(1) If the regulator
grants an accreditation, it must issue to the applicant an accreditation
document in the form determined by the regulator.
(2) An accreditation
document must include the following:
(a) the
name of the accredited assessor;
(b) the
class of high risk work to which the accreditation relates;
(c) any
conditions imposed on the accreditation by the regulator;
(d) the
date on which the accreditation was granted;
(e) the
expiry date of the accreditation.
(3) If an assessor is
accredited to conduct a competency assessment in relation to more than 1 class
of high risk work, the regulator may issue to the accredited assessor one
accreditation document in relation to some or all of those classes of high
risk work.
(4) If 2 or more of
the classes of high risk work referred to in subregulation (3) represent
levels of the same type of work, it is sufficient if the accreditation
document contains a description of the class of work that represents the
highest level.