Environment Protection Act 1993
Environment Protection Act 1993
2024
South Australia
Environment Protection Act 1993
An Act to provide for the protection of the environment; to establish the Environment
Protection Authority and define its functions and powers; and for other purposes.
Contents
Part 1—Preliminary
1 Short title
3 Interpretation
4 Waste
4A Approved recovered resources
4B Waste management hierarchy
5 Environmental harm
5B Site contamination
5C Responsibility for pollution
5D Liability for certain offences from vehicles
6 Act binds Crown
7 Interaction with other Acts
8 Civil remedies not affected
9 Territorial and extra-territorial application of Act
Part 2—Objects of Act
10 Objects of Act
10A Matters to be taken into account in relation to specially protected areas
Part 3—Administering agencies, conferences and the Fund
Division 1—Environment Protection Authority
11 Establishment of Authority
13 Functions of Authority
14 Powers of Authority
14A Chief Executive
14B Board of Authority
15 Terms and conditions of office
16 Proceedings of Board
17 Board may establish committees and subcommittees
Division 1A—Administering agencies
18A Administering agencies
18B Powers and functions of administering agencies
18C Delegation
18D Reports by administering agencies
Part AA—Interpretation
A1 Interpretation
Part A—Activities
A2 Interpretation—waste depot
1 Petroleum and Chemical
2 Manufacturing and Mineral Processing
3 Resource recovery, waste disposal and related activities
4 Activities in Specified Areas
5 Animal Husbandry and Other Activities
6 Food Production and Animal and Plant Product Processing
7 Materials Handling and Transportation
8 Other
Part B—Listed wastes
Legislative history
Part 1—Preliminary
1—Short title
This Act may be cited as the Environment Protection Act 1993.
3—Interpretation
(1) In this Act, unless the contrary intention appears—
activity includes the storage or possession of a pollutant;
administering agency—see Division 1A of Part 3;
air includes any layer of the atmosphere;
amenity value of an area includes any quality or condition of the area that conduces to
its enjoyment;
appointed member, in relation to the Board, means a member appointed by the
Governor;
appropriate person, in relation to the issuing of a site contamination assessment order
or site remediation order, means the person who is the appropriate person under
Part 10A to be issued with the order;
approved recovered resource—see section 4A;
associate—see subsection (2);
authorised officer means a person appointed to be an authorised officer under
Division 1 of Part 10;
the Authority means the Environment Protection Authority established under
Division 1 of Part 3;
background concentrations, in relation to chemical substances on a site or below its
surface, means results obtained from carrying out assessments of the presence of the
substances in the vicinity of the site in accordance with guidelines from time to time
issued by the Authority;
beverage container approval means an approval for the purposes of Division 2 of
Part 8;
Board means the Board of the Environment Protection Authority established as the
governing body of the Authority under Division 1 of Part 3;
business includes a business not carried on for profit or gain and any activity
undertaken by government or a public authority;
cause site contamination—see section 103D;
chemical substance means any organic or inorganic substance, whether a solid, liquid
or gas (or combination thereof), and includes waste;
Chief Executive of the Authority means a person who is, for the time being, taken to
be the Chief Executive of the Authority in accordance with section 14A;
(4) For the purposes of this Act, unless the contrary intention appears—
(a) a reference to the disposal of waste or other matter includes a reference to
stockpiling or abandoning the waste or matter; and
(b) a reference to the treatment of waste or other matter includes a reference to
the treatment of waste or other matter for resource recovery; and
(c) a reference to the treatment of waste or other matter for resource recovery is
a reference to the treatment of the waste or matter in some way—
(i) to recover material from the waste or matter that may be reused or
recycled; or
(ii) to recover energy or other resources from the waste or matter; or
(iii) to prepare the waste for further treatment to recover material from
the waste or matter that may be reused or recycled or to recover
energy or other resources from the waste or matter,
and includes, but is not limited to, sorting, shredding, crushing, compacting or
packaging the waste or matter; and
(d) a reference to waste or matter of a particular kind includes a reference to
material that contains waste or matter of that kind to a significant extent.
(5) For the purposes of this Act, unauthorised stockpiling of waste or other matter will be
taken to have occurred if a maximum allowable stockpile limit imposed by or under
this Act in relation to the waste or other matter has been exceeded.
4—Waste
(1) For the purposes of this Act, waste means—
(a) any discarded, dumped, rejected, abandoned, unwanted or surplus matter,
whether or not intended for sale or for purification or resource recovery by a
separate operation from that which produced the matter; or
(b) any matter declared by regulation to be waste for the purposes of this Act
(following consultation by the Minister on the regulation with prescribed
bodies in accordance with the regulations); or
(c) any matter declared by an environment protection policy to be waste for the
purposes of this Act,
whether or not of value.
(2) However, waste does not include—
(a) an approved recovered resource whilst it is being dealt with in accordance
with the declaration of that resource—see section 4A; or
(b) anything declared by regulation or an environment protection policy not to be
waste for the purposes of this Act,
even though the resource or the thing so declared might otherwise, but for the
declaration, fall within the definition of waste in subsection (1).
(iii) other actual or potential environmental harm that is not trivial, taking
into account current or proposed land uses.
(2) For the purposes of this Act, environmental harm is caused by the presence of
chemical substances—
(a) whether the harm is a direct or indirect result of the presence of the chemical
substances; and
(b) whether the harm results from the presence of the chemical substances alone
or the combined effects of the presence of the chemical substances and other
factors.
(3) For the purposes of this Act, site contamination does not exist at a site if
circumstances of a kind prescribed by regulation apply to the site.
5C—Responsibility for pollution
For the purposes of this Act, the occupier or person in charge of a place or vehicle at
or from which a pollutant escapes or is discharged, emitted, deposited or disposed of
will be taken to have polluted the environment with the pollutant (but without
affecting the liability of any other person in respect of the escape, discharge, emission,
depositing or disposal of the pollutant).
5D—Liability for certain offences from vehicles
(1) If—
(a) an activity is carried on—
(i) in, at or from a vehicle; or
(ii) in connection with the use of a vehicle; and
(b) the activity results in a principal offence,
the owner of the vehicle is guilty of an offence against this section and is liable to the
same penalty as is prescribed for the principal offence and the expiation fee (if any)
that is fixed for the principal offence also applies in relation to the offence against this
section.
(2) However, the owner of a vehicle and the person who committed the principal offence
(the alleged principal offender) are not both liable through the operation of this
section to be found guilty of, or to expiate, an offence arising out of the same
circumstances, and consequently a finding of guilt in relation to, or expiation by, the
owner exonerates the alleged principal offender and conversely a finding of guilt in
relation to, or expiation by, the alleged principal offender exonerates the owner.
(3) An expiation notice or expiation reminder notice given under the Expiation of
Offences Act 1996 to the owner of a vehicle for an alleged offence against this section
involving the vehicle must be accompanied by a notice inviting the owner, if he or she
was not the alleged principal offender, to provide the issuing authority specified in the
notice, within the period specified in the notice, with a statutory declaration—
(a) setting out the name and address of the person who the owner believes to
have been the alleged principal offender; or
(b) if he or she had transferred ownership of the vehicle to another prior to the
time of the alleged principal offence and has complied with the Motor
Vehicles Act 1959 or the Harbors and Navigation Act 1993 (as the case may
require) in respect of the transfer—setting out details of the transfer
(including the name and address of the transferee).
(4) If the vehicle is owned by 2 or more persons—
(a) a prosecution for an offence against this section may be brought against 1 of
the owners or against some or all of the owners jointly as co-defendants; and
(b) if the case for the prosecution is proved and a defence is not established, the
defendant or each of the defendants who does not establish a defence is liable
to be found guilty of an offence against this section.
(5) Before proceedings are commenced against the owner of a vehicle for an offence
against this section, the informant must send the owner a notice—
(a) setting out particulars of the alleged principal offence; and
(b) inviting the owner, if he or she was not the alleged principal offender or the
owner of the vehicle at the time of the alleged principal offence, to provide
the informant, within 21 days of the date of the notice, with a statutory
declaration setting out the matters referred to in subsection (3)(a) and (b).
(6) Subsection (5) does not apply to—
(a) proceedings commenced where an owner has elected under the Expiation of
Offences Act 1996 to be prosecuted for the offence; or
(b) proceedings commenced against an owner of a vehicle who has been named
in a statutory declaration under this section as the alleged principal offender.
(7) Subject to subsection (8), in proceedings against the owner of a vehicle for an offence
against this section, it is a defence to prove—
(a) that, in consequence of some unlawful act, the vehicle was not in the
possession or control of the owner at the time of commission of the alleged
principal offence; or
(b) that the owner provided the informant with a statutory declaration in
accordance with an invitation under this section.
(8) The defence in subsection (7)(b) does not apply if it is proved that the owner made the
declaration knowing it to be false in a material particular.
(9) If—
(a) an expiation notice is given to a person named as the alleged principal
offender in a statutory declaration under this section; or
(b) proceedings are commenced against such a person,
the notice or summons, as the case may be, must be accompanied by a notice setting
out particulars of the statutory declaration that named the person as the alleged
principal offender.
(10) The particulars of the statutory declaration provided to the alleged principal offender
must not include the address of the person who provided the statutory declaration.
(11) In proceedings against a person named in a statutory declaration under this section for
the offence to which the declaration relates, it will be presumed, in the absence of
proof to the contrary, that the person was present in or at the vehicle at the time at
which the alleged principal offence was committed.
(12) In proceedings against the owner of a vehicle or the alleged principal offender for an
offence against this Act, an allegation in the information that a notice was given under
this section on a specified day will be accepted as proof, in the absence of proof to the
contrary, of the facts alleged.
(13) For the purposes of this section, an activity consisting of the disposal of waste or other
matter to the environment will be presumed, in the absence of proof to the contrary, to
have been carried on in connection with the use of a vehicle if the waste or matter has
been disposed of to the environment and the vehicle was seen arriving at the place of
disposal before the disposal or leaving that place after the disposal.
(14) This section does not apply in relation to the disposal of waste or other matter by a
passenger of a taxi or a train, tram, bus, ferry, passenger ship, or other public transport
vehicle, that was being used for a public purpose at the time.
(15) In this section—
owner of a vehicle—
(a) in the case of a vessel within the meaning of the Harbors and Navigation
Act 1993, has the same meaning as in section 4(1) of that Act, and includes
the operator of the vessel within the meaning of that Act;
(b) in the case of a vehicle within the meaning of the Road Traffic Act 1961, has
the same meaning as in section 5(1) of that Act, and includes the operator of
the vehicle within the meaning of that Act;
principal offence means—
(a) an offence against section 34 (contravening a mandatory provision of an
environment protection policy); or
(b) an offence against—
(i) Part 8 Division 2; or
(ii) Part 9; or
(c) an offence prescribed by regulation.
6—Act binds Crown
(1) This Act binds the Crown in right of the State and also, so far as the legislative power
of the State extends, in all its other capacities.
(2) No criminal liability attaches to the Crown itself (as distinct from its agents,
instrumentalities, officers and employees) under this Act.
7—Interaction with other Acts
(1) Subject to this section, this Act is in addition to and does not limit or derogate from
the provisions of any other Act.
(2) This Act does not apply to circumstances to which the Environment Protection (Sea
Dumping) Act 1984 applies.
14B—Board of Authority
(1) The Board of the Environment Protection Authority is established as the governing
body of the Authority.
(2) The Board is to consist of not less than seven and not more than nine members
appointed by the Governor.
(3) The Chief Executive of the Authority is a member of the Board ex officio.
(3a) 1 of the appointed members of the Board will be appointed by the Governor to be the
presiding member of the Board.
(3b) 1 of the appointed members of the Board may be appointed by the Governor to be the
deputy presiding member of the Board.
(4) The Minister must consult with prescribed bodies, in accordance with the regulations,
in relation to the selection of persons for appointment under this section.
(5) The Board's membership must include persons who together have, in the Governor's
opinion, the following attributes:
(a) qualifications and experience relevant to environmental protection and
management or natural resources management;
(b) practical knowledge of, and experience in, industry, commerce or economic
development;
(c) practical knowledge of, and experience in, environmental conservation and
advocacy on environmental matters on behalf of the community;
(ca) practical knowledge of, and experience in, climate change adaptation and
climate change mitigation;
(d) practical knowledge of, and experience in, the reduction, re-use, recycling
and management of waste or the environmental management industry;
(e) legal qualifications and experience in environmental law;
(f) qualifications and experience relevant to management generally and public
sector management;
(g) practical knowledge of, and experience in, local government.
(6) At least one member of the Board must be a woman and one a man.
(8) The Governor may appoint a suitable person to be deputy of a member of the Board
(other than the Chief Executive) and a person so appointed may act as a member of
the Board during any period of absence of the member.
15—Terms and conditions of office
(2) An appointed member of the Board is to be appointed for a term, not exceeding
3 years, specified in the instrument of appointment and is, on the expiration of a term
of office, eligible for re-appointment.
(3) An appointed member of the Board is entitled to such remuneration, allowances and
expenses as may be determined by the Governor.
(4) The Governor may remove an appointed member of the Board from office for—
(a) misconduct; or
(3) The Minister may, if the Minister thinks fit after consultation with the council, and
must at the request of the council, by subsequent notice in the Gazette, declare that a
council that is an administering agency will cease to be an administering agency on a
day specified in the notice.
18B—Powers and functions of administering agencies
(1) An administering agency that is a council has the function of administering and
enforcing this Act in relation to activities in its area other than—
(a) prescribed activities of environmental significance or activities undertaken at
the same place as a prescribed activity of environmental significance;
(b) activities undertaken by the Crown, the council or another public authority or
a prescribed person or body;
(c) any other activities prescribed by regulation for the purposes of this
subsection.
(2) An administering agency, other than the Authority or a council, has the function of
administering and enforcing this Act in relation to activities prescribed by regulation
(subject to any conditions specified in the regulations) other than prescribed activities
of environmental significance or activities undertaken at the same place as a
prescribed activity of environmental significance.
(3) The conferral of a function on an administering agency under subsection (1) or (2) is
not to be taken to limit or affect the performance of that function by the Authority.
(4) A reference in this Act to an administering agency is, in relation to an administering
agency other than the Authority, a reference to the administering agency only in
relation to functions conferred on the administering agency under this section.
18C—Delegation
(1) An administering agency, other than the Authority, may, by instrument executed by
the administering agency, delegate a function conferred on the administering agency
under this Division to—
(a) a committee of the administering agency; or
(b) a subsidiary of the administering agency; or
(c) an employee of the administering agency; or
(d) the employee of the administering agency for the time being occupying a
particular office or position; or
(e) an authorised officer.
(2) A delegation under this section may be given subject to conditions specified in the
instrument of delegation.
(3) A delegation under this section is revocable at will and does not prevent the
administering agency from acting in any matter.
18D—Reports by administering agencies
An administering agency must report to the Authority, at such intervals as the
Authority requires, on the performance by the administering agency of functions
conferred on the administering agency under this Division.
(d) any amount paid to the Authority, or the value of anything forfeited to the
Authority, as a result of exercise of the power of seizure under Division 1 of
Part 10;
(e) the prescribed percentage of money paid to the Authority by way of a levy
under Part 15;
(ea) any amount paid to the Authority that is required under Part 15 to be paid into
the Fund;
(f) any money appropriated by Parliament for the purposes of the Fund;
(g) any money paid into the Fund at the direction or with the approval of the
Minister and the Treasurer;
(h) any money received by way of grant, gift or bequest for the purposes of the
Fund;
(i) any income from investment of money belonging to the Fund;
(j) any money paid into the Fund under any other Act.
(4) The Fund may be applied by the Minister or by the Authority with the approval of the
Minister (without further appropriation than this subsection)—
(a) in making any payment required in connection with a financial assurance
under Division 5 of Part 6; or
(b) in making any payment required by the terms of an environment performance
agreement under Part 7; or
(c) in making payments for or towards the cost of action taken to deal with an
environmental emergency or its effects; or
(d) for the purposes of education and training programmes in relation to the
protection, restoration or enhancement of the environment; or
(e) for the purposes of any investigations, research, pilot programmes or other
projects relating to the protection, restoration or enhancement of the
environment; or
(f) towards the costs of administration of this Act.
(6) The Authority may, with the approval of the Treasurer, invest any of the money
belonging to the Fund that is not immediately required for the purposes of the Fund in
such manner as is approved by the Treasurer.
(4) The Authority must, when it has prepared a draft environment protection policy,
prepare a report containing—
(a) an explanation of the purpose and effect of the draft policy; and
(b) a summary of any background and issues relevant to the draft policy and of
the analysis and reasoning applied in formulating the policy.
(5) The Authority must, after preparation of the draft policy and related report, refer that
policy and report—
(a) to any body prescribed for the purposes of this section; and
(b) to any public authority whose area of responsibility is, in the opinion of the
Authority, particularly affected by the policy.
(6) The Authority must also, after preparation of the draft policy and related report, cause
an advertisement to be published in the Gazette and in a newspaper circulating
generally in the State—
(a) giving notice of places at which the draft policy and the report, or copies of
the draft policy and the report, are to be available for inspection and, if copies
are to be available for purchase, of places at which copies may be purchased;
and
(b) inviting interested persons to make written submissions in relation to the draft
policy within a period specified in the advertisement (being not less than two
months from the date of publication of the advertisement); and
(c) stating that the submissions will be available for inspection by interested
persons as provided by subsection (8); and
(d) stating that the Authority's response to any submissions will be available for
inspection by interested persons as provided by subsection (9); and
(e) appointing a place and time at which a public information session will be held
by the Authority in relation to the draft policy.
(8) Where written submissions are made in response to an advertisement published under
subsection (6), a copy of those submissions must be made available for inspection by
interested persons during ordinary business hours at the principal office of the
Authority from the end of the period specified for the making of submissions until the
Authority reports to the Minister on the draft policy under subsection (11).
(9) Where written submissions are made in response to a draft policy, the Authority must,
as soon as is reasonably practicable after the end of the period specified for the
making of submissions, prepare a response to the submissions and make the response
available for inspection by interested persons during ordinary business hours at the
principal office of the Authority until the Authority reports to the Minister on the draft
policy under subsection (11).
(11) The Authority must then report to the Minister and the Minister may, after taking into
account the report and any recommendations of the Authority on the matter—
(a) approve the draft policy; or
(b) alter the draft policy and approve the draft policy as altered; or
(c) decline to approve the draft policy.
(12) A draft policy approved by the Minister under subsection (11) may be referred to the
Governor and the Governor may, by notice in the Gazette—
(a) declare the draft to be an authorised environment protection policy under this
Act; and
(b) fix a day on which it will come into operation.
29—Simplified procedure for making certain policies
(1) Where the Minister is satisfied that a draft environment protection policy refers to or
incorporates without substantial modification the whole or part of a standard or other
document prepared by a body prescribed for the purposes of this section—
(a) the normal procedure for making environment protection policies does not
apply in relation to the draft policy; and
(b) the Minister may refer the draft policy directly to the Governor.
(1a) Where a national environment protection measure has been made, amended or
revoked or has expired—
(a) the normal procedure for making environment protection policies under this
Division does not apply in relation to—
(i) a draft environment protection policy to implement the national
environment protection measure or the amendment, revocation or
expiry; or
(ii) a draft environment protection policy that amends or revokes another
environment protection policy as the Minister considers necessary or
desirable in consequence of implementation of the national
environment protection measure or the amendment, revocation or
expiry; and
(b) the Minister may refer a draft policy referred to in paragraph (a) directly to
the Governor.
(1b) For the purposes of subsection (1a), a draft environment protection policy will be
taken to implement a national environment protection measure despite the fact that it
includes provisions that are not included in or required by the measure if the Minister
is satisfied that the provisions relate to the enforcement of the policy (including the
imposition of penalties for contravention of the policy) or are otherwise necessary for
the application of the policy in this jurisdiction.
(2) The Governor may, on reference of a draft policy under this section, by notice in the
Gazette—
(a) declare the draft to be an authorised environment protection policy under this
Act; and
(b) fix a day on which it will come into operation.
30—Reference of policies to Parliament
(1) When the Governor declares a draft environment protection policy to be an authorised
environment protection policy under this Act, the Minister must—
(a) within 14 days, refer the policy to the Environment, Resources and
Development Committee of the Parliament; and
(b) within 14 sitting days, cause the policy to be laid before both Houses of
Parliament.
(2) If the Environment, Resources and Development Committee, after receipt of the
policy under subsection (1), resolves to suggest an amendment to the policy, the
Governor may, on the recommendation of the Minister, by notice in the Gazette,
proceed to make such an amendment.
(3) If either House of Parliament passes a resolution disallowing the policy, the policy
ceases to have effect.
(4) If an amendment suggested by resolution under subsection (2) has been made to the
policy by the Governor under that subsection, a resolution may nevertheless be passed
under subsection (3) disallowing the policy as amended.
(5) A resolution is not effective for the purposes of subsection (3) unless passed in
pursuance of a notice of motion given within 14 sitting days (which need not fall
within the same session of Parliament) after the day on which the policy was laid
before the House.
(6) Where a policy that revokes the whole or part of another policy is disallowed, the
policy or part sought to be revoked revives.
(7) Where a policy is disallowed by resolution of either House, notice of the resolution
must forthwith be published in the Gazette.
31—Interim policies
(1) If the Governor is of the opinion that it is necessary for the proper administration of
this Act that a draft environment protection policy should come into operation without
delay, the Governor may declare, by notice in the Gazette, that the policy will come
into operation on an interim basis on a day specified in the notice (being the day of
publication in the Gazette of an advertisement concerning the draft policy and related
report in accordance with the normal procedure, or any later day).
(2) Where a notice has been published under subsection (1), the policy comes into
operation on the day specified in the notice.
(3) The Minister must, as soon as practicable after the publication of a notice under
subsection (1), prepare a report on the matter and cause copies of the report to be laid
before both Houses of Parliament.
