of this Law specified in column 3 of
Schedule 4 that would otherwise be committed by the unincorporated body is taken
to have been committed by each management member of the body who knew or ought
reasonably to have known—
(a) of the conduct constituting the offence; or
(b) that there was a substantial risk that the offence would be
committed.
Maximum penalty: the penalty for a contravention of the provision by an
individual.
(6) For the purposes of subsection (5), it is a defence for the management
member of the unincorporated body to prove—
(a) the member exercised reasonable diligence to ensure the body complied
with the provision; or
(b) the member was not in a position to influence the conduct of the body
in relation to the offence.
(7) Nothing in this section affects the application of any other law
relating to the criminal liability of any persons (whether or not management
members of the unincorporated body) who are accessories to the commission of an
offence or are otherwise involved in the contravention giving rise to an
offence.
(8) Subsections (4) and (5) do not apply to a management member of the
unincorporated body acting on a voluntary basis, whether or not the member is
reimbursed for the expenses incurred by the member for carrying out activities
for the body.
(9) For the purposes of this section, a change in the composition of the
unincorporated body does not affect the continuity of the body.
(10) In this section—
management member, of an unincorporated body,
means—
(a) if the body has a management committee—each member of the
management committee; or
(b) otherwise—each member who is concerned with, or takes part in,
the body’s management, whatever name is given to the member’s
position in the body;
unincorporated body includes an unincorporated local
government authority, but does not include an unincorporated
partnership.
639—Liability of registered
operator
(1) This section applies to an offence against this Law that may be
committed by the operator of a heavy vehicle (whether or not any other person
can also commit the offence).
(2) If an offence to
which this section applies is committed, the following person is taken to be the
operator of the heavy vehicle and, in that capacity, is taken to have committed
the offence:
(a) for a heavy vehicle that is not a combination—the registered
operator of the vehicle;
(b) for a heavy combination or the towing vehicle in a heavy
combination—the registered operator of the towing vehicle in the
combination;
(c) for a trailer forming part of a heavy combination—the registered
operator of the towing vehicle in the combination and the registered operator
(if any) of the trailer.
(3) The registered operator has the same excuses and defences available to
the operator of the heavy vehicle under this Law or another law.
(4)
Subsection (2) does not
apply if the registered operator gives the Regulator an operator
declaration—
(a) if an infringement notice for the offence is issued to the registered
operator—within 14 days after the infringement notice is issued;
or
(b) if the registered operator is charged with the
offence—
(i) if the charge is to be heard 28 days or less after the charge
comes to the operator’s knowledge—as soon as practicable after the
charge comes to the registered operator’s knowledge; or
(ii) if the charge is to be heard more than 28 days after the charge
comes to the operator’s knowledge—as soon as practicable after the
charge comes to the registered operator’s knowledge but at least
28 days before the charge is heard.
(5) If the registered operator gives an operator declaration as mentioned
in
subsection (4)—
(a) a proceeding for the offence may be started against the person named
as the operator of the heavy vehicle in the operator declaration only if a copy
of the operator declaration has been served on the person; and
(b) in a proceeding for the offence against the person named as the
operator of the heavy vehicle in the operator declaration, the operator
declaration is evidence that the person was the operator of the heavy vehicle at
the time of the offence; and
(c) in a proceeding for the offence against the registered operator, a
court must not find the registered operator guilty of the offence in the
registered operator’s capacity as the operator of the heavy vehicle if it
is satisfied, whether on the statements in the operator declaration or
otherwise, the registered operator was not the operator of the heavy vehicle at
the time of the offence.
(6) To remove any doubt, it is declared that this section does not affect
the liability of the registered operator in a capacity other than as the
operator of the heavy vehicle.
(7) In this section—
operator declaration means a statutory declaration, made by
the registered operator of a vehicle that is or forms part of a heavy vehicle
the subject of an offence against this Law, stating—
(a) the registered operator was not the operator of the heavy vehicle at
the time of the offence; and
(b) the name and address of the operator of the heavy vehicle at the time
of the offence;
registered operator, of a vehicle other than a heavy vehicle,
means the registered or licensed operator of the vehicle under an Australian
road law.
Chapter 11—Reviews
and appeals
Part 1—Preliminary
640—Definitions for
Chapter 11
In this Chapter—
public safety ground, for a reviewable decision, means the
Regulator being satisfied that making the decision is necessary to prevent a
significant risk to public safety;
relevant appeal body means the relevant tribunal or court for
the relevant jurisdiction;
relevant jurisdiction, for an applicant for the review of a
reviewable decision or an appellant for an appeal against a review decision,
means—
(a) for a reviewable decision made under
Division 3 of
Chapter 4 Part 5 or
Division 4 of
Chapter 4 Part 6, or
a review decision relating to a reviewable decision made under
Division 3 of
Chapter 4 Part 5 or
Division 4 of
Chapter 4
Part 6—
(i) if the areas or routes for which the authorisation the subject of the
reviewable decision was sought are situated in the same participating
jurisdiction—the jurisdiction in which the areas or routes are situated;
or
(ii) if the areas or routes for which the authorisation the subject of the
reviewable decision was sought are situated in 2 or more participating
jurisdictions—
(A) the jurisdiction in
which most of the areas or routes are situated, worked out by reference to the
length of road covered by the areas or routes; or
(B) if there is more than 1 jurisdiction for which
subsubparagraph (A)
is satisfied—any of the jurisdictions for which
subsubparagraph (A)
is satisfied chosen by the applicant or appellant; or
(b) for another reviewable decision or review decision—
(i) if the reviewable decision or review decision relates to only 1 heavy
vehicle whose relevant garage address is in a participating
jurisdiction—the jurisdiction in which the relevant garage address is
located; or
(ii) if the reviewable decision or review decision relates to 2 or more
heavy vehicles whose relevant garage addresses are in the same participating
jurisdiction—the jurisdiction in which the relevant garage addresses are
located; or
(iii) if the reviewable decision or review decision relates to 2 or more
heavy vehicles whose relevant garage addresses are located in 2 or more
participating jurisdictions—any of those jurisdictions chosen by the
operator of the vehicles; or
(iv) otherwise—the participating jurisdiction in which the
applicant’s or appellant’s home address is located;
review application means an application for review of a
reviewable decision under
Chapter 11
Part 2;
review decision has the meaning given by
section 645;
reviewable decision means—
(a) a decision mentioned in
Schedule 3; or
(b) a decision made under the national regulations prescribed as a
reviewable decision for the purposes of this Chapter;
reviewer means a person deciding a review of a reviewable
decision under
Chapter 11
Part 2.
Part 2—Internal review
641—Applying for internal
review
(1) A dissatisfied person for a reviewable decision may apply to the
Regulator for a review of the decision.
(2) A review application may be made only within 28 days
after—
(a) the day the person is notified of the decision; or
(b) if the person applies for a statement of reasons under
subsection (6)—the
day the statement is given to the person.
(3) However, the Regulator may, at any time, extend the time for making a
review application.
(4) A review application must—
(a) be written; and
(b) be accompanied by the prescribed fee for the application;
and
(c) state in detail the grounds on which the person wants the reviewable
decision to be reviewed.
(5) The person is entitled to receive a statement of reasons for the
original decision whether or not the provision under which the decision is made
requires that the person be given a statement of reasons for the
decision.
(6) If the person was
not given an information notice for the original decision, the person may ask
the Regulator for a statement of reasons for the decision and the Regulator must
provide the statement within 28 days after the request is made.
(7) The making of a review application does not affect the reviewable
decision, or the carrying out of the reviewable decision, unless it is stayed
under
section 642.
(8) In this section—
dissatisfied person means—
(a) for a reviewable decision of the Regulator made in relation to an
application for an exemption, authorisation, approval or heavy vehicle
accreditation under this Law—the applicant; or
(b) for a reviewable decision of the Regulator not to make a decision
sought in an application for an amendment of an exemption, authorisation,
approval or heavy vehicle accreditation under this Law—the applicant;
or
(c) for a reviewable decision of the Regulator to amend, cancel or suspend
an exemption, authorisation, approval or heavy vehicle accreditation under this
Law—the person to whom the exemption, authorisation, approval or heavy
vehicle accreditation was granted; or
(d) for a reviewable decision of the Regulator not to give a replacement
permit for an exemption or authorisation under this Law or not to give a
replacement accreditation certificate for a heavy vehicle accreditation under
this Law—the person to whom the exemption, authorisation or heavy vehicle
accreditation was granted; or
(e) for a reviewable decision of the Regulator that a thing or sample is
forfeited to the Regulator—an owner of the thing or sample; or
(f) for a reviewable decision of an authorised officer to give a person an
improvement notice or to amend an improvement notice given to a person—the
person to whom the improvement notice was given; or
(g) for a reviewable decision of a relevant road manager for a mass or
dimension authority—a person adversely affected by the decision;
or
(h) for a reviewable decision made under the national
regulations—the person prescribed as the dissatisfied person for the
decision under the national regulations.
642—Stay of reviewable decisions made by Regulator
or authorised officer
(1) This section applies to—
(a) a reviewable decision made by the Regulator other than a decision made
on the basis of a public safety ground; or
(b) a reviewable decision made by an authorised officer.
(2) If a person makes a review application for the reviewable decision,
the person may immediately apply for a stay of the decision to the relevant
appeal body.
(3) The relevant appeal body may stay the reviewable decision to secure
the effectiveness of the review and any later appeal to the body.
(4) In setting the time for hearing the stay application, the relevant
appeal body must allow at least 3 business days between the day the
application is filed with it and the hearing day.
(5) The Regulator is a party to the application.
(6) The person must serve a copy of the application showing the time and
place of the hearing, and any document filed in the relevant appeal body with
the application, on the Regulator at least 2 business days before the
hearing.
(7) The stay—
(a) may be given on conditions the relevant appeal body considers
appropriate; and
(b) operates for the period specified by the relevant appeal body;
and
(c) may be revoked or amended by the relevant appeal body.
(8) The period of a stay under this section must not extend past the time
when the reviewer reviews the reviewable decision and any later period the
relevant appeal body allows the applicant to enable the applicant to appeal
against the decision.
643—Referral of applications for review of
decisions made by road managers
(1) This section applies to a review application relating to a reviewable
decision made by a road manager for a road.
Note—
In
Schedule 3,
only decisions made by a road manager (for a road) that is a public authority
are reviewable decisions.
(2) The Regulator must refer the application to the road manager for
review within 2 business days after receiving it.
644—Internal review
(1) A review of a reviewable decision that was not made by the Regulator
or a road manager personally must not be decided by—
(a) the person who made the reviewable decision; or
(b) a person who holds a less senior position than the person who made the
reviewable decision.
(2) The reviewer must conduct the review—
(a) on the material before the person who made the reviewable decision;
and
(b) on the reasons for the reviewable decision; and
(c) any other relevant material the reviewer allows.
(3) For the review, the reviewer must give the applicant a reasonable
opportunity to make written or oral representations to the reviewer.
645—Review decision
(1) The reviewer must, within the prescribed period, make a decision (the
review decision) to—
(a) confirm the reviewable decision; or
(b) amend the reviewable decision; or
(c) substitute another decision for the reviewable decision.
(2) If the review decision confirms the reviewable decision, for the
purpose of an appeal, the reviewable decision is taken to be the review
decision.
(3) If the review decision amends the reviewable decision, for the purpose
of an appeal, the reviewable decision as amended is taken to be the review
decision.
(4) If the review decision substitutes another decision for the reviewable
decision, the substituted decision is taken to be the review decision.
(5) If the reviewer is a road manager for a road, the reviewer must, as
soon as practicable, give the Regulator notice of the review decision
stating—
(a) the decision; and
(b) the reasons for the decision.
(6) In this section—
prescribed period means—
(a) for a review of a reviewable decision made by a road manager for a
road—
(i) 28 days after the application for the review is given to the road
manager; or
(ii) if the Regulator and road manager have agreed to a longer period, of
not more than 3 months after the application for the review is given to the
road manager, and the Regulator has given notice of the longer period to the
applicant—the longer period; or
(b) for a review of another reviewable decision—28 days after
the application for the review is made.
646—Notice of review decision
(1) The Regulator must, within the prescribed period, give the applicant
notice (the review notice) of the review decision.
(2) If the review decision is not the decision sought by the applicant,
the review notice must state the following:
(a) the reasons for the decision;
(b) for a review decision relating to a reviewable decision made by a road
manager for a road—that the review decision is not subject to further
review or appeal under this Law;
(c) for a review decision relating to another reviewable
decision—
(i) that the applicant may appeal against the decision under
Chapter 11 Part 3;
and
(ii) how to appeal;
(d) for a review decision relating to a reviewable decision made under
Division 3 of
Chapter 4 Part 5 or
Division 4 of
Chapter 4 Part 6 if
the areas or routes for which the authorisation the subject of the reviewable
decision was sought are situated in 2 or more participating
jurisdictions—the jurisdiction in which most of the areas or routes are
situated, worked out by reference to the length of road covered by the areas or
routes.
(3) If the reviewer
does not make a review decision within the period required under
section 645, the reviewer
is taken to have made a review decision confirming the reviewable
decision.
(4) In this section—
prescribed period means—
(a) for a review of a reviewable decision made by a road manager for a
road—as soon as practicable, but not more than 7 days, after the
reviewer gives the Regulator notice of the decision; or
(b) for a review of another reviewable decision—as soon as
practicable.
Part 3—Appeals
647—Appellable decisions
(1) A person may appeal to the relevant appeal body against a review
decision relating to a reviewable decision made by the Regulator or an
authorised officer.
(2) A person may appeal against the review decision only within
28 days after—
(a) if a review notice is given to the person under
section 646—the
notice was given to the person; or
(b) if the reviewer is taken to have confirmed the decision under
section 646(3)—the
period mentioned in that section ends.
(3) However, the relevant appeal body may extend the period for
appealing.
(4) The filing of an appeal does not affect the review decision, or the
carrying out of the review decision, unless it is stayed under
section 648.
648—Stay of review decision
(1) This section applies if, under this Law, a person appeals to the
relevant appeal body against a review decision relating to—
(a) a reviewable decision made by the Regulator other than on the basis of
a public safety ground; or
(b) a reviewable decision made by an authorised officer.
(2) The person may immediately apply to the relevant appeal body for a
stay of the decision.
(3) The relevant appeal body may stay the review decision to secure the
effectiveness of the appeal.
(4) In setting the time for hearing the stay application, the relevant
appeal body must allow at least 3 business days between the day the
application is filed with it and the hearing day.
(5) The Regulator is a party to the application.
(6) The person must serve a copy of the application showing the time and
place of the hearing, and any document filed in the relevant appeal body with
the application, on the Regulator at least 2 business days before the
hearing.
(7) The stay—
(a) may be given on conditions the relevant appeal body considers
appropriate; and
(b) operates for the period specified by the relevant appeal body, but not
extending past the time when it decides the appeal; and
(c) may be revoked or amended by the relevant appeal body.
649—Powers of relevant appeal body on
appeal
(1) In deciding, under this Law, an appeal against a review decision, the
relevant appeal body—
(a) has the same powers as the person who made the reviewable decision to
which the review decision relates; and
(b) is not bound by the rules of evidence; and
(c) must comply with natural justice.
(2) An appeal is by way of rehearing—
(a) unaffected by the review decision; and
(b) on the material before the person who made the review decision and any
further evidence allowed by the relevant appeal body.
(3) After hearing the appeal, the relevant appeal body
must—
(a) confirm the review decision; or
(b) set aside the review decision and substitute another decision that it
considers appropriate; or
(c) set aside the review decision and return the issue to the person who
made the reviewable decision to which the review decision relates with the
directions that it considers appropriate.
650—Effect of decision of relevant appeal body on
appeal
If, under this Law, the relevant appeal body substitutes another decision
for a review decision, the substituted decision is, for the relevant provision
of this Law, taken to be that of the person who made the reviewable decision to
which the review decision relates.
Part 1—Responsible
Ministers
651—Policy directions
(1) The responsible Ministers may give directions to the Regulator about
the policies to be applied by the Regulator in exercising its functions under
this Law.
(2) A direction under this section cannot be about—
(a) a particular person; or
(b) a particular heavy vehicle; or
(c) a particular application or proceeding.
(3) The Regulator must comply with a direction given to it by the
responsible Ministers under this section.
(4) A copy of a direction given by the responsible Ministers to the
Regulator is to be published in the Regulator’s annual report.
652—Referral of matters etc by responsible
Minister
(1) The responsible
Minister for a participating jurisdiction may—
(a) refer a matter
relevant to that jurisdiction to the Regulator for action under this Law;
or
(b) ask the Regulator for information about the exercise of the
Regulator’s functions under this Law as applied in that
jurisdiction.
(2) However, the Minister cannot—
(a) refer a matter to the Regulator under
subsection (1)(a)
that may require the Regulator to take action that is inconsistent
with—
(i) a direction given by the responsible Ministers under
section 651; or
(ii) the approved guidelines; or
(b) direct the Regulator to take or not to take particular action in
relation to a matter referred to the Regulator under
subsection (1)(a);
or
(c) otherwise influence the exercise of the Regulator’s functions
under this Law.
(3) The Regulator may
charge a fee for dealing with a referral or request made under
subsection (1).
(4) A fee charged by the Regulator under
subsection (3)
must be an amount—
(a) the Regulator considers reasonable; and
(b) that is no more than the reasonable cost of dealing with the referral
or request.
(5) Section 740(2) to (4) do not apply to a fee charged by the Regulator
under
subsection (3).
