(1) The Regulator must not issue the licence unless the Regulator is satisfied that any risks posed by the dealings proposed to be authorised by the licence are able to be managed in such a way as to protect—
(a) the health and safety of people; and
(b) the environment.
(2) For the purposes of subsection (1), the Regulator must have regard to the following—
S. 56(2)(a) substituted by No. 43/2007 s. 50.
(a) the risk assessment prepared under section 47 or 50 in relation to the dealings;
S. 56(2)(b) substituted by No. 43/2007 s. 50.
(b) the risk management plan prepared under section 47 or 50 in relation to the dealings;
(c) any submissions received under section 52 in relation to the licence;
(d) any policy guidelines in force under section 23 that relate to—
(i) risks that may be posed by the dealings proposed to be authorised by the licence; or
(ii) ways of managing such risks so as to protect the health and safety of people or to protect the environment.
Note to s. 56 inserted by No. 43/2007 s. 44 .
Note
Subsections (2)(a), (2)(b) and (2)(c) do not apply to an inadvertent dealings application.