(4) A policy that has come into operation under this section ceases to operate—
(a) if the Governor, by notice published in the Gazette, terminates the operation
of the policy; or
(b) if either House of Parliament passes a resolution disallowing the policy after
copies of the policy have been laid before both Houses of Parliament in
accordance with the normal procedure; or
(c) if the policy has not been authorised by the Governor in accordance with the
normal procedure within 12 months from the day on which it came into
operation; or
(d) if the policy is superseded by another policy that comes into operation under
this Division.
(5) If a policy ceases to operate by virtue of subsection (4)(b) or (c), notice of the
cessation must forthwith be published in the Gazette.
(6) If a policy that revokes the whole or part of another policy ceases to operate by virtue
of subsection (4)(a), (b), or (c), the policy or part sought to be revoked revives.
32—Certain amendments may be made by Gazette notice only
(1) The Minister may, by notice in the Gazette, amend an environment protection
policy—
(a) in order to correct an error in the policy; or
(b) in order to make a change of form (not involving a change of substance) in
the policy; or
(ba) if the Minister considers it necessary to amend the policy in consequence
of—
(i) an amendment to this Act or the making, variation or revocation of
regulations under this Act or the making, amendment or revocation
of another environment protection policy; or
(ii) the commencement or amendment of a prescribed Act; or
(c) if the policy itself or the regulations provide that a change of a specified kind
may be made to the policy by amendment under this section—in order to
make a change of that kind.
(2) An amendment under this section comes into operation on the day fixed in the notice
of the amendment.
Division 3—Exemptions
37—Exemptions
Subject to this Act, a person may obtain an environmental authorisation in the form of
an exemption exempting the person from the application of a specified provision of
this Act in respect of a specified activity.
(4a) Before determining an application for renewal, the Authority may, by notice in writing
served on an applicant, require the applicant—
(a) to undertake public consultation in relation to the application, in accordance
with requirements specified in the notice; and
(b) to report to the Authority, at a time and in a manner specified in the notice, on
the results of the consultation.
(5) Subject to any condition of the authorisation excluding or limiting the right of renewal
under this section and to the applicant complying with any notice under
subsection (4a), an environmental authorisation must be renewed by the Authority on
due application under this section and payment of the authorisation fee prescribed or
determined under the regulations.
(6) The Authority may, of its own initiative and without application by the holder of an
environmental authorisation, renew the authorisation if the Authority is satisfied that it
is necessary or appropriate for the protection or restoration of the environment that the
holder of the authorisation be bound by conditions of an authorisation (and may do so
notwithstanding that the activity undertaken pursuant to the authorisation has ceased
but only if the activity ceases after the commencement of this subsection).
(7) The Authority may renew an authorisation on a late application or under
subsection (6) despite the fact that the authorisation has expired and, in that event, the
renewal has effect from the end of the term for which the authorisation was previously
granted or renewed.
44—Applicants may lodge proposed environment improvement programmes
(1) Subject to this section, an applicant under this Part may lodge with the Authority a
proposed environment improvement programme to be carried out by the applicant.
(2) A proposed environment improvement programme may—
(a) be lodged in association with an application for—
(i) an exemption from compliance with the general environmental duty
under Part 4 in relation to a specified activity; or
(ii) an exemption from specified mandatory provisions of an
environment protection policy; and
(b) consist of a programme (the carrying out of which may be required by
conditions of the exemption) setting out action to be taken within specified
periods to achieve compliance with the general environmental duty in relation
to that activity, or with the mandatory provisions, as the case may be.
(3) A proposed environment improvement programme may—
(a) be lodged in association with an application for the grant or renewal of a
licence; and
(b) consist of a programme (the carrying out of which may be required by
conditions of the licence) setting out action to be taken within specified
periods—
(i) to achieve compliance with specified mandatory provisions of an
environment protection policy that are to come into operation on a
specified future day; or
(b) for any other condition (other than a reporting-deadline condition)—$1 000.
(6) Where the holder of an authorisation (including the holder of an authorisation that has
been suspended) fails to comply with a reporting-deadline condition, the Authority
may, by notice in writing, require the holder to make good the default and, in addition,
to pay the Authority the amount prescribed as a penalty for default.
(7) A penalty for default payable under subsection (6) is recoverable by the Authority as a
debt due to the Authority.
(8) If a requirement under a provision of this Act relates to activities carried on under an
environmental authorisation, the requirement will, subject to the terms of the
provision—
(a) apply in relation to such activities, whether the environmental authorisation
authorising the activities was granted before or after the commencement of
the provision; and
(b) prevail over conditions of such an environmental authorisation to the extent
of any inconsistency.
(9) In this section—
reporting-deadline condition means a condition of a kind referred to in
section 52(1)(a) requiring a specified report on the results of tests or monitoring to be
made to the Authority before a specified date.
46—Notice and submissions in respect of proposed variations of conditions
(1) Subject to this section, if the Authority proposes to vary the conditions of an
environmental authorisation, the Authority must first—
(a) give notice in writing of the proposed variation to the holder of the
authorisation—
(i) setting out the reasons for the proposed variation; and
(ii) inviting the holder of the authorisation to make written submissions
in relation to the proposed variation within a period specified in the
notice (being not less than 14 days from the day on which the notice
is given to the holder); and
(b) cause public notice of the proposed variation to be published in a manner and
form determined by the Authority to be most appropriate in the
circumstances—
(i) setting out the reasons for the proposed variation; and
(ii) inviting interested persons to make written submissions in relation to
the proposed variation within a period specified in the notice (being
not less than 14 days from the date of publication as specified in the
notice for the purpose); and
(c) if the proposed variation relates to an activity that is to be undertaken on a
particular piece of land—cause notice of the proposed variation to be given to
the owner or occupier of each piece of adjacent land—
(i) setting out the reasons for the proposed variation; and
(5a) Where written submissions are made in response to a notice published under
subsection (1)(b) or given to the owner or occupier of adjacent land under
subsection (1)(c), the Authority must forward a copy of the submissions to the holder
of the environmental authorisation and allow the holder of the environmental
authorisation an opportunity to respond, in writing, to the submissions within a period
specified by the Authority.
(6) For the purposes of this section, a reference to the variation of conditions includes a
reference to the revocation of a condition or the imposition of a condition or further
condition after the grant of the authorisation.
(7) A notice to be given to the owner or occupier of adjacent land under subsection (1)(c)
may be given by addressing it to the "owner or occupier" and posting it to, or leaving
it at, the adjacent land.
(8) In this section—
adjacent land, in relation to other land, means land—
(a) that abuts on the other land; or
(b) that is no more than 60 metres from the other land and is directly separated
from the other land only by—
(i) a road, street, footpath, railway or thoroughfare; or
(ii) a watercourse; or
(iii) a reserve or other similar open space.
47—Criteria for grant and conditions of environmental authorisations
(1) In determining—
(a) whether to grant or refuse an environmental authorisation; or
(b) what should be the term or conditions of an environmental authorisation,
the Authority must—
(c) have regard to, and seek to further, the objects of this Act; and
(d) have regard to the general environmental duty; and
(e) have regard to any relevant environment protection policy, and, in relation to
an application for exemption from mandatory provisions of an environment
protection policy, give effect to any provisions of the policy governing the
granting of such exemptions; and
(ea) have regard to the waste strategy for the State adopted under the Green
Industries SA Act 2004 (if relevant); and
(f) have regard to any relevant reports, assessments, environmental impact
statement, Assessment Report, development authorisation or other document
or requirement under the Planning, Development and Infrastructure
Act 2016; and
(g) have regard to any relevant environment improvement programme or
environment performance agreement or any such proposed programme or
agreement; and
(h) have regard to any written submissions (and any responses to such
submissions) made to the Authority under this Part that are relevant to the
matters to be determined; and
(i) in relation to any proposed variation of the conditions of an environmental
authorisation, have regard to any submissions made by the holder of the
authorisation to the Authority under this Part; and
(j) where an authority under the Landscape South Australia Act 2019 has made
submissions to the Authority in response to an invitation under section 39(1a)
or 46(1a), have regard to those submissions.
(2) Despite subsection (1) but subject to subsections (2b), (3) and (4), where a person—
(a) has been granted—
(i) a works approval authorising works for the purposes of a prescribed
activity of environmental significance; or
(ii) a development authorisation under Part 7 or 8 of the Planning,
Development and Infrastructure Act 2016—
(A) authorising a development for the purposes of a prescribed
activity of environmental significance on each application in
respect of that development referred to the Authority in
accordance with that Part; or
(B) authorising a development or project for the purposes of a
prescribed activity of environmental significance; and
(b) has complied with the conditions (if any) of the works approval or
development authorisation imposed by or at the direction of the Authority,
the Authority may not, on due application for such a licence, refuse to grant a licence
authorising the person to undertake that prescribed activity of environmental
significance.
(2a) If an application for an environmental authorisation involves an activity that requires a
related approval under the Planning, Development and Infrastructure Act 2016, the
Authority must defer its determination of the application under this Act until a
relevant development authorisation is obtained under the Planning, Development and
Infrastructure Act 2016 and the Authority receives notification of that development
authorisation (and any conditions) from the applicant (and if an application for a
development authorisation is refused under that Act then, subject to the regulations,
the Authority must refuse the application for environmental authorisation under this
Act).
(2b) If an application for an environmental authorisation involves an activity for which a
financial assurance under section 51 is required, the following provisions apply:
(a) the Authority must defer its determination of the application under this Act
until the applicant provides the Authority with the prescribed details in
relation to the financial assurance; and
(b) if those details are not provided to the Authority as required, the Authority
must, subject to the regulations, refuse the application for environmental
authorisation under this Act.
(3) The Authority may refuse an environmental authorisation if the Authority is not
satisfied that the applicant is a suitable person to be granted the authorisation.
(4) In particular, without limiting the effect of subsection (3), the Authority may refuse an
environmental authorisation—
(a) if the applicant has contravened this Act or any prescribed Act, or has held an
environmental authorisation or other authority that has been cancelled or
suspended under this Act or any such prescribed Act; or
(b) if the applicant is a body corporate and a director of the body corporate—
(i) has contravened this Act or any prescribed Act, or has held an
environmental authorisation or other authority that has been
cancelled or suspended under this Act or any such prescribed Act; or
(ii) is or has been the director of another body corporate that has
contravened this Act or any prescribed Act, or has held an
environmental authorisation or other authority that has been
cancelled or suspended under this Act or any such prescribed Act; or
(c) on any ground prescribed by regulation.
(5) For the purposes of subsection (4), any Act including an Act that has been repealed or
an Act of a place other than this State may be declared by regulation to be a prescribed
Act.
48—Annual fees and returns
(1) This section—
(a) applies to an environmental authorisation granted or renewed for a term of
two years or more; and
(b) does not apply to an environmental authorisation of a prescribed class.
(2) The holder of an environmental authorisation must—
(a) in each year lodge with the Authority, before the date prescribed for that
purpose, an annual return containing the information required by the
Authority by condition of the authorisation or by notice in writing; and
(b) in each year (other than a year in which the authorisation is due to expire) pay
to the Authority, before the date prescribed for that purpose, the annual
authorisation fee prescribed or determined under the regulations.
(2a) The Authority may, by condition of an environmental authorisation or by notice in
writing, require the holder of the authorisation to verify any information required
under subsection (2) in such manner as the Authority thinks fit.
(3) Where an annual authorisation fee is to be determined by the Authority under the
regulations, the Authority must, not less than one month before the date prescribed for
payment of the fee, notify the holder of the authorisation of the fee so determined.
(4) Where the holder of an authorisation fails to lodge the annual return or pay the annual
authorisation fee in accordance with subsection (2), the Authority may, by notice in
writing, require the holder to make good the default and, in addition, to pay to the
Authority the amount prescribed as a penalty for default.
(5) An annual authorisation fee (including any penalty for default) payable under this
section is recoverable by the Authority as a debt due to the Authority.
(6) In this section—
holder of an environmental authorisation includes the holder of an authorisation that
has been suspended.
49—Transfer of environmental authorisations
(1) Subject to this section and any condition of the authorisation excluding or limiting the
right of transfer under this section, the Authority must approve the transfer of an
environmental authorisation on due application under this section.
(2) The Authority may refuse to approve the transfer of an authorisation if the Authority
is not satisfied that the proposed transferee is a suitable person to hold the
authorisation.
(3) In particular, without limiting the effect of subsection (2), the Authority may refuse to
approve the transfer of an authorisation—
(a) if the proposed transferee has contravened this Act or any prescribed Act, or
has held an environmental authorisation or other authority that has been
cancelled or suspended under this Act or any such prescribed Act; or
(b) if the proposed transferee is a body corporate and a director of the body
corporate—
(i) has contravened this Act or any prescribed Act, or has held an
environmental authorisation or other authority that has been
cancelled or suspended under this Act or any such prescribed Act; or
(ii) is or has been the director of another body corporate that has
contravened this Act or any prescribed Act, or has held an
environmental authorisation or other authority that has been
cancelled or suspended under this Act or any such prescribed Act; or
(c) on any ground prescribed by regulation.
(4) For the purposes of subsection (3), any Act including an Act that has been repealed or
an Act of a place other than this State may be declared by regulation to be a prescribed
Act.
(5) An application for approval of the transfer of an environmental authorisation must be
made to the Authority in such manner and form as is determined by the Authority and
must be accompanied by the prescribed fee.
(6) Where the Authority requires further information to determine the application, the
Authority may, by notice in writing served on the applicant no later than one month
after the application is made, require the applicant to furnish further specified
information in writing.
(7) Where further information is required in respect of an application, the application is to
be taken not to have been duly made until the information is furnished as required.
(8) If the Authority has not advised an applicant for the transfer of an authorisation of its
decision on the application within two months after the application is made, the
applicant may, after giving 14 days notice in writing to the Authority, apply to the
Environment, Resources and Development Court for an order requiring the Authority
to make its decision on the application within a time fixed by the Court.
50—Death of person holding environmental authorisation
Where the person holding an environmental authorisation dies, a person approved by
the Authority is to be taken to hold that authorisation (on the same conditions as were
applicable to the deceased) as from the date of the death until the expiration of six
months from that date, or until such later day as may be fixed by the Authority.
50A—Avoidance of duplication of procedures etc
(1) The purpose of this section is to provide for the avoidance of unnecessary duplication
of procedures and compliance requirements under the Commonwealth Act and this
Act where an activity requires environmental authorisation under this Act and
approval under the Commonwealth Act.
(2) Despite any other provision of this Act, the Authority may—
(a) accept a Commonwealth Act document as an application, notice or other
document for the purposes of this Act if (subject to subsection (5)) the
document complies with the requirements of this Act; and
(b) direct that a procedure taken under the Commonwealth Act in relation to a
Commonwealth Act document that has been accepted by the Authority under
paragraph (a) will be taken to have fulfilled the requirement for a procedure
in relation to the relevant document under this Act if the requirements of this
Act in relation to the procedure have been complied with; and
(c) instead of the Authority, or some other person, preparing a plan, report,
statement, assessment or other document under this Act, adopt or accept the
whole or part of a document (whether a plan, report, statement, assessment or
other document of the same kind or not) used, or to be used, for the purposes
of the Commonwealth Act as the document required under this Act if (subject
to subsection (5)) the document has been prepared in compliance with this
Act and complies with the requirements of this Act.
(3) To avoid doubt, where a controlled action under the Commonwealth Act is an activity
or part of an activity, or includes an activity, for which an environmental authorisation
is required under this Act, the Authority may, when considering an application for an
environmental authorisation, or for the variation of an environmental authorisation, for
the activity, use information and other material provided to the Commonwealth
Minister under the Commonwealth Act for the purpose of deciding whether to give his
or her approval to the controlled action under that Act.
(4) Where a controlled action under the Commonwealth Act is an activity or part of an
activity, or includes an activity, for which an environmental authorisation is required
under this Act, the Authority—
(a) must, if the Commonwealth Minister has given his or her approval to the
controlled action, consider whether the conditions (if any) to be imposed on
the authorisation should be consistent with the conditions (if any) attached to
the Commonwealth Minister's approval under the Commonwealth Act;
(b) may impose a condition on the authorisation that requires compliance with all
or some of the conditions attached to the Commonwealth Minister's approval
under the Commonwealth Act.
(5) A document accepted or adopted under subsection (2)—
(a) may be in a form that does not comply with the requirements of this Act; and
(b) may include information or other material that is irrelevant for the purposes
of this Act.
(6) Once a document is accepted or adopted under subsection (2) or a direction has been
given in relation to a procedure under subsection (2)(b), the document or procedure
will not be invalid or ineffective for the purposes of this Act because a court, tribunal
or other authority has decided that it is invalid or ineffective for the purposes of the
Commonwealth Act.
(7) In this section—
assessment report means—
(a) an assessment report as defined in the Commonwealth Act by reference to
section 84(3), 95, 100 or 105 of that Act; or
(b) a report under section 121 of the Commonwealth Act;
Commonwealth Act means the Environment Protection and Biodiversity
Conservation Act 1999 of the Commonwealth;
Commonwealth Act document means—
(a) a referral under section 68, 69 or 71 of the Commonwealth Act; or
(b) information given by a person to the Minister under the Commonwealth Act
under section 86 of that Act; or
(c) information and invitation published by a proponent under section 93 of the
Commonwealth Act; or
(d) guidelines prepared under section 97 or 102 of the Commonwealth Act; or
(e) a draft report prepared under section 98 of the Commonwealth Act; or
(f) a finalised report prepared under section 99 of the Commonwealth Act; or
(g) a draft statement prepared under section 103 of the Commonwealth Act; or
(h) a finalised statement prepared under section 104 of the Commonwealth Act;
or
(i) an assessment report.
(4) The Authority may (without limitation) require a financial assurance to extend to such
time as it is satisfied that no clean up or remediation will be required as a result of the
activity undertaken under the environmental authorisation (including following
cessation of the activity).
(5) The following provisions apply in relation to a condition requiring a financial
assurance in the form of a bond or pecuniary sum:
(a) the Authority may not require the lodgement of a bond or pecuniary sum
representing an amount greater than the Authority's reasonable estimate of the
total of the likely costs, expenses, loss and damage that might be incurred or
suffered by the Authority or other persons as a result of failure by the holder
of the authorisation to satisfy the conditions of discharge or repayment of the
bond or pecuniary sum;
(b) a pecuniary sum lodged with the Authority must be paid into the Environment
Protection Fund and the amount of the pecuniary sum that has not been repaid
or forfeited to the Fund must, on satisfaction of the conditions of repayment,
be repaid to the holder of the authorisation together with an amount
representing interest calculated in accordance with the regulations;
(c) if the holder of an authorisation fails to satisfy the conditions of discharge or
repayment of the bond or pecuniary sum, the Authority—
(i) may determine that the whole or part of the amount of the bond or
pecuniary sum is forfeited to the Environment Protection Fund;
(ii) may apply from the Fund any money so forfeited in payments for or
towards the costs, expenses, loss or damage incurred or suffered by
the Crown, a public authority or other person as a result of the failure
by the holder of the authorisation;
(iii) may, in the case of a pecuniary sum, on the expiry or termination of
the authorisation and when satisfied that there is no reasonable
likelihood of any or further valid claims in respect of costs, expenses,
loss or damage incurred or suffered as a result of the failure of the
holder of the authorisation, repay any amount of the pecuniary sum
that has not been repaid or forfeited to the Fund.
(6) The following provisions apply in relation to a condition requiring a financial
assurance in the form of a policy of insurance:
(a) the Authority may require that it be a joint insured or a beneficiary of the
insurance;
(b) the Authority will be taken to have an insurable interest in the subject matter
covered by the insurance policy.
(2) The Authority may only impose conditions under this section on an environmental
authorisation if satisfied that the conditions are reasonably required for the purpose
of—
(a) preventing or minimising environmental harm; or
(b) dealing with stockpiled or abandoned waste or other matter,
that may result from the activity undertaken pursuant to the authorisation after the
activity has ceased.
(3) The regulations may limit the circumstances in which conditions may be imposed
under this section or make any other provisions relating to the imposition of
conditions under this section.
(4) If the Authority imposes any conditions on an environmental authorisation granted in
relation to an activity requiring the holder of the authorisation to prepare a plan
described in subsection (1)(b), the following provisions apply:
(a) the Authority must specify the period during which compliance with the plan
will be required (which may be until a specified day or until the holder of the
authorisation satisfies the Authority that a specified event has occurred or that
compliance with specified standards has been achieved); and
(b) at the end of the specified period, the Authority must notify the holder of the
authorisation, in writing, that compliance with the plan is no longer required;
and
(c) if the Authority has notified the holder of the authorisation that compliance
with the plan is no longer required, the Authority may not issue an
environment protection order under section 93A for the purpose of preventing
or minimising environmental harm or dealing with stockpiled or abandoned
waste or other matter that may result from the activity.
53—Conditions requiring preparation and publication of plan to deal with
emergencies
The Authority may, by conditions of an environmental authorisation—
(a) require the holder of the authorisation to prepare, in accordance with
specified requirements and to the satisfaction of the Authority, a plan of
action to be taken in the event of emergencies that might forseeably arise out
of the activity undertaken pursuant to the authorisation, or activities
previously undertaken at the place to which the authorisation relates, and
involve the risk of material or serious environmental harm; and
(b) specify the inquiries to be made prior to the preparation of the plan; and
(c) specify the qualifications of the person who may be appointed or engaged by
the holder of the authorisation to conduct the inquiries and prepare the plan;
and
(d) require the holder of the authorisation to publish the approved plan or an
outline of the plan in a manner specified in the conditions.
(c) any action taken, or to be taken, to prevent any recurrence of that failure or to
mitigate the effects of that failure.
(2) A certificate of compliance must, if required by the Authority, be certified as correct
by a person approved by the Authority.