653—Approved guidelines for exemptions,
authorisations, permits and other authorities
(1) The responsible Ministers may approve guidelines about any of the
following:
(a) granting registration exemptions;
(b) granting vehicle standards exemptions;
(c) granting mass or dimension exemptions;
(d) granting class 2 heavy vehicle authorisations;
(e) granting electronic recording system approvals;
(f) granting work and rest hours exemptions;
(g) granting work diary exemptions;
(h) granting fatigue record keeping exemptions;
(i) granting heavy vehicle accreditation;
(j) granting or issuing an exemption, authorisation, permit or authority,
or making a declaration, under the national regulations;
(k) granting PBS design approvals and PBS vehicle approvals;
(l) other matters as referred to in—
(i) paragraph (a)(ii) of the definition road condition in
section 154; or
(ii) section 156(3)(a)(ii); or
(iii) section 163(1)(b)(ii)(B); or
(iv) section 174(1)(b); or
(v) section 178(1)(b).
(2) The guidelines, and any instrument amending or repealing the
guidelines, must be published in the Commonwealth Gazette.
(3) The Regulator must ensure a copy of the guidelines as in force from
time to time and any document applied, adopted or incorporated by the guidelines
is—
(a) made available for inspection, without charge, during normal business
hours at each office of the Regulator; and
(b) published on the Regulator’s website.
654—Other approvals
(1) The responsible
Ministers may approve—
(a) a standard for sleeper berths; or
(b) standards and business rules for—
(i) advanced fatigue management; or
(ii) basic fatigue management; or
(iii) heavy vehicle maintenance management; or
(iv) heavy vehicle mass management; or
(c) a class of auditors for the purposes of
Chapter 8.
(2) The approval, and any instrument amending or repealing the approval,
must be published in the Commonwealth Gazette.
(3) The Regulator must ensure a copy of an approval in force under
subsection (1), and
any document the subject of the approval, is—
(a) made available for inspection, without charge, during normal business
hours at each office of the Regulator; and
(b) published on the Regulator’s website.
655—How responsible Ministers exercise
functions
(1) The responsible
Ministers are to give a direction or approval, or make a recommendation, request
or decision, for the purposes of a provision of this Law by a resolution passed
by the responsible Ministers in accordance with the procedures decided by the
responsible Ministers.
(2)
Subsection (1) applies
subject to the following:
(a) subsection (3);
(b) a provision of this Law that provides how a direction or approval must
be given, or a recommendation, request or decision must be made, by the
responsible Ministers, including, for example, a provision that provides that a
recommendation by the responsible Ministers must be unanimous.
(3) The Commonwealth
responsible Minister may decide whether or not to participate in the exercise of
a function given to the responsible Ministers under this Law and, if the
Commonwealth responsible Minister decides not to participate, the following
apply in relation to the exercise of the function:
(a) a reference in this Law to the responsible Ministers is taken to be a
reference to a group of Ministers consisting of the responsible Minister for
each participating jurisdiction;
(b) a direction, approval, recommendation, request or decision by the
responsible Ministers is taken to be unanimous if the responsible Minister for
each participating jurisdiction agrees with the direction, approval,
recommendation, request or decision.
(4) An act or thing done by the responsible Ministers (whether by
resolution, instrument or otherwise) does not cease to have effect merely
because of a change in the Ministers comprising the responsible
Ministers.
Part 2—National Heavy Vehicle
Regulator
Division 1—Establishment, functions and
powers
656—Establishment of National Heavy Vehicle
Regulator
(1) The National Heavy Vehicle Regulator is established.
(2) It is the intention of the Parliament of this jurisdiction that this
Law as applied by an Act of this jurisdiction, together with this Law as applied
by Acts of the other participating jurisdictions, has the effect that the
National Heavy Vehicle Regulator is one single national entity, with functions
conferred by this Law as so applied.
(3) The Regulator has power to do acts in or in relation to this
jurisdiction in the exercise of a function expressed to be conferred on it by
this Law as applied by Acts of each participating jurisdiction.
(4) The Regulator may exercise its functions in relation
to—
(a) one participating jurisdiction; or
(b) 2 or more or all participating jurisdictions collectively.
657—Status of Regulator
(1) The Regulator—
(a) is a body corporate with perpetual succession; and
(b) has a common seal; and
(c) may sue and be sued in its corporate name.
(2) The Regulator represents the State.
658—General powers of
Regulator
(1) The Regulator has
all the powers of an individual and, in particular, may—
(a) enter into contracts; and
(b) acquire, hold, dispose of, and deal with, real and personal property;
and
(c) do anything necessary or convenient to be done in the exercise of its
functions.
(2) Without limiting
subsection (1), the
Regulator may enter into an agreement with a State or Territory that makes
provision for—
(a) the State or
Territory to provide services to the Regulator that assist the Regulator in
exercising its functions; or
(b) the Regulator to
provide services to the State or Territory, including, for example, services
relating to—
(i) collecting vehicle registration duty; and
(ii) ensuring compliance with third party insurance legislation,
including, for example, by collecting third party insurance premiums.
659—Functions of Regulator
(1) The
Regulator’s main function is to achieve the object of this Law.
(2) Without limiting
subsection (1), the
Regulator has the following functions:
(a) to provide the necessary administrative services for the operation of
this Law, including, for example—
(i) services for the national registration of heavy vehicles;
and
(ii) collecting fees, charges and other amounts payable under this
Law;
(b) to monitor compliance with this Law;
(c) to investigate contraventions or possible contraventions of provisions
of this Law, including offences against this Law;
(d) to bring and
conduct proceedings in relation to contraventions or possible contraventions of
provisions of this Law, including offences against this Law;
(e) to bring and conduct, or conduct and defend, appeals from decisions in
proceedings mentioned in
paragraph (d);
(f) to conduct reviews
of particular decisions made under this Law by the Regulator or authorised
officers;
(g) to conduct and defend appeals from decisions on reviews mentioned in
paragraph (f);
(h) to implement and manage an audit program for heavy vehicle
accreditations granted under this Law;
(i) to monitor and review, and report to the responsible Ministers on, the
operation of this Law, including, for example, monitoring, reviewing and
reporting on—
(i) the extent to which the object of this Law or particular aspects of
this Law are being achieved; and
(ii) the extent and nature of noncompliance with this Law; and
(iii) the outcome of activities for monitoring and investigating
compliance with this Law; and
(iv) the effect of heavy vehicle accreditation on achieving the object of
this Law or particular aspects of this Law; and
(v) the effect of modifications to this Law as it applies in a particular
participating jurisdiction on achieving the object of this Law or particular
aspects of this Law;
(j) to identify and promote best practice methods—
(i) for complying with this Law; or
(ii) for managing risks to public safety arising from the use of heavy
vehicles on roads; or
(iii) for the productive and efficient road transport of goods or
passengers by heavy vehicles;
(k) to encourage and promote safe and productive business practices of
persons involved in the road transport of goods or passengers by heavy vehicles
that do not compromise the object of this Law;
(l) to work collaboratively with other law enforcement agencies to ensure
a nationally consistent approach for enforcing contraventions of laws involving
heavy vehicles;
(m) to work collaboratively with road managers, the National Transport
Commission and industry bodies to ensure a wide understanding of the object of
this Law or particular aspects of this Law, and encourage participation in
achieving the object;
(n) the other functions conferred on it under this Law.
660—Cooperation with participating jurisdictions
and Commonwealth
(1) The Regulator may exercise any of its functions in cooperation with or
with the assistance of a participating jurisdiction or the Commonwealth,
including in cooperation with or with the assistance of a government agency of a
participating jurisdiction or of the Commonwealth.
(2) In particular, the Regulator may—
(a) ask a government agency of a participating jurisdiction or the
Commonwealth for information that the Regulator requires to exercise its
functions under this Law; and
(b) use the information provided to exercise its functions under this
Law.
(3) A government agency that receives a request for information under this
section from the Regulator is authorised to give the information to the
Regulator.
661—Delegation
(1) The Regulator may delegate any of its functions to—
(a) the chief executive of an entity or a department of government of a
participating jurisdiction or the Commonwealth; or
(b) the chief executive officer or another member of the staff of the
Regulator; or
(c) a person engaged as a contractor by the Regulator; or
(d) any other person whom the Regulator considers is appropriately
qualified to exercise the function.
(2) A delegation of a function may permit the subdelegation of the
function to an appropriately qualified person.
Note—
See
section 29 of
Schedule 1 which
provides for matters relating to the delegation and subdelegation of
functions.
Division 2—Governing board of
Regulator
Subdivision 1—Establishment and
functions
662—Establishment of National Heavy Vehicle
Regulator Board
(1) The Regulator has a governing board known as the National Heavy
Vehicle Regulator Board.
(2) It is the intention of the Parliament of this jurisdiction that this
Law as applied by an Act of this jurisdiction, together with this Law as applied
by Acts of the other participating jurisdictions, has the effect that the
National Heavy Vehicle Regulator Board is one single national entity, with
functions conferred by this Law as so applied.
(3) The Board has power to do acts in or in relation to this jurisdiction
in the exercise of a function expressed to be conferred on it by this Law as
applied by Acts of each participating jurisdiction.
(4) The Board may exercise its functions in relation to—
(a) one participating jurisdiction; or
(b) 2 or more or all participating jurisdictions collectively.
663—Membership of Board
(1) The Board consists of 5 members appointed by the Queensland Minister
on the unanimous recommendation of the responsible Ministers.
(2) The members of the Board must consist of—
(a) at least 1 member who has expertise in transportation policy;
and
(b) at least 1 other member who has expertise in economics, law,
accounting, social policy or education and training; and
(c) at least 1 other member who has experience in managing risks to public
safety arising from the use of vehicles on roads; and
(d) at least 1 other member who has financial management skills, business
skills, administrative expertise or other skills or experience the responsible
Ministers believe is appropriate.
(3) Of the members of the Board, one is to be appointed by the Queensland
Minister, on the unanimous recommendation of the responsible Ministers, as the
Chairperson of the Board and another as the Deputy Chairperson.
664—Functions of Board
(1) The affairs of the
Regulator are to be controlled by the Board.
(2) Without limiting
subsection (1), the
Board’s functions include the following:
(a) subject to any directions of the responsible Ministers, deciding the
policies of the Regulator;
(b) ensuring the Regulator exercises its functions in a proper, effective
and efficient way.
(3) All acts and things done in the name of, or on behalf of, the
Regulator by or with the authority of the Board are taken to have been done by
the Regulator.
(4) The Board has any other functions given to the Board under this
Law.
Subdivision 2—Members
665—Terms of office of members
(1) Subject to this Division, a member of the Board holds office for the
period, not more than 3 years, specified in the member’s instrument
of appointment.
(2) If otherwise qualified, a member of the Board is eligible for
reappointment.
666—Remuneration
A member of the Board is entitled to be paid the remuneration and
allowances decided by the responsible Ministers from time to time.
667—Vacancy in office of
member
(1) The office of a member of the Board becomes vacant if the
member—
(a) completes a term of office; or
(b) resigns the office by signed notice given to the responsible
Ministers; or
(c) has been found guilty of an offence, whether in a participating
jurisdiction or elsewhere, that the responsible Ministers consider renders the
member unfit to continue to hold the office of member; or
(d) becomes bankrupt, applies to take the benefit of any law for the
relief of bankrupt or insolvent debtors, compounds with the member’s
creditors or makes an assignment of the member’s remuneration for their
benefit; or
(e) is absent, without leave first being granted by the relevant entity,
from 3 or more consecutive meetings of the Board of which reasonable notice has
been given to the member personally or by post; or
(f) is removed from office by the Queensland Minister under this section;
or
(g) dies.
(2) The Queensland Minister may remove a member of the Board from office
if the responsible Ministers recommend the removal of the member on the basis
that the member has engaged in misconduct or has failed to or is unable to
properly exercise the member’s functions as a member of the
Board.
(3) In this section—
relevant entity means—
(a) for a member who is the Chairperson of the Board—the responsible
Ministers; or
(b) for another member—the Chairperson of the Board.
668—Board member to give responsible Ministers
notice of certain events
A member of the Board must, within 7 days of either of the following events
occurring, give the responsible Ministers notice of the event:
(a) the member is convicted of an offence;
(b) the member becomes bankrupt, applies to take the benefit of any law
for the relief of bankrupt or insolvent debtors, compounds with the
member’s creditors or makes an assignment of the member’s
remuneration for their benefit.
669—Extension of term of office during vacancy in
membership
(1) If the office of a member of the Board becomes vacant because the
member has completed the member’s term of office, the member is taken to
continue to be a member during that vacancy until the date on which the vacancy
is filled, whether by re-appointment of the member or appointment of a successor
to the member.
(2) However, this section ceases to apply to the member
if—
(a) the member resigns the member’s office by signed notice given to
the responsible Ministers; or
(b) the responsible Ministers decide the services of the member are no
longer required.
(3) The maximum period for which a member of the Board is taken to
continue to be a member under this section after completion of the
member’s term of office is 6 months.
670—Members to act in public
interest
A member of the Board is to act impartially and in the public interest in
the exercise of the member’s functions as a member.
671—Disclosure of conflict of
interest
(1) If a member of the
Board has a direct or indirect pecuniary or other interest that conflicts or may
conflict with the exercise of the member’s functions as a member, the
member must, as soon as possible after the relevant facts have come to the
member’s knowledge, disclose the nature of the member’s interest and
the conflict to—
(a) for a member who is the Chairperson of the Board—the responsible
Ministers; or
(b) for another member—the Chairperson of the Board.
(2) If a disclosure is made under
subsection (1), the
entity to whom the disclosure is made must notify the Board of the
disclosure.
(3) Particulars of any disclosure made under
subsection (1) must
be recorded by the Board in a register of interests kept for the
purpose.
(4) After a member of
the Board has disclosed the nature of an interest and conflict or potential
conflict under
subsection (1), the
member must not be present during any deliberation of the Board with respect to
any matter that is, or may be, affected by the conflict, or take part in any
decision of the Board with respect to any matter that is, or may be, affected by
the conflict, unless—
(a) for a member who is the Chairperson of the Board, the responsible
Ministers otherwise decide; or
(b) for another member, the Board otherwise decides.
(5) For the purposes of the making of a decision by the Board under
subsection (4) in
relation to a matter, a member of the Board who has a direct or indirect
pecuniary or other interest that conflicts or may conflict with the exercise of
the member’s functions as a member with respect to the matter must
not—
(a) be present during any deliberation of the Board for the purpose of
making the decision; or
(b) take part in the making of the decision by the Board.
(6) A contravention of this section does not invalidate any decision of
the Board but if the Board becomes aware a member of the Board contravened this
section, the Board must reconsider any decision made by the Board in which the
member took part in contravention of this section.
Subdivision 3—Meetings
672—General procedure
(1) The procedure for
the calling of meetings of the Board and for the conduct of business at the
meetings is, subject to this Law, to be decided by the Board.
(2) Without limiting
subsection (1), the
Chairperson of the Board—
(a) may at any time call a meeting of the Board; and
(b) must call a meeting if asked, in writing, by at least 3 other
members of the Board.
673—Quorum
The quorum for a meeting of the Board is a majority of its
members.
674—Chief executive officer may attend
meetings
(1) The chief executive officer of the Regulator may attend meetings of
the Board and participate in discussions of the Board.
(2) However, the chief executive officer—
(a) must, as soon as possible after becoming aware that the chief
executive officer has a direct personal interest in a matter to be considered by
the Board, disclose the interest to the Chairperson of the Board; and
(b) is not entitled to be present during the consideration by the Board of
any matter in which the chief executive officer has a direct personal interest;
and
(c) is not entitled to vote at a meeting.
675—Presiding member
(1) The Chairperson of the Board is to preside at a meeting of the
Board.
(2) However, in the absence of the Chairperson of the Board the following
person is to preside at a meeting of the Board:
(a) if the Deputy Chairperson of the Board is present at the meeting, the
Deputy Chairperson;
(b) otherwise, a person elected by the members of the Board who are
present at the meeting.
(3) The presiding member has a deliberative vote and, in the event of an
equality of votes, has a second or casting vote.
676—Voting
A decision supported by a majority of the votes cast at a meeting of the
Board at which a quorum is present is the decision of the Board.
677—Minutes
The Chairperson or other member of the Board presiding at a meeting of the
Board must ensure minutes of the meeting are taken.
678—First meeting
The Chairperson of the Board may call the first meeting of the Board in any
way the Chairperson thinks fit.
679—Defects in appointment of
members
A decision of the Board is not invalidated by any defect or irregularity in
the appointment of any member of the Board.
Subdivision 4—Committees
680—Committees
(1) The Board may establish committees to assist the Board in exercising
its functions.
(2) The members of a committee need not be members of the Board.
(3) A member of a committee is appointed on the terms and conditions the
Board considers appropriate, including terms about remuneration.
(4) The procedure for the calling of meetings of a committee and for the
conduct of business at the meetings may be decided by the Board or, subject to
any decision of the Board, by the committee.
Division 3—Chief executive
officer
681—Chief executive officer
(1) There is to be a chief executive officer of the Regulator.
(2) The chief executive officer is to be appointed by the Board.
(3) The chief executive officer is to be appointed for a period, not more
than 5 years, specified in the officer’s instrument of
appointment.
(4) The chief executive officer is eligible for re-appointment.
(5) The chief executive officer is taken, while holding that office, to be
a member of the staff of the Regulator.
682—Functions of chief executive
officer
The chief executive officer of the Regulator—
(a) is responsible for the day-to-day management of the Regulator;
and
(b) has any other functions conferred on the chief executive officer by
the Board.
683—Delegation by chief executive
officer
The chief executive officer of the Regulator may delegate any of the
functions conferred on the officer, other than this power of delegation,
to—
(a) an appropriately qualified member of the staff of the Regulator;
or
(b) the chief executive of an entity or a department of government of a
participating jurisdiction.
Division 4—Staff
684—Staff
(1) The Regulator may, for the purpose of exercising its functions, employ
staff.
(2) The staff of the
Regulator are to be employed on the terms and conditions decided by the
Regulator from time to time.
(3)
Subsection (2) is subject
to any relevant industrial award or agreement that applies to the
staff.
685—Staff seconded to
Regulator
The Regulator may make arrangements for the services of any of the
following persons to be made available to the Regulator in connection with the
exercise of its functions:
(a) a member of the staff of a government agency of the Commonwealth, a
State or a Territory;
(b) a member of the staff of a local government authority.