(3) It is not an excuse for a person to refuse or fail to provide information required to be
included in a certificate of compliance on the ground that to do so might tend to
incriminate the person or make the person liable to a penalty.
(4) If compliance by a person with a requirement to include information in a certificate of
compliance might tend to incriminate the person or make the person liable to a
penalty, then the information included in compliance with the requirement is not
admissible in evidence against the person in proceedings for an offence or for the
imposition of a penalty (other than proceedings in respect of the making of a false or
misleading statement).
54C—Conditions requiring approval of certain works and processes
(1) The Authority may, by conditions of an environmental authorisation, require the
holder of the environmental authorisation to seek the Authority's approval in relation
to—
(a) the construction or alteration of a building or structure, or the installation or
alteration of plant or equipment, for use for an activity carried on under the
environmental authorisation; or
(b) a change in a process undertaken under the environmental authorisation.
(2) If conditions of an environmental authorisation (whether imposed before or after the
commencement of this section) require the holder of the environmental authorisation
to seek the Authority's approval in relation to a matter of a kind referred to in
subsection (1)(a) or (b), an application for such approval must—
(a) be made in a manner and form determined by the Authority; and
(b) be accompanied by the prescribed fee.
(3) If the Authority requires further information to determine the application, the
Authority may, by notice in writing served on the applicant no later than 2 months
after the application is made, require the applicant to furnish further specified
information in writing.
(4) If further information is required in respect of an application, the application is to be
taken not to have been duly made until the information is furnished as required by the
Authority.
(c) the holder of the licence has paid the sustainability endorsement fee
prescribed or determined under the regulations; and
(d) any other requirements prescribed by the regulations have been complied
with.
(2) The Authority may, in conjunction with endorsing a licence as a sustainability licence,
undertake to provide support to the holder of the licence to facilitate implementation,
and auditing of implementation, of the measures forming the basis of the endorsement.
(3) An undertaking made under this section is not enforceable.
57D—Term and renewal of endorsements
(1) Subject to this Act, the term of an endorsement of a licence as a sustainability licence
is co-extensive with the term of the licence, and the endorsement is renewed for a
further term on each renewal of the licence.
(2) An application for the renewal of a licence endorsed as a sustainability licence must
include information relating to the measures implemented for the purposes of the
endorsement as required by the Authority by written notice to the applicant.
(3) If the holder of a licence fails to include the required information in an application for
renewal of the licence, the application will be taken not to have been duly made until
the information is furnished as required by the Authority.
57E—Annual fees and returns
(1) If an annual authorisation fee is payable in respect of a licence endorsed as a
sustainability licence, the amount prescribed or determined under the regulations as
the annual sustainability endorsement fee is to be added to the annual authorisation fee
and, for the purposes of this Act, the amount will be taken to form part of the annual
authorisation fee payable by the licensee.
(2) An annual return lodged in respect of a licence endorsed as a sustainability licence
must include information relating to the measures implemented for the purposes of the
endorsement as required by the Authority by written notice to the holder of the
licence.
(3) If the holder of a licence fails to include the required information in an annual return,
the Authority may, by written notice, require the holder to make good the default.
(4) If the holder of a licence fails to make good the default within the period allowed by
the Authority (being not less than 14 days after the day on which the notice is given to
the holder), the Authority may, by written notice, revoke the endorsement of the
licence as a sustainability licence.
(5) In this section, a reference to an endorsement of a licence as a sustainability licence
includes a reference to such an endorsement that has been suspended by reason of the
licence being suspended.
57F—Transfer of endorsements
(1) An endorsement may, with the approval of the Authority, be transferred
simultaneously with the transfer of a licence.
(2) The Authority must decide whether or not to grant approval for the transfer of an
endorsement on the same basis as would apply if the transferee were an applicant for
an endorsement.
57G—Suspension or revocation of endorsements
(1) The Authority may, by written notice to the holder of a licence endorsed as a
sustainability licence, revoke the endorsement—
(a) if the holder of the licence acts contrary to an undertaking forming the basis
of the endorsement; or
(b) if the Authority is unable to reach agreement with the holder on the
renegotiation of the measures or auditing programme; or
(c) on other grounds prescribed by the regulations.
(2) Before the Authority revokes an endorsement under subsection (1), the Authority
must—
(a) give the holder of the licence written notice of its proposed action specifying
reasons for the proposed action; and
(b) allow the holder of the licence at least 14 days within which to make
submissions to the Authority in relation to the proposed action.
(3) The Authority must revoke an endorsement of a licence as a sustainability licence at
the written request of the holder of the licence.
(4) If a licence endorsed as a sustainability licence is suspended, the endorsement is
suspended for the period of the suspension of the licence.
(5) If a licence endorsed as a sustainability licence is cancelled or surrendered, the
endorsement is revoked.
(b) the obligation of a person under Part 9 to notify the Authority of an incident
causing or threatening serious or material environmental harm.
59—Environment performance agreements
(1) Subject to this section, the Authority may enter into an environment performance
agreement with any other person or persons (including a Minister or public authority).
(2) An environment performance agreement entered into under this section—
(a) must be in writing and duly executed by the parties to the agreement; and
(b) may contain terms providing for any matter that the Authority considers
appropriate for securing the objects of this Act, including terms—
(i) binding a party other than the Authority to undertake programmes of
any kind directed towards protection, restoration or enhancement of
the environment; or
(ii) binding the Authority to provide financial or other assistance of any
kind to the other party or parties or any of them; or
(iii) providing a party other than the Authority with remission of rates or
taxes.
(3) The Authority may not enter into an environment performance agreement under this
section except with the prior approval of the Minister.
(4) An environment performance agreement may not—
(a) make provision for remission of any rates or taxes payable to the Crown
except with the prior approval of the Treasurer; or
(b) make provision for remission of any rates or taxes payable to a council except
with the prior approval of the council,
but any provision for remission of rates or taxes made by an environment performance
agreement in accordance with this section will have effect according to its terms and
notwithstanding the provisions of any other Act.
(5) Subject to this section, an environment performance agreement may not have effect to
relieve a party to the agreement from any duty under this or any other Act, and any
obligations imposed under such an agreement have effect in addition to and not in
derogation of the requirements imposed by or under this or any other Act.
(6) Subject to subsection (5), an environment performance agreement entered into under
this section has effect as a contract binding on the parties to the agreement.
60—Registration of environment performance agreements in relation to land
(1) Subject to this section, where an environment performance agreement under this Part
relates to land, a party to the agreement may, if the agreement so provides, lodge a
copy of the agreement with the Registrar-General, and, in that event, the
Registrar-General must register the agreement in relation to the land by making such
entries in any register book, memorial or other book or record in the Lands Titles
Registration Office or in the General Registry Office as he or she thinks fit.
(2) An environment performance agreement may not be registered under this section in
relation to land except with the consent of all persons (not being party to the
agreement) who have a registered interest in or caveat over the land.
(3) While an environment performance agreement remains registered under this section in
relation to land, the agreement is binding on each owner and occupier from time to
time of the land as if the owner or occupier were a party to the agreement.
(4) While an environment performance agreement remains registered under this section in
relation to land, an owner or occupier of the land who ceases to own or occupy the
land must notify the Authority in writing of the name and address of the new owner or
occupier.
Maximum penalty: $4 000.
(5) On the termination of an environment performance agreement that is registered under
this section in relation to land, the Authority must lodge with the Registrar-General a
document executed by the Authority certifying as to the termination of the agreement
and, in that event, the Registrar-General must cancel the registration of the agreement
and make such endorsements to that effect in the appropriate register book, memorial
or other book or record in respect of the land as he or she thinks fit.
(2) The Authority must consult the Water Resources Minster and the Minister for the time
being administering the Waterworks Act 1932 before making a recommendation to the
Governor under subsection (1).
62—Appointment of authorised officers by the Water Resources Minister
(1) The Water Resources Minister may, after consultation with the Authority, appoint
pursuant to Part 10 Division 1 a person who is an authorised officer under the
Landscape South Australia Act 2019 to be an authorised officer under this Act.
(2) The Water Resources Minister may, at any time, revoke an appointment made by him
or her, or vary or revoke a condition specified in the instrument of appointment or
impose a further condition.
63—Water Resources Minister may exercise Authority's enforcement powers
(1) The Water Resources Minister may, after consultation with the Authority, exercise
such powers of the Authority under Part 10 as the Water Resources Minister considers
necessary for the protection of the quality of surface or underground water within a
water protection area.
(2) The provisions of this Act apply in relation to the exercise of a power by the Water
Resources Minister under subsection (1) as if a reference to the Authority includes a
reference to the Water Resources Minister.
64—Certain matters to be referred to Water Resources Minister
(1) Where an application of a kind prescribed by subsection (1a) is made under Part 6 for
an environmental authorisation in respect of an activity to be undertaken in a water
protection area (except a water protection area, or part of a water protection area,
excluded from the operation of this section by regulation)—
(a) the application must be referred to the Water Resources Minister together
with a copy of any relevant information provided by the applicant; and
(b) subject to subsection (2), the Authority must not make a decision on the
application until it receives a response from the Water Resources Minister.
(1a) The following kinds of applications are prescribed for the purposes of subsection (1):
(a) an application for an environmental authorisation to drain or discharge any
solid, liquid or gaseous material directly or indirectly into a well that is a
prescribed well under the Landscape South Australia Act 2019;
(b) an application for an environmental authorisation in respect of any activity
that might, in the opinion of the Authority, create a significant risk of
environmental harm to a water resource within the meaning of the Landscape
South Australia Act 2019.
(1b) Subsection (1a) does not apply in relation to an activity that is development for the
purposes of the Planning, Development and Infrastructure Act 2016 and that is
authorised by a development authorisation under that Act.
(2) If a response is not received from the Water Resources Minister within the period
prescribed by regulation, it will be presumed that the Water Resources Minister does
not wish to make a response, but the period prescribed will, if the Waters Resources
Minister notifies the Authority of the need for such extension, be extended by a period
of time equal to the time taken by the applicant to furnish further information in
compliance with a requirement under subsection (3).
(3) Where the Water Resources Minister requires further information before giving a
response under this section, the Water Resources Minister may, by notice in writing
served on the applicant no later than two months after the application was made,
require the applicant to furnish further specified information in writing.
(4) The Water Resources Minister may require any further information required under
subsection (3) to be verified by statutory declaration.
(5) Where further information is required under this section in respect of an application,
the application is to be taken not to have been duly made for the purposes of Part 6
until the information is furnished as required by the Water Resources Minister.
(6) The regulations may—
(a) provide that the Authority must not make a decision on an application
referred to the Water Resources Minister under this section—
(i) without having regard to the response of the Water Resources
Minister; or
(ii) without the concurrence of the Water Resources Minister (which
concurrence may be given on such conditions as the Water
Resources Minister thinks fit);
(b) empower the Water Resources Minister to direct the Authority—
(i) to refuse the application; or
(ii) if the Authority decides to grant the application—to impose such
conditions as the Water Resources Minister thinks fit,
(and the Authority must comply with any such direction).
(7) Where the Authority acting by direction of the Water Resources Minister refuses an
application or imposes conditions in respect of an environmental authorisation, the
Authority must notify the applicant that the application was refused, or the conditions
imposed, by direction under this section.
(8) Where a refusal or condition referred to in subsection (7) is appealed against to the
Environment, Resources and Development Court under this Act, the Water Resources
Minister will be a party to the appeal.
(9) The Water Resources Minister may, by notice in writing, instruct the Authority to
refer an application of a kind referred to in subsection (1) in respect of an activity that
is to be undertaken in the region of a regional landscape board to the board instead of
to the Minister and in that event references to the Water Resources Minister in this
section and in a regulation made under this section will be taken to be references to
the board.
65—Interpretation
In this Division—
approved collection depot, means a collection depot in respect of which an approval
under section 69 is in force;
approved refund marking, in relation to containers of a particular class, means a
marking specified by the Authority as a condition of an approval under section 68 for
containers of that class indicating the refund amount for the containers;
beverage means a liquid intended for human consumption by drinking but does not
include a liquid of a kind excluded from the ambit of this definition by the regulations;
category A container means a container of a class approved by the Authority under
section 68 as category A containers, being a container that may, subject to this
Division, be presented for a refund at a place in the State where beverages are sold by
retail in containers of that class;
category B container means a container of a class approved by the Authority under
section 68 as category B containers, being a container that may, subject to this
Division, be presented at a collection depot for a refund;
collection depot means a facility or premises for the collection and handling of
category B containers delivered to the facility or premises in consideration of the
payment of refund amounts, and includes a facility or premises of a kind prescribed by
regulation;
container means—
(a) a container that—
(i) is made for the purpose of containing a beverage; and
(ii) when filled with the beverage, is sealed for the purposes of storage,
transport and handling prior to its sale or delivery for the use or
consumption of its contents; or
(b) a container of a kind prescribed by regulation;
corresponding law means a law of another State or a Territory of the Commonwealth
declared by the regulations to be a corresponding law for the purposes of this
Division;
Food Standards Code has the same meaning as in the Food Act 2001;
glass container means a container made of glass whether alone or in combination with
any other substance or thing;
refund amount, in relation to a container of a particular class, means an amount
prescribed as the refund amount for containers of that class;
retailer means a person whose business is or includes that of selling a beverage for the
purpose of the use or consumption of that beverage and, in the case of such sale by
means of a vending machine, includes the owner of that vending machine unless the
owner has let out the machine on hire to some other person, in which case the
expression includes that other person;
(8) Before the Authority revokes an approval under subsection (7), the Authority must—
(a) give the holder of the approval written notice of its proposed action
specifying reasons for the proposed action; and
(b) allow the holder of the approval at least 14 days within which to make
submissions to the Authority in relation to the proposed action.
(9) A notice under this section—
(a) must, in the case of a notice of approval, specify—
(i) the class of containers to which the approval relates by reference to
the manufacturer or distributor of the containers and any 1 or more of
the following:
(A) product name;
(B) container contents when full;
(C) container capacity;
(D) container material;
(E) any other factor considered relevant by the Authority;
(ii) the conditions of the approval; and
(b) may contain transitional provisions as to the operation of this Division in
relation to containers that are—
(i) held by manufacturers, distributors or retailers for sale; or
(ii) sold but remaining to be returned as empty containers under this
Division; and
(c) has effect from the date of publication of the notice or a future date specified
in the notice.
69—Approval of collection depots and super collectors
(1) A person must not—
(a) operate a collection depot; or
(b) carry on business as a super collector,
without the approval of the Authority.
Maximum penalty:
(a) in the case of a body corporate—$60 000;
(b) in the case of a natural person—$30 000.
(2) An application for an approval under this section—
(a) must be made in a manner and form determined by the Authority; and
(b) must be accompanied by the prescribed fee; and
(c) must, on request by the Authority, be accompanied by additional information
to enable the Authority to determine the application.
(3) If a person fails to comply with the notice within 14 days after the giving of the notice,
the approval is suspended until the notice is complied with.
(4) If a person fails to comply with the notice within 6 months after the giving of the
notice, the approval is revoked.
(5) The Authority must cause written notice of the suspension or revocation under this
section to be given to the person.
(6) An annual fee (including a penalty for default) payable under this section is
recoverable by the Authority as a debt due to the Authority.
69B—Sale and supply of beverages in containers
(1) A retailer must not sell a beverage in a container unless the container—
(a) is a category A or category B container; and
(b) bears the approved refund marking for containers of that class.
Maximum penalty: $4 000.
Expiation fee: $300.
(2) A person must not—
(a) supply a beverage in a container to a retailer for sale by the retailer; or
(b) sell a beverage in a container for consumption,
unless the container is a category A or category B container and bears the approved
refund marking for containers of that class.
Maximum penalty: $4 000.
Expiation fee: $300.
(3) A person must not—
(a) supply a beverage in a container bearing a refund marking to a distributor or
retailer for sale by the distributor or retailer; or
(b) sell a beverage in a container bearing a refund marking for consumption,
knowing that there is no waste management arrangement in place in relation to the
container.
Maximum penalty: $30 000.
69C—Offence to claim refund on beverage containers purchased outside State
or corresponding jurisdiction
(1) A person must not present to a retailer, the operator of a collection depot or a person
carrying on business as a super collector, for the purpose of claiming refund amounts,
containers that the person knows or has reason to believe were not purchased in this
State or a jurisdiction in which a corresponding law is in force.
Maximum penalty: $30 000.
(2) Subject to subsection (3), a retailer, the operator of a collection depot or a person
carrying on business as a super collector may request any person presenting containers
for the purpose of claiming refund amounts to complete a declaration in the form
prescribed by regulation for the purposes of this section stating that the person has no
reason to believe that the containers were not purchased in this State or a jurisdiction
in which a corresponding law is in force.
(3) If, within any 48 hour period, a person presents to a retailer or the operator of a
collection depot 3 000 or more containers for the purpose of claiming refund amounts,
the retailer or operator must request the person to complete a declaration of a kind
referred to in subsection (2).
Maximum penalty: $4 000.
Expiation fee: $300.
(4) A retailer, the operator of a collection depot or a person carrying on business as a
super collector must—
(a) keep each declaration made under this section (or copy of the declaration) at
his or her place of business in the State for 3 years from the date of the
declaration; and
(b) have the document readily available for inspection at all reasonable times by
an authorised officer.
Maximum penalty: $4 000.
Expiation fee: $300.
69D—Offence to contravene condition of beverage container approval
The holder of a beverage container approval must not contravene a condition of the
approval.
Maximum penalty: $4 000.
Expiation fee: $300.
70—Retailers to pay refund amounts for certain empty category A containers
(1) Subject to subsection (2), a retailer who sells a beverage in category A containers of a
particular class must not refuse or fail, or permit a person acting on the retailer's behalf
to refuse or fail—
(a) to accept delivery of empty containers of that class that bear the approved
refund marking, or a former approved refund marking, for containers of that
class; or
(b) in respect of each such container, to pay to the person delivering that
container the refund amount for that container.
Maximum penalty: $4 000.
Expiation fee: $300.
(2) A retailer or a person acting on the retailer's behalf may refuse or fail to accept
delivery of a container if—
(a) the container is in an unclean condition; or
(b) he or she reasonably believes the container was not purchased in this State or
in a jurisdiction in which a corresponding law is in force; or
(c) the retailer or person acting on the retailer's behalf has made a request for a
declaration under section 69C(2) or (3) in respect of the container and the
request has been refused.
(3) In proceedings for an offence against subsection (1), an allegation in the complaint
that the retailer sells beverages in containers of a particular class is, in the absence of
proof to the contrary, proof of the matter so alleged.
71—Collection depots to pay refund amounts for certain empty category B
containers
(1) Subject to subsection (2), the operator of an approved collection depot must not refuse
or fail, or permit a person acting on his or her behalf to refuse or fail—
(a) to accept delivery of empty category B containers that bear the approved
refund marking, or a former approved refund marking, for containers of that
class; or
(b) in respect of each such container, to pay to the person delivering that
container the refund amount for that container.
Maximum penalty: $4 000.
Expiation fee: $300.
(2) The operator of an approved collection depot or a person acting on his or her behalf
may refuse or fail to accept delivery of a container if—
(a) the approval of the operator of the depot is subject to a condition limiting the
operation of the depot to the receipt of category B containers of a specified
class and the container does not belong to that class; or
(b) the container is in an unclean condition; or
(c) he or she reasonably believes the container was not purchased in this State or
in a jurisdiction in which a corresponding law is in force; or
(d) the operator of the collection depot or a person acting on his or her behalf has
made a request for a declaration under section 69C(2) or (3) in respect of the
container and the request has been refused.
71A—Manner of payment of refund amounts
A person who is required under this Division to pay a refund amount for a container
must pay the amount—
(a) in the case of a refund amount dispensed from a reverse vending machine—
(i) in cash; or
(ii) by way of credit note redeemable for cash; or
(iii) in a manner prescribed by regulation; or
(b) in any other case—
(i) unless subparagraph (ii) applies, in cash; or
(ii) if the person to whom the refund amount is payable agrees—
(2) A person to whom this section applies must notify the Authority in writing as soon as
reasonably practicable after becoming aware of the existence of site contamination at
the site or in the vicinity of the site (whether arising before or after the commencement
of this section) that affects or threatens water occurring naturally under the ground or
introduced to an aquifer or other area under the ground.
Maximum penalty:
(a) in the case of a body corporate—$120 000;
(b) in the case of a natural person—$60 000.
(3) The notification must—
(a) describe the location of the site contamination sufficient to identify it; and
(b) include the information known to the person about the nature and extent of
the site contamination.
(4) For the purposes of this section—
(a) a person is not required to notify the Authority of a matter if the person has
reason to believe that the matter has already come to the notice of the
Authority or an officer engaged in the administration or enforcement of this
Act; but
(b) a person is required to notify the Authority of a matter despite the fact that to
do so might incriminate the person or make the person liable to a penalty.
(5) A notification given by a person in compliance with this section is not admissible in
evidence against the person in proceedings for an offence or for the imposition of a
penalty (other than proceedings in respect of the making of a false or misleading
statement).
84—Defence where alleged contravention of Part
(1) In any proceedings (criminal or civil) where it is alleged that a person contravened this
Part, it will be a defence—
(a) if—
(i) maximum pollution levels were fixed for the particular pollutant and
form of pollution concerned in the alleged contravention by
mandatory provisions of an environment protection policy or
conditions of an environmental authorisation held by the person, or
both; and
(ii) it is proved that the person did not by so polluting the environment
contravene the mandatory provisions or conditions; or
(b) if—
(i) an environment protection policy or conditions of an environmental
authorisation provided that compliance with specified provisions of
the policy or with specified conditions of the authorisation would
satisfy the general environmental duty in relation to the form of
pollution concerned in the alleged contravention; and
(ii) it is proved that the person complied with the provisions or with such
conditions of an authorisation held by the person; or
(c) if it is proved that the pollution resulted in actual or potential harm only to
that person or that person's property, or to some other person or some other
person's property with that other person's consent.