686—Consultants and
contractors
(1) The Regulator may engage persons with suitable qualifications and
experience as consultants or contractors.
(2) The terms and conditions of engagement of consultants or contractors
are as decided by the Regulator from time to time.
Part 3—Miscellaneous
Division 1—Finance
687—National Heavy Vehicle Regulator
Fund
(1) The National Heavy Vehicle Regulator Fund is established.
(2) The Fund is to be administered by the Regulator.
(3) The Regulator may establish accounts with any financial institution
for money in the Fund.
(4) The Fund does not form part of the consolidated fund or consolidated
account (however described) of a participating jurisdiction or the
Commonwealth.
688—Payments into Fund
(1) There is payable into the Fund (except as provided by
subsection (2))—
(a) all money appropriated by the Parliament of any participating
jurisdiction or the Commonwealth for the purposes of the Fund; and
(b) all fees, charges, costs and expenses paid to or recovered by the
Regulator under this Law; and
(c) the proceeds of the investment of money in the Fund; and
(d) all grants, gifts and donations made to the Regulator, but subject to
any trusts declared in relation to the grants, gifts or donations; and
(e) all money directed or authorised to be paid into the Fund under this
Law, any law of a participating jurisdiction or any law of the Commonwealth;
and
(f) any other money or property received by the Regulator in connection
with the exercise of its functions; and
(g) any money paid to the Regulator for the provision of services to a
State or Territory under an agreement mentioned in
section 658(2)(b).
(2) The following money
is not payable into the Fund:
(a) the road use component of the charges payable for the registration of
heavy vehicles;
(b) money that is received by the Regulator under an agreement mentioned
in section 658(2)(b) and that is payable to another entity under such an
agreement.
Note—
Section 692 deals with the money mentioned in
subsection (2).
(3) In this section—
road use component, of the charges payable for the
registration of heavy vehicles, means those charges other than so much of them
as is, or is of a kind, prescribed by the national regulations as the regulatory
component of those charges.
689—Payments out of Fund
Payments may be made from the Fund for the purpose of—
(a) paying any costs or expenses, or discharging any liabilities, incurred
in the administration or enforcement of this Law, including, for example,
payments made to a State or Territory for the provision of services under an
agreement mentioned in
section 658(2)(a);
and
(b) paying any money directed or authorised to be paid out of the Fund
under this Law; and
(c) making any other payments recommended by the Regulator and approved by
the responsible Ministers.
690—Investment by Regulator
(1) The Regulator must
invest its funds in a way that is secure and provides a low risk so that the
Regulator’s exposure to the loss of funds is minimised.
(2) The Regulator must keep records that show it has invested in a way
that complies with
subsection (1).
691—Financial management duties of
Regulator
The Regulator must—
(a) ensure its operations are carried out efficiently, effectively and
economically; and
(b) keep proper books and records in relation to the Fund and other money
received by the Regulator; and
(c) ensure expenditure is made from the Fund for lawful purposes only and,
as far as possible, that reasonable value is obtained for money expended from
the Fund; and
(d) ensure its procedures, including internal control procedures, afford
adequate safeguards with respect to—
(i) the correctness, regularity and propriety of payments made from the
Fund; and
(ii) receiving and accounting for payments made to the Fund; and
(iii) prevention of fraud or mistake; and
(e) take any action necessary to ensure the preparation of accurate
financial statements in accordance with Australian Accounting Standards for
inclusion in its annual report; and
(f) take any action necessary to facilitate the audit of the financial
statements under this Law; and
(g) arrange for any further audit by a qualified person of the books and
records kept by the Regulator if directed to do so by the responsible
Ministers.
692—Amounts payable to other
entities
(1) The Regulator may establish accounts with any financial institution
for money referred to in section 688(2), pending payment of the money to States,
Territories or other entities entitled to receive it under—
(a) applicable agreements mentioned in section 658(2)(b); or
(b) arrangements approved by the responsible Ministers, to the extent
applicable agreements do not make provision for payment.
(2) Money in an account established under this section does not form part
of the consolidated fund or consolidated account (however described) of a
participating jurisdiction or the Commonwealth.
Division 2—Reporting and planning
arrangements
693—Annual report
(1) The Regulator must, within 3 months after the end of each financial
year, give the responsible Ministers an annual report for the financial
year.
(a) include for the period to which the report relates—
(i) the financial statements that have been audited by an auditor decided
by the responsible Ministers; and
(ii) a statement of actual performance measured against the National
Performance Measures (Standards and Indicators) outlined in the current
corporate plan under section 695; and
(iii) a statement of exceptions where the National Performance Measures
(Standards and Indicators) were not achieved, including a statement of issues
that impacted on the achievement of the measures; and
(iv) a statement of trend analysis relating to performance measured
against the National Performance Measures (Standards and Indicators);
and
(v) a statement of the outcome of consultation strategies and activities,
including a summary of industry comments; and
(vi) a statement of the achievements attained in implementing, and the
challenges encountered in implementing, the Regulator’s objectives stated
in the current corporate plan; and
(vii) a statement of the achievements attained in the exercise of the
Regulator’s functions; and
(viii) a statement of arrangements in place to secure collaboration with
State and Territory agencies and the effectiveness of those arrangements;
and
(ix) a statement indicating the nature of any reports requested by the
responsible Ministers under section 694; and
(x) other matters required by the national regulations; and
(b) be prepared in the
way required by the national regulations.
(3) Without limiting
subsection (2)(b),
the national regulations may provide—
(a) that the financial statements are to be prepared in accordance with
Australian Accounting Standards; and
(b) for the auditing of the financial statements.
(4) The responsible Ministers are to make arrangements for the tabling of
the Regulator’s annual report in each House of the Parliament of each
participating jurisdiction and of the Commonwealth.
(5) As soon as practicable after the annual report has been tabled in at
least one House of the Parliament of a participating jurisdiction, the Regulator
must publish a copy of the report on the Regulator’s website.
694—Other reports
The responsible Ministers may, by written direction given to the Regulator,
require the Regulator to give to the responsible Ministers, within the period
stated in the direction, a report about any matter that relates to the exercise
by the Regulator of its functions.
695—Corporate plans
(1) The Regulator must, on an annual basis, prepare and give to the
responsible Ministers for approval by the Ministers a corporate plan for each
3 year period.
(2) The corporate plan must—
(a) outline the Regulator’s objectives for the 3 year period;
and
(b) state how the Regulator’s objectives will be implemented during
the 3 year period; and
(c) contain a statement outlining the National Performance Measures
(Standards and Indicators), determined by the Regulator under subsection (4),
for the 3 year period, including (but not limited to) annual measures for each
of the 3 years specifying—
(i) the standards expected to be complied with for each year;
and
(ii) the performance indicators proposed to be used for measuring the
Regulator’s progress in implementing the Regulator’s objectives
during the year; and
(d) identify any challenges and risks that the Regulator reasonably
believes may have a significant impact, during the 3 year period,
on—
(i) the Regulator’s ability to implement the Regulator’s
objectives; and
(ii) the achievement of the object of this Law; and
(iii) the exercise of the Regulator’s functions; and
(e) include the Regulator’s proposed budget for each financial year
commencing within the 3 year period.
(3) The Regulator must, by notice given to the responsible Ministers,
advise the Ministers if either of the following occurs:
(a) the Regulator makes a significant amendment to its corporate
plan;
(b) the Regulator becomes aware of an issue that will have a significant
impact on its ability to implement the objectives stated in the corporate
plan.
(4) The Regulator must publish documentation for National Performance
Measures on the Regulator’s website and determine National Performance
Measures (Standards and Indicators) in accordance with the
documentation.
Division 3—Oversight of the Regulator and
Board
696—Application of particular Queensland Acts to
this Law
(1) The following Acts,
as in force from time to time, apply for the purposes of this Law:
(a) the Information Privacy Act 2009 of Queensland;
(b) the Public Records Act 2002 of Queensland;
(c) the Right to Information Act 2009 of Queensland.
(2) However, the Acts mentioned in
subsection (1) do
not apply for the purposes of this Law to the extent that—
(a) functions under
this Law are being exercised by a State or Territory entity; or
(b) without limiting
paragraph (a),
functions are being exercised by a State or Territory entity under an agreement
mentioned in section 658(2)(a) or under a delegation under this Law.
(3) The national
regulations may modify an Act mentioned in
subsection (1) for
the purposes of this Law.
(4) Without limiting
subsection (3), the
national regulations may—
(a) provide that the Act applies as if a provision of the Act specified in
the regulations were omitted; or
(b) provide that the Act applies as if an amendment to the Act made by a
law of Queensland, and specified in the regulations, had not taken effect;
or
(c) confer a function on a State or Territory entity; or
(d) confer jurisdiction on a tribunal or court of a participating
jurisdiction.
(5) An Act mentioned in
subsection (1)
applies for the purposes of this Law as if the Minister responsible for a
government agency were the responsible Ministers in relation to a body
established by this Law.
(6)
Subsection (5) applies to
an Act mentioned in
subsection (1) with
the modifications (if any) mentioned in
subsection (3), but
does not apply in relation to any provisions of that Act specified in the
national regulations for the purposes of this subsection.
(7) In this section—
State or Territory entity does not include the
Regulator.
Division 4—Provisions relating to persons
exercising functions under Law
697—General duties of persons exercising functions
under this Law
(1) A person exercising functions under this Law must, when exercising the
functions, act honestly and with integrity.
(2) A person exercising functions under this Law must exercise the
person’s functions under this Law—
(a) in good faith; and
(b) with a reasonable degree of care, diligence and skill.
(3) A person exercising
functions under this Law must not make improper use of the person’s
position or of information that comes to the person’s knowledge in the
course of, or because of, the person’s exercise of the
functions—
(a) to gain an advantage for himself or herself or another person;
or
(b) to cause a detriment to the implementation or operation of this
Law.
Maximum penalty for the purposes of
subsection (3):
$10 000.
698—Protection from personal liability for persons
exercising Regulator's or Board's functions under this Law
(1) A person who is or
was a protected person does not incur civil liability personally for anything
done or omitted to be done in good faith—
(a) in the exercise of a function of the Regulator or the Board under this
Law; or
(b) in the reasonable belief that the act or omission was the exercise of
a function of the Regulator or the Board under this Law.
(2) Any liability resulting from an act or omission that would, but for
the purposes of
subsection (1),
attach to a protected person attaches instead to the Regulator.
(3) In this section—
protected person means an individual who is any of the
following:
(b) a member of a committee of the Board;
(c) a member of the staff of the Regulator;
(d) an authorised officer;
(e) a person to whom
the Regulator has delegated any of its functions or to whom functions delegated
by the Regulator have been subdelegated;
(f) a person acting under the direction or authority of a person mentioned
in paragraphs (a) to (e), including, for example, a person helping an authorised
officer or an assistant mentioned in
section 518,
519 or
523;
(g) a person—
(i) who constitutes a body corporate that exercises functions of the
Regulator under this Law; and
(ii) who is, or is of a class, prescribed by the national
regulations;
(h) any other person exercising functions of the Regulator under this
Law.
Part 1—General offences
Division 1—Offence about discrimination or
victimisation
699—Discrimination against or victimisation of
employees
(1) An employer must
not dismiss an employee, or otherwise prejudice an employee in the
employee’s employment, for the reason that the employee—
(a) has helped or given information to a public authority or law
enforcement agency in relation to a contravention or alleged contravention of
this Law; or
(b) has made a complaint about a contravention or alleged contravention of
this Law to an employer, former employer, fellow employee, former fellow
employee, union or public authority or law enforcement agency.
Examples of prejudicial conduct in relation to an employee’s
employment—
• demotion of the employee
• unwarranted transfer of the employee
• reducing the employee’s terms of employment
Maximum penalty: $10 000.
(2) An employer must
not fail to offer employment to a prospective employee, or in offering
employment to a prospective employee treat the prospective employee less
favourably than another prospective employee would be treated in similar
circumstances, for the reason that the prospective employee—
(a) has helped or given information to a public authority or law
enforcement agency in relation to a contravention or alleged contravention of
this Law; or
(b) has made a complaint about a contravention or alleged contravention of
this Law to an employer, former employer, fellow employee, former fellow
employee, union or public authority or law enforcement agency.
Maximum penalty: $10 000.
(3) In a proceeding for an offence against
subsection (1)
or
(2), if all the facts
constituting the offence other than the reason for the defendant’s action
are proved, the defendant has the onus of proving that the defendant’s
action was not for the reason alleged in the charge for the offence.
(4) In this section—
employee includes an individual who works under a contract
for services;
employer, of a prospective employee, includes a prospective
employer of the employee.
700—Order for damages or
reinstatement
(1) This section applies if a court convicts an employer of an offence
against
section 699 in
relation to an employee or prospective employee.
(2) In addition to
imposing a penalty, the court may make 1 or more of the following
orders:
(a) an order that the
employer pay, within a stated period, the employee or prospective employee the
damages the court considers appropriate to compensate the employee or
prospective employee;
(b) for an
employee—an order that the employee be reinstated or re-employed in the
employee’s former position or, if that position is not available, in a
similar position;
(c) for a prospective
employee—an order that the prospective employee be employed in the
position for which the prospective employee applied or, if that position is not
available, in a similar position.
(3) An order for damages under
subsection (2)(a)—
(a) cannot be for an amount exceeding the monetary jurisdictional limit of
the court in civil proceedings; and
(b) is taken to be, and is enforceable as, a judgment of the court sitting
in civil proceedings.
(4) A person against whom an order is made under
subsection (2)(b) or
(c) must comply with the
order.
Maximum penalty: $10 000.
(5) In this section—
employee includes an individual who works under a contract
for services;
employer, of a prospective employee, includes a prospective
employer of the employee.
Division 2—Offences about false or misleading
information
701—False or misleading
statements
(1) A person commits an
offence if the person makes a statement to an official that the person knows is
false or misleading in a material particular.
Maximum penalty: $10 000.
(2) A person commits an
offence if the person—
(a) makes a statement to an official that is false or misleading in a
material particular; and
(b) is reckless as to whether the statement is false or misleading in a
material particular.
Maximum penalty: $8 000.
(3)
Subsections (1) and
(2) apply even if the
statement was not given in response to, or in purported compliance with, a
direction or requirement under this Law.
(4) In a proceeding for an offence against
subsection (1)
or
(2), it is enough for a
charge to state that the statement made was ‘false or misleading’,
without specifying whether it was false or whether it was misleading.
(5) In this section—
official includes—
(a) TCA exercising a function under
Chapter 7;
and
(b) a person exercising a function under this Law under the direction or
authority of an official.
702—False or misleading
documents
(1) A person commits an
offence if the person gives an official a document containing information the
person knows is false or misleading in a material particular.
Maximum penalty: $10 000.
(2)
Subsection (1) does not
apply if the person, when giving the document—
(a) tells the official how information contained in the document is false
or misleading; and
(b) if the person has the correct information—gives the correct
information.
(3) A person commits an
offence if the person—
(a) gives an official a document containing information that is false or
misleading in a material particular; and
(b) is reckless as to whether information contained in the document is
false or misleading in a material particular.
Maximum penalty: $8 000.
(4)
Subsections (1) and
(3) apply even if the
document was not given in response to, or in purported compliance with, a
direction or requirement under this Law.
(5) In a proceeding for an offence against
subsection (1)
or
(3), it is enough for a
charge to state that the information was ‘false or misleading’,
without specifying whether it was false or whether it was misleading.
(6) In this section—
official includes—
(a) TCA exercising a function under
Chapter 7;
and
(b) a person exercising a function under this Law under the direction or
authority of an official.
703—False or misleading information given by
responsible person to another responsible person
(1) A responsible
person for a heavy vehicle (the information giver) must not give
another responsible person for a heavy vehicle (the affected
person) information the information giver knows, or ought reasonably to
know, is false or misleading in a material particular.
Maximum penalty: $10 000.
Note—
See
section 632
for the matters a court may consider when deciding whether a person ought
reasonably to have known something.
(2) A responsible person for a heavy vehicle (also the information
giver) must not give another responsible person for a heavy vehicle (the
affected person) information that is false or misleading in a
material particular if the information giver does so recklessly as to whether
the information is false or misleading in the material particular.
Maximum penalty: $8 000.
(3)
Subsections (1) and
(2) do not apply if the affected person knew, or ought reasonably to have known,
that the information was false or misleading in the material
particular.
(4)
Subsection (1) or
(2) does not apply if the information giver gives the information in writing
and, when giving the information—
(a) tells the affected person how it is false or misleading; and
(b) if the information giver has the correct information—gives the
correct information in writing.
(5)
Subsection (1) or
(2) applies even if the information was not given in response to, or in
purported compliance with, a direction or requirement under this Law.
(6) In a proceeding for an offence against
subsection (1)
or (2)—
(a) it is enough for a charge to state that the statement made was
‘false or misleading’, without specifying whether it was false or
whether it was misleading; and
(b) it is enough for a charge to state that the information given was
false or misleading to the information giver’s knowledge, without
specifying whether the information giver knew or ought reasonably to have known
the information was false or misleading.
(7) In this section—
information means information in any form, whether or not in
writing;
material particular means a particular relating to an element
of an offence against this Law that is or could be committed by a person
mentioned in
paragraph (a) or
(b) if the person relies,
or were to rely, on the particular—
(a) the responsible
person for a heavy vehicle to whom the information is given;
(b) any other
responsible person for a heavy vehicle who, at any time, is given the false or
misleading information.
704—Offence to falsely represent that heavy vehicle
authority is held etc
(1) A person must not represent—
(a) that the person has been granted a heavy vehicle authority the person
has not been granted; or
(b) that the person is operating under a heavy vehicle authority that the
person is not entitled to operate under.
Maximum penalty: $10 000.
(2) A person must not represent that the person is operating under a heavy
vehicle authority if the authority is no longer in force.
Maximum penalty: $10 000.
(3) A person must not possess a document that falsely purports to
be—
(a) an accreditation
certificate for a heavy vehicle accreditation; or
(b) a document
mentioned in
section 468(1)(b) or
(c); or
(c) a document
evidencing the grant of an exemption, authorisation, permit or other authority
under this Law; or
Examples—
a Commonwealth Gazette notice, a permit
(d) a copy of a document mentioned in
paragraph (a),
(b) or
(c).
Maximum penalty: $10 000.
(4) In this section—
heavy vehicle authority means—
(a) a heavy vehicle accreditation; or
(b) an exemption, authorisation, permit or other authority under this
Law.
Part 2—Industry codes of
practice
705—Guidelines for industry codes of
practice
(1) The Regulator may
make guidelines about the preparation and content of an industry code of
practice that may be registered under this Law.
(2) Without limiting
subsection (1), the
guidelines may provide that an industry code of practice registered under this
Law must provide for the review of the code of practice.
(3) The Regulator must—
(a) keep a copy of the guidelines available for inspection by the public,
during office hours on business days, at the Regulator’s head office;
and
(b) publish a copy of the guidelines on the Regulator’s
website.
706—Registration of industry codes of
practice
(1) The Regulator may register an industry code of practice for the
purposes of this Law prepared in accordance with guidelines in force under
section 705.
(2) The registration
may be subject to the following conditions imposed by the Regulator:
(a) that the industry code of practice must be reviewed after a stated
period;
(b) that a stated person, or a person of a stated class, must be appointed
to maintain the industry code of practice and ensure it is updated following
changes to best practice methods for the industry to which it relates;
(c) that the industry code of practice must be updated following changes
to the guidelines for the preparation and content of the industry code of
practice in force under
section 705.
(3) The registration may be subject to other conditions the Regulator
considers appropriate.
(4)
Subsection (5) applies
if—
(a) a condition applying to the registration of an industry code of
practice is contravened; or
(b) the guidelines in force under
section 705 about the
preparation and content of an industry code of practice are changed and a
registered industry code of practice does not comply with the guidelines as
amended.
(a) amend the conditions of the registration, including by adding new
conditions; or
Example of a condition for the purposes of paragraph
(a)—
that the registered industry code of practice be amended in a stated way to
reflect a change to the guidelines for the preparation and content of the code
of practice in force under
section 705
(b) cancel the registration.
(6) Conditions mentioned in
subsection (2) can
be amended under
subsection (5) so
long as the amended conditions conform with
subsection (2), but
cannot otherwise be amended.
(7) The Regulator incurs no liability for loss or damage suffered by a
person because the person relied on a registered industry code of
practice.
Part 3—Legal proceedings
Division 1—Proceedings
707—Proceedings for offences
(1) A proceeding for an offence against this Law is to be by way of a
summary proceeding before a court of summary jurisdiction.
(2) The proceeding must start within the later of the following periods to
end:
(a) 2 years after the commission of the offence;
(b) 1 year after the offence comes to the complainant’s knowledge,
but within 3 years after the commission of the offence.
(3) A statement in a complaint for an offence against this Law that the
matter of the complaint came to the knowledge of the complainant on a stated day
is evidence of when the matter came to the complainant’s
knowledge.
(4) In this section—
complaint means a complaint, notice, charge or other process
by which a proceeding for an offence is started.
Division 2—Evidence
708—Proof of appointments
unnecessary
For the purposes of this Law, it is not necessary to prove the appointment
of the following persons:
(a) an official;
(b) a police commissioner.
709—Proof of signatures
unnecessary
For the purposes of this Law, a signature purporting to be the signature of
1 of the following persons is evidence of the signature it purports to
be:
(a) an official;
(b) a police commissioner.
710—Averments
(1) In a proceeding for an offence against this Law, a statement in the
complaint for the offence that, at a stated time or during a stated
period—
(a) a stated vehicle or a stated combination was a heavy vehicle;
or
(b) a stated vehicle or a stated combination was of a stated category of
heavy vehicle; or
(c) a stated person was the registered operator of a stated heavy vehicle;
or
(d) a stated person held a permit for a mass or dimension authority, a
heavy vehicle accreditation or another authority under this Law; or
(e) a stated location was, or was a part of, a road or road-related area;
or
(f) a stated location was, under a stated provision of this Law or another
stated law, subject to a stated prohibition, restriction or other requirement
about the use of heavy vehicles or stated categories of heavy
vehicles,
is evidence of the matter.
(2) In a proceeding for an offence against this Law, a statement or
allegation in the complaint for the offence that the act or omission
constituting the alleged offence was done or made in a stated place, at a stated
time, on a stated date or during a stated period, is evidence of the
matter.
(3) In this section—
complaint means a complaint, notice, charge or other process
by which a proceeding for an offence is started.
711—Evidence by certificate by Regulator
generally
(1) A certificate
purporting to be issued by the Regulator and stating that, at a stated time or
during a stated period—
(a) a stated vehicle was or was not registered under this Law;
or
(b) a stated vehicle was or was not registered under this Law on the basis
it is a heavy vehicle; or
(c) a stated vehicle registered under this Law was or was not registered
as a heavy vehicle of a stated category; or
(d) a stated person was or was not the registered operator of a stated
vehicle registered under this Law; or
(e) a stated person held or did not hold a heavy vehicle accreditation
granted under this Law; or
(f) a stated exemption or authorisation under this Law applied or did not
apply to a stated person or a stated heavy vehicle; or
(g) a stated person is the holder of a stated permit or other authority
under this Law; or
(h) a stated registration, heavy vehicle accreditation, exemption,
authorisation, permit or other authority under this Law was or was not amended,
suspended or cancelled under this Law; or
(i) a stated penalty, fee, charge or other amount was or was not, or is or
is not, payable under this Law by a stated person; or
(j) a stated fee, charge or other amount payable under this Law was or was
not paid to the Regulator; or
(k) a stated person has or has not notified the Regulator of any, or a
stated, change of the person’s address; or
(l) a stated identification card (however called) was issued by the
Regulator to a stated person and was or was not current; or
(m) a stated authorised officer (other than an authorised officer who is a
police officer) was authorised to exercise a stated power under this Law
and—
(i) was not restricted in the exercise of the power by the officer’s
conditions of appointment or a direction of the Regulator; or
(ii) was not restricted in a stated way in the exercise of the power by
the officer’s conditions of appointment or a direction of the Regulator;
or
(n) a stated industry code of practice was or was not registered under
section 706; or
(o) a stated road or road-related area, or a stated part of a road or
road-related area, was in an area or on a route declared under a stated
provision of this Law or the national regulations; or
(p) a stated heavy vehicle, or a stated component of a stated heavy
vehicle, was weighed by or in the presence of a stated authorised officer on a
stated weighbridge or weighing facility or by the use of a stated weighing
device, and that a stated mass was the mass of the vehicle or component;
or
(q) a stated
mathematical or statistical procedure was carried out in relation to stated
information generated, recorded, stored, displayed, analysed, transmitted or
reported by an approved intelligent transport system and the results of the
procedure being carried out;
is evidence of the matter.
(2) A procedure specified in a certificate under
subsection (1)(q) is
presumed, unless the contrary is proved—
(a) to be valid and reliable for the purpose for which it was used;
and
(b) to have been carried out correctly.
712—Evidence by certificate by road
authority
A certificate purporting to be issued by a road authority and stating that,
at a stated time or during a stated period—
(a) a stated vehicle was or was not registered or licensed under a law
administered by the authority; or
(b) a stated person was the person in whose name a stated vehicle was
registered or licensed under a law administered by the authority; or
(c) a stated vehicle was not registered or licensed under a law
administered by the authority in a stated person’s name; or
(d) a stated location—
(i) was, or was part of, a road or road-related area; or
(ii) was not a road or road-related area or part of a road or road-related
area; or
(e) a stated location was or was not, under a stated law of a stated
participating jurisdiction, subject to a stated prohibition, restriction or
other requirement about the use of heavy vehicles or stated categories of heavy
vehicles,
is evidence of the matter.
713—Evidence by certificate by Regulator about
matters stated in or worked out from records
(1) A certificate purporting to be issued by the Regulator and stating any
of the following matters is evidence of the matter:
(a) a stated matter appears in a stated record kept by the Regulator for
the administration or enforcement of this Law;
(b) a stated matter appears in a stated record accessed by the Regulator
for the administration or enforcement of this Law.
(2) A certificate purporting to be issued by the Regulator and stating
that a matter that has been worked out from either of the following is evidence
of the matter:
(a) a stated record kept by the Regulator for the administration or
enforcement of this Law;
(b) a stated record accessed by the Regulator for the administration or
enforcement of this Law.
(3) This section does not limit
section 711.
714—Evidence by certificate by authorised officer
about instruments
(1) A certificate
purporting to be issued by an authorised officer and stating that, on a stated
day or at a stated time on a stated day, a stated instrument—
(a) was in a proper condition; or
(b) had a stated level of accuracy,
is evidence of those matters on the stated day or at the stated
time.
(2) Evidence of the condition of the instrument, or the way in which it
was operated, is not required unless evidence that the instrument was not in
proper condition or was not properly operated has been given.
(3) A defendant in a proceeding for an offence against this Law who
intends to challenge the condition of an instrument, or the way in which it was
operated, must give the complainant notice of the intention to
challenge.
(4) The notice must be—
(a) signed by the defendant; and
(b) given at least 14 days before the day fixed for the hearing of the
charge.
(5) In this section—
instrument means—
(a) a weighing device; or
(b) an intelligent transport system.
715—Challenging evidence by
certificate
(1) A defendant in a proceeding for an offence against this Law who
intends to challenge a matter stated in a certificate mentioned in
section 711,
712,
713 or
714(1)
must give the complainant notice of the intention to challenge.
(2) The notice must be—
(a) signed by the defendant; and
(b) given at least 14 days before the day fixed for the hearing of the
charge.
(3) If the matter intended to be challenged is the accuracy of a
measurement, an analysis or a reading from a device, the notice must
state—
(a) the basis on which the defendant intends to challenge the accuracy of
the measurement, analysis or reading; and
(b) the measurement, analysis or reading the defendant considers to be the
correct measurement, analysis or reading.
(4) A defendant in a proceeding for an offence against this Law cannot
challenge a matter stated in a certificate mentioned in
section 711,
712,
713 or
714(1)
unless—
(a) the defendant has complied with this section; or
(b) the court gives leave to the defendant to challenge the matter, in the
interests of justice.
(5) This section applies only if the defendant is given a copy of the
certificate at least 28 days before the appointed date for the hearing of
the charge.
716—Evidence by record about
mass
A record of the mass of a heavy vehicle, or a component of a heavy vehicle,
purporting to be made by the operator of a weighbridge or weighing facility at
which the vehicle or component was weighed, or by the operator’s
employee—
(a) is admissible in a proceeding under this Law; and
(b) is evidence of the mass of the vehicle or component at the time it was
weighed.
717—Manufacturer’s
statements
(1) A written statement of the recommended maximum loaded mass (mass
rating) for a heavy vehicle, or a component of a heavy vehicle,
purporting to be made by the manufacturer of the vehicle or component is
admissible in a proceeding under this Law and is evidence—
(a) of the mass rating; and
(b) of any conditions, stated in the statement, to which the mass rating
is subject; and
(c) that the statement was made by the manufacturer.
(2) A written statement of the strength or performance rating of equipment
used to restrain a load and designed for use on a heavy vehicle, or on a
component of a heavy vehicle, purporting to be made by the manufacturer of the
equipment is admissible in a proceeding under this Law and is
evidence—
(a) that the equipment was designed for the use; and
(b) of the strength or performance rating of the equipment; and
(c) of any conditions, stated in the statement, to which the rating is
subject; and
(d) that the statement was made by the manufacturer.
Example of equipment used to restrain a load—
a chain or strap
718—Measurement of weight on
tyre
(1) A mark or print on a tyre purporting to be the maximum load capacity
decided by the manufacturer of the tyre is evidence of the maximum load capacity
for the tyre at cold inflation pressure decided by the manufacturer.
(2) If it is impracticable to work out the mass on each tyre in an axle or
axle group, the mass on the axle or axle group divided by the number of tyres in
the axle or axle group is taken to be the mass on the tyre in the absence of
evidence to the contrary.
719—Transport and journey
documentation
(1) Transport documentation and journey documentation are admissible in a
proceeding under this Law and are evidence of—
(a) the identity and status of the parties to the transaction to which the
documentation relates; and
(b) the destination or intended destination of the load to which the
documentation relates; and
(c) either or both the date on which and the time at
which—
(i) any document in the documentation was created; or
(ii) any transaction mentioned in the documentation was effected or
carried out; or
(iii) any journey mentioned in the documentation was started, carried out
or finished; or
(iv) any other matter mentioned in the documentation was effected,
started, carried out or finished; and
(d) the location of any person, heavy vehicle, goods or other matter or
thing mentioned in the documentation; and
(e) the date and time at which any person, heavy vehicle, goods or other
matter or thing mentioned in the documentation was present at a particular
place.
(2) In this section—
status, of the parties to a transaction, includes the status
of each of the parties as a responsible person for the heavy vehicle used or
intended to be used for transporting the goods the subject of the
transaction.
720—Evidence not affected by nature of
vehicle
Evidence obtained in relation to a vehicle because of the exercise of a
power under this Law in the belief or suspicion that the vehicle is a heavy
vehicle is not affected merely because the vehicle is not a heavy
vehicle.
721—Certificates of TCA
(1) A certificate
purporting to be signed by a person on behalf of TCA stating any of the
following matters is evidence of the matter:
(a) a stated intelligent transport system was or was not an approved
intelligent transport system on a stated date or during a stated
period;
(b) a stated person was or was not an intelligent access service provider
on a stated date or during a stated period;
(c) a stated person was or was not an intelligent access auditor on a
stated date or during a stated period.
(2) A person who purportedly signs a certificate of a type mentioned in
subsection (1) on
behalf of TCA is presumed, unless the contrary is proved, to have been
authorised by TCA to sign the certificate on TCA’s behalf.
722—Approved intelligent transport
system
(1) An approved
intelligent transport system, including all the equipment and software that
makes up the system, is presumed, unless the contrary is proved, to have
operated properly on any particular occasion.
(2) Without limiting
subsection (1),
information generated, recorded, stored, displayed, analysed, transmitted and
reported by an approved intelligent transport system is presumed, unless the
contrary is proved, to have been correctly generated, recorded, stored,
displayed, analysed, transmitted and reported by the system.
(3) Without limiting
subsection (1) or
(2), information
generated by an approved intelligent transport system is presumed, unless the
contrary is proved, not to have been changed by being recorded, stored,
displayed, analysed, transmitted or reported by the system.
(4) If in a proceeding it is established by contrary evidence that
particular information recorded or stored by an approved intelligent transport
system is not a correct representation of the information generated by the
system, the presumption mentioned in
subsection (3)
continues to apply to the remaining information recorded or stored by the system
despite that contrary evidence.
(5) If a defendant in a
proceeding for an offence against this Law intends to challenge any of the
following matters, the defendant must give the complainant notice of the
intention to challenge:
(a) that an approved
intelligent transport system has operated properly;
(b) that information
generated, recorded, stored, displayed, analysed, transmitted or reported by an
approved intelligent transport system has been correctly generated, recorded,
stored, displayed, analysed, transmitted or reported by the system;
(c) that information
generated by an approved intelligent transport system has not been changed by
being recorded, stored, displayed, analysed, transmitted or reported by the
system.
(6) The notice must—
(a) be signed by the defendant; and
(b) state the grounds on which the defendant intends to rely to challenge
a matter mentioned in
subsection (5)(a),
(b) or
(c);
and
(c) be given at least 14 days before the day fixed for the hearing of the
charge.
(7) This section does not limit
section 714.
723—Evidence as to intelligent access
map
(1) A certificate
purporting to be signed by a person on behalf of TCA stating that a particular
map was or was not the intelligent access map as issued by TCA on a stated date
or during a stated period is conclusive evidence of the matter stated in the
certificate.
(2) The intelligent access map, as issued by TCA at a particular time, is
presumed, unless evidence sufficient to raise doubt about the presumption is
adduced, to be a correct representation of the national road network at the time
of its issue.
(3) A person who purportedly signs a certificate of the kind referred to
in
subsection (1) on
behalf of TCA is presumed, unless evidence sufficient to raise doubt about the
presumption is adduced, to have been authorised by TCA to sign the certificate
on TCA’s behalf.
724—Reports and statements made by approved
intelligent transport system
(1) A report purporting
to be made by an approved intelligent transport system—
(a) is presumed, unless
the contrary is proved—
(i) to have been properly made by the system; and
(ii) to be a correct representation of the information generated,
recorded, stored, displayed, analysed, transmitted and reported by the system;
and
(b) is admissible in a proceeding under this Law; and
(c) is evidence of the
matters stated in it.
(2) However,
subsection (1)(c)
does not apply to information stated in a report made by an approved intelligent
transport system that has been manually entered into the system by an operator
or driver of a heavy vehicle.
Example—
If the driver of a heavy vehicle enters the mass of the vehicle into the
intelligent transport system, the information about the mass of the vehicle
stated in a report made by the system is not evidence of the mass of the
vehicle.
(3) Also, if in a proceeding it is established by contrary evidence that
part of a report made by an approved intelligent transport system is not a
correct representation of particular information generated, recorded, stored,
displayed, analysed, transmitted or reported by the system, the presumption
mentioned in
subsection (1)(a)
continues to apply to the remaining parts of the report despite that contrary
evidence.
(4) If a defendant in a
proceeding for an offence against this Law intends to challenge any of the
following matters, the defendant must give the complainant notice of the
intention to challenge:
(a) that a report made
by an approved intelligent transport system has been properly made;
(b) that a report made
by an approved intelligent transport system is a correct representation of the
information generated, recorded, stored, displayed, analysed, transmitted and
reported by the system;
(c) the correctness of
a statement of a vehicle’s position on the surface of the earth at a
particular time that is made by an approved intelligent transport
system.