(1a) Subsection (1)(c) does not apply where—
(a) the property harmed comprises water occurring naturally above or under the
ground or water introduced to an aquifer or other area under the ground; or
(b) the pollution resulted in site contamination.
(2) The defences provided by this section are in addition to and do not derogate from the
general defence under Part 15.
Part 10—Enforcement
Division 1—Authorised officers and their powers
85—Appointment of authorised officers
(1) The Authority may appoint persons to be authorised officers for the purposes of this
Act.
(2) All members of the police force are authorised officers for the purposes of this Act.
(3) A council may appoint as authorised officers specified officers or employees of the
council, or officers or employees of the council of a specified class.
(4) An appointment—
(a) may be made subject to conditions specified in the instrument of
appointment; and
(b) is, in the case of an appointment by a council or other appointment of a
prescribed class, subject to conditions prescribed by regulation.
(5) The Authority or a council may, at any time, revoke an appointment made by the
Authority or council, or vary or revoke a condition specified in the instrument of such
an appointment or impose a further such condition.
85A—Senior authorised officers
(1) An authorised officer holding appointment under section 85(1) may be appointed by
the Authority as a senior authorised officer for the purposes of section 88A by
endorsement to that effect in the officer's instrument of appointment.
(2) The endorsement may be subject to such conditions as the Authority thinks fit and
specifies in the endorsement.
(3) The Authority may, at any time, revoke the endorsement, or vary or revoke a
condition specified in the endorsement or impose a further such condition.
86—Identification of authorised officers
(1) An authorised officer, other than a member of the police force, must be issued with an
identity card—
(a) containing the person's name and a photograph of the person; and
(b) stating that the person is an authorised officer for the purposes of this Act.
(2) Where the powers of an authorised officer have been limited by conditions under this
Division or Division 1 of Part 8, the identity card issued to the authorised officer must
contain a statement of the limitation on the officer's powers.
(3) An authorised officer must, at the request of a person in relation to whom the
authorised officer intends to exercise any powers under this Act, produce for the
inspection of the person—
(a) in the case of an authorised officer who is a member of the police force and is
not in uniform—his or her certificate of authority; or
(b) in the case of an authorised officer who is not a member of the police
force—his or her identity card.
87—Powers of authorised officers
(1) Subject to this Division, an authorised officer may—
(a) enter and inspect any place or vehicle for any reasonable purpose connected
with the administration or enforcement of this Act;
(b) with the authority of a warrant issued under this Division or in circumstances
in which the authorised officer reasonably believes that immediate action is
required, use reasonable force to break into or open any part of, or anything in
or on any place or vehicle;
(c) give directions with respect to the stopping or movement of a vehicle as
reasonably required in connection with the administration or enforcement of
this Act;
(d) take and remove samples of any substance or thing from any place or vehicle
for analysis as reasonably required in connection with the administration or
enforcement of this Act;
(e) require any person to produce any documents, including a written record that
reproduces in an understandable form information stored by computer,
microfilm or other process, as reasonably required in connection with the
administration or enforcement of this Act;
(f) examine, copy or take extracts from any documents or information so
produced or require a person to provide a copy of any such document or
information;
(g) take photographs, films, audio, video or other recordings as reasonably
required in connection with the administration or enforcement of this Act;
(h) examine or test any plant, equipment, vehicle or other thing as reasonably
required in connection with the administration or enforcement of this Act, or
cause or require it to be so examined or tested, or seize it or require its
production for such examination or testing;
(i) seize and retain, or issue a seizure order in respect of, anything that the
authorised officer reasonably suspects has been used in, or may constitute
evidence of, a contravention of this Act;
(ia) take onto or into any place or vehicle, and use, any equipment or apparatus
(such as drilling, boring, earth-moving, testing, measuring, photographic,
film, audio, video or other recording equipment or apparatus) as reasonably
required in connection with the administration or enforcement of this Act;
(j) require a person who the authorised officer reasonably suspects has
committed, is committing or is about to commit, a contravention of this Act
to state the person's full name and usual place of residence and to produce
evidence of the person's identity;
(k) require a person who the authorised officer reasonably suspects has
knowledge of matters in respect of which information is reasonably required
for the administration or enforcement of this Act to answer questions in
relation to those matters, to state the person's full name and usual place of
residence and to produce evidence of the person's identity;
(l) require a person holding or required to hold an environmental authorisation to
produce it for inspection;
(m) give any directions reasonably required in connection with the exercise of a
power conferred by any of the paragraphs above or otherwise in connection
with the administration or enforcement of this Act.
(2) An authorised officer may not exercise the power of entry under this section in respect
of premises except where—
(a) the premises are business premises being used at the time in the course of
business; or
(b) the authorised officer reasonably suspects that—
(i) a contravention of this Act has been, is being, or is about to be,
committed in the premises; or
(ii) something may be found in the premises that has been used in, or
constitutes evidence of, a contravention of this Act; or
(c) the exercise of the power is reasonably required for the purposes of assessing
the existence or causes of known or suspected site contamination; or
(d) construction, demolition, excavation or other earthworks, or any activity
carried out in preparation for construction, demolition, excavation or other
earthworks, is being or has been carried on at the premises and—
(i) the works or activity has or may have disturbed, uncovered or
produced waste or pollutants of a kind prescribed by regulation; or
(ii) a potentially contaminating activity of a kind prescribed by
regulation has previously taken place there.
(3) An authorised officer may not exercise the power to enter or inspect, or to seize, a
vehicle except—
(a) in relation to a vehicle of a class prescribed by regulation; or
(b) where the authorised officer reasonably suspects that—
(i) a contravention of this Act has been, is being, or is about to be,
committed in relation to the vehicle; or
(ii) something may be found in or on the vehicle that has been used in, or
constitutes evidence of, a contravention of this Act.
(4) Where—
(a) a person whose native language is not English is suspected of having
committed an offence against this Act; and
(b) the person is not reasonably fluent in English,
the following provisions apply:
the magistrate may issue a warrant in respect of the place or vehicle authorising an
authorised officer, with such assistants as he or she consider necessary, to use
reasonable force to break into or open any part of, or anything in or on, the place or
vehicle as specified in the warrant.
(2) An application for the issue of a warrant may be made either personally or by
telephone.
(3) The grounds of an application for a warrant must be verified by affidavit.
(4) An application for the issue of a warrant may not be made by telephone unless in the
opinion of the applicant a warrant is urgently required and there is insufficient time to
make the application personally.
(5) Where an application for the issue of a warrant is made by telephone, the following
provisions apply:
(a) the applicant must inform the magistrate of his or her name and identify
himself or herself as an authorised officer, and the magistrate, on receiving
that information, is entitled to assume, without further inquiry, that the
applicant is an authorised officer;
(b) the applicant must inform the magistrate of the grounds on which he or she
seeks the issue of the warrant;
(c) if it appears to the magistrate from the information furnished by the applicant
that there are proper grounds for the issue of a warrant, the magistrate must
inform the applicant of the facts on which he or she relies as grounds for the
issue of the warrant, and must not proceed to issue the warrant unless the
applicant undertakes to make an affidavit verifying those facts;
(d) if the applicant gives such an undertaking, the magistrate may then make out
and sign a warrant, noting on the warrant the facts on which he or she relies
as grounds for the issue of the warrant;
(e) the warrant will be taken to have been issued, and will come into force, when
signed by the magistrate;
(f) the magistrate must inform the applicant of the terms of the warrant;
(g) the applicant must, as soon as practicable after the issue of the warrant,
forward to the magistrate an affidavit verifying the facts referred to in
paragraph (c).
(6) A magistrate by whom a warrant is issued must file the warrant, or a copy of the
warrant, and the affidavit verifying the grounds on which the application for the
warrant was made, in the Environment, Resources and Development Court.
(7) An authorised officer who executes a warrant must, as soon as practicable after
execution of the warrant—
(a) prepare a notice in the prescribed form containing—
(i) his or her own name and a statement that he or she is an authorised
officer under this Act; and
(ii) the name of the magistrate who issued the warrant and the date and
time of its issue; and
(iii) a description of the place or vehicle to which the warrant relates and
of the authority conferred by the warrant; and
(b) give the notice to the occupier or person apparently in charge of the place or
vehicle in respect of which the warrant was issued or leave it for him or her in
a prominent position on the place or vehicle.
(8) A warrant, if not executed at the expiration of one month from the date of its issue,
then expires.
(9) This section does not apply in relation to a special powers warrant issued under
section 88A.
88A—Powers of senior authorised officers to investigate illegal dumping etc
(1) A senior authorised officer appointed under section 85A may apply to a judge of the
Supreme Court for a warrant authorising the exercise of powers under this section (a
special powers warrant).
(2) Subject to subsection (8), the application must be made by the senior authorised
officer appearing personally before the judge following the lodging of a written
application.
(3) The grounds of the application must be verified by affidavit.
(4) The judge may require further information to be given in relation to the application.
(5) The judge may issue a special powers warrant if satisfied that—
(a) there are reasonable grounds to believe that—
(i) a contravention of this Act has been, is being, or is about to be,
committed in or in relation to premises or a vehicle; or
(ii) something may be found in premises or in or on a vehicle that
constitutes or may constitute, or will or may give rise to, evidence of
a contravention of this Act,
(whether or not committed at the premises or in connection with the vehicle)
in relation to the handling, storage, treatment, transfer, transportation, receipt
or disposal of waste or other matter; and
(b) it is reasonable to do so, taking into account—
(i) the extent to which the privacy of a person would be likely to be
interfered with by the use of powers under the warrant; and
(ii) the gravity of the criminal conduct to which the investigation relates;
and
(iii) the significance to the investigation of the information sought to be
obtained; and
(iv) the likely effectiveness of the use of the powers authorised by the
warrant in obtaining the information sought; and
(v) the availability of alternative means of obtaining the information;
and
(vi) any other warrants under this Act applied for or issued in relation to
the same matter; and
(c) the warrant is to be taken to have been issued, and comes into force, when
signed by the judge;
(d) the judge must inform the applicant of the terms of the warrant;
(e) the applicant must fill out and sign a warrant form (a duplicate warrant)
that—
(i) sets out the name of the judge who issued the original warrant and
the terms of the warrant; and
(ii) complies with any other requirements prescribed by regulation;
(f) the applicant must, as soon as practicable after the issue of the warrant,
forward to the judge an affidavit verifying the application and a copy of the
duplicate warrant.
(10) If an application is made by fax, email or other electronic means, the following
provisions apply:
(a) the application must specify—
(i) the applicant's name and position in the Authority; and
(ii) the nature of the powers proposed to be exercised under the warrant
(including details of any substance, object or equipment proposed to
be used); and
(iii) the proposed duration of the warrant; and
(iv) the circumstances giving rise to the necessity for the application to
be made by the particular means; and
(v) the grounds on which the warrant, or variation or renewal of the
warrant, is sought;
(b) the application must be accompanied (through fax, email or other electronic
means) by an affidavit made by the applicant verifying the application;
(c) the applicant must be available to speak to the judge by telephone;
(d) the judge is entitled to assume, without further inquiry, that a person who
identifies himself or herself as the applicant during a telephone conversation
with the judge is indeed the applicant;
(e) the judge may, on being satisfied as to the circumstances giving rise to the
necessity for the application being made by fax, email or other electronic
means and the grounds for the issue of a special powers warrant, make out
and sign the warrant;
(f) the warrant is to be taken to have been issued, and comes into force, when
signed by the judge;
(g) the judge must forward the warrant to the applicant by fax, email or other
electronic means.
(11) In this section—
microdots means identification tags etched, coded or marked with unique identifiers
(including identifiers that are discernible only on viewing under magnification).
(4) An emergency environment protection order may be issued orally, but, in that event,
the person to whom the order is issued must be advised forthwith of the person's right
to appeal to the Environment, Resources and Development Court against the order.
(5) Where an emergency environment protection order is issued to a person, the order will
cease to have effect on the expiration of 72 hours from the time of its issuing unless
confirmed by a written environment protection order issued by the Authority or
another administering agency and served on the person.
(6) The Authority, another administering agency or an authorised officer may, if of the
opinion that it is reasonably necessary to do so in the circumstances, include in an
emergency or other environment protection order a requirement for an act or omission
that might otherwise constitute a contravention of this Act and, in that event, a person
incurs no liability to a penalty under this Act for compliance with the requirement.
(7) Where an environment protection order has been issued to a person by the Authority
or another administering agency, the Authority or other administering agency (as the
case may be) may, by written notice served on the person, vary or revoke the order.
(8) A person to whom an environment protection order is issued must comply with the
order.
Maximum penalty:
(a) if the order was issued for the purpose of securing compliance with a
requirement imposed by or under this Act and a penalty is fixed by this Act
for contravention of that requirement—that penalty;
(b) if the order was issued in relation to a domestic activity for the purpose of
securing compliance with the general environmental duty—$500;
(c) if the order was issued in relation to a domestic activity in circumstances
specified in an environment protection policy or for the purpose of giving
effect to an environment protection policy—$500;
(d) in any other case—$4 000.
Expiation fee:
(a) if the order was issued for the purpose of securing compliance with a
requirement imposed by or under this Act and an expiation fee is fixed by this
Act for contravention of that requirement—that expiation fee;
(b) if the order was issued in relation to a domestic activity for the purpose of
securing compliance with the general environmental duty—$100;
(c) if the order was issued in relation to a domestic activity in circumstances
specified in an environment protection policy or for the purpose of giving
effect to an environment protection policy—$100;
(d) in any other case—$300.
(8aa) If—
(a) in the case of an offence under subsection (8) of failing to comply with an
environment protection order imposing a requirement for the purpose of
securing compliance with a condition of an environmental authorisation—the
alleged offender has expiated the offence; and
(b) the act or omission the subject of the requirement continues after that
expiation,
a continuing default penalty is payable by the person for each day on which the act or
omission continues of an amount equal to one-fifth of the expiation fee applying in
respect of the offence.
(8ab) For the purposes of the continuing default penalty under subsection (8aa), an
obligation to do something is to be regarded as continuing regardless of the fact that
any period within which, or time before which, the act is required to be done has
expired or passed.
(8ac) A continuing default penalty under this section is recoverable by the Authority as a
debt due to the Authority.
(8a) It is not an excuse for a person to refuse or fail to provide information in response to a
requirement imposed by an environment protection order on the ground that to do so
might tend to incriminate the person or make the person liable to a penalty.
(8b) If compliance by a prescribed person with a requirement to provide information
imposed by an environment protection order might tend to incriminate the person or
make the person liable to a penalty, then the information provided in compliance with
the requirement is not admissible in evidence against the person in proceedings for an
offence or for the imposition of a penalty (other than proceedings in respect of the
making of a false or misleading statement).
(9) A person must not hinder or obstruct a person complying with an environment
protection order.
Maximum penalty: $4 000.
93A—Environment protection orders relating to cessation of activity
(1) The Authority may issue an environment protection order for the purpose of—
(a) preventing or minimising environmental harm; or
(b) dealing with stockpiled or abandoned waste or other matter,
that may result from a prescribed activity of environmental significance after the
activity has ceased.
(2) The regulations may—
(a) limit the circumstances in which an environment protection order may be
issued under this section; or
(b) prescribe circumstances in which an environment protection order issued
under this section will be taken to have been revoked.
(3) An environment protection order issued for a purpose described in subsection (1)—
(a) must be in the form of a written notice served on the owner for the time being
of the land on which the activity was undertaken (whether or not the owner
was the person who had undertaken the activity);
(b) must—
(i) specify the person to whom it is issued (whether by name or a
description sufficient to identify the person);
(ii) state the purpose for which it is issued and specify the environmental
harm that it is directed towards preventing or minimising or the
waste or other matter that it is directed towards dealing with (as the
case may be);
(c) may impose any requirement of a kind that could be imposed as a condition
of an environmental authorisation or that is reasonably required for the
purpose for which the order is issued (including a requirement of a kind that
could be imposed in an order issued under section 93);
(d) must state that the person may, within 14 days, appeal to the Environment,
Resources and Development Court against the order.
(4) The Authority may, by written notice served on a person to whom an environment
protection order has been issued in accordance with this section, vary or revoke the
order.
(5) A person to whom an environment protection order is issued in accordance with this
section must comply with the order.
Maximum penalty:
(a) in the case of a body corporate—$120 000;
(b) in the case of a natural person—$60 000.
(6) It is not an excuse for a person to refuse or fail to provide information in response to a
requirement imposed by an environment protection order issued in accordance with
this section on the ground that to do so might tend to incriminate the person or make
the person liable to a penalty.
(7) If compliance by a prescribed person with a requirement to provide information
imposed by an environment protection order issued in accordance with this section
might tend to incriminate the person or make the person liable to a penalty, then the
information provided in compliance with the requirement is not admissible in
evidence against the person in proceedings for an offence or for the imposition of a
penalty (other than proceedings in respect of the making of a false or misleading
statement).
(8) A person must not hinder or obstruct a person complying with an environment
protection order issued in accordance with this section.
Maximum penalty: $4 000.
(9) This section is in addition to and does not limit the effect of section 93.
(10) This section only applies in relation to a prescribed activity of environmental
significance that ceases after the commencement of this section.
94—Registration of environment protection orders in relation to land
(1) Where an environment protection order has been issued under this Division, the
Authority or, if the order was issued by another administering agency, that
administering agency may do either or both of the following:
(a) if the order was issued in relation to an activity carried on on land or an
activity previously carried on on land—apply to the Registrar-General for
registration of the order in relation to that land;
(b) apply to the Registrar-General for registration of the order in relation to land
owned by a person to whom the order was issued.
(2) The application must—
(a) define the land to which it relates; and
(b) state that registration of the environment protection order in relation to the
land—
(i) will, by virtue of subsection (4), result in the order becoming binding
on each owner and occupier from time to time of the land or each
owner from time to time of the land (as the case may require); or
(ii) is to operate as the basis for a charge on the land, as provided by this
Division, securing payment to the Authority or other administering
agency of costs and expenses incurred in the event of
non-compliance with the requirements of the order,
or both, as the case may require.
(3) The Registrar-General must on—
(a) application by the Authority or another administering agency under
subsection (1); and
(b) lodgement of a copy of the environment protection order,
register the order in relation to the land by making such entries in any register book,
memorial or other book or record in the Lands Titles Registration Office or in the
General Registry Office as he or she thinks fit.
(4) Where—
(a) an environment protection order has been issued in relation to an activity
carried on on land or an activity previously carried on on land; and
(b) the order is registered under this section in relation to the land,
the following provisions apply:
(c) the order is binding on—
(i) in the case of an environment protection order issued in relation to an
activity carried on on land—each owner and occupier from time to
time of the land; or
(ii) in the case of an environment protection order issued in relation to an
activity previously carried on on land—each owner from time to time
of the land,
and this Division (including subsection (1)(b)) applies as if the order had been
issued to each such person;
(d) if such a person ceases to own or occupy the land (as the case may be), he or
she must, as soon as reasonably practicable, notify the Authority or, if the
order was issued by another administering agency, that administering agency,
in writing of the name or address of the new owner or occupier.
(4a) If an environment protection order is registered under this section in relation to land,
the Authority or, if the order was registered by another administering agency, that
administering agency must, as soon as reasonably practicable, notify, in writing, each
owner of the land and the occupier of the land of the registration and of the obligations
of owners and occupiers under subsection (4).
(4b) A notice to be given to the occupier of land under subsection (4a) may be given by
addressing it to the "occupier" and posting it to, or leaving it at, the land.
(5) A person who fails to comply with subsection (4)(d) is guilty of an offence.
Maximum penalty: $4 000.
(6) The Registrar-General must, on application by the Authority or, if the order was
issued by another administering agency, that administering agency, cancel the
registration of an environment protection order in relation to land and make such
endorsements to that effect in the appropriate register book, memorial or other book or
record in respect of the land as he or she thinks fit.
(7) The Authority or another administering agency may, if it thinks fit, apply to the
Registrar-General for cancellation of the registration of an environment protection
order that has been registered in relation to land on the application of the Authority or
other administering agency (as the case may be), and must do so—
(a) on revocation of the order; or
(b) on full compliance with the requirements of the order; or
(c) where the Authority or other administering agency takes action under this
Division to carry out the requirements of the order—on payment to the
Authority or other administering agency of the amount recoverable by the
Authority or other administering agency under this Division in relation to the
action so taken.
95—Action on non-compliance with environment protection order
(1) If the requirements of an environment protection order are not complied with, the
Authority or, if the order was issued by another administering agency, that
administering agency may take any action required by the order.
(2) Any action to be taken by the Authority or another administering agency under
subsection (1) may be taken by an authorised officer acting on behalf of the Authority
or other administering agency or by other persons authorised by the Authority or other
administering agency for the purpose.
(3) Where a person other than an authorised officer is authorised to take action under
subsection (1), the following provisions apply:
(a) the Authority or other administering agency must issue the person with an
instrument of authority;
(b) the person may exercise such powers of an authorised officer as are
reasonably required for the purpose of taking action under that subsection;
(c) the provisions of this Act apply in relation to the exercise of such powers by
the person in the same way as in relation to an authorised officer;
(d) the person must produce the instrument of authority for the inspection of any
person in relation to whom the person intends to exercise powers of an
authorised officer.
(4) The reasonable costs and expenses incurred by the Authority or another administering
agency in taking action under this section may be recovered by the Authority or other
administering agency (as the case may be) as a debt from the person who failed to
comply with the requirements of the environment protection order.
(4a) Subject to subsection (4b), where—
(a) an environment protection order has been registered in relation to land under
section 94; or
(b) the registration of an environment protection order in relation to land has
been cancelled under that section,
the Authority or, if the order was registered on the application of another
administering agency, that administering agency may recover, as a debt from the
person to whom the order was issued, an amount prescribed by regulation in respect of
the registration or cancellation (as the case may be).