(5) The notice must—
(a) be signed by the defendant; and
(b) state the grounds on which the defendant intends to rely to challenge
the matter mentioned in
subsection (4)(a),
(b) or
(c);
and
(c) be given at least 14 days before the day fixed for the hearing of the
charge.
(6) This section does not limit
section 714.
725—Documents produced by an approved electronic
recording system
(1) This section applies to an approved electronic recording system
constituting an electronic work diary or of which an electronic work diary is a
part.
(2) A document purporting to be made by the approved electronic recording
system—
(a) is admissible in a proceeding under this Law relating to a
fatigue-regulated heavy vehicle; and
(b) is evidence of the matters stated in it.
726—Statement by person involved with use or
maintenance of approved electronic recording system
(1) This section applies to an approved electronic recording system
constituting an electronic work diary or of which an electronic work diary is a
part.
(2) A written statement about how the approved electronic recording system
has been used or maintained, and purporting to be made by the person purporting
to be involved in the use or maintenance—
(a) is admissible in a proceeding under this Law relating to a
fatigue-regulated heavy vehicle; and
(b) is evidence of the matters included in the statement.
Examples of statements—
• a statement made by the driver of a fatigue-regulated heavy
vehicle who uses an electronic work diary about how the driver operated the work
diary
• a statement made by an owner of an approved electronic recording
system about how the owner has maintained the system
• a statement made by the record keeper (within the meaning given by
section 317) of the
driver of a fatigue-regulated heavy vehicle who uses an electronic work diary
about how information was transmitted from the electronic work diary to the
record keeper
Part 4—Protected
information
727—Definitions for
Chapter 13
Part 4
authorised use, for protected information,
means—
(a) use by a person—
(i) in the exercise of a function under this Law; or
(ii) where use of the information is required or authorised under this Law
(whether explicitly or by implication); or
(b) use by a public authority or law enforcement agency—
(i) for the administration or enforcement of a law or the exercise of
another function of the authority or agency, including, for example,
investigating a contravention or suspected contravention of a law; or
(ii) if a law authorises, requires or permits the disclosure of the
information to, and the use of the information by, the authority or agency;
or
(c) use by a court or tribunal in a proceeding under an Australian road
law; or
(d) use by a court or tribunal if an order of the court or tribunal
requires the disclosure of the information to the court or tribunal;
or
(e) an activity associated with preventing or minimising—
(i) a risk of danger to the life of a person; or
(ii) a risk of serious harm to the health of a person; or
(iii) a risk to public safety; or
(f) a use authorised by the person to whom the information relates;
or
(g) research purposes if the information contains no personal information;
or
(h) use by an entity (whether public or private) in connection with road
tolls; or
(i) use by an entity (whether public or private) in connection with the
administration of third party insurance legislation; or
(j) use by an entity (whether public or private) for the purpose of
determining the registration status of a heavy vehicle; or
(k) a use required
or authorised under a relevant law of a participating jurisdiction; or
(l) a use prescribed by the national regulations; or
(m) a use referred to in
subsection (2);
police agency means a police force or police service (however
called) of a participating jurisdiction, and includes an entity prescribed by
the Application Act of this jurisdiction as an entity included in this
definition;
protected information—
(a) means information
obtained in the course of administering this Law or because of an opportunity
provided by involvement in administering this Law; but
(b) does not include—
(i) intelligent access information; or
Note—
See
Chapter 7 for the
restrictions on the use and disclosure of intelligent access
information.
(ii) information mentioned in
paragraph (a) in a
form that does not identify a person; or
(iii) information relating to proceedings before a relevant tribunal or
court that are or were open to the public;
relevant law, of a participating jurisdiction, means a law
specified for this definition in a law of the jurisdiction.
(2) It is also an
authorised use of protected information disclosed to or otherwise held by a
police agency for any purpose or for a particular purpose to disclose the
information to another police agency authorised to hold protected information
(whether or not for the same purpose).
(3) To remove any doubt, it is declared that a reference in this Part to
the disclosure of protected information to an entity includes a reference to the
disclosure of the information to a duly authorised employee or agent of the
entity.
728—Duty of confidentiality
(1) A person who is, or
has been, a person exercising functions under this Law must not disclose
protected information to another person.
Maximum penalty: $20 000.
(2) However,
subsection (1) does
not apply to the Regulator—
(a) disclosing protected information in the form of a confirmation that a
stated person is the registered operator of a stated heavy vehicle; or
(b) disclosing details of heavy vehicles registered in a person’s
name to an executor or administrator of that person’s deceased
estate.
(3) Also,
subsection (1) does
not apply if—
(a) the disclosure is
to an entity for an authorised use; or
(b) the disclosure is to, or made with the agreement of, the person to
whom the information relates.
729—Protected information only to be used for
authorised use
(1) A person who is, or
has been, a person exercising functions under this Law must not use protected
information other than for an authorised use.
Maximum penalty: $20 000.
(2) However,
subsection (1) does
not apply to the Regulator using protected information for making a disclosure
mentioned in
section 728(2).
(3) A person to whom protected information is disclosed under
section 728(3)(a)
must not use the protected information other than for the authorised use for
which it was disclosed to the person.
Maximum penalty: $20 000.
Part 5—National
regulations
730—National regulations
(1) For the purposes of this section, the designated authority is the
Queensland Governor acting with the advice of the Executive Council of
Queensland and on the unanimous recommendation of the responsible
Ministers.
(2) The designated authority may make regulations for the purposes of this
Law.
(3) The regulations may
provide for—
(a) any matter a provision of this Law states may be provided for in the
regulations; and
(b) the imposition of a
maximum fine for a contravention of a provision of the regulations of not more
than—
(i) for a contravention by an individual—$4 000; or
(ii) in any other case—$20 000; and
(c) any other matter that is necessary or convenient to be prescribed for
carrying out or giving effect to this Law.
(4)
Subsection (3)(b)
does not require a provision of the regulations prescribing a maximum fine for
an offence to expressly prescribe a maximum fine for a body corporate different
to the maximum fine for an individual.
Note—
See
section 596 in
relation to a provision of the regulations prescribing a maximum fine that does
not expressly prescribe a maximum fine for a body corporate different to the
maximum fine for an individual.
(5) In this section—
Queensland Governor means the Governor of the State of
Queensland and includes—
(a) a person acting under a delegation under section 40 of the
Constitution of Queensland 2001; and
(b) a person for the time being administering the Government of Queensland
under section 41 of the Constitution of Queensland 2001.
731—National regulations for approved vehicle
examiners
(1) Without limiting any other provision of this Law, the national
regulations may provide for—
(a) the approval of classes of vehicle examiners to inspect vehicles for
the purposes of this Law; and
(b) the role of the Regulator in approving classes of vehicle examiners
and persons as vehicle examiners; and
(c) probity requirements for becoming and being approved vehicle
examiners; and
(d) the functions of approved vehicle examiners or classes of approved
vehicle examiners, including, for example—
(i) the examination and testing of heavy vehicles and equipment;
and
(ii) the oversight of entities involved in the inspection or repair of
heavy vehicles; and
(iii) the clearance of vehicle defect notices; and
(e) the premises or location where functions of approved vehicle examiners
are permitted to be conducted and any matters relating to the premises or
location where those functions are conducted; and
(f) the facilities and equipment that approved vehicle examiners are
required to have in connection with the exercise of their functions;
and
(g) the terms and conditions of approval of persons as vehicle examiners
(including, for example, fees, qualifications and responsibilities);
and
(h) procedures for monitoring and auditing compliance
with—
(i) the terms and conditions of approval of a person as a vehicle
examiner; and
(ii) the relevant provisions of this Law and any applicable code of
practice prescribed by the national regulations; and
(iii) any other relevant requirements; and
(i) the discipline of, and disciplinary procedures applying to, approved
vehicle examiners and entities having responsibility for their functions
(including directors, managers and employees), whether—
(i) by way of monetary penalties, restriction on functions, imposition of
conditions, variation of terms of appointment, suspension of appointment,
cancellation of appointment; or
(ii) in some other way.
(2) The national regulations may make provision with respect to vehicle
examiners (however described) appointed or authorised under a law of any
participating jurisdiction and entities having responsibility for their
functions (including directors, managers and employees), including processes
relating to discipline and disciplinary procedures applying to them.
732—National regulations for publication of
agreements for services to States or Territories
Without limiting any other provision of this Law, the national regulations
may provide that particular matters contained in or relating to agreements
referred to in
section 658(2) are
to be published on the Regulator’s website.
733—Publication of national
regulations
(1) The national regulations are to be published on the NSW legislation
website in accordance with Part 6A of the Interpretation Act 1987 of
New South Wales.
(2) A regulation commences on the day or days specified in the regulation
for its commencement (being not earlier than the date it is
published).
734—Scrutiny of national
regulations
(1) The responsible
Minister for a participating jurisdiction is to refer any adverse report about a
national regulation from a legislation scrutiny body for that jurisdiction to
the responsible Ministers for consideration and advice.
(2) The responsible Ministers are to prepare advice on the adverse report
and provide a report to the relevant responsible Minister about the issues
raised.
(3) The report by the
responsible Ministers is to be provided to the responsible Minister in
sufficient time to ensure the responsible Minister can provide the response to
the relevant scrutiny body within a period that is appropriate in the
circumstances.
(4)
Subsections (1) to
(3) do not affect any
legislative or other arrangements regarding scrutiny and disallowance in
jurisdictions and do not limit a responsible Minister’s ability to respond
independently to any issues raised by a legislation scrutiny body.
(5) In this section—
legislation scrutiny body means a parliamentary committee (or
other parliamentary body) whose functions include the scrutiny of regulations
and other subordinate legislation.
Part 6—Other
735—Approved forms
(1) The Regulator may approve forms for use under this Law.
(2) The approval of a
form must be notified on the Regulator’s website.
(3) Failure to comply with
subsection (2) does
not affect a form’s validity.
(4) The function of approving forms includes the function of approving the
format of forms.
736—Penalty at end of
provision
In this Law, a penalty stated at the end of a provision indicates that an
offence mentioned in the provision is punishable on conviction or, if no offence
is mentioned, a contravention of the provision constitutes an offence against
the provision that is punishable on conviction, by a penalty not more than the
stated penalty.
Note—
See also
section 596 in relation to
maximum fines for bodies corporate.
737—Increase of penalty
amounts
(1) This section applies to the penalty stated at the end of a provision
for an offence (including a penalty whose amount has already been increased by a
previous application or applications of this section).
(2) At the start of 1 July of each year, beginning with 1 July 2014, the
amount of each penalty is increased, from the amount that applied immediately
before that 1 July, in accordance with the method prescribed by the national
regulations for the purposes of this section.
Note—
In some circumstances, the operation of the method can result in no
increases occurring on a particular 1 July.
(3) A recommendation of the responsible Ministers for national regulations
prescribing a method for the increase of penalties cannot be made unless the
responsible Ministers are satisfied that the method generally accords with
increases in relevant inflation indexes or similar indexes.
(4) As soon as practicable but before 1 July of each year, the Regulator
must publish on the Regulator’s website the amounts of each penalty
applying as from that date.
738—Service of documents
(1) If this Law
requires or permits a document to be served on a person, the document may be
served—
(a) on an individual—
(i) by delivering it to the individual personally; or
(ii) by leaving it at, or by sending it by post to, the address of the
place of residence or business of the individual last known to the person
serving the document; or
(iii) by sending it by fax to a fax number notified to the sender by the
individual as an address at which service of documents under this Law will be
accepted; or
(iv) by sending it by email to an Internet address notified to the sender
by the individual as an address at which service of documents under this Law
will be accepted; or
(b) on another person—
(i) by leaving it at, or by sending it by post to, the head office, a
registered office or a principal office of the person; or
(ii) by sending it by fax to a fax number notified to the sender by the
person as an address at which service of documents under this Law will be
accepted; or
(iii) by sending it by email to an Internet address notified to the sender
by the person as an address at which service of documents under this Law will be
accepted.
(2)
Subsection (1) applies
whether the expression "deliver", "give", "notify", "send" or "serve" or another
expression is used.
(3)
Subsection (1) does not
affect—
(a) the operation of another law that authorises the service of a document
otherwise than as provided in the subsection; or
(b) the power of a court or tribunal to authorise service of a document
otherwise than as provided in the subsection.
739—Service by post
(1) If a document
authorised or required to be served on a person under this Law is served by
post, service of the document—
(a) may be effected by properly addressing, prepaying and posting the
document as a letter; and
(b) is taken to have been effected at the time at which the letter would
be delivered in the ordinary course of post, unless the contrary is
proved.
(2)
Subsection (1) applies
whether the expression ‘deliver’, ‘give’,
‘notify’, ‘send’ or ‘serve’ or another
expression is used.
740—Fees
(1) The national
regulations may prescribe the fees payable for the following:
(a) an application under this Law (whether or not another provision of
this Law refers to payment of the prescribed fee for the application);
(b) the issue of a work diary for the driver of a fatigue-regulated heavy
vehicle.
(2) The Regulator may
set fees payable for the provision of a service in connection with the
administration of this Law (other than fees mentioned in
subsection (1)).
(3) The national
regulations may provide that stated kinds of fees may be set by the Regulator
for inspection services, except so far as those fees are provided for under
another law of this jurisdiction.
(4) A fee set by the Regulator under
subsection (2) or
(3) must be an
amount—
(a) the Regulator considers reasonable; and
(b) that is no more than the reasonable cost of providing the
service.
(5) The Regulator must publish a fee set by the Regulator under
subsection (2) or
(3)—
(a) in the Commonwealth Gazette; and
(b) on the Regulator’s website.
(6) The Regulator may waive payment of the whole or part of a fee in
circumstances, or in circumstances of a kind, prescribed by the national
regulations.
(7) If a fee is prescribed for an application or any other matter under
this Law, the decision-maker may decline to deal with the application or proceed
with the other matter until the fee is paid.
741—Recovery of amounts payable under
Law
(1) A fee, charge or other amount payable under this Law is a debt due to
the Regulator and may be recovered by action for a debt in a court of competent
jurisdiction.
(2) A fee, charge or
other amount payable under this Law may also be recovered in a proceeding for an
offence against this Law.
(3) An order made under
subsection (2)—
(a) cannot be for an amount exceeding the monetary jurisdictional limit of
the court in civil proceedings; and
(b) is taken to be, and is enforceable as, a judgment of the court sitting
in civil proceedings.
742—Contracting out prohibited
(1) A contract is void to the extent to which it—
(a) is contrary to this Law; or
(b) purports to annul, exclude, restrict or otherwise change the effect of
a provision of this Law; or
(c) purports to require the payment or reimbursement by a person of all or
part of a penalty that another person has been ordered to pay under this
Law.
(2) This section does not prevent the parties to a contract from including
provisions in the contract imposing greater or more onerous obligations on an
entity than are imposed by the requirements of this Law.
(3) This section applies to contracts entered into before or after the
commencement of this section.
(4) In this section—
contract means contract or other agreement.
743—Other powers not affected
(1) Unless otherwise
provided in this Law, nothing in this Law affects any power a court, tribunal or
official has apart from this Law.
(2) Without limiting
subsection (1),
nothing in this Law affects a power or obligation under another law to amend,
suspend, cancel or otherwise deal with the registration of a heavy
vehicle.
Chapter 14—Savings
and transitional provisions
Part 1—Interim provisions relating to
Ministers and Board
744—Responsible Ministers
(1) This section applies if a jurisdiction—
(a) is not a participating jurisdiction; but
(b) has signed the Inter-governmental Agreement on Heavy Vehicle
Regulatory Reform, as in force from time to time, between the Commonwealth of
Australia and the States and Territories of Australia.
(2) The jurisdiction
may nominate a Minister to be the responsible Minister for the jurisdiction for
the purposes of this Law until the prescribed day for the
jurisdiction.
(3) Until the prescribed day for the jurisdiction, the relevant provisions
of this Law apply as if—
(a) the jurisdiction were a participating jurisdiction; and
(b) the Minister nominated under
subsection (2) were
the responsible Minister for the jurisdiction for the purposes of this
Law.
(4) To remove any doubt, it is declared that this section does not prevent
the Minister nominated under
subsection (2) being
nominated as the responsible Minister for the jurisdiction after the
participation day for the jurisdiction.
(5) In this section—
participation day, for a participating jurisdiction, means
the day the jurisdiction became a participating jurisdiction;
prescribed day, for a jurisdiction, means the earlier of the
following:
(a) the participation day for the jurisdiction;
(b) 30 June 2014;
relevant provisions means the provisions of this Law relating
to the functions of responsible Ministers under this Law other than
section 652.
745—Exercise of powers by Board between enactment
and commencement
(1) This section applies if—
(a) under
section 30 of
Schedule 1, the Queensland
Minister, on the unanimous recommendation of the responsible Ministers, appoints
the members of the Board before
section 663 commences;
and
(b) a provision of this Law conferring a function on the Board (a
relevant provision) has not commenced.
(a) may meet and exercise the function under the relevant provision in the
same way and subject to the same conditions that would apply if the relevant
provision had commenced; and
(b) in doing so, are entitled to be paid the remuneration and allowances
to which the members are entitled under
section 666 whether or not
that section has commenced.
(3) For the purposes of deciding the duration of the term of office of a
member of the Board, the term does not start until
section 663 commences
despite the exercise of any function by the member under
subsection (2).
(4) The exercise of a function under a relevant provision does not confer
a right, or impose a liability, on a person before the relevant provision
commences.
(5) This section does not limit
section 30 of
Schedule 1.
Part 2—General provisions
746—Application of Part 2
(1) This Part has effect in relation to this jurisdiction except to the
extent any law of this jurisdiction expressly or impliedly overrides a provision
of this Part.
(2) Nothing in this Part limits
section 34 of
Schedule 1, except to the
extent that the context or subject matter otherwise indicates or
requires.