(4b) No amount is recoverable by the Authority or another administering agency under
subsection (4a) in relation to an environment protection order that has been revoked.
(5) Where an amount is recoverable from a person by the Authority or another
administering agency under this section—
(a) the Authority or other administering agency may, by notice in writing to the
person, fix a period, being not less than 28 days from the date of the notice,
within which the amount must be paid by the person, and, if the amount is not
paid by the person within that period, the person is liable to pay interest
charged at the prescribed rate per annum on the amount unpaid; and
(b) the amount together with any interest charge so payable is until paid a charge
in favour of the Authority or other administering agency on any land owned
by the person in relation to which the environment protection order is
registered under this Division.
(6) A charge imposed on land by this section has priority over—
(a) any prior charge on the land (whether or not registered) that operates in
favour of a person who is an associate of the owner of the land; and
(b) any other charge on the land other than a charge registered prior to
registration of the environment protection order in relation to the land.
(2) An information discovery order may be issued to any person who the Authority or
other administering agency reasonably suspects has knowledge of matters, or has
possession or control of a document dealing with matters, in respect of which
information is required by the Authority or other administering agency.
(3) An information discovery order—
(a) must be in the form of a written notice served on the person to whom it is
issued;
(b) must specify the person to whom it is issued (whether by name or a
description sufficient to identify the person);
(c) may require information, as specified in the order, to be furnished to the
Authority or other administering agency in such manner and within such
period as is specified in the order;
(d) must state the purpose for which the information is required;
(e) must state that the person may, within 14 days, appeal to the Environment,
Resources and Development Court against the order.
(4) Where an information discovery order has been issued to a person by the Authority or
another administering agency, the Authority or other administering agency (as the
case may be) may, by written notice served on the person, vary or revoke the order.
(5) A person to whom an information discovery order is issued must comply with the
order.
Maximum penalty: $8 000.
97—Obtaining of information on non-compliance with order or condition of
environmental authorisation
(1) If a person—
(a) fails to furnish information as required by—
(i) an information discovery order; or
(ii) a condition of an environmental authorisation; or
(b) being required by such an order or condition to furnish information, furnishes
information that is inaccurate or incomplete,
the Authority or, in the case of an information discovery order issued by another
administering agency, that administering agency may take such action as is reasonably
required to obtain the information.
(2) Any action to be taken by the Authority or another administering agency under
subsection (1) may be taken by an authorised officer acting on behalf of the Authority
or other administering agency or by other persons authorised by the Authority or other
administering agency for the purpose.
(3) Where a person other than an authorised officer is authorised to take action under
subsection (1), the following provisions apply:
(a) the Authority or other administering agency must issue the person with an
instrument of authority;
(b) the person may exercise such powers of an authorised officer as are
reasonably required for the purpose of taking action under that subsection;
(c) the provisions of this Act apply in relation to the exercise of such powers by
the person in the same way as in relation to an authorised officer;
(d) the person must produce the instrument of authority for the inspection of any
person in relation to whom the person intends to exercise powers of an
authorised officer.
(4) The reasonable costs and expenses incurred by the Authority or another administering
agency in taking action under this section may be recovered by the Authority or other
administering agency (as the case may be) as a debt from the person whose failure
gave rise to the action.
98—Admissibility in evidence of information
(1) A person is required to furnish information in compliance with—
(a) an information discovery order; or
(b) a condition of an environmental authorisation,
despite the fact that such compliance might tend to incriminate the person or make the
person liable to a penalty.
(2) If compliance by a prescribed person with an information discovery order or a
condition of an environmental authorisation might tend to incriminate the person or
make the person liable to a penalty, then—
(a) in the case of a person who is required to produce, or provide a copy of, a
document or information—the fact of production, or provision of a copy of,
the document or information (as distinct from the contents of the document or
the information); or
(b) in any other case—the information furnished in compliance with the
requirement,
is not admissible in evidence against the person in proceedings for an offence or for
the imposition of a penalty (other than proceedings in respect of the making of a false
or misleading statement).
(c) must specify the contravention alleged to have caused the environmental
harm;
(ca) may include requirements for—
(i) preparing, in accordance with specified requirements and to the
satisfaction of the Authority or other administering agency, a plan of
action in relation to the environmental harm; and
(ii) complying with such a plan of action to the satisfaction of the
Authority or other administering agency;
(d) may include requirements for action to be taken to prevent or mitigate further
environmental harm;
(e) may include requirements for specified testing or environmental monitoring;
(ea) may include requirements for furnishing to the Authority or other
administering agency specified test, monitoring or compliance reports;
(eb) may include requirements that the person to whom it is issued appoint or
engage a person with specified qualifications to prepare a plan or report or
undertake tests or monitoring required by the order;
(f) must state that the person may, within 14 days, appeal to the Environment,
Resources and Development Court against the order.
(2a) Where a proposed clean-up order (except an emergency clean-up order) or a proposed
variation of a clean-up order would require the undertaking of an activity for which a
permit would, but for section 106 of the Landscape South Australia Act 2019, be
required under that Act, the Authority or other administering agency must, before
issuing or varying the order, give notice of the proposal to the authority under the
Landscape South Australia Act 2019 to whom an application for a permit for the
activity would otherwise have to be made inviting the authority to make written
submission in relation to the proposal within a period specified in the notice.
(2b) The period of the notice referred to in subsection (2a) must be—
(a) in the case of an order to confirm an emergency clean-up order—at least
24 hours;
(b) in all other cases—at least 14 days.
(3) Where an authorised officer is satisfied that a person has caused environmental harm
by a contravention of this Act or a repealed environment law and is of the opinion that
urgent action is required, the authorised officer may issue an emergency clean-up
order containing requirements of a kind referred to in the preceding provisions of this
section.
(4) An emergency clean-up order may be issued orally, but, in that event, the person to
whom it is issued must be advised forthwith of the person's right to appeal to the
Environment, Resources and Development Court against the order.
(5) Where an emergency clean-up order is issued to a person, the order will cease to have
effect on the expiration of 72 hours from the time of its issuing unless confirmed by a
written clean-up order issued by the Authority or another administering agency and
served on the person.
(6) The Authority, another administering agency or an authorised officer may, if of the
opinion that it is reasonably necessary to do so in the circumstances, include in an
emergency or other clean-up order a requirement for an act or omission that might
otherwise constitute a contravention of this Act and, in that event, a person incurs no
liability to a penalty under this Act for compliance with the requirement.
(7) Where a clean-up order has been issued to a person by the Authority or another
administering agency, the Authority or other administering agency (as the case may
be) may, by written notice served on the person, vary or revoke the order.
(8) A person to whom a clean-up order is issued must comply with the order.
Maximum penalty:
(a) in the case of a body corporate—$120 000;
(b) in the case of a natural person—$60 000.
(9) It is not an excuse for a person to refuse or fail to provide information in response to a
requirement imposed by a clean-up order on the ground that to do so might tend to
incriminate the person or make the person liable to a penalty.
(10) If compliance by a prescribed person with a requirement to provide information
imposed by a clean-up order might tend to incriminate the person or make the person
liable to a penalty, then the information given in compliance with the requirement is
not admissible in evidence against the person in proceedings for an offence or for the
imposition of a penalty (other than proceedings in respect of the making of a false or
misleading statement).
100—Clean-up authorisations
(1) Where the Authority is satisfied that a person has caused environmental harm by a
contravention of this Act or a repealed environment law, the Authority may (whether
or not a clean-up order has been issued to the person) issue a clean-up authorisation
under which authorised officers or other persons authorised by the Authority for the
purpose may take specified action on the Authority's behalf to make good any
resulting environmental damage.
(2) A clean-up authorisation—
(a) must be in the form of a written notice;
(b) must specify the person alleged to have caused the environmental harm
(whether by name or a description sufficient to identify the person);
(c) must specify the contravention alleged to have caused the environmental
harm;
(d) may include authorisation for action to be taken to prevent or mitigate further
environmental harm.
(3) The Authority must, as soon as practicable after issuing a clean-up authorisation, serve
a copy of the authorisation on the person alleged to have caused the environmental
harm.
(4) The Authority may, by notice in writing, vary or revoke a clean-up authorisation and
must, as soon as practicable after doing so, serve a copy of the notice on the person
alleged to have caused the environmental harm.
(5) Where a person other than an authorised officer is authorised to take action under
subsection (1), the following provisions apply:
(a) the Authority must issue the person with an instrument of authority;
(b) the person may exercise such powers of an authorised officer as are
reasonably required for the purpose of taking action under that subsection;
(c) the provisions of this Act apply in relation to the exercise of such powers by
the person in the same way as in relation to an authorised officer;
(d) the person must produce the instrument of authority for the inspection of any
person in relation to whom the person intends to exercise powers of an
authorised officer.
101—Registration of clean-up orders or clean-up authorisations in relation to
land
(1) Where a clean-up order has been issued under this Division, the Authority or, if the
order was registered by another administering agency, that administering agency may
do either or both of the following:
(a) if the order was issued to a person requiring action to be taken in relation to
land owned or occupied by the person—apply to the Registrar-General for
registration of the order in relation to that land;
(b) apply to the Registrar-General for registration of the order in relation to land
owned by a person to whom the order was issued.
(2) Where a clean-up authorisation has been issued under this Division, the Authority may
apply to the Registrar-General for registration of the authorisation in relation to land
owned by the person whose contravention gave rise to the issuing of the authorisation.
(3) An application under this section must—
(a) define the land to which it relates; and
(b) in the case of—
(i) an application for registration of a clean-up order—state that
registration of the order in relation to the land—
(A) will, by virtue of subsection (5), result in the order becoming
binding on each owner and occupier from time to time of the
land; or
(B) is to operate as the basis for a charge on the land, as
provided by this Division, securing payment to the
Authority or other administering agency of costs and
expenses incurred in the event of non-compliance with
requirements of the order,
or both, as the case may require; or
(ii) an application for registration of a clean-up authorisation—state that
registration of the authorisation in relation to the land is to operate as
the basis for a charge on the land, as provided by this Division,
securing payment to the Authority of costs and expenses incurred in
taking action in pursuance of the authorisation.
(2) However, if the basis for issuing a site contamination assessment order is only the
Authority's suspicion under section 103H(1)(b) as to the existence of site
contamination at the site, subsection (1) of this section does not apply and the
appropriate person to be issued with the order is the owner of the site.
(3) For the purposes of subsection (1), it is not practicable to issue a site contamination
assessment order or a site remediation order to a person if the person—
(a) has died or, in the case of a body corporate, ceased to exist; or
(b) cannot, after reasonable inquiry, be identified or located; or
(c) would, in the opinion of the Authority, for any reason, be unable to carry out,
or meet the costs and expenses of, the action required or authorised under the
order.
103D—Causing site contamination
(1) For the purposes of this Act, a person is to be taken to have caused site contamination
if the person was the occupier of land when there was an activity at the land that
caused or contributed to the site contamination.
(2) If site contamination would not have resulted at a site but for a change of use of a kind
prescribed by regulation (whether the change occurred before or after the
commencement of this Part or this Act), the person who brought about the change of
use of the site is to be taken to have caused the site contamination for the purposes of
this Act.
(3) The operation of subsection (2) in a particular case is not to be taken to exclude the
possibility of another person or persons also having caused the site contamination
under subsection (1).
(4) For the purposes of subsection (2), a person does not bring about a change of use of a
site because the person was a relevant authority that granted a consent or approval in
respect of the site under the Planning, Development and Infrastructure Act 2016.
103E—Liability for site contamination subject to certain agreements
(1) If—
(a) site contamination exists at a site; and
(b) land that is all or portion of the site has been sold or transferred (whether
before or after the commencement of this Part or this Act) subject to an
agreement in writing under which the purchaser or transferee will assume
liability for all or a specified part of the site contamination at the site,
the purchaser or transferee is to be taken to have assumed the vendor's or transferor's
liability for the site contamination in accordance with the agreement and this Act
applies as if the purchaser or transferee (and not the vendor or transferor) had caused
the site contamination or, as the case may be, the specified part of the site
contamination.
(2) Subsection (1) does not apply to an agreement—
(a) unless, in the case of an agreement entered into after the commencement of
this Part—
(i) the person has first given the purchaser or transferee a notice in a
form approved by the Authority for the purposes of this section
setting out the legal effect of the agreement under this section; and
(ii) a copy of the agreement is lodged with the Authority; or
(b) if the Environment, Resources and Development Court determines, on
application by the Authority, that the purchaser or transferee did not acquire
the land in a genuine arms length transaction.
103F—Order may be issued to one or more appropriate persons
If, in the application of this Division, there are 2 or more persons to whom it is
practicable to issue an order under Division 3 as appropriate persons, the Authority
may determine that—
(a) any 1 of the persons is the appropriate person to be issued with the order; or
(b) 2 or more of the persons are the appropriate persons to be issued with the
order (with the effect that the persons are jointly and severally liable to
comply with the requirements of the order).
103G—Court may order that director of body is appropriate person in certain
circumstances
(1) If—
(a) a body corporate has been issued with a site contamination assessment order
or a site remediation order in respect of a site, or grounds exist for the issuing
of any such order to a body corporate; and
(b) there is reason to believe that the body corporate is being or has been wound
up, stripped of assets or subjected to other action as part of a scheme—
(i) to avoid meeting its obligations under or in connection with a site
contamination assessment order or a site remediation order in respect
of the site; or
(ii) to avoid its being issued with such an order,
the Environment, Resources and Development Court may, on application by the
Authority, make an order that a person who was, during the period in which it appears
to the Court that the scheme was principally devised, a director or otherwise
concerned in the management of the body corporate, or of a holding company of the
body corporate, is an appropriate person to be issued with a site contamination
assessment order or a site remediation order, or both, in respect of the site.
(2) Without limiting the effect of subsection (1), there will be reason for such a belief—
(a) if—
(i) the body corporate is being or has been wound up; and
(ii) the body corporate has carried out 1 or more transactions—
(A) such as to give the liquidator of the body corporate a right to
recover cash under section 567 of the Corporations
Act 2001 of the Commonwealth; or
the Authority may issue a site contamination assessment order in respect of the site to
an appropriate person.
(2) A site contamination assessment order—
(a) must be in the form of a written notice served on the person to whom it is
issued; and
(b) must specify the person to whom it is issued (whether by name or a
description sufficient to identify the person); and
(c) must specify the site; and
(d) must include requirements for assessments to be carried out of the nature and
extent of any site contamination on or below the surface of the site and,
subject to subsection (3), if the Authority so determines, on or below the
surface of land in the vicinity of the site; and
(e) must include a requirement for a written report of the assessments to be
submitted to the Authority in a specified form within a specified period; and
(f) may include a requirement that a person with specified qualifications be
appointed or engaged to carry out the assessments required by the order or to
prepare the written report or the assessments; and
(g) may include a requirement for a site contamination audit to be carried out, in
accordance with the guidelines issued from time to time by the Authority, and
a site contamination audit report to be submitted to the Authority within a
specified period; and
(h) may include a requirement for specified consultations to be carried out with
owners or occupiers of land in the vicinity of the site; and
(i) must state that the person may, within 14 days, appeal to the Environment,
Resources and Development Court against the order.
(3) If the order is issued to an appropriate person as an owner of the site as distinct from a
person who caused the site contamination, the order must be limited in its application
to site contamination on or below the surface of the site.
(4) Where a proposed site contamination assessment order or a proposed variation of such
an order would require the undertaking of an activity for which a permit would, but
for section 106 of the Landscape South Australia Act 2019, be required under that Act,
the Authority must, before issuing or varying the order, give notice of the proposal to
the authority under the Landscape South Australia Act 2019 to whom an application
for a permit for the activity would otherwise have to be made inviting the authority to
make written submission in relation to the proposal within a period specified in the
notice.
(5) The Authority may, by written notice served on a person to whom a site contamination
assessment order has been issued, vary or revoke the order.
(6) A person to whom a site contamination assessment order is issued must comply with
the order.
Maximum penalty:
(a) in the case of a body corporate—$120 000;
(b) in the case of a natural person—$60 000.
(7) It is not an excuse for a person to refuse or fail to provide information in response to a
requirement imposed by a site contamination assessment order on the ground that to
do so might tend to incriminate the person or make the person liable to a penalty.
(8) If compliance by a prescribed person with a requirement to provide information
imposed by a site contamination assessment order might tend to incriminate the
person or make the person liable to a penalty, then the information given in
compliance with the requirement is not admissible in evidence against the person in
proceedings for an offence or for the imposition of a penalty (other than proceedings
in respect of the making of a false or misleading statement).
103I—Voluntary site contamination assessment proposals
(1) The Authority may agree not to issue a site contamination assessment order to a
person in relation to known or suspected site contamination if the person undertakes to
carry out an assessment in accordance with an approved voluntary site contamination
assessment proposal.
(2) An agreement under subsection (1) must be in writing and copies of the agreement
must be served on the parties to the agreement.
(3) The Authority may, on application by a person, approve a voluntary site
contamination assessment proposal if satisfied that the terms of the proposal are
appropriate.
(4) The Authority must, if satisfied that the assessment has been carried out and
completed in accordance with the approved proposal, notify the holder of the approval
in writing that it is so satisfied.
(5) If a notification is given to a person under subsection (4), the person may apply to the
Court under Part 11 for an order for payment of the whole or a portion of the costs and
expenses of the assessment against others as if the person had carried out the
assessment in compliance with the requirements of a site contamination assessment
order.
103J—Site remediation orders
(1) If—
(a) the Authority is satisfied that site contamination exists at a site; and
(b) the Authority considers that remediation of the site is required, taking into
account current or proposed land uses,
the Authority may issue a site remediation order in respect of the site to an appropriate
person.
(2) A site remediation order—
(a) must be in the form of a written notice served on the person to whom it is
issued; and
(b) must specify the person to whom it is issued (whether by name or a
description sufficient to identify the person); and
(c) must specify the site; and
(d) must give particulars of the site contamination; and
(e) may include requirements for the person to whom it is issued to remediate the
site within a specified period; and
(f) may include requirements for—
(i) preparing, in accordance with specified requirements and to the
satisfaction of the Authority, a plan of remediation; and
(ii) complying with such a proposal to the satisfaction of the Authority;
and
(g) may include authorisation for the site to be remediated, or any other action to
be taken in respect of its remediation, on the Authority's behalf by authorised
officers or other persons authorised by the Authority; and
(h) may include a requirement for a written report of the remediation to be
submitted to the Authority in a specified form within a specified period; and
(i) may include a requirement that a person with specified qualifications be
appointed or engaged to—
(i) prepare a plan of remediation under paragraph (f); or
(ii) prepare a written report of the remediation under paragraph (h); or
(iii) carry out the remediation or other activities associated with the
remediation; and
(j) may include requirements for a site contamination audit to be carried out, in
accordance with the guidelines issued from time to time by the Authority, and
a site contamination audit report to be submitted to the Authority within a
specified period; and
(k) may include a requirement for specified consultations to be carried out with
owners or occupiers of land in the vicinity of the site; and
(l) must state that the person may, within 14 days, appeal to the Environment,
Resources and Development Court against the order.
(3) If the order is issued to an appropriate person as an owner of the site as distinct from a
person who caused the site contamination, the order must be limited in its application
to site contamination on or below the surface of the site.
(4) Where a proposed site remediation order (except an emergency site remediation order)
or a proposed variation of a site remediation order would require the undertaking of an
activity for which a permit would, but for section 106 of the Landscape South
Australia Act 2019, be required under that Act, the Authority must, before issuing or
varying the order, give notice of the proposal to the authority under the Landscape
South Australia Act 2019 to whom an application for a permit for the activity would
otherwise have to be made inviting the authority to make written submission in
relation to the proposal within a period specified in the notice.
(5) An authorised officer may, if of the opinion that urgent action is required for the
remediation of a site, issue a site remediation order imposing requirements of a kind
referred to in subsection (2)(e) as reasonably required for the remediation of the site
(an emergency site remediation order).
(6) An emergency site remediation order may be issued orally, but, in that event, the
person to whom the order is issued must be advised forthwith of the person's right to
appeal to the Environment, Resources and Development Court against the order.
(7) Where an emergency site remediation order is issued to a person, the order will cease
to have effect on the expiration of 72 hours from the time of its issuing unless
confirmed by a written site remediation order issued by the Authority and served on
the person.
(8) The Authority or an authorised officer may, if of the opinion that it is reasonably
necessary to do so in the circumstances, include in an emergency or other site
remediation order a requirement for an act or omission that might otherwise constitute
a contravention of this Act and, in that event, a person incurs no criminal liability
under this Act for compliance with the requirement.
(9) The Authority may, by written notice served on a person to whom a site remediation
order has been issued, vary or revoke the order.
(10) Where, in accordance with subsection (2)(g), a site remediation order is issued
authorising a person other than an authorised officer to take action, the following
provisions apply:
(a) the Authority must issue the person with an instrument of authority;
(b) the person may exercise such powers of an authorised officer as are
reasonably required for the purpose of taking action under that subsection;
(c) the provisions of this Act apply in relation to the exercise of such powers by
the person in the same way as in relation to an authorised officer;
(d) the person must produce the instrument of authority for the inspection of any
person in relation to whom the person intends to exercise powers of an
authorised officer.
(11) A person to whom a site remediation order is issued must comply with the order.
Maximum penalty:
(a) in the case of a body corporate—$120 000;
(b) in the case of a natural person—$60 000.
(12) It is not an excuse for a person to refuse or fail to provide information in response to a
requirement imposed by a site remediation order on the ground that to do so might
tend to incriminate the person or make the person liable to a penalty.
(13) If compliance by a prescribed person with a requirement to provide information
imposed by a site remediation order might tend to incriminate the person or make the
person liable to a penalty, then the information given in compliance with the
requirement is not admissible in evidence against the person in proceedings for an
offence or for the imposition of a penalty (other than proceedings in respect of the
making of a false or misleading statement).