747—Definitions for Part 2
In this Part—
commencement day, for this jurisdiction, means, with respect
to a provision of this Law, the day this jurisdiction became a participating
jurisdiction in relation to that provision;
current PBS scheme means the scheme in operation immediately
before the commencement day relating to compliance with legislative requirements
for heavy vehicles by reference to performance based standards, and comprises
such of the following instruments as are in force immediately before the
commencement day—
(a) the Standards and Vehicle Assessment Rules as at 10 November
2008;
(b) the Assessor Accreditation Rules (July 2007);
(c) the Vehicle Certification Rules (July 2007);
(d) the Network Classification Guidelines (July 2007);
(e) the Guidelines for Determining National Operating Conditions (July
2007);
former legislation, of this jurisdiction, means legislation
of this jurisdiction that is repealed on the participation day for this
jurisdiction or is superseded by provisions of this Law on that day;
participation day, for this jurisdiction, means the day this
jurisdiction became a participating jurisdiction;
relevant instrument—
(a) means an
application, permit, notice, authority or any other document; and
(b) without limiting
paragraph (a),
includes any document prescribed by a law of this jurisdiction as being within
this definition; but
(c) does not include any document prescribed by a law of this jurisdiction
as not being within this definition.
748—General savings and transitional
provision
(1) This section applies if a provision of this Law corresponds to a
provision of the former legislation.
(2) Anything done under the provision of the former legislation before the
commencement day has effect as if—
(a) this Law had been in force when the thing was done; and
(b) the thing had been done under this Law; and
(c) any reference to a person in, or in relation to, the provision were a
reference to the nearest equivalent person under this Law; and
(d) any reference in, or in relation to, the provision to another
provision of the former legislation were a reference to the corresponding
provision of this Law; and
(e) any other adaptations necessary to enable the thing to be effective
under this Law have been made,
and accordingly the thing is taken to have been done under this
Law.
(3) Subsection (2) does
not apply to the following:
(a) any appointment of a person as an authorised officer;
(b) any appointment of any other person who was employed by the department
or body administering the former legislation;
(c) any prosecution of
an offence that had not been completed immediately before the commencement
day;
(d) any review or
appeal, or anything related to a review or appeal, that was unresolved
immediately before the commencement day;
(e) anything excluded from the operation of this section by the national
regulations.
(4) Any prosecution, review or appeal referred to in
subsection (3)(c) or
(d) is to proceed as if
the former legislation were still in force in the form it was in at the relevant
time before the commencement day.
(5) On the final completion of any prosecution, review or appeal referred
to in
subsection (3)(c) or
(d), it is to be treated
as if it had occurred under this Law.
(6) The Regulator is not liable for anything the Regulator is taken to
have done under this section that was done before the commencement
day.
(7) Proceedings are not to be commenced by the Regulator for an offence
arising from any action or inaction that was completed before the commencement
day, but nothing in this section affects the commencement of proceedings by
another person.
749—Expiry of certain permits, exemptions, notices
and authorities
(1) This section applies if a permit, exemption, notice or
authority—
(a) is taken to have been made under this Law under
section 748; and
(b) is not subject to an expiry date, or is subject to an expiry
date—
(i) that, in the case of a permit, exceeds 3 years after the commencement
day; or
(ii) that in any other case exceeds 5 years after the commencement
day.
(2) In the case of a
permit, it expires 3 years after the commencement day, unless it is cancelled
before that day.
(3) In the case of an
exemption, notice or authority, it expires 5 years after the commencement day,
unless it is cancelled before that day.
(4) Despite
subsections (2) and
(3), a modification
approval granted in respect of a vehicle is to continue for the life of the
vehicle.
(5) For the purposes of this section, a permit that solely provides an
exemption is to be considered to be an exemption.
750—Amendment or cancellation of instruments
carried over from former legislation
(1) This section applies to any instrument—
(a) that is taken to have been made under this Law under
section 748; and
(b) that applies to more than one person and that confers a benefit on at
least one person; and
(c) that is of a class of instrument that is specified by the national
regulations for the purposes of this section.
(2) An amendment or cancellation of part of the instrument by implication
does not affect the remainder of the instrument.
Example—
If an instrument relates to mass and fatigue exemptions, a notice
cancelling only the fatigue exemptions will not cancel the mass exemptions. The
mass exemptions, and their associated conditions, will continue in force until
they are separately amended, or until they expire.
(3) Despite anything to
the contrary in this Law, if the instrument is amended or cancelled and the
amendment or cancellation has the effect of removing or reducing the benefit
previously conferred on a person by the instrument, the person may continue to
enjoy the benefit as if the amendment or cancellation had not occurred until the
instrument would have expired had the amendment or cancellation not
occurred.
(4) Despite anything to
the contrary in this Law other than
subsection (3), the
Regulator may amend or cancel the instrument simply by publishing notice of the
amendment or cancellation—
(a) in—
(i) the Commonwealth Gazette; and
(ii) a newspaper circulating generally throughout each relevant
participating jurisdiction; and
(b) on the Regulator’s website; and
(c) in any other newspaper the Regulator considers appropriate.
(5) The amendment or cancellation takes effect—
(a) 28 days after the Commonwealth Gazette notice is published under
subsection (4);
or
(b) if a later time is stated in the Commonwealth Gazette notice, at the
later time.
(6) This section applies even to amendments and cancellations that occur
by implication, and it is not necessary that the instrument being amended or
cancelled be identified in the amending or cancelling notice.
751—Expiry of industry codes of
practice
(1) This section applies if a code of practice—
(a) is taken to have been made under this Law under
section 748; and
(b) is not subject to a review date, or is subject to a review date that
exceeds 3 years after the commencement day.
(2) The code of practice expires 3 years after the commencement day,
unless it is cancelled before that day.
752—Pending matters
(1) This section applies if—
(a)
section 748
applies to a relevant instrument (for example, an application); and
(b) any matter (for example, the determination of an application) is
pending in respect of the instrument immediately before the participation day
for this jurisdiction.
(2) When the matter is being dealt with on or after the participation day
for this jurisdiction—
(a) the Regulator (or other person having functions under this Law in
relation to the matter) may have regard to any relevant provisions of the former
legislation for this jurisdiction; and
(b) this Law applies in relation to the matter—
(i) with any adaptations the Regulator (or other person) considers
appropriate to achieve consistency with provisions of the former legislation;
and
(ii) with any necessary adaptations.
753—Preservation of current PBS
scheme
(1) The instruments that comprise the current PBS scheme—
(a) continue in force on and from the commencement day despite the
commencement of any provision of this Law; and
(b) apply with any necessary or appropriate modifications with respect to
any relevant provisions of this Law or any relevant functions of the Regulator;
and
(c) so apply as if a reference in the instruments to the National
Transport Commission included a reference to the Regulator.
(2) This section ceases to apply to an instrument if it is replaced by
approved guidelines or it is otherwise dispensed with.
754—Preservation of contracts for current PBS
scheme
(1) This section
applies to a contract between the National Transport Commission and another
person that relates to the appointment or functions of the person for the
purposes of the current PBS scheme and that is in force immediately before the
commencement day.
(2) A contract to which this section applies and the arrangements to which
the contract relates—
(a) continue in force on and from the commencement day despite the
commencement of any provision of this Law; and
(b) apply with any necessary or appropriate modifications with respect to
any relevant provisions of this Law or any relevant functions of the Regulator;
and
(c) so apply as if a reference in the contract to the National Transport
Commission included a reference to the Regulator.
(3) This section ceases to apply to a contract with another person
referred to in
subsection (1)
if—
(a) the contract is terminated; or
(b) a subsequent contract is entered into with the Regulator and the other
person for a similar or a corresponding purpose.
755—National regulations for savings and
transitional matters
(1) The national
regulations may contain provisions of a savings and transitional nature
consequent on the enactment or commencement of provisions of this Law in a
jurisdiction.
(2) Any such provision may, if the national regulations so provide, take
effect in relation to this jurisdiction from the participation day for this
jurisdiction or a later day.
(3) To the extent
any such provision takes effect from a day that is earlier than the date of its
publication, the provision does not operate so as—
(a) to affect, in a manner prejudicial to any person (other than this
jurisdiction or an authority of this jurisdiction), the rights of that person
existing before the date of its publication; or
(b) to impose liabilities on any person (other than this jurisdiction or
an authority of this jurisdiction) in respect of anything done or omitted to be
done before the date of its publication.
(4) Without limiting
subsections (1) to
(3), the national
regulations may contain provisions of a savings or transitional nature
that—
(a) have effect in
circumstances where some but not all the provisions of this Law are commenced;
and
(b) without limiting
paragraph (a),
modify the operation of the commenced provisions pending and after commencement
of the uncommenced provisions.
Schedule 1—Miscellaneous provisions relating
to interpretation
Part 1—Preliminary
1—Displacement of Schedule by contrary
intention
The application of this Schedule may be displaced, wholly or partly, by a
contrary intention appearing in this Law.
Part 2—General
2—Law to be construed not to exceed legislative
power of Parliament
(1) This Law is to be construed as operating to the full extent of, but so
as not to exceed, the legislative power of the Parliament of this
jurisdiction.
(2) If a provision of this Law, or the application of a provision of this
Law to a person, subject matter or circumstance, would, but for this section, be
construed as being in excess of the legislative power of the Parliament of this
jurisdiction—
(a) it is a valid provision to the extent to which it is not in excess of
the power; and
(b) the remainder of this Law, and the application of the provision to
other persons, subject matters or circumstances, is not affected.
(3) This section applies to this Law in addition to, and without limiting
the effect of, any provision of this Law.
3—Every section to be a substantive
enactment
Every section of this Law has effect as a substantive enactment without
introductory words.
4—Material that is, and is not, part of this
Law
(1) The heading to a Chapter, Part, Division or Subdivision into which
this Law is divided is part of this Law.
(2) A Schedule to this Law is part of this Law.
(3) Punctuation in this Law is part of this Law.
(4) A heading to a section or subsection of this Law does not form part of
this Law.
(5) Notes included in this Law (including footnotes and endnotes) do not
form part of this Law.
5—References to particular Acts and to
enactments
In this Law—
(a) an Act of this jurisdiction may be cited—
(i) by its short title; or
(ii) by reference to the year in which it was passed and its number;
and
(b) a Commonwealth Act may be cited—
(i) by its short title; or
(ii) in another way sufficient in a Commonwealth Act for the citation of
such an Act,
together with a reference to the Commonwealth; and
(c) an Act of another jurisdiction may be cited—
(i) by its short title; or
(ii) in another way sufficient in an Act of the jurisdiction for the
citation of such an Act,
together with a reference to the jurisdiction.
6—References taken to be included in Law or Act
citation etc
(1) A reference in this
Law to this Law or an Act includes a reference to—
(a) this Law or the Act as originally enacted, and as amended from time to
time since its original enactment; and
(b) if this Law or the Act has been repealed and re-enacted (with or
without modification) since the enactment of the reference—this Law or the
Act as re-enacted, and as amended from time to time since its
re-enactment.
(2) A reference in this
Law to a provision of this Law or of an Act includes a reference
to—
(a) the provision as originally enacted, and as amended from time to time
since its original enactment; and
(b) if the provision has been omitted and re-enacted (with or without
modification) since the enactment of the reference—the provision as
re-enacted, and as amended from time to time since its re-enactment.
(3)
Subsections (1) and
(2) apply to a reference
in this Law to a law of the Commonwealth or another jurisdiction as they apply
to a reference in this Law to an Act and to a provision of an Act.
7—Interpretation best achieving Law’s purpose
or object
(1) In the
interpretation of a provision of this Law, the interpretation that will best
achieve the purpose or object of this Law is to be preferred to any other
interpretation.
(2)
Subsection (1)
applies whether or not the purpose or object is expressly stated in this
Law.
8—Use of extrinsic material in
interpretation
(1) In this section—
extrinsic material means relevant material not forming part
of this Law, including, for example—
(a) material that is set out in the document containing the text of this
Law as printed by the Government Printer; and
(b) a relevant report of a Royal Commission, Law Reform Commission,
commission or committee of inquiry, or a similar body, that was laid before the
Parliament of this jurisdiction before the provision concerned was enacted;
and
(c) a relevant report of a committee of the Parliament of this
jurisdiction that was made to the Parliament before the provision was enacted;
and
(d) a treaty or other international agreement that is mentioned in this
Law; and
(e) an explanatory note or memorandum relating to the Bill that contained
the provision, or any relevant document, that was laid before, or given to the
members of, the Parliament of this jurisdiction by the member bringing in the
Bill before the provision was enacted; and
(f) the speech made to the Parliament of this jurisdiction by the member
in moving a motion that the Bill be read a second time; and
(g) material in the Votes and Proceedings of the Parliament of this
jurisdiction or in any official record of debates in the Parliament of this
jurisdiction; and
(h) a document that is declared by this Law to be a relevant document for
the purposes of this section;
ordinary meaning means the ordinary meaning conveyed by a
provision having regard to its context in this Law and to the purpose of this
Law.
(2) Subject to
subsection (3), in
the interpretation of a provision of this Law, consideration may be given to
extrinsic material capable of assisting in the interpretation—
(a) if the provision is ambiguous or obscure—to provide an
interpretation of it; or
(b) if the ordinary meaning of the provision leads to a result that is
manifestly absurd or is unreasonable—to provide an interpretation that
avoids such a result; or
(c) in any other case—to confirm the interpretation conveyed by the
ordinary meaning of the provision.
(3) In determining
whether consideration should be given to extrinsic material, and in determining
the weight to be given to extrinsic material, regard is to be had
to—
(a) the desirability of a provision being interpreted as having its
ordinary meaning; and
(b) the undesirability of prolonging proceedings without compensating
advantage; and
(c) other relevant matters.
9—Effect of change of drafting
practice
If—
(a) a provision of this Law expresses an idea in particular words;
and
(b) a provision enacted later appears to express the same idea in
different words for the purpose of implementing a different legislative drafting
practice, including, for example—
(i) the use of a clearer or simpler style; or
(ii) the use of gender-neutral language,
the ideas must not be taken to be different merely because different words
are used.
10—Use of examples
If this Law includes an example of the operation of a
provision—
(a) the example is not exhaustive; and
(b) the example does not limit, but may extend, the meaning of the
provision; and
(c) the example and the provision are to be read in the context of each
other and the other provisions of this Law, but, if the example and the
provision so read are inconsistent, the provision prevails.
11—Compliance with forms
(1) If a form is prescribed or approved by or for the purpose of this Law,
strict compliance with the form is not necessary and substantial compliance is
sufficient.
(2) If a form prescribed or approved by or for the purpose of this Law
requires—
(a) the form to be completed in a specified way; or
(b) specified information or documents to be included in, attached to or
given with the form; or
(c) the form, or information or documents included in, attached to or
given with the form, to be verified in a specified way,
the form is not properly completed unless the requirement is complied
with.
Part 3—Terms and
references
12—Definitions
(1) In this Law—
Act means an Act of the Parliament of this
jurisdiction;
adult means an individual who is 18 or more;
affidavit, in relation to a person allowed by law to affirm,
declare or promise, includes affirmation, declaration and promise;
amend includes—
(a) omit or omit and substitute; or
(b) alter or vary; or
(c) amend by implication;
appoint includes reappoint;
Australia means the Commonwealth of Australia but, when used
in a geographical sense, does not include an external Territory;
business day means a day that is not—
(a) a Saturday or Sunday; or
(b) a public holiday, special holiday or bank holiday in the place in
which any relevant act is to be or may be done;
calendar month means a period starting at the beginning of
any day of one of the 12 named months and ending—
(a) immediately before the beginning of the corresponding day of the next
named month; or
(b) if there is no such corresponding day—at the end of the next
named month;
calendar year means a period of 12 months beginning on 1
January;
commencement, in relation to this Law or an Act or a
provision of this Law or an Act, means the time at which this Law, the Act or
provision comes into operation;
Commonwealth means the Commonwealth of Australia but, when
used in a geographical sense, does not include an external Territory;
confer, in relation to a function, includes impose;
contravene includes fail to comply with;
country includes—
(a) a federation; or
(b) a state, province or other part of a federation;
date of assent, in relation to an Act, means the day on which
the Act receives the Royal Assent;
definition means a provision of this Law (however expressed)
that—
(a) gives a meaning to a word or expression; or
(b) limits or extends the meaning of a word or expression;
document includes—
(a) any paper or other material on which there is writing; and
(b) any paper or other material on which there are marks, figures, symbols
or perforations having a meaning for a person qualified to interpret them;
and
(c) any disc, tape or other article or any material from which sounds,
images, writings or messages are capable of being reproduced (with or without
the aid of another article or device);
electronic communication means—
(a) a communication of information in the form of data, text or images by
means of guided or unguided electromagnetic energy, or both; or
(b) a communication of information in the form of sound by means of guided
or unguided electromagnetic energy, or both, where the sound is processed at its
destination by an automated voice recognition system;
estate includes easement, charge, right, title, claim,
demand, lien or encumbrance, whether at law or in equity;
expire includes lapse or otherwise cease to have
effect;
external Territory means a Territory, other than an internal
Territory, for the government of which as a Territory provision is made by a
Commonwealth Act;
fail includes refuse;
financial year means a period of 12 months beginning on
1 July;
foreign country means a country (whether or not an
independent sovereign State) outside Australia and the external
Territories;
function includes a power or duty;
Government Printer means the Government Printer of this
jurisdiction, and includes any other person authorised by the Government of this
jurisdiction to print an Act or instrument;
individual means a natural person;
information system means a system for generating, sending,
receiving, storing or otherwise processing electronic communications;
insert, in relation to a provision of this Law, includes
substitute;
instrument includes a statutory instrument;
interest, in relation to land or other property,
means—
(a) a legal or equitable estate in the land or other property;
or
(b) a right, power or privilege over, or in relation to, the land or other
property;
internal Territory means the Australian Capital Territory,
the Jervis Bay Territory or the Northern Territory;
Jervis Bay Territory means the Territory mentioned in the
Jervis Bay Territory Acceptance Act 1915 of the Commonwealth;
make includes issue or grant;
minor means an individual who is under 18;
modification includes addition, omission or
substitution;
month means a calendar month;
named month means 1 of the 12 months of the year;
Northern Territory means the Northern Territory of
Australia;
number means—
(a) a number expressed in figures or words; or
(b) a letter; or
(c) a combination of a number so expressed and a letter;
oath, in relation to a person allowed by law to affirm,
declare or promise, includes affirmation, declaration or promise;
office includes position;
omit, in relation to a provision of this Law or an Act,
includes repeal;
party includes an individual or a body politic or
corporate;
penalty includes forfeiture or punishment;
person includes an individual or a body politic or
corporate;
power includes authority;
prescribed means prescribed by, or by regulations made or in
force for the purposes of or under, this Law;
printed includes typewritten, lithographed or reproduced by
any mechanical means;
proceeding means a legal or other action or
proceeding;
property means any legal or equitable estate or interest
(whether present or future, vested or contingent, or tangible or intangible) in
real or personal property of any description (including money), and includes
things in action;
provision, in relation to this Law or an Act, means words or
other matter that form or forms part of this Law or the Act, and
includes—
(a) a Chapter, Part, Division, Subdivision, section, subsection,
paragraph, subparagraph, subsubparagraph or Schedule of or to this Law or the
Act; and
(b) a section, clause, subclause, item, column, table or form of or in a
Schedule to this Law or the Act; and
(c) the long title and any preamble to the Act;
record includes information stored or recorded by means of a
computer;
repeal includes—
(a) revoke or rescind; and
(b) repeal by implication; and
(c) abrogate or limit the effect of this Law or the instrument concerned;
and
(d) exclude from, or include in, the application of this Law or the
instrument concerned any person, subject matter or circumstance;
sign includes the affixing of a seal or the making of a
mark;
statutory declaration means a declaration made under an Act,
or under a Commonwealth Act or an Act of another jurisdiction, that authorises a
declaration to be made otherwise than in the course of a judicial
proceeding;
statutory instrument means an instrument (including a
regulation) made or in force under or for the purposes of this Law, and includes
an instrument made or in force under any such instrument;
swear, in relation to a person allowed by law to affirm,
declare or promise, includes affirm, declare or promise;
word includes any symbol, figure or drawing;
writing includes any mode of representing or reproducing
words in a visible form;
year, without specifying the type of year, means calendar
year.