103K—Voluntary site remediation proposals
(1) The Authority may agree not to issue a site remediation order to a person in relation to
site contamination if the person undertakes to carry out remediation in accordance
with an approved voluntary site remediation proposal.
(2) An agreement under subsection (1) must be in writing and copies of the agreement
must be served on the parties to the agreement.
(3) The Authority may, on application by a person, approve a voluntary site remediation
proposal if satisfied that the terms of the proposal are appropriate.
(4) The Authority must, if satisfied that the remediation has been carried out and
completed in accordance with the approved proposal, notify the holder of the approval
in writing that it is so satisfied.
(5) If a notification is given to a person under subsection (4), the person may apply to the
Court under Part 11 for an order for payment of the whole or a portion of the costs and
expenses of the remediation against others as if the person had carried out the
remediation in compliance with the requirements of a site remediation order.
103L—Entry onto land by person to whom order is issued
(1) A site contamination assessment order or a site remediation order does not confer on
the person to whom it is issued a power to enter land of which that person is not an
occupier, to remain on such land or to do anything on such land, without the
permission of—
(a) the occupier of the land; and
(b) the owner of the land (unless the order has been issued to the owner or the
occupier is the owner).
(2) However—
(a) if permission is withheld or withdrawn by the owner, the Authority may—
(i) revoke, suspend or vary the order; and
(ii) if the owner has been warned of the possible consequences of
withholding or withdrawing permission, issue a site contamination
assessment order or a site remediation order in respect of the land to
the owner as if the owner were the appropriate person;
(b) if permission is withheld or withdrawn by the occupier, the Authority may—
(i) revoke, suspend or vary the order; and
(ii) if the occupier has been warned of the possible consequences of
withholding or withdrawing permission, issue a site contamination
assessment order or a site remediation order in respect of the land to
the occupier as if the occupier were the appropriate person.
(3) If a site remediation order is issued under subsection (2), this Act applies as if no
person other than the person issued with the order has liability for site contamination
described in the order in respect of the land.
103M—Liability for property damage etc caused by person entering land
(1) This section applies to a person who enters or does anything on land in order to carry
out—
(a) the requirements of a site contamination assessment order or site remediation
order; or
(3) The Authority may, by notice in the Gazette, vary or revoke a notice under this
section.
103O—Registration of site contamination assessment orders or site
remediation orders in relation to land
(1) Where a site contamination assessment order or site remediation order has been issued
under this Division, the Authority may do either or both of the following:
(a) if the order was issued to an owner or occupier of the site—apply to the
Registrar-General for registration of the order in relation to the site;
(b) apply to the Registrar-General for registration of the order in relation to land
owned by a person to whom the order was issued.
(2) An application under this section must—
(a) describe the land to which it relates; and
(b) do either or both of the following as the case may require:
(i) state that the registration of the order in relation to the land will, by
virtue of subsection (4), result in the order becoming binding on each
owner from time to time of the land;
(ii) state that the registration of the order in relation to the land is to
operate as the basis for a charge on land owned by the person to
whom the order was issued, as provided by this Division, securing
payment to the Authority of costs and expenses incurred in taking
action in the event of non-compliance with requirements of the order
or in taking action in pursuance of the order.
(3) The Registrar-General must, on application by the Authority under subsection (1) and
lodgement of a copy of the site contamination assessment order or site remediation
order, register the order by making such entries in any register book, memorial or
other book or record in the Lands Titles Registration Office or in the General Registry
Office as he or she thinks fit.
(4) Where a site contamination assessment order or a site remediation order (other than an
order authorising remediation of a site by authorised officers or other persons
authorised by the Authority) was issued to an owner or occupier of the site and is
registered under this section in relation to the site—
(a) the order is binding on each owner from time to time of the site, and this
Division applies as if the order had been issued to each owner; and
(b) a person who ceases to be an owner of the site must, as soon as reasonably
practicable, notify the Authority in writing of the name and address of the
new owner.
(5) Where a site contamination assessment order or site remediation order is registered
under this section in relation to a site, the Authority must, as soon as reasonably
practicable, notify, in writing, each owner of the site of the registration and of the
obligations of owners under subsection (4).
(6) A person who fails to comply with subsection (4)(b) is guilty of an offence.
Maximum penalty: $4 000.
(7) The Registrar-General must, on application by the Authority, cancel the registration of
a site contamination assessment order or site remediation order in relation to land and
make such endorsements to that effect in the appropriate register book, memorial or
other book or record in respect of the land as he or she thinks fit.
(8) The Authority may, if it thinks fit, apply to the Registrar-General for cancellation of
the registration of a site contamination assessment order or site remediation order in
relation to land, and must do so—
(a) on revocation of the order; or
(b) on full compliance with the requirements of the order; or
(c) if the Authority takes action under this Division to carry out the requirements
of the order—on payment to the Authority of the amount recoverable by the
Authority under this Division in relation to the action so taken.
103P—Notation of site contamination audit report in relation to land
(1) This section applies to a site contamination audit report relating to land whether or not
required under this or any other Act.
(2) The Registrar-General must, on application by the Authority, include in any register
book, memorial or other book or record in the Lands Titles Registration Office or in
the General Registry Office a notation that a site contamination audit report has been
prepared in respect of the land and is to be found in the register kept by the Authority
under section 109 of this Act.
(3) The Registrar-General must, on application by the Authority, remove a notation made
in relation to land under this section.
103Q—Action on non-compliance with site contamination assessment order or
site remediation order
(1) If—
(a) the requirements of a site contamination assessment order are not complied
with; or
(b) a site remediation order requires remediation of the site by the person to
whom it is issued and the requirements of the order are not complied with,
the Authority may take any action required by the order.
(2) Any action to be taken by the Authority under subsection (1) may be taken on the
Authority's behalf by authorised officers or by other persons authorised by the
Authority for the purpose.
(3) Where a person other than an authorised officer is authorised to take action under
subsection (1), the following provisions apply:
(a) the Authority must issue the person with an instrument of authority;
(b) the person may exercise such powers of an authorised officer as are
reasonably required for the purpose of taking action under that subsection;
(c) the provisions of this Act apply in relation to the exercise of such powers by
the person in the same way as in relation to an authorised officer;
(d) the person must produce the instrument of authority for the inspection of any
person in relation to whom the person intends to exercise powers of an
authorised officer.
103R—Recovery of costs and expenses incurred by Authority
(1) Where action has been taken by the Authority either on non-compliance with the
requirements of a site contamination assessment order or a site remediation order, or
in pursuance of a site remediation order, the Authority may recover the reasonable
costs and expenses incurred by the Authority in taking that action as a debt from the
person to whom the order was issued.
(2) Subject to subsection (3), where—
(a) a site contamination assessment order or site remediation order has been
registered in relation to a site under section 103O; or
(b) the registration of a site contamination assessment order or site remediation
order in relation to land has been cancelled under that section,
the Authority may recover, as a debt from the person to whom the order was issued,
an amount prescribed by regulation in respect of the registration or cancellation (as the
case may be).
(3) No amount is recoverable by the Authority under subsection (2) in relation to a site
contamination assessment order or site remediation order that has been revoked.
(4) Where an amount is recoverable from a person by the Authority under this section—
(a) the Authority may, by notice in writing to the person, fix a period, being not
less than 28 days from the date of the notice, within which the amount must
be paid by the person, and, if the amount is not paid by the person within that
period, the person is liable to pay interest charged at the prescribed rate per
annum on the amount unpaid; and
(b) the amount together with any interest charge so payable is until paid a charge
in favour of the Authority on any land owned by the person in relation to
which the site contamination assessment order or site remediation order is
registered under this Division.
(5) A charge imposed on land by this section has priority over—
(a) any prior charge imposed on the land (whether or not registered) that operates
in favour of a person who is an associate of the owner of the land; and
(b) any other charge on the land other than a charge registered prior to
registration of the site contamination assessment order or site remediation
order in relation to the land.
103S—Prohibition or restriction on taking water affected by site
contamination
(1) If the Authority is satisfied that—
(a) there is site contamination that affects or threatens water; and
(b) action is necessary under this section to prevent actual or potential harm to
human health or safety,
the Authority may, by notice in the Gazette, prohibit or restrict the taking of the water.
(2) A notice under this section must—
(a) specify the water to which it relates; and
(b) give particulars of the site contamination affecting the water.
(3) A person must not contravene a notice under this section.
Maximum penalty: $8 000.
(4) The Authority may, by notice in the Gazette, vary or revoke a notice under this
section.
(3) A person to whom this section applies must not, in or in relation to a site
contamination audit, site contamination audit report or site contamination audit
statement, make a statement that the person knows to be false or misleading in a
material particular (whether by reason of the inclusion or omission of any particular).
Maximum penalty:
(a) in the case of a body corporate—$60 000;
(b) in the case of a natural person—$30 000 or imprisonment for 1 year.
103Y—Annual returns and notification of change of address etc
(1) A site contamination auditor must, during the prescribed period each year, furnish the
Authority with a return relating to site contamination audits for which the auditor is or
was the responsible auditor, listing each such audit commenced, in progress,
completed or terminated before completion during the period commencing—
(a) in the case of an auditor in his or her first year of accreditation—on the day
on which accreditation was granted; or
(b) in any other case—on the first day of the prescribed period in the preceding
year.
Maximum penalty: $8 000.
(2) A return under this section must be in the form prescribed by regulation.
(3) A site contamination auditor must, within 14 days after any change of address or any
other change relating to his or her activities as a site contamination auditor that affects
the accuracy of particulars last furnished to the Authority, notify the Authority of the
change.
Maximum penalty: $8 000.
(4) In this section—
prescribed period means the period commencing 8 weeks before, and ending 4 weeks
before, the anniversary of the day on which the auditor's accreditation was granted or
last renewed;
responsible auditor—a site contamination auditor is the responsible auditor for a site
contamination audit if the work involved in the audit is carried out personally by, or
under the direct supervision of, the auditor.
103Z—Requirements relating to site contamination audits
(1) A site contamination auditor must, within 14 days after the commencement of a site
contamination audit for which the auditor is the responsible auditor, notify the
Authority in writing of the person who commissioned the audit and the location of the
land to which the audit is to relate.
Maximum penalty: $8 000.
(2) A site contamination auditor must, within 14 days after the termination before
completion of a site contamination audit for which the auditor was the responsible
auditor, notify the Authority in writing of the termination and the reasons for the
termination.
Maximum penalty: $8 000.
(3) A notification under subsection (1) or (2) must be in the form prescribed by
regulation.
(4) A site contamination auditor must, on the completion of each site contamination audit
for which the auditor is the responsible auditor—
(a) provide a site contamination audit report to the person who commissioned the
audit; and
(b) at the same time, provide—
(i) a site contamination audit report to the Authority; and
(ii) a site contamination audit statement to the council for the area in
which the land to which the audit relates is situated and any
prescribed body.
Maximum penalty: $8 000.
(5) In this section—
responsible auditor—a site contamination auditor is the responsible auditor for a site
contamination audit if the work involved in the audit is carried out personally by, or
under the direct supervision of, the auditor.
(2) The power of the Court to make an order restraining a person from engaging in
conduct of a particular kind may be exercised—
(a) if the Court is satisfied that the person has engaged in conduct of that
kind—whether or not it appears to the Court that the person intends to engage
again, or to continue to engage, in conduct of that kind; or
(b) if it appears to the Court that, in the event that an order is not made, it is
likely that the person will engage in conduct of that kind—whether or not the
person has previously engaged in conduct of that kind and whether or not
there is an imminent danger of substantial harm or damage if the
first-mentioned person engages in conduct of that kind.
(3) The power of the Court to make an order requiring a person to take specified action
may be exercised—
(a) if the Court is satisfied that the person has refused or failed to take that
action—whether or not it appears to the Court that the person intends to
refuse or fail again, or to continue to refuse or fail, to take that action; or
(b) if it appears to the Court that, in the event that an order is not made, it is
likely that the person will refuse or fail to take that action—whether or not the
person has previously refused or failed to take that action and whether or not
there is an imminent danger of substantial harm or damage if the
first-mentioned person refuses or fails to take that action.
(4) In assessing an amount to be ordered in the nature of exemplary damages, the Court
must have regard to—
(a) any environmental harm or detriment to the public interest resulting from the
contravention; and
(b) any financial saving or other benefit that the respondent stood to gain by
committing the contravention; and
(c) any other matter it considers relevant.
(5) The power to order payment of an amount in the nature of exemplary damages may
only be exercised by a Judge of the Court.
(6) The power of the Court to make an order for enforcement of an environment
performance agreement includes any power to make orders or provide relief that the
District Court has in relation to a contract.
(7) An application under this section may be made—
(a) by the Authority or another administering agency; or
(b) by any person whose interests are affected by the subject matter of the
application; or
(c) by any other person with the permission of the Court.
(8) Before the Court may grant permission for the purposes of subsection (7)(c), the Court
must be satisfied that—
(a) the proceedings on the application would not be an abuse of the process of the
Court; and
(b) there is a real or significant likelihood that the requirements for the making of
an order under subsection (1) on the application would be satisfied; and
(c) it is in the public interest that the proceedings should be brought.
(9) If an application is made by a person other than the Authority—
(a) the applicant must serve a copy of the application on the Authority within
three days after filing the application with the Court; and
(b) the Court must, on application by the Authority, join the Authority as a party
to the proceedings.
(10) An application under this section may be made in a representative capacity (but, if so,
the consent of all persons on whose behalf the application is made must be obtained).
(11) An application may be made without notice to any person and, if the Court is satisfied
on the application that the respondent has a case to answer, it may grant permission to
the applicant to serve a summons requiring the respondent to appear before the Court
to show cause why an order should not be made under this section.
(12) An application under this section must, in the first instance, be referred to a
conference under section 16 of the Environment, Resources and Development Court
Act 1993 (and the provisions of that Act will then apply in relation to the application).
(13) If, on an application under this section or before the determination of the proceedings
commenced by the application, the Court is satisfied that, in order to preserve the
rights or interests of parties to the proceedings or for any other reason, it is desirable to
make an interim order under this section, the Court may make such an order.
(14) An interim order—
(a) may be made on an application without notice to any person; and
(b) may be made whether or not the proceedings have been referred to a
conference; and
(c) will be made subject to such conditions as the Court thinks fit; and
(d) will not operate after the proceedings in which it is made are finally
determined.
(15) Where the Court makes an order requiring the respondent to take any specified action
to make good any environmental damage or to prevent or mitigate further
environmental harm, the provisions of Division 4 of Part 10 relating to—
(a) registration of a clean-up order in relation to land; and
(b) the taking of action by the Authority on non-compliance with a clean-up
order; and
(c) the recovery of costs and expenses by the Authority,
apply in relation to the Court's order in the same way as in relation to a clean-up order
issued by the Authority under that Division.
(16) The Court may, if it thinks fit, adjourn proceedings under this section in order to
permit the respondent to make an application for an environmental authorisation that
should have been but was not made, or to remedy any other default.
(17) The Court may order an applicant in proceedings under this section—
(a) to provide security for the payment of costs that may be awarded against the
applicant if the application is subsequently dismissed;
(b) to give an undertaking as to the payment of any amount that may be awarded
against the applicant under subsection (18).
(18) If, on an application under this section alleging a contravention of this Act or a
repealed environment law, the Court is satisfied—
(a) that the respondent has not contravened this Act or a repealed environment
law; and
(b) that the respondent has suffered loss or damage as a result of the actions of
the applicant; and
(c) that in the circumstances it is appropriate to make an order under this
provision,
the Court may, on the application of the respondent (and in addition to any order as to
costs), require the applicant to pay to the respondent an amount, determined by the
Court, to compensate the respondent for the loss or damage suffered by the
respondent.
(19) The Court may, if it considers it appropriate to do so, either on its own initiative or on
the application of a party, vary or revoke an order previously made under this section.
(20) Proceedings under this section based on a contravention of this Act or a repealed
environment law may be commenced at any time within three years after the date of
the alleged contravention or, with the authorisation of the Attorney-General, at any
later time.
(21) An apparently genuine document purporting to be under the hand of the
Attorney-General and to authorise the commencement of proceedings under this
section will be accepted in any legal proceedings, in the absence of proof to the
contrary, as proof of the authorisation.
(22) The Court may, in any proceedings under this section, make such orders in relation to
the costs of the proceedings as it thinks just and reasonable.
(23) Without limiting the generality of subsection (22), in determining whether to make
any order in relation to costs the Court may have regard to the following matters (so
far as they are relevant):
(a) whether the applicant is pursuing a personal interest only in bringing the
proceedings or is furthering a wider group interest or the public interest;
(b) whether or not the proceedings raise significant issues relating to the
administration of this Act.
104A—Authority may recover civil penalty in respect of contravention
(1) Subject to this section, if the Authority is satisfied that a person has committed an
offence by contravening a provision of this Act, the Authority may, as an alternative
to criminal proceedings, recover, by negotiation or by application to the Environment,
Resources and Development Court, an amount as a civil penalty in respect of the
contravention.
(2) The Authority may not recover an amount under this section in respect of a
contravention if the relevant offence requires proof of intention or some other state of
mind, and must, in respect of any other contravention, determine whether to initiate
proceedings for an offence or take action under this section, having regard to the
seriousness of the contravention, the previous record of the offender and any other
relevant factors.
(3) The Authority may not make an application to the Court under this section to recover
an amount from a person as a civil penalty in respect of a contravention—
(a) unless the Authority has served on the person a notice in the prescribed form
advising the person that the person may, by written notice to the Authority,
elect to be prosecuted for the contravention and the person has been allowed
not less than 21 days after service of the Authority's notice to make such an
election; or
(b) if the person serves written notice on the Authority, before the making of
such an application, that the person elects to be prosecuted for the
contravention.
(4) The maximum amount that the Authority may recover by negotiation as a civil penalty
in respect of a contravention is—
(a) the amount specified by this Act as the criminal penalty in relation to that
contravention; or
(b) $120 000,
whichever is the lesser.
(5) If, on an application by the Authority, the Environment, Resources and Development
Court is satisfied on the balance of probabilities that a person has contravened a
provision of this Act, the Court may order the person to pay to the Authority an
amount as a civil penalty (but not exceeding the amount specified by this Act as the
criminal penalty in relation to that contravention).
(6) In determining the amount to be paid by a person as a civil penalty, the Court must
have regard to—
(a) the nature and extent of the contravention; and
(b) any environmental harm or detriment to the public interest resulting from the
contravention; and
(c) any financial saving or other benefit that the person stood to gain by
committing the contravention; and
(d) whether the person has previously been found, in proceedings under this Act,
to have engaged in any similar conduct; and
(e) any other matter it considers relevant.
(7) The jurisdiction conferred by this section is to be part of the civil jurisdiction of the
Court.
(8) If conduct of a person constitutes a contravention of two or more provisions of this
Act, an amount may be recovered from the person under this section in relation to the
contravention of any one or more of those provisions (provided that the person is not
liable to pay more than one amount as a civil penalty in respect of the same conduct).
(9) Proceedings for an order under this section that a person pay an amount as a civil
penalty in relation to a contravention of this Act, or for enforcement of such an order,
are stayed if criminal proceedings are started or have already been started against the
person for an offence constituted by conduct that is substantially the same as the
conduct alleged to constitute the contravention.
(10) Proceedings referred to in subsection (9) may only be resumed if the criminal
proceedings do not result in a formal finding of guilt being made against the person.
(11) Evidence of information given or evidence of the production of documents by a
person is not admissible in criminal proceedings against the person if—
(a) the person gave the evidence or produced the documents in the course of
negotiations or proceedings under this section for the recovery of an amount
as a civil penalty in relation to a contravention of this Act; and
(b) the conduct alleged to constitute the offence is substantially the same as the
conduct that was alleged to constitute the contravention.
(12) However, subsection (11) does not apply to criminal proceedings in respect of the
making of a false or misleading statement.
(13) Proceedings for an order under this section may be commenced at any time within
three years after the date of the alleged contravention or, with the authorisation of the
Attorney-General, at any later time within 10 years after the date of the alleged
contravention.
(14) An apparently genuine document purporting to be under the hand of the
Attorney-General and to authorise the commencement of proceedings for an order
under this section will be accepted in any legal proceedings, in the absence of proof to
the contrary, as proof of the authorisation.
(15) The Court may, in any proceedings under this section, make such orders in relation to
the costs of the proceedings as it thinks just and reasonable.
(4) The Court must not make an order under this section unless each party to the appeal
has been given a reasonable opportunity to make submissions in relation to the matter.
108—Powers of Court on determination of appeals
(1) The Environment, Resources and Development Court may, on hearing an appeal
under this Part—
(a) confirm, vary or reverse any decision or order appealed against;
(b) order or direct a person or body to take such action as the Court thinks fit, or
to refrain (either temporarily or permanently) from such action or activity as
the Court thinks fit;
(c) make any consequential or ancillary order or direction, or impose any
condition, that it considers necessary or expedient.
(2) However, no order for costs is to be made unless the Court considers such an order to
be necessary in the interests of justice.
(ii) any report provided by the person to whom the order was issued in
consequence of the order;
(ib) details of each agreement for the exclusion or limitation of liability for site
contamination to which section 103E applies;
(ic) details of each agreement entered into with the Authority relating to—
(i) an approved voluntary site contamination assessment proposal under
section 103I; or
(ii) an approved voluntary site remediation proposal under section 103K;
(id) details of the circumstances giving rise to—
(i) declarations of special management areas under section 103N; or
(ii) prohibitions or restrictions on taking water under section 103S;
(ie) details of each notification relating to the commencement or the termination
before completion of a site contamination audit under section 103Z;
(if) each site contamination audit report submitted to the Authority under
section 103Z;
(j) details of prosecutions and other enforcement action under this Act;
(k) details of civil proceedings before the Environment, Resources and
Development Court under this Act;
(ka) the following details of the recovery by the Authority, by negotiation, of an
amount as a civil penalty in respect of an alleged contravention of this Act:
(i) the name of the person from whom the amount was recovered;
(ii) particulars of the alleged contravention;
(iii) the amount recovered;
(l) such other information as is prescribed.