(2) In a statutory instrument—
the Law means this Law.
13—Provisions relating to defined terms and gender
and number
(1) If this Law defines a word or expression, other parts of speech and
grammatical forms of the word or expression have corresponding
meanings.
(2) Definitions in or applicable to this Law apply except so far as the
context or subject matter otherwise indicates or requires.
(3) In this Law, words indicating a gender include each other
gender.
(4) In this Law—
(a) words in the singular include the plural; and
(b) words in the plural include the singular.
14—Meaning of ‘may’ and
‘must’
(1) In this Law, the word may, or a similar word or
expression, used in relation to a power indicates that the power may be
exercised or not exercised, at discretion.
(2) In this Law, the word must, or a similar word or
expression, used in relation to a power indicates that the power is required to
be exercised.
(3) This section has effect despite any rule of construction to the
contrary.
15—Words and expressions used in statutory
instruments
(1) Words and expressions used in a statutory instrument have the same
meanings as they have, from time to time, in this Law, or relevant provisions of
this Law, under or for the purposes of which the instrument is made or in
force.
(2) This section has effect in relation to a statutory instrument except
so far as the contrary intention appears in the instrument.
16—Effect of express references to bodies corporate
and individuals
In this Law, a reference to a person generally (whether the expression
“person”, “party”, “someone”,
“anyone”, “no-one”, “one”,
“another” or “whoever” or another expression is
used)—
(a) does not exclude a reference to a body corporate or an individual
merely because elsewhere in this Law there is particular reference to a body
corporate (however expressed); and
(b) does not exclude a reference to a body corporate or an individual
merely because elsewhere in this Law there is particular reference to an
individual (however expressed).
17—Production of records kept in computers
etc
If a person who keeps a record of information by means of a mechanical,
electronic or other device is required by or under this Law—
(a) to produce the information or a document containing the information to
a court, tribunal or person; or
(b) to make a document containing the information available for inspection
by a court, tribunal or person,
then, unless the court, tribunal or person otherwise
directs—
(c) the requirement obliges the person to produce or make available for
inspection, as the case may be, a document that reproduces the information in a
form capable of being understood by the court, tribunal or person; and
(d) the production to the court, tribunal or person of the document in
that form complies with the requirement.
18—References to this jurisdiction to be
implied
In this Law—
(a) a reference to an officer, office or statutory body is a reference to
such an officer, office or statutory body in and for this jurisdiction;
and
(b) a reference to a locality or other matter or thing is a reference to
such a locality or other matter or thing in and of this jurisdiction.
19—References to officers and holders of
offices
In this Law, a reference to a particular officer, or to the holder of a
particular office, includes a reference to the person for the time being
occupying or acting in the office concerned.
20—Reference to certain provisions of
Law
If a provision of this Law refers—
(a) to a Chapter, Part, section or Schedule by a number and without
reference to this Law—the reference is a reference to the Chapter, Part,
section or Schedule, designated by the number, of or to this Law; or
(b) to a Schedule without reference to it by a number and without
reference to this Law—the reference, if there is only one Schedule to this
Law, is a reference to the Schedule; or
(c) to a Division, Subdivision, subsection, paragraph, subparagraph,
subsubparagraph, clause, subclause, item, column, table or form by a number and
without reference to this Law—the reference is a reference
to—
(i) the Division, designated by the number, of the Part in which the
reference occurs; and
(ii) the Subdivision, designated by the number, of the Division in which
the reference occurs; and
(iii) the subsection, designated by the number, of the section in which
the reference occurs; and
(iv) the paragraph, designated by the number, of the section, subsection,
Schedule or other provision in which the reference occurs; and
(v) the paragraph, designated by the number, of the clause, subclause,
item, column, table or form of or in the Schedule in which the reference occurs;
and
(vi) the subparagraph, designated by the number, of the paragraph in which
the reference occurs; and
(vii) the subsubparagraph, designated by the number, of the subparagraph
in which the reference occurs; and
(viii) the section, clause, subclause, item, column, table or form,
designated by the number, of or in the Schedule in which the reference
occurs,
as the case requires.
21—Reference to provisions of this Law or an Act is
inclusive
In this Law, a reference to a portion of this Law or an Act
includes—
(a) a reference to the Chapter, Part, Division, Subdivision, section,
subsection or other provision of this Law or the Act referred to that forms the
beginning of the portion; and
(b) a reference to the Chapter, Part, Division, Subdivision, section,
subsection or other provision of this Law or the Act referred to that forms the
end of the portion.
Example—
A reference to “
sections 5 to
9” includes both
section 5 and
section 9. It is not
necessary to refer to “
sections 5 to
9 (both inclusive)” to
ensure that the reference is given an inclusive interpretation.
Part 4—Functions and
powers
22—Exercise of statutory
functions
(1) If this Law confers a function on a person or body, the function may
be exercised from time to time as occasion requires.
(2) If this Law confers a function on a particular officer or the holder
of a particular office, the function may be exercised by the person for the time
being occupying or acting in the office concerned.
(3) If this Law confers a function on a body (whether or not
incorporated), the exercise of the function is not affected merely because of
vacancies in the membership of the body.
23—Power to make instrument or decision includes
power to amend or repeal
If this Law authorises or requires the making of an instrument or
decision—
(a) the power includes power to amend or repeal the instrument or
decision; and
(b) the power to amend or repeal the instrument or decision is exercisable
in the same way, and subject to the same conditions, as the power to make the
instrument or decision.
24—Matters for which statutory instruments may make
provision
(1) If this Law authorises or requires the making of a statutory
instrument in relation to a matter, a statutory instrument made under this Law
may make provision for the matter by applying, adopting or incorporating (with
or without modification) the provisions of—
(a) an Act or statutory instrument; or
(b) another document (whether of the same or a different kind),
as in force at a particular time or as in force from time to
time.
(2) If a statutory instrument applies, adopts or incorporates the
provisions of a document, the statutory instrument applies, adopts or
incorporates the provisions as in force from time to time, unless the statutory
instrument otherwise expressly provides.
(3) A statutory instrument may—
(a) apply generally throughout this jurisdiction or be limited in its
application to a particular part of this jurisdiction; or
(b) apply generally to all persons, matters or things or be limited in its
application to—
(i) particular persons, matters or things; or
(ii) particular classes of persons, matters or things; or
(c) otherwise apply generally or be limited in its application by
reference to specified exceptions or factors.
(4) A statutory instrument may—
(a) apply differently according to different specified factors;
or
(b) otherwise make different provision in relation to—
(i) different persons, matters or things; or
(ii) different classes of persons, matters or things.
(5) A statutory instrument may authorise a matter or thing to be from time
to time determined, applied or regulated by a specified person or
body.
(6) If this Law authorises or requires a matter to be regulated by
statutory instrument, the power may be exercised by prohibiting by statutory
instrument the matter or any aspect of the matter.
(7) If this Law authorises or requires provision to be made with respect
to a matter by statutory instrument, a statutory instrument made under this Law
may make provision with respect to a particular aspect of the matter despite the
fact that provision is made by this Law in relation to another aspect of the
matter or in relation to another matter.
(8) A statutory instrument may provide for the review of, or a right of
appeal against, a decision made under the statutory instrument, or this Law, and
may, for that purpose, confer jurisdiction on any court, tribunal, person or
body.
(9) A statutory instrument may require a form prescribed by or under the
statutory instrument, or information or documents included in, attached to or
given with the form, to be verified by statutory declaration.
25—Presumption of validity and power to
make
(1) All conditions and preliminary steps required for the making of a
statutory instrument are presumed to have been satisfied and performed in the
absence of evidence to the contrary.
(2) A statutory instrument is taken to be made under all powers under
which it may be made, even though it purports to be made under this Law or a
particular provision of this Law.
26—Appointments may be made by name or
office
(1) If this Law authorises or requires a person or body—
(a) to appoint a person to an office; or
(b) to appoint a person or body to exercise a power; or
(c) to appoint a person or body to do another thing,
the person or body may make the appointment by—
(d) appointing a person or body by name; or
(e) appointing a particular officer, or the holder of a particular office,
by reference to the title of the office concerned.
(2) An appointment of a particular officer, or the holder of a particular
office, is taken to be the appointment of the person for the time being
occupying or acting in the office concerned.
27—Acting appointments
(1) If this Law authorises a person or body to appoint a person to act in
an office, the person or body may, in accordance with this Law,
appoint—
(a) a person by name; or
(b) a particular officer, or the holder of a particular office, by
reference to the title of the office concerned,
to act in the office.
(2) The appointment may
be expressed to have effect only in the circumstances specified in the
instrument of appointment.
(3) The appointer may—
(a) determine the terms and conditions of the appointment, including
remuneration and allowances; and
(b) terminate the appointment at any time.
(4) The appointment, or the termination of the appointment, must be in, or
evidenced by, writing signed by the appointer.
(5) The appointee must not act for more than 1 year during a vacancy in
the office.
(6) If the appointee is acting in the office otherwise than because of a
vacancy in the office and the office becomes vacant, then, subject to
subsection (2), the
appointee may continue to act until—
(a) the appointer otherwise directs; or
(b) the vacancy is filled; or
(c) the end of a year from the day of the vacancy,
whichever happens first.
(7) The appointment ceases to have effect if the appointee resigns by
writing signed and delivered to the appointer.
(8) While the appointee is acting in the office—
(a) the appointee has all the powers and functions of the holder of the
office; and
(b) this Law and other laws apply to the appointee as if the appointee
were the holder of the office.
(9) Anything done by or in relation to a person purporting to act in the
office is not invalid merely because—
(a) the occasion for the appointment had not arisen; or
(b) the appointment had ceased to have effect; or
(c) the occasion for the person to act had not arisen or had
ceased.
(10) If this Law authorises the appointer to appoint a person to act
during a vacancy in the office, an appointment to act in the office may be made
by the appointer whether or not an appointment has previously been made to the
office.
28—Powers of appointment imply certain incidental
powers
(1) If this Law
authorises or requires a person or body to appoint a person to an
office—
(a) the power may be exercised from time to time as occasion requires;
and
(i) power to remove or suspend, at any time, a person appointed to the
office; and
(ii) power to appoint another person to act in the office if a person
appointed to the office is removed or suspended; and
(iii) power to reinstate or reappoint a person removed or suspended;
and
(iv) power to appoint a person to act in the office if it is vacant
(whether or not the office has ever been filled); and
(v) power to appoint a person to act in the office if the person appointed
to the office is absent or is unable to discharge the functions of the office
(whether because of illness or otherwise).
(2) The power to remove or suspend a person under
subsection (1)(b)
may be exercised even if this Law provides that the holder of the office to
which the person was appointed is to hold office for a specified
period.
(3) The power to make an appointment under
subsection (1)(b)
may be exercised from time to time as occasion requires.
(4) An appointment under
subsection (1)(b)
may be expressed to have effect only in the circumstances specified in the
instrument of appointment.
29—Delegation of functions
(1) If this Law authorises a person or body to delegate a function, the
person or body may, in accordance with this Law and any other applicable law,
delegate the function to—
(a) a person or body by name; or
(b) a specified officer, or the holder of a specified office, by reference
to the title of the office concerned.
(2) The delegation may be—
(a) general or limited; and
(b) made from time to time; and
(c) revoked, wholly or partly, by the delegator.
(3) The delegation, or a revocation of the delegation, must be in, or
evidenced by, writing signed by the delegator or, if the delegator is a body, by
a person authorised by the body for the purpose.
(4) A delegated function may be exercised only in accordance with any
conditions to which the delegation is subject.
(5) The delegate may, in the exercise of a delegated function, do anything
that is incidental to the delegated function.
(6) A delegated function that purports to have been exercised by the
delegate is taken to have been properly exercised by the delegate unless the
contrary is proved.
(7) A delegated function that is properly exercised by the delegate is
taken to have been exercised by the delegator.
(8) If, when exercised by the delegator, a function is dependent on the
delegator’s opinion, belief or state of mind, then, when exercised by the
delegate, the function is dependent on the delegate’s opinion, belief or
state of mind.
(9) If—
(a) the delegator is a specified officer or the holder of a specified
office; and
(b) the person who was the specified officer or holder of the specified
office when the delegation was made ceases to be the holder of the
office,
then—
(c) the delegation continues in force; and
(d) the person for the time being occupying or acting in the office
concerned is taken to be the delegator for the purposes of this
section.
(10) If—
(a) the delegator is a body; and
(b) there is a change in the membership of the body,
then—
(c) the delegation continues in force; and
(d) the body as constituted for the time being is taken to be the
delegator for the purposes of this section.
(11) If a function is delegated to a specified officer or the holder of a
specified office—
(a) the delegation does not cease to have effect merely because the person
who was the specified officer or the holder of the specified office when the
function was delegated ceases to be the officer or the holder of the office;
and
(b) the function may be exercised by the person for the time being
occupying or acting in the office concerned.
(12) A function that has been delegated may, despite the delegation, be
exercised by the delegator.
(13) The delegation of a function does not relieve the delegator of the
delegator’s obligation to ensure that the function is properly
exercised.
(14) Subject to
subsection (15),
this section applies to a subdelegation of a function in the same way as it
applies to a delegation of a function.
(15) If this Law
authorises the delegation of a function, the function may be subdelegated only
if the Law expressly authorises the function to be subdelegated.
30—Exercise of powers between enactment and
commencement
(1) If a provision of
this Law (the empowering provision) that does not commence on its
enactment would, had it commenced, confer a power—
(a) to make an appointment; or
(b) to make a statutory instrument of a legislative or administrative
character; or
(c) to do another thing,
then—
(d) the power may be exercised; and
(e) anything may be done for the purpose of enabling the exercise of the
power or of bringing the appointment, instrument or other thing into
effect,
before the empowering provision commences.
(2) If a provision of a
Queensland Act (the empowering provision) that does not commence
on its enactment would, had it commenced, amend a provision of this Law so that
it would confer a power—
(a) to make an appointment; or
(b) to make a statutory instrument of a legislative or administrative
character; or
(c) to do another thing,
then—
(d) the power may be exercised; and
(e) anything may be done for the purpose of enabling the exercise of the
power or of bringing the appointment, instrument or other thing into
effect,
before the empowering provision commences.
(3) If—
(a) this Law has commenced and confers a power to make a statutory
instrument (the basic instrument-making power); and
(b) a provision of a Queensland Act that does not commence on its
enactment would, had it commenced, amend this Law so as to confer additional
power to make a statutory instrument (the additional instrument-making
power),
then—
(c) the basic instrument-making power and the additional instrument-making
power may be exercised by making a single instrument; and
(d) any provision of the instrument that required an exercise of the
additional instrument-making power is to be treated as made under
subsection (2).
(4) If an instrument,
or a provision of an instrument, is made under
subsection (1)
or
(2) that is necessary for
the purpose of—
(a) enabling the exercise of a power mentioned in the subsection;
or
(b) bringing an appointment, instrument or other thing made or done under
such a power into effect,
the instrument or provision takes effect—
(c) on the making of the instrument; or
(d) on such later day (if any) on which, or at such later time (if any) at
which, the instrument or provision is expressed to take effect.
(a) an appointment is made under
subsection (1) or
(2); or
(b) an instrument, or a provision of an instrument, made under
subsection (1) or
(2) is not necessary for
a purpose mentioned in
subsection (4),
the appointment, instrument or provision takes effect—
(c) on the commencement of the relevant empowering provision; or
(d) on such later day (if any) on which, or at such later time (if any) at
which, the appointment, instrument or provision is expressed to take
effect.
(6) Anything done under
subsection (1) or
(2) does not confer a
right, or impose a liability, on a person before the relevant empowering
provision commences.