(3a) If an administering agency other than the Authority takes any action the details of
which are required to be recorded in the register, the administering agency must
ensure that those details are provided to the Authority as soon as practicable but, in
any event, within three months after taking the action.
(4) The Authority must ensure that information required to be recorded in the register is
recorded in the register as soon as practicable, but, in any event, within three months,
after the information becomes available to the Authority.
(5) The register must be kept available for inspection, on payment of the prescribed fee,
by members of the public during ordinary office hours at the principal office of the
Authority.
(6) A member of the public may, on payment of the prescribed fee, obtain a copy of any
part of the register.
(7) The Governor may, by regulation, provide for the removal by the Authority of
information recorded in the register under this section.
Part 15—Miscellaneous
110—Constitution of Environment, Resources and Development Court
The following provisions apply in respect of the constitution of the Environment,
Resources and Development Court when exercising jurisdiction under this Act:
(a) the Court may be constituted in a manner provided by the Environment,
Resources and Development Court Act 1993 or may, if the Senior Judge of
the Court so determines, be constituted of a Judge and one commissioner;
(b) the provisions of the Environment, Resources and Development Court
Act 1993 apply in relation to the Court constituted of a Judge and one
commissioner in the same way as in relation to a full bench of the Court;
(c) the Court may not be constituted of or include a commissioner unless—
(i) in a case where only one commissioner is to sit (whether alone or
with another member or members of the Court)—the commissioner;
or
(ii) in any other case—at least one commissioner,
is a commissioner who has been specifically designated by the Governor as a
person who has expertise in environmental protection and management.
111—Annual reports by Authority
(1) The Authority must, on or before 30 September in each year, deliver to the Minister a
report on the administration of this Act during the period of 12 months that ended on
the preceding 30 June.
(2) The Authority must include in the report—
(a) an audited statement of the income and expenditure of the Environment
Protection Fund, together with details of the items of income and expenditure
of the Fund, for the period to which the report relates; and
(b) any direction given to the Authority by the Minister during the period to
which the report relates.
(3) The Minister must cause a copy of the report to be laid before each House of
Parliament within 12 sitting days after his or her receipt of the report.
(4) The report is, by force of this section, referred to the Environment, Resources and
Development Committee of the Parliament.
112—State of environment reports
(1) The Authority must prepare and publish at least every five years a report on the state
of the environment.
(2) The report must be delivered to the Minister who must cause a copy of the report to be
laid before each House of Parliament within 12 sitting days after his or her receipt of
the report.
(2) The Authority does not require a licence or other authorisation under any other
provisions of this Act in order to carry on operations referred to in subsection (1) and
compliance with the conditions of the Minister's approval will be taken to constitute
compliance with the other provisions of this Act.
115—Delegations
(1) The Authority may, by instrument in writing, delegate a power or function under this
Act—
(a) to a specified public authority; or
(b) to a particular person or committee; or
(c) to the person for the time being performing particular duties or holding or
acting in a particular position.
(2) A power or function delegated under this section may, if the instrument of delegation
so provides, be further delegated.
(3) A delegation—
(a) may be absolute or conditional; and
(b) does not derogate from the power of the Authority to act in any matter; and
(c) is revocable at will.
116—Waiver or refund of fees and levies and payment by instalments
The Authority or another administering agency may, in cases of a kind approved by
the Minister—
(a) waive the payment of, or refund, the whole or part of a fee or levy otherwise
required to be paid to the Authority or other administering agency under this
Act; or
(b) allow the payment of a fee or levy by instalments.
117—Notices, orders or other documents issued by Authority or authorised
officers
(1) A notice, order or other document to be issued or executed by the Authority must—
(a) be under the common seal of the Authority affixed in accordance with this
section; or
(b) be signed on behalf of the Authority by a person or persons in accordance
with authority conferred under this section.
(2) The common seal of the Authority must not be affixed to a document except in
pursuance of a decision of the Board, and the affixing of the seal must be attested by
the signatures of two members of the Board.
(3) The Authority may, by instrument under its common seal, authorise a member of the
Board, an authorised officer or a Public Service employee assigned to assist the
Authority to execute documents on behalf of the Authority.
(4) An authority under subsection (3) may be given—
(a) subject to conditions specified in the instrument of authority;
120—Statutory declarations
Where a person is required by or under this Act to furnish information to the Authority
or another administering agency, the Authority or other administering agency may
require that the information be verified by statutory declaration and, in that event, the
person will not be taken to have furnished the information as required unless it has
been so verified.
120A—False or misleading reports
(1) A person who makes a false or misleading report to the Authority, another
administering agency or a person engaged in the administration of this Act is guilty of
an offence if—
(a) the person knows the report is false or misleading; and
(b)the report is of a kind that would reasonably call for investigation or action by
the Authority or another administering agency.
Maximum penalty: $15 000.
(2) Where a person is convicted of an offence against subsection (1), the court must, on
application by the Authority or another administering agency, order the convicted
person to pay to the Authority or other administering agency the reasonable costs and
expenses incurred by the Authority or other administering agency in carrying out an
investigation or taking action as a result of the false or misleading report.
121—Confidentiality
A person must not divulge any information relating to trade processes or financial
information obtained (whether by that person or some other person) in the
administration or enforcement of this Act except—
(a) as authorised by or under this Act or the Green Industries SA Act 2004; or
(b) with the consent of the person from whom the information was obtained or to
whom the information relates; or
(c) in connection with the administration or enforcement of this Act; or
(d)for the purpose of any legal proceedings arising out of the administration or
enforcement of this Act.
Maximum penalty: $8 000.
123—Continuing offences
(1) Where an offence against a provision of this Act is committed by a person by reason
of a continuing act or omission—
(a) the person is liable, in addition to the penalty otherwise applicable to the
offence, to a penalty for each day during which the act or omission continues
of not more than an amount equal to one-fifth of the maximum penalty
prescribed for that offence; and
(b) if the act or omission continues after the person is convicted of the offence,
the person is guilty of a further offence against that provision and liable, in
addition to the penalty otherwise applicable to the further offence, to a
penalty for each day during which the act or omission continues after that
conviction of not more than an amount equal to one-fifth of the maximum
penalty prescribed for that offence.
(2) For the purposes of this section, an obligation to do something is to be regarded as
continuing until the act is done notwithstanding that any period within which, or time
before which, the act is required to be done has expired or passed.
124—General defence
(1) It will be a defence in any criminal proceedings, or in any proceedings for the
payment of an amount as a civil penalty, in respect of an alleged contravention of this
Act, including—
(a) proceedings against a body corporate or a natural person where conduct or a
state of mind is imputed to the body or person under this Part; and
(b) proceedings against an officer of a body corporate under this Part,
if it is proved that the alleged contravention did not result from any failure on the
defendant's part to take all reasonable and practicable measures to prevent the
contravention or contraventions of the same or a similar nature.
(2) Without limiting the effect of subsection (1), the defence provided by that subsection
includes the defence that the act or omission alleged to constitute the contravention
was justified by the need to protect life, the environment or property in a situation of
emergency and that the defendant was not guilty of any failure to take all reasonable
and practicable measures to prevent or deal with such an emergency.
(3) Where a body corporate or other employer seeks to establish the defence provided by
this section by proving the establishment of proper workplace systems and procedures
designed to prevent a contravention of this Act, that proof must be accompanied by
proof—
(a) that proper systems and procedures were also in place whereby any such
contravention or risk of such contravention of this Act that came to the
knowledge of a person at any level in the workforce was required to be
reported promptly to the governing body of the body corporate or to the
employer, or to a person or group with the right to report to the governing
body or to the employer; and
(b) that the governing body of the body corporate or the employer actively and
effectively promoted and enforced compliance with this Act and with all such
systems and procedures within all relevant areas of the workforce.
(4) A person who would, but for the defence provided by this section, have contravened a
provision of this Act is, despite that defence, to be taken to have contravened that
provision for the purposes of—
(a) any proceedings under section 104 in respect of the contravention; and
(b) the issuing or enforcement of any clean-up order or clean-up authorisation
under this Act in respect of the contravention; and
(c) the making by a court of an order under section 133 in proceedings for an
offence in respect of the contravention.
125—Notice of defences
(1) A person who, in criminal proceedings, intends to rely on the general defence under
this Part or any other defence under this Act may only do so if the person gives notice
in writing of that intention—
(a) if the proceedings are for a summary offence and have been commenced by
an authorised officer appointed by a council—to the council; or
(b) in any other case—to the Authority.
(2) A notice under subsection (1) must be given—
(a) if the proceedings are for a summary offence—within 28 days after the
summons to answer the charge is served on the person; or
(b) if the proceedings are for a minor indictable offence where the charge is to be
dealt with in the same way as a charge of a summary offence—not less than
28 days before the date for hearing of the charge; or
(c) in any other case—within seven days after the person is committed for trial.
126—Proof of intention etc
Subject to any express provision in this Act to the contrary, it will not be necessary to
prove any intention or other state of mind in order to establish a contravention of this
Act.
127—Imputation of conduct or state of mind of officer, employee etc
(1) For the purposes of proceedings for an offence against this Act or proceedings for the
payment of an amount as a civil penalty in respect of an alleged contravention of this
Act—
(a) the conduct and state of mind of an officer, employee or agent of a body
corporate acting within the scope of his or her actual, usual or ostensible
authority will be imputed to the body corporate;
(b) the conduct and state of mind of an employee or agent of a natural person
acting within the scope of his or her actual, usual or ostensible authority will
be imputed to that person.
(2) Where—
(a) a natural person is convicted of an offence against this Act; and
(b) the person would not have been convicted of the offence but for the operation
of subsection (1),
the person is not liable to be punished by imprisonment for the offence.
(3) For the purposes of this section, a reference to conduct or acting includes a reference
to failure to act.
the reasonable costs and expenses so incurred, or compensation for the injury,
loss or damage so suffered, as the case may be, in such amount as is
determined by the court.
(1a) Where a person is found by a court to have contravened this Act, the court may, in
addition to any penalty it may impose, order the person to pay to the Authority an
amount not exceeding the court's estimation of the amount of the economic benefit
acquired by the person, or accrued or accruing to the person, as a result of the
contravention.
(1b) For the purposes of subsection (1a), an economic benefit obtained by delaying or
avoiding costs will be taken to be an economic benefit acquired as a result of a
contravention if the contravention can be attributed (in whole or in part) to that delay
or avoidance.
(2) The court may, by an order under this section, fix a period for compliance and impose
any other requirements the court considers necessary or expedient for enforcement of
the order.
(3) An amount paid to the Authority in accordance with an order under subsection (1a)
must be paid into the Environment Protection Fund.
134—Appointment of analysts
The Authority may, with the approval of the Minister, appoint a person to be an
analyst for the purposes of this Act.
135—Recovery of administrative and technical costs associated with
contraventions
(1) Where a person has contravened this Act and the Authority or another administering
agency—
(a) has taken action to—
(i) investigate the contravention; or
(ii) issue an order under Part 10 in respect of the contravention; or
(iii) ensure that the person has complied with requirements imposed in
relation to the contravention by an order under Part 10 or by an order
of a court under this Act; or
(b) has, in taking such action, incurred costs and expenses in taking samples or in
conducting tests, examinations or analyses,
the Authority or other administering agency may, by notice in writing served on the
person, require the person to pay to the Authority or other administering agency—
(c) in respect of action to investigate the contravention or to issue an order under
Part 10 in respect of the contravention—a fee fixed by, or calculated in
accordance with, the regulations; or
(d) in respect of action to ensure that the person has complied with requirements
imposed in relation to the contravention by an order under Part 10 or by an
order of a court under this Act—the reasonable costs and expenses incurred
by the Authority or other administering agency in taking that action; or
(6) If a notice issued under this section requires payment of an amount in respect of a site
contamination assessment order or site remediation order and the order is the subject
of an appeal, the notice is suspended until the appeal has been determined (but if the
court, on appeal, finds that the order was contravened or that the order was properly
issued, as the case may be, the notice will have effect as if the period for payment
specified in the notice commenced on the day on which the appeal was determined).
(7) If an amount payable to the Authority is not paid in accordance with this section, the
amount may be recovered as a debt by the Authority.
(8) In this section—
relevant person, in relation to a site, means the person—
(a) who is or who would be the appropriate person to be issued with a site
contamination assessment order or site remediation order in respect of the site
(determined in accordance with section 103C); and
(b) in respect of whom action to which this section applies is being or has been
taken.
136—Assessment of reasonable costs and expenses
For the purposes of this Act, the reasonable costs and expenses that have been or
would be incurred by the Authority, another administering agency or some other
public authority or person in taking any action are to be assessed by reference to the
reasonable costs and expenses that would have been or would be incurred in having
the action taken by independent contractors engaged for that purpose.
137—Recovery from related bodies corporate
Where—
(a) an amount is payable by a body corporate pursuant to this Act or an order of a
court made under this Act; and
(b) at the time of the contravention giving rise to that liability, that body and
another body were related bodies corporate,
the related bodies corporate are jointly and severally liable to make the payment.
137A—Joint and several liability
Where an amount is recoverable by the Authority or another administering agency
from two or more persons under a provision of this Act, the provision is to be
construed as if those persons were jointly and severally liable to pay the amount to the
Authority or other administering agency (as the case may be).
138—Enforcement of charge on land
(1) If any default is made in payment of an amount that is, by virtue of this Act, a charge
on land in favour of the Minister, the Authority or another administering agency, the
Minister, the Authority or the other administering agency has the same powers in
respect of the land charged as are given by the Real Property Act 1886 to a mortgagee
under a mortgage in respect of which default has been made in payment of money
secured by the mortgage.
(2) This section and the other provisions of this Act relating to registration by the
Registrar-General and the priority of charges apply notwithstanding the provisions of
the Real Property Act 1886.
139—Evidentiary
(1) In any proceedings, a certificate executed by the Minister, the Authority or another
administering agency certifying as to a matter relating to—
(a) an environmental authorisation or other authorisation under this Act; or
(b) the appointment or non-appointment of a person as an authorised officer or an
analyst or otherwise under this Act; or
(c) a delegation or authority under this Act; or
(d) a notice, order, requirement or direction of the Minister, the Authority or the
other administering agency under this Act; or
(e) any other decision of the Minister, the Authority or the other administering
agency; or
(f) the receipt or non-receipt by the Minister, the Authority or the other
administering agency of a notification or information required to be given or
furnished to the Authority or the Minister under this Act,
constitutes proof, in the absence of proof to the contrary, of the matters so certified.
(2) In any proceedings for the recovery of reasonable costs and expenses incurred by the
Minister, the Authority, another administering agency or some other public authority
under this Act, a certificate executed by the Minister, the Authority, the other
administering agency or other public authority detailing the costs and expenses and
the purpose for which they were incurred constitutes proof, in the absence of proof to
the contrary, of the matters so certified.
(3) An allegation in a complaint that specified matter was a pollutant constitutes proof, in
the absence of proof to the contrary, of the matters so alleged.
(3a) An allegation in an information that specified matter was waste or other matter
constitutes proof, in the absence of proof to the contrary, of the matters so alleged.
(4) In any proceedings for an offence against this Act where it is alleged that the
defendant caused an environmental nuisance, evidence by an authorised officer that he
or she formed the opinion based on his or her own senses—
(a) that pollutants discharged or emitted from a place occupied by the defendant
travelled to a place occupied by another person; and
(b) that the level, nature or extent of the pollution within the place occupied by
the other person was such as to constitute an unreasonable interference with
the person's enjoyment of the place,
constitutes proof, in the absence of proof to the contrary, that the defendant caused an
environmental nuisance.
(4a) In any proceedings for an offence against this Act, a certificate of an authorised officer
certifying that, at a specified time—
(a) a specified vehicle was stopped or parked in a specified place; or
(c) the code, standard or other document has effect as if it were a regulation made
under this Act.
(4) A regulation under this Act may prescribe differential fees for the purposes of this Act
or may provide for fees to be determined by reference to factors related to the quality
and quantity of pollution caused or likely to be caused by the persons liable to pay the
fees or by reference to other factors.
(5) A regulation under this Act may make provisions of a savings or transitional nature
consequent on the enactment of this Act or the commencement of specified provisions
of this Act or specified regulations or environment protection policies under this Act.
(6) A provision referred to in subsection (5) may, if the regulations so provide, take effect
from the date of assent to this Act or a later day.
(7) To the extent to which a provision referred to in subsection (5) takes effect from a date
that is earlier than the date of its publication in the Gazette, the provision does not
operate so as—
(a) to affect, in a manner prejudicial to any person (other than the Crown), the
rights of that person existing before the date of its publication; or
(b) to impose liabilities on any person (other than the Crown) in respect of
anything done or omitted to be done before the date of its publication.
(c) the handling for charitable or non-profit purposes only of beverage containers
bearing an approved refund marking under Part 8 Division 2.
(3) For the purposes of this Schedule, unless the contrary intention appears—
(a) a reference to the on-site storage or disposal of waste or other matter is a
reference to the storage or disposal of the waste or matter at the place at
which the waste or matter was generated; and
(b) a reference to the prescribed factors, in relation to an activity, is a reference
to—
(i) the nature and purpose of the activity; and
(ii) the location of the activity; and
(iii) the scale and duration of the activity; and
(iv) the nature and amount of any waste or pollution produced by the
activity; and
(v) the manner of conduct of the activity; and
(vi) any other factors considered relevant by the Authority.
Part A—Activities
A2—Interpretation—waste depot
For the purposes of section 113(6), a waste depot means any depot, facility or works
of a kind referred to in clause 3 of this Part at which waste is received.
1—Petroleum and Chemical
(1) Chemical Storage and Warehousing Facilities
the storage or warehousing of chemicals or chemical products that are, or are to be,
stored or kept in bulk or in containers having a capacity exceeding 200 litres at
facilities with a total storage capacity exceeding 1 000 cubic metres.
(2) Chemical Works
the conduct of—
(a) works with a total processing capacity exceeding 100 tonnes per year
involving either or both of the following operations:
(i) manufacture (through chemical reaction) of any inorganic chemical,
including sulphuric acid, inorganic fertilisers, soap, sodium silicate,
lime or other calcium compound;
(ii) manufacture (through chemical reaction) or processing of any
organic chemical or chemical product or petrochemical, including
the separation of such materials into different products by distillation
or other means; or
(b) works with a total processing capacity exceeding 5 000 tonnes per year
involving operations for salt production; or
(c) works for the production of hydrogen with a production capacity of more than
100 tonnes per year.
for the production of energy or materials that are ready for use (without
requiring further treatment),
but excluding a prescribed approved activity or an activity in respect of which the
Authority is satisfied, having regard to the prescribed factors, that an environmental
authorisation is not justified.
(3) Waste disposal
the conduct of—
(a) a landfill depot, being a depot, facility or works for the disposal of waste to
land; or
(b) a liquid waste depot, being a depot, facility or works for the reception and
disposal of liquid waste, or the reception, treatment and disposal of liquid
waste; or
(c) an incineration depot, being a depot, facility or works for the disposal, by
incineration, pyrolysis or gasification by high temperature chemical
decomposition, or thermal oxidation using fuel burning equipment, of solid
waste, a listed waste or quarantine waste,
but excluding a prescribed approved activity or an activity in respect of which the
Authority is satisfied, having regard to the prescribed factors, that an environmental
authorisation is not justified.
(4) Wastewater treatment
the conduct of wastewater treatment works, being sewage treatment works, a CWMS,
winery wastewater treatment works or any other wastewater treatment works with the
capacity to treat, during a 12 month period—
(a) in the case of works located wholly or partly within a water protection
area—more than 5 megalitres of wastewater; or
(b) in the case of works located wholly outside of a water protection area—more
than 50 megalitres of wastewater.
(5) Activities involving listed wastes
(a) an activity producing listed waste—the conduct of an activity in which a
listed waste is produced as waste or becomes waste, but excluding the
following:
(i) a domestic activity;
(ii) retail pharmacy;
(iii) medical practice (other than the practice of pathology);
(iv) nursing practice;
(v) dental practice;
(vi) veterinary practice;
(vii) the conduct of a nursing home or other residential aged care facility;
(viii) the conduct of an immunisation clinic;
(ix) the conduct of a hospital with capacity of fewer than 40 beds;
(4) Piggeries
the conduct of a piggery (being premises having confined or roofed structures for
keeping pigs) with a capacity of—
(a) in the case of a piggery located wholly outside of a water protection
area—6 500 or more standard pig units; or
(b) in the case of a piggery located wholly or partly within a water protection
area—650 or more standard pig units.
In this subclause—
standard pig units is a unit of measurement of pigs determined—
(a) by reference to clause 4.3 of the National Environmental Guidelines for
Piggeries 2010 (second edition (revised)) prepared by Australian Pork
Limited; or
(b) in a manner approved by the Environment Protection Authority and published
on a website determined by the Environment Protection Authority.
(5) Poultry Farms—broiler
the conduct of a broiler farm, being premises for the growing of poultry meat where
the total area of the sheds or structures used to keep the poultry is
13 500 square metres or more.
In this subclause—
poultry means chicken, turkey, guinea fowl, duck, geese, pheasants, quail, squab
(pigeons), muttonbirds or other avian species but does not include ratites.
6—Food Production and Animal and Plant Product Processing
(1) Meat processing works
the conduct of slaughtering works for commercial purposes for the production of meat
or meat products for human or animal consumption, being—
(a) in the case of poultry or poultry meat products—works with a rate of
production exceeding 200 tonnes per year; or
(b) in the case of any other animal meat or animal meat products—works with a
rate of production exceeding 100 tonnes per year.