(7) After the enactment of a provision mentioned in
subsection (2) but
before the provision’s commencement, this section applies as if the
references in
subsections (2) and
(5) to the commencement
of the empowering provision were references to the commencement of the provision
mentioned in
subsection (2) as
amended by the empowering provision.
(8) In the application of this section to a statutory instrument, a
reference to the enactment of the instrument is a reference to the making of the
instrument.
Part 5—Distance, time and
age
31—Matters relating to distance, time and
age
(1) In the measurement of distance for the purposes of this Law, the
distance is to be measured along the shortest road ordinarily used for
travelling.
(2) If a period beginning on a given day, act or event is provided or
allowed for a purpose by this Law, the period is to be calculated by excluding
the day, or the day of the act or event, and—
(a) if the period is expressed to be a specified number of clear days or
at least a specified number of days—by excluding the day on which the
purpose is to be fulfilled; and
(b) in any other case—by including the day on which the purpose is
to be fulfilled.
(3) If the last day of a period provided or allowed by this Law for doing
anything is not a business day in the place in which the thing is to be or may
be done, the thing may be done on the next business day in the place.
(4) If the last day of a period provided or allowed by this Law for the
filing or registration of a document is a day on which the office is closed
where the filing or registration is to be or may be done, the document may be
filed or registered at the office on the next day that the office is
open.
(5) If no time is provided or allowed for doing anything, the thing is to
be done as soon as possible, and as often as the prescribed occasion
happens.
(6) If, in this Law, there is a reference to time, the reference is, in
relation to the doing of anything in a jurisdiction, a reference to the legal
time in the jurisdiction.
(7) For the purposes of this Law, a person attains an age in years at the
beginning of the person’s birthday for the age.
Part 6—Effect of repeal, amendment or
expiration
32—Time of Law ceasing to have
effect
If a provision of this Law is expressed—
(a) to expire on a specified day; or
(b) to remain or continue in force, or otherwise have effect, until a
specified day,
the provision has effect until the last moment of the specified
day.
33—Repealed Law provisions not
revived
If a provision of this Law is repealed or amended by a Queensland Act, or a
provision of a Queensland Act, the provision is not revived merely because the
Queensland Act or the provision of the Queensland Act—
(a) is later repealed or amended; or
(b) later expires.
34—Saving of operation of repealed Law
provisions
(1) The repeal, amendment or expiry of a provision of this Law does
not—
(a) revive anything not in force or existing at the time the repeal,
amendment or expiry takes effect; or
(b) affect the previous operation of the provision or anything suffered,
done or begun under the provision; or
(c) affect a right, privilege or liability acquired, accrued or incurred
under the provision; or
(d) affect a penalty incurred in relation to an offence arising under the
provision; or
(e) affect an investigation, proceeding or remedy in relation to such a
right, privilege, liability or penalty.
(2) Any such penalty may be imposed and enforced, and any such
investigation, proceeding or remedy may be begun, continued or enforced, as if
the provision had not been repealed or amended or had not expired.
35—Continuance of repealed
provisions
If a Queensland Act repeals some provisions of this Law and enacts new
provisions in substitution for the repealed provisions, the repealed provisions
continue in force until the new provisions commence.
36—Law and amending Acts to be read as
one
This Law and all Queensland Acts amending this Law are to be read as
one.
Part 7—Instruments under
Law
37—Schedule applies to statutory
instruments
(1) This Schedule applies to a statutory instrument, and to things that
may be done or are required to be done under a statutory instrument, in the same
way as it applies to this Law, and things that may be done or are required to be
done under this Law, except so far as the context or subject matter otherwise
indicates or requires.
(2) The fact that a provision of this Schedule refers to this Law and not
also to a statutory instrument does not, by itself, indicate that the provision
is intended to apply only to this Law.
Part 8—Application to coastal
waters
38—Application
This Law has effect in and in relation to the coastal waters of this
jurisdiction as if the coastal waters were part of this jurisdiction.
Schedule 2—Subject matter for conditions of
mass or dimension authorities
sections 119,
125 and
146
1 |
the maximum permissible mass of a heavy vehicle, a heavy vehicle together
with its load, or a component of a heavy vehicle, being used on a road |
2 |
the maximum permissible dimensions of a heavy vehicle (including its
equipment), or a component or load of a heavy vehicle, being used on a
road |
3 |
the configuration of a heavy vehicle |
4 |
the types of loads a heavy vehicle may carry |
5 |
the use of signs and warning devices |
6 |
the use of a pilot vehicle or escort vehicle |
7 |
the times when a heavy vehicle may be used on a road |
8 |
the maximum speed at which a heavy vehicle may be driven on a
road |
9 |
requirements about monitoring the movement of a heavy vehicle |
10 |
the use of stated technology to— |
|
(a) ensure the safe use of a heavy vehicle; or |
|
(b) ensure a heavy vehicle will not cause damage to road infrastructure;
or |
|
(c) minimise the adverse effect of the use of a heavy vehicle on public
amenity |
Schedule 3—Reviewable
decisions
section 640,
definition reviewable decision
Part 1—Decisions of
Regulator
Section under which decision made |
Description of decision |
---|---|
decision of Regulator not to grant a PBS design approval |
|
decision of Regulator to impose a condition in relation to a PBS design
approval, except to the extent the decision relates to a condition imposed as a
result of a ministerial notice under
section 21 |
|
decision of Regulator not to grant a PBS vehicle approval |
|
decision of Regulator to impose a condition in relation to a PBS vehicle
approval, except to the extent the decision relates to a condition imposed as a
result of a ministerial notice under
section 21 |
|
decision of Regulator not to grant a vehicle standards exemption
(permit) |
|
decision of Regulator to grant a vehicle standards exemption (permit) for a
period less than the period of not more than 3 years sought by the
applicant |
|
decision of Regulator to impose on a vehicle standards exemption (permit) a
condition not sought by the applicant |
|
decision of Regulator not to make a decision sought in an application for
amendment or cancellation of a vehicle standards exemption (permit) |
|
decision of Regulator to amend or cancel a vehicle standards exemption
(permit) |
|
decision of Regulator to immediately suspend a vehicle standards exemption
(permit) |
|
decision of Regulator not to give a replacement permit for a vehicle
standards exemption (permit) |
|
decision of Regulator not to grant a mass or dimension exemption (permit)
other than because a relevant road manager for the exemption did not consent to
the grant |
|
decision of Regulator to grant a mass or dimension exemption (permit) for a
period less than the period of not more than 3 years sought by the
applicant |
|
decision of Regulator to impose on a mass or dimension exemption (permit) a
condition not sought by the applicant and not a road condition or travel
condition required by a relevant road manager for the exemption |
|
decision of Regulator not to grant a class 2 heavy vehicle
authorisation (permit) other than because a relevant road manager for the
authorisation did not consent to the grant |
|
decision of Regulator to grant a class 2 heavy vehicle authorisation
(permit) for a period less than the period of not more than 3 years sought
by the applicant |
|
decision of Regulator to impose on a class 2 heavy vehicle
authorisation (permit) a condition not sought by the applicant and not a road
condition or travel condition required by a relevant road manager for the
authorisation |
|
decision of Regulator not to make a decision sought in an application for
amendment of a mass or dimension authority granted by giving a person a
permit |
|
decision of Regulator to amend or cancel a mass or dimension authority
granted by giving a person a permit, other than at the request of a relevant
road manager |
|
decision of Regulator to immediately suspend a mass or dimension authority
granted by giving a person a permit |
|
decision of Regulator not to give a replacement permit for a mass or
dimension authority |
|
decision of Regulator not to grant a work and rest hours exemption
(permit) |
|
decision of Regulator to grant a work and rest hours exemption (permit)
that does not cover all of the drivers sought by the applicant |
|
decision of Regulator to grant a work and rest hours exemption (permit)
setting maximum work times or minimum rest times different to the maximum work
times or minimum rest times sought by the applicant |
|
decision of Regulator to grant a work and rest hours exemption (permit) for
a period less than the period of not more than 3 years sought by the
applicant |
|
decision of Regulator to impose on a work and rest hours exemption (permit)
a condition not sought by the applicant |
|
decision of Regulator not to make a decision sought in an application for
the amendment or cancellation of a work and rest hours exemption
(permit) |
|
decision of Regulator to amend or cancel a work and rest hours exemption
(permit) |
|
decision of Regulator to immediately suspend a work and rest hours
exemption (permit) |
|
decision of Regulator not to give a replacement permit for a work and rest
hours exemption (permit) |
|
decision of Regulator not to grant an electronic recording system
approval |
|
decision of Regulator to impose on an electronic recording system approval
a condition not sought by the applicant |
|
decision of Regulator not to make a decision sought in an application for
amendment or cancellation of an electronic recording system approval |
|
decision of Regulator to amend or cancel an electronic recording system
approval |
|
decision of Regulator not to grant a work diary exemption
(permit) |
|
decision of Regulator to grant a work diary exemption (permit) for a period
less than the period of not more than 3 years sought by the
applicant |
|
decision of Regulator to impose on a work diary exemption (permit) a
condition not sought by the applicant |
|
decision of Regulator not to make a decision sought in an application for
the amendment or cancellation of a work exemption (permit) |
|
decision of Regulator to amend or cancel a work diary exemption
(permit) |
|
decision of Regulator not to give a replacement permit for work diary
exemption (permit) |
|
decision of Regulator to impose a condition on a fatigue record keeping
exemption (notice) |
|
decision of Regulator to grant a fatigue record keeping exemption (permit)
in a way that does not cover all the drivers sought by the applicant |
|
decision of Regulator to grant a fatigue record keeping exemption (permit)
setting conditions different from those sought by the applicant |
|
decision of Regulator to impose a condition on a fatigue record keeping
exemption (permit) |
|
decision of Regulator to give a fatigue record keeping exemption (permit)
for a period less than the period of not more than 3 years sought by the
applicant |
|
decision of Regulator not to grant a fatigue record keeping exemption
(permit) |
|
decision of Regulator not to make a decision sought in an application for
amendment or cancellation of a fatigue record keeping exemption
(permit) |
|
decision of Regulator to amend or cancel a fatigue record keeping exemption
(permit) |
|
decision of Regulator not to give a replacement fatigue record keeping
exemption permit |
|
decision of Regulator not to grant a heavy vehicle accreditation |
|
decision of Regulator to grant a heavy vehicle accreditation for a period
less than the period of not more than 3 years sought by the
applicant |
|
decision of Regulator to grant an AFM accreditation setting maximum work
times and minimum rest times different to the maximum work times and minimum
rest times sought by the applicant |
|
decision of Regulator to impose on a heavy vehicle accreditation a
condition not sought by the applicant |
|
decision of Regulator not to make a decision sought in an application for
amendment or cancellation of a heavy vehicle accreditation |
|
decision of Regulator to amend, suspend or cancel a heavy vehicle
accreditation |
|
decision of Regulator to immediately suspend a heavy vehicle
accreditation |
|
decision of Regulator not to give a replacement accreditation
certificate |
|
decision of Regulator that a thing or sample is forfeited to the
Regulator |
Part 2—Decisions of authorised
officers
Section under which decision made |
Description of decision |
---|---|
decision of an authorised officer who is not a police officer to give a
person an improvement notice |
|
sections 572 and
574 |
decision of an authorised officer who is not a police officer to amend an
improvement notice given to a person |
Part 3—Decisions of relevant road
managers
Section under which decision made |
Description of decision |
---|---|
decision of a relevant road manager for a mass or dimension authority, that
is a public authority, not to consent to the grant of the authority |
|
decision of a relevant road manager for a mass or dimension authority, that
is a public authority, to consent to the grant of the authority subject to a
condition that a road condition be imposed on the authority |
|
decision of a relevant road manager for a mass or dimension authority, that
is a public authority, to consent to the grant of the authority subject to a
condition that a travel condition be imposed on the authority |
|
decision of a relevant road manager for a mass or dimension authority
(granted by Commonwealth Gazette notice), that is a public authority, to request
the authority be amended or cancelled |
|
decision of a relevant road manager for a mass or dimension authority
(granted by giving a person a permit), that is a public authority, to request
the authority be amended or cancelled |
Schedule 4—Provisions specified for liability
of executive officers for offences by corporations
The provisions specified in column 2 of the following table are specified
for the purposes of section 636(1). The provisions specified in column 3 of the
table are specified for the purposes of section 636(2).
Column 1 |
Column 2 |
Column 3 |
---|---|---|
Section of this Law |
Provision specified for the purposes of section 636(1) |
Provision specified for the purposes of section 636(2) |
30 |
30(1) |
30(1) |
50 |
50(1), 50(2) |
— |
60 |
60(1) |
60(1) |
79 |
79(2) |
79(2) |
81 |
81(1), 81(2), 81(3) |
81(1), 81(2), 81(3) |
85 |
85(1), 85(2) |
85(2) |
89 |
89(1) |
89(1) |
93 |
93(1) |
93(1) |
129 |
129(1), 129(2), 129(3) |
129(1), 129(2), 129(3) |
130 |
130(3) |
130(3) |
137 |
137 |
137 |
150 |
150(1) |
150(1) |
181 |
181(3) |
— |
183 |
183(2) |
183(2) |
185 |
185(1), 185(2) |
185(1), 185(2) |
186 |
186(2), 186(3), 186(4), 186(5) |
186(2), 186(3), 186(4), 186(5) |
187 |
187(2), 187(3) |
187(2), 187(3) |
190 |
190(1) |
190(1) |
191 |
191(1), 191(3) |
191(1), 191(3) |
193 |
193(2) |
193(2) |
194 |
194(1) |
194(1) |
204 |
204(1) |
204(1) |
205 |
205(1) |
205(1) |
206 |
206(2) |
206(2) |
207 |
207(1) |
207(1) |
208 |
208(1) |
208(1) |
209 |
209(1) |
209(1) |
212 |
212(1), 212(2) |
212(1), 212(2) |
213 |
213 |
213 |
215 |
215 |
215 |
216 |
216(1), 216(2) |
216(1), 216(2) |
219 |
219(1) |
219(1) |
229 |
229(1) |
229(1) |
230 |
230(1) |
230(1) |
231 |
231(1) |
231(1) |
232 |
232(2) |
232(2) |
233 |
233(1) |
233(1) |
234 |
234(1) |
234(1) |
235 |
235(1), 235(2) |
235(1), 235(2) |
236 |
236(1) |
236(1) |
237 |
237(1) |
237(1) |
238 |
238(1) |
238(1) |
239 |
239(2) |
239(2) |
240 |
240 |
240 |
241 |
241(1), 241(2) |
241(1), 241(2) |
261 |
261(2) |
261(2) |
264 |
264(2) |
264(2) |
284 |
284(2) |
284(2) |
286 |
286(1) |
286(1) |
310 |
310(2) |
310(2) |
311 |
311(2) |
311(2) |
312 |
312(2) |
312(2) |
313 |
313(2) |
313(2) |
314 |
314(3) |
— |
315 |
315(2) |
315(2) |
319 |
319(1) |
319(1) |
321 |
321(1), 321(2) |
321(1), 321(2) |
322 |
322(4) |
322(4) |
323 |
323(3) |
323(3) |
324 |
324(2) |
324(2) |
327 |
327 |
327 |
328 |
328 |
— |
329 |
329 |
— |
330 |
330(1) |
— |
331 |
331 |
— |
332 |
332 |
— |
335 |
335(1) |
335(1) |
336 |
336(1) |
336(1) |
337 |
337(2) |
337(2) |
341 |
341(1), 341(2), 341(3), 341(4) |
341(1), 341(2), 341(3), 341(4) |
347 |
347(2), 347(3) |
— |
350 |
350(1), 350(2) |
350(1), 350(2) |
354 |
354(3), 354(5) |
354(3), 354(5) |
355 |
355(2), 355(4), 355(6), 355(8) |
355(2), 355(4), 355(6), 355(8) |
373 |
373(2) |
— |
375 |
375 |
375 |
396 |
396(2) |
396(2) |
398 |
398(2) |
398(2) |
399 |
399(2) |
399(2) |
404 |
404(1), 404(4) |
404(1), 404(4) |
405 |
405(1) |
— |
406 |
406(1), 406(2) |
406(1) |
417 |
417 |
— |
422 |
422(2) |
422(2) |
423 |
423(1) |
423(1) |
424 |
424(1), 424(3) |
424(1), 424(3) |
451 |
451 |
451 |
452 |
452 |
452 |
453 |
453(1), 453(2) |
453(1), 453(2) |
454 |
454(1), 454(2) |
454(1), 454(2) |
467 |
467 |
467 |
470 |
470(2), 470(3), 470(4), 470(5), 470(6) |
470(2), 470(3), 470(4), 470(5), 470(6) |
471 |
471(2) |
471(2) |
476 |
476(2) |
476(2) |
478 |
478(1), 478(2), 478(3), 478(4) |
— |
514 |
514(3) |
— |
516 |
516(3) |
— |
517 |
517(4) |
— |
528 |
528(3) |
— |
529 |
529 |
529 |
533 |
533(7) |
— |
534 |
534(5) |
— |
535 |
535(5) |
— |
553 |
553(3) |
— |
558 |
558(1), 558(3) |
558(1), 558(3) |
559 |
559(3), 559(4), 559(5) |
559(3), 559(4), 559(5) |
567 |
567(4) |
— |
568 |
568(7) |
— |
569 |
569(2), 569(7) |
— |
570 |
570(3) |
— |
573 |
573(1) |
573(1) |
577 |
577(4) |
— |
604 |
604 |
604 |
610 |
610 |
610 |
699 |
699(1), 699(2) |
699(1), 699(2) |
700 |
700(4) |
700(4) |
702 |
702(1), 702(3) |
— |
703 |
703(1), 703(2) |
— |
704 |
704(1), 704(2), 704(3) |
— |
728 |
728(1) |
728(1) |
729 |
729(1), 729(3) |
729(1), 729(3) |