(2) Breweries
the conduct of works for the production of beer by infusion, boiling or fermentation,
being works with a beer production capacity exceeding 5 000 litres per day.
(4) Fish Processing
the conduct of works for scaling, gilling, gutting, filleting or otherwise processing fish
for sale, but excluding—
(a) works with a processing output of less than 100 tonnes per year where
wastewater is disposed of to a sewer or CWMS; or
(b) works with a processing output of less than 2 tonnes per year where
wastewater is disposed of otherwise than to a sewer or CWMS; or
(c) processing of fish only in the course of a business of selling fish by retail.
In this subclause—
fish has the same meaning as in the Fisheries Management Act 2007;
processing fish does not include freezing, chilling or packing the fish.
(5) Milk Processing Works
the conduct of works at which milk is separated, evaporated or otherwise processed
for the manufacture of evaporated or condensed milk, cheese, butter, ice cream or
other similar dairy products, being works at which milk is processed at a rate
exceeding 5 000 000 litres per year.
(6) Produce Processing Works
the conduct of works for processing any agricultural crop material being—
(a) works for the processing of agricultural crop material by deep fat frying,
roasting or drying through the application of heat with a processing capacity
exceeding 30 kilograms per hour; or
(b) works at which more than 10 000 000 litres of wastewater is generated and
disposed of otherwise than to a sewer or CWMS.
(7) Rendering or Fat Extraction Works
the conduct of works at which animal, fish or grease trap wastes or other matter is
processed or is capable of being processed by rendering or extraction or by some other
means to produce tallow or fat or their derivatives or proteinaceous matter, being
works with a total processing capacity exceeding 250 kilograms per hour.
(8) Curing or Drying Works
the conduct of works at which meat, fish or other edible products are smoked, dried or
cured by the application of heat or smoke with a total processing capacity exceeding
250 kilograms per hour.
(9) Tanneries or Fellmongeries
the conduct of works for the commercial preservation or treatment of animal skins or
hides being works processing more than 5 tonnes of skins or hides per year, but
excluding—
(a) the processing of skins or hides by primary producers in the course of primary
production activities outside township areas; or
(b) the processing of skins or hides in the course of taxidermy.
(10) Woolscouring or Wool Carbonising Works
the conduct of works for the commercial cleaning or carbonising of wool, but
excluding cleaning or carbonising of wool in the course of handicraft activities where
the wool is further processed for sale by retail.
(11) Wineries or Distilleries
the conduct of works for the processing of grapes or other produce to make wine or
spirits, but excluding—
(a) works that are outside the Mount Lofty Ranges Water Protection Area (as
declared under Part 8 of this Act) at which 500 tonnes or less of grapes or
other produce are processed per year; or
(b) works that are inside the Mount Lofty Ranges Water Protection Area (as
declared under Part 8 of this Act) at which 50 tonnes or less of grapes or other
produce are processed per year; or
(c) works for bottling only.
7—Materials Handling and Transportation
(1) Bulk Shipping Facilities
the conduct of facilities for bulk handling of agricultural crop products, rock, ores,
minerals, petroleum products or chemicals to or from any wharf or wharf side facility
(including sea-port grain terminals), being facilities handling or capable of handling
these materials into or from vessels at a rate exceeding 100 tonnes per day.
(2) Railway Operations
the conduct of any of the following activities associated with a railway:
(a) the construction or operation of rail infrastructure; and
(b) the operation of rolling stock on a railway; and
(c) other activities conducted on railway land,
but excluding—
(d) any activities associated with—
(i) a railway with a track gauge that is less than 600mm; or
(ii) a railway in a mine which is underground or predominantly
underground and used in connection with the performance of mining
operations; or
(iii) a slipway; or
(iv) a crane-type runway; or
(v) a railway used solely for the purposes of horse-drawn trams; or
(vi) a railway used solely for the purposes of static displays; or
(vii) a railway used as an amusement device under the Work Health and
Safety Act 2012; or
(e) any activity associated with a railway that is excluded from the ambit of the
definition of development (within the meaning of the Planning, Development
and Infrastructure Act 2016) under regulations made under that Act; or
(f) an activity in respect of which the Authority is satisfied, having regard to the
prescribed factors, that an environmental authorisation is not justified.
In this subclause—
rail infrastructure means infrastructure associated with the operation of a railway and
includes (but is not limited to) railway track, associated track structures, over or under
track structures, supports, tunnels, bridges, stations, platforms, train control systems,
signalling systems, communication systems, electric traction infrastructure and
buildings, but does not include any workshop or repair facility;
railway means a guided system designed for the movement of rolling stock which has
the capability of transporting passengers, freight or both on a railway track, together
with its infrastructure and associated sidings or crossing, or passing loops, and
includes a railway in a marshalling yard or a passenger or freight terminal;
railway land means—
(a) land within a rail corridor or rail reserve, including any associated sidings;
and
(b) railway yards; and
(c) other land over which a railway track passes;
rolling stock means a vehicle (whether or not self-propelled) that operates on or uses a
railway track, but does not include a vehicle designed to operate both on and off a
railway track when the vehicle is not operating on a railway track.
Examples—
A locomotive, carriage, rail car, rail motor, light rail vehicle, train, tram, light inspection
vehicle, road/rail vehicle, trolley, wagon.
(3) Crushing, Grinding or Milling
processing (by crushing, grinding, milling or separating into different sizes by sieving,
air elutriation or in any other manner) of—
(a) chemicals or rubber at a rate in excess of 100 tonnes per year; or
(b) agricultural crop products at a rate in excess of 500 tonnes per year, but
excluding non-commercial processing for on farm use; or
(c) rock, ores or minerals at a rate in excess of 1 000 tonnes per year, but
excluding—
(i) processing on a mining lease area, or processing of material from a
mining lease area on adjacent land subject to a miscellaneous
purposes licence, under the Mining Act 1971; and
(ia) processing on the area of a private mine (within the meaning of
section 19 of the Mining Act 1971), or processing of material from a
private mine on adjacent land subject to a miscellaneous purposes
licence under the Mining Act 1971; and
(ib) processing of sand, gravel, stone, shell, shale, clay or soil as
authorised under any statute other than this Act or the Mining
Act 1971; and
(ii) processing of wet sand.
(4) Dredging
removing solid matter from the bed of any marine waters or inland waters by any
digging or suction apparatus, but excluding works carried out for the establishment of
a visual aid to navigation and any lawful fishing or recreational activity.
(5) Coal Handling and Storage
the handling of coal or carbonaceous material by any means or the storage of coal,
coke or carbonaceous reject material at facilities with a total handling capacity
exceeding 100 tonnes per day or a storage capacity exceeding 5 000 tonnes.
(i) raise the temperature of the receiving waters by more than 2 degrees
Celsius at any time at a distance of 10 metres or more from the point
of discharge; or
(ii) contain antibiotic or chemical water treatments; and
(b) the total volume of the discharges exceeds 50 kilolitres per day.
(8) Cremation or incineration of human or animal remains
the conduct of a facility for the cremation or incineration of human or animal remains
by means of thermal oxidation using fuel burning equipment.
In this subclause—
human or animal remains does not include—
(a) medical waste; or
(b) cytotoxic wastes; or
(c) quarantine waste.
(9) Pumped hydroelectricity production works
the conduct of works or a facility for the generation of electricity by means of passing
water through a turbine with a total full-load sustained output capacity of
30 megawatts or more.
Part B—Listed wastes
Acids and acidic solutions
Adhesives (excluding solid inert polymeric materials)
Alkali metals and alkaline earth metals
Alkalis and alkaline solutions
Antimony and antimony compounds and solutions
Arsenic and arsenic compounds and solutions
Asbestos
Barium compounds and solutions
Beryllium and beryllium compounds
Boron and boron compounds
Cadmium and cadmium compounds and solutions
Calcium carbide
Carbon disulphide
Carcinogens teratogens and mutagens
Chlorates
Chromium compounds and solutions
Copper compounds and solutions
Cyanides or cyanide solutions and cyanide complexes
Cytotoxic wastes
Dangerous substances within the meaning of the Dangerous Substances Act 1979
Distillation residues
Fluoride compounds
Halogens
Heterocyclic organic compounds containing oxygen, nitrogen or sulphur
Hydrocarbons and their oxygen, nitrogen and sulphur compounds (including oils)
Isocyanate compounds (excluding solid inert polymeric materials)
Laboratory chemicals
Lead compounds and solutions
Lime sludges or slurries
Manganese compounds
Medical waste
Mercaptans
Mercury compounds and equipment containing mercury
Nickel compounds and solutions
Nitrates
Organic halogen compounds (excluding solid inert polymeric materials)
Organic phosphates
Organic solvents
Organometallic residues
Oxidising agents
Paint sludges and residues
Perchlorates
Peroxides
Pesticides (including herbicides and fungicides)
Pharmaceutical wastes and residues
Phenolic compounds (excluding solid inert polymeric materials)
Phosphorus and its compounds
Polychlorinated biphenyls
Poisons within the meaning of the Controlled Substances Act 1984
Reactive chemicals
Reducing agents
Selenium and selenium compounds and solutions
Silver compounds and solutions
Legislative history
Notes
• This version is comprised of the following:
Part 1 1.3.2024
Part 2 1.3.2024
Part 3 1.3.2024
Part 4 1.7.2005
Part 5 19.3.2021
Part 6 19.3.2021
Part 6A 14.11.2019
Part 7 14.11.2019
Part 8 9.9.2021
Part 9 14.11.2019
Part 10 11.2.2023
Part 10A 19.3.2021
Part 11 1.7.2009
Part 12 1.7.2005
Part 13 18.11.2012
Part 14 19.3.2021
Part 15 14.11.2019
Schedule 1 1.4.2021
• Amendments of this version that are uncommenced are not incorporated into the text.
• Please note—References in the legislation to other legislation or instruments or to
titles of bodies or offices are not automatically updated as part of the program for the
revision and publication of legislation and therefore may be obsolete.
• Earlier versions of this Act (historical versions) are listed at the end of the legislative
history.
• For further information relating to the Act and subordinate legislation made under the
Act see the Index of South Australian Statutes or www.legislation.sa.gov.au.
Provisions amended
New entries appear in bold.
Entries that relate to provisions that have been deleted appear in italics.
Provision How varied Commencement
Long title amended by 21/2005 s 4 1.7.2005
Pt 1
s2 omitted under Legislation Revision and 24.11.2003
Publication Act 2002
s3
s 3(1)
administering inserted by 21/2005 s 5(1) 1.7.2005
agency
appointed member amended by 100/1995 s 3(a) 4.4.1996
amended by 43/2002 s 4(a) 10.4.2003
appropriate person inserted by 44/2007 s 4(1) 1.7.2009
approved inserted by 45/2017 s 4(1) 28.11.2017
recovered resource
background inserted by 44/2007 s 4(2) 10.12.2007
concentrations
Board inserted by 43/2002 s 4(b) 10.4.2003
cause inserted by 44/2007 s 4(3) 1.7.2009
chemical inserted by 44/2007 s 4(3) 10.12.2007
substance
Chief Executive inserted by 43/2002 s 4(c) 10.4.2003
substituted by 14/2008 s 4 7.8.2008
climate change inserted by 28/2023 s 3(1) 1.3.2024
adaptation
climate change inserted by 28/2023 s 3(1) 1.3.2024
mitigation
council substituted by 21/2005 s 5(2) 1.7.2005
disposal inserted by 45/2017 s 4(2) 28.11.2017
domestic partner inserted by 43/2006 s 94(1) 1.6.2007
environmental amended by 21/2005 s 5(3), (4) 1.7.2005
nuisance
the Forum deleted by 100/1995 s 3(b) 4.4.1996
greenhouse gas inserted by 28/2023 s 3(2) 1.3.2024
emissions
holding company inserted by 44/2007 s 4(4) 1.7.2009
liability inserted by 44/2007 s 4(5) 1.7.2009
occupier substituted by 21/2005 s 5(5) 1.7.2005
pollutant amended by 21/2005 s 5(6) 1.7.2005
amended by 45/2017 s 4(3), (4) 28.11.2017
pollute amended by 45/2017 s 4(5), (6) 28.11.2017
pre-school inserted by 5/2017 s 30(1) 19.3.2021
s5
s 5(1) substituted by 21/2005 s 6 1.7.2005
amended by 45/2017 s 7 28.11.2017
s 5A inserted by 21/2005 s 7 1.7.2005
deleted by 45/2017 s 9 28.11.2017
s 5B inserted by 44/2007 s 5 10.12.2007
s 5C s 4 amended and redesignated as s 5C by 28.11.2017
45/2017 s 6(1)—(3)
s 5D inserted by 45/2017 s 8 28.11.2017
s7
s 7(2) (b) and (c) deleted by 43/2002 s 5 10.4.2003
s 7(3) amended by 36/1999 Sch 4 cl 19 29.7.1999
s 7(4) amended by 21/2005 s 8 1.7.2005
s9
s 9(2) substituted by 21/2005 s 9 1.7.2006
Pt 2
s 10
s 10(1) amended by 44/2007 s 6 1.7.2009
amended by 45/2017 s 10(1)—(6) 28.11.2017
amended by 28/2023 s 4(1)—(5) 1.3.2024
s 10(2) amended by 100/1995 s 4 4.4.1996
amended by 21/2005 s 10 1.7.2005
s 10A inserted by 35/2003 Sch cl 6(a) 24.11.2003
substituted by 60/2007 Sch 1 cl 17 6.11.2008
s 10B inserted by 5/2005 Sch 2 cl 17 1.7.2005
deleted by 60/2007 Sch 1 cl 17 6.11.2008
Pt 3 heading substituted by 100/1995 s 5 4.4.1996
heading substituted by 21/2005 s 11 1.7.2005
Pt 3 Div 1
s 11
s 11(4) amended by 22/2010 s 6 18.11.2012
s 12 amended by 11/1997 s 3 1.5.1997
deleted by 43/2002 s 6 10.4.2003
s 13
s 13(1) substituted by 43/2002 s 7 10.4.2003
amended by 45/2017 s 11 28.11.2017
s 14 amended by 43/2002 s 8 10.4.2003
amended by 14/2008 s 5 7.8.2008
s 14A before inserted by 43/2002 s 9 10.4.2003
substitution by
14/2008
s 14A(5) amended by 21/2005 s 12 1.7.2005
s 14A substituted by 14/2008 s 6 7.8.2008
s 14B inserted by 43/2002 s 9 10.4.2003
Pt 3 Div 3
s 24
s 24(3) amended by 30/1995 Sch 4 cl (a) 1.7.1995
amended by 43/2002 s 15 10.4.2003
amended by 21/2005 s 18 1.7.2006
s 24(4) amended by 30/1995 Sch 4 cl (b) 1.7.1995
s 24(5) deleted by 100/1995 s 7 4.4.1996
Pt 4
s 25
s 25(4) amended by 21/2005 s 19(1), (2) 1.7.2005
Pt 5
s 27
s 27(1) amended by 45/2017 s 12(1) 28.11.2017
s 27(2) (iii) deleted by 21/2005 s 20(1) 1.7.2005
amended by 21/2005 s 20(2) 1.7.2005
amended by 5/2017 s 31 19.3.2021
s 27(3) amended by 21/2005 s 20(3) 1.7.2005
s 27(4) amended by 21/2005 s 20(4) 1.7.2005
amended by 45/2017 s 12(2), (3) 28.11.2017
s 27(5)—(7) inserted by 45/2017 s 12(4) 28.11.2017
s 28
s 28(3) substituted by 21/2005 s 21(1) 1.7.2005
amended by 25/2019 s 26 3.10.2019
s 28(3a) inserted by 100/1995 s 8(a) 4.4.1996
substituted by 43/2002 s 16 10.4.2003
s 28(5) substituted by 100/1995 s 8(b) 4.4.1996
s 28(6) amended by 100/1995 s 8(c) 4.4.1996
amended by 21/2005 s 21(2) 1.7.2005
s 28(7) deleted by 21/2005 s 21(3) 1.7.2005
s 28(8) amended by 21/2005 s 21(4) 1.7.2005
amended by 45/2017 s 13 28.11.2017
s 28(9) substituted by 21/2005 s 21(5) 1.7.2005
s 28(10) amended by 100/1995 s 8(d) 4.4.1996
deleted by 21/2005 s 21(5) 1.7.2005
s 28A inserted by 1/1995 Sch 2 cl 1(a) 2.3.1997
deleted by 21/2005 s 22 1.7.2005
s 29
s 29(1a) and (1b) inserted by 1/1995 Sch 2 cl 1(b) 2.3.1997
substituted by 21/2005 s 23 1.7.2005
s 29(2) amended by 1/1995 Sch 2 cl 1(c) 2.3.1997
s 31
s 31(1) substituted by 100/1995 s 9 4.4.1996
s 32
s 54
s 54(1) amended by 21/2005 s 37(1), (2) 1.7.2005
ss 54A and 54B inserted by 21/2005 s 38 1.7.2005
s 54C inserted by 35/2008 s 6 1.9.2008
s 57 amended by 1/2004 Sch 1 cl 3 7.5.2004
amended by 57/2016 s 63 1.2.2017
(a) deleted by 7/2017 s 52(1) 22.6.2017
amended by 7/2017 s 52(2) 22.6.2017
amended by 5/2017 s 36 19.3.2021
Pt 6A inserted by 22/2010 s 7 18.11.2012
s 57A amended by 45/2017 Sch 2 14.11.2019
Pt 7
s 58
s 58(5) amended by 45/2017 Sch 2 14.11.2019
s 60
s 60(4) amended by 45/2017 Sch 2 14.11.2019
Pt 8
Pt 8 Div 1
s 61 substituted by 35/1997 s 8 2.7.1997
s 61(1)
Water Resources amended by 34/2004 Sch 4 cl 8 1.7.2005
Minister
amended by 33/2019 Sch 5 cl 11 1.7.2020
s 61A inserted by 35/1997 s 9 2.7.1997
s 62 substituted by 35/1997 s 10 2.7.1997
s 62(1) amended by 34/2004 Sch 4 cl 9 1.7.2005
amended by 33/2019 Sch 5 cl 12 1.7.2020
s 64
s 64(1) amended by 35/1997 s 11(a), (b) 2.7.1997
s 64(1a) inserted by 35/1997 s 11(c) 2.7.1997
amended by 34/2004 Sch 4 cl 10(1), (2) 1.7.2005
amended by 33/2019 Sch 5 cl 13(1), (2) 1.7.2020
s 64(1b) inserted by 35/1997 s 11(c) 2.7.1997
amended by 5/2017 s 37 19.3.2021
s 64(9) inserted by 35/1997 s 11(d) 2.7.1997
amended by 34/2004 Sch 4 cl 10(3) 1.7.2005
amended by 33/2019 Sch 5 cl 13(3) 1.7.2020
ss 64A—64D inserted by 35/1997 s 12 2.7.1997
Pt 8 Div 2
s 64E inserted by 35/2008 s 7 1.9.2008
s 65
approved inserted by 35/2008 s 8(1) 1.9.2008
collection depot
s 103N
s 103N(1) amended by 35/2008 s 19 1.9.2008
s 103O
s 103O(6) amended by 45/2017 Sch 2 14.11.2019
s 103S
s 103S(3) amended by 45/2017 Sch 2 14.11.2019
Pt 10A Div 4 inserted by 44/2007 s 11 20.11.2008—except ss 103U &
103W—1.7.2009
s 103U amended by 45/2017 Sch 2 14.11.2019
s 103V
s 103V(2) amended by 51/2017 s 77(1) 22.2.2018
s 103V(4) inserted by 51/2017 s 77(2) 22.2.2018
s 103W
s 103W(1) and (2) amended by 45/2017 Sch 2 14.11.2019
s 103X
s 103X(2) and (3) amended by 45/2017 Sch 2 14.11.2019
s 103Y
s 103Y(1) amended by 45/2017 Sch 2 14.11.2019
s 103Y(3) amended by 45/2017 Sch 2 14.11.2019
s 103Z
s 103Z(1) and (2) amended by 45/2017 Sch 2 14.11.2019
s 103Z(4) amended by 45/2017 Sch 2 14.11.2019
Pt 10A Div 4A
s 103ZA amended by 45/2017 Sch 2 14.11.2019
s 103ZB amended by 45/2017 Sch 2 14.11.2019
Pt 11
heading substituted by 21/2005 s 56 1.7.2006
s 104
s 104(1) amended by 44/2007 s 12 1.7.2009
s 104(7) amended by 21/2005 s 57(1) 1.7.2005
amended by 17/2006 s 110(1) 4.9.2006
s 104(8) amended by 17/2006 s 110(2) 4.9.2006
s 104(11) amended by 17/2006 s 110(3), (4) 4.9.2006
s 104(14) amended by 17/2006 s 110(5) 4.9.2006
s 104(23) inserted by 21/2005 s 57(2) 1.7.2005
s 104A inserted by 21/2005 s 58 1.7.2006
Pt 12
s 105
s 105(2) substituted by 21/2005 s 59(1) 1.7.2005
s 105(3) amended by 21/2005 s 59(2) 1.7.2005
s 105(4) amended by 21/2005 s 59(3), (4) 1.7.2005
Pt 13
s 106
s 140
s 140(2) amended by 21/2005 s 82 1.7.2005
amended by 45/2017 s 32(1)—(3) 28.11.2017
s 140(3) amended by 45/2017 s 32(4), (5) 28.11.2017
s 140(3a) inserted by 45/2017 s 32(6) 28.11.2017
s 140(8) deleted by 18/1994 Sch cl 2 1.5.1995
Sch 1
Pt AA inserted by 1/2019 r 4(1) 1.6.2019
Pt A
cl A2 inserted by 1/2019 r 4(2) 1.6.2019
cl 1
cl 1(1) amended by 181/1994 r 4(a) 1.5.1995
cl 1(2) substituted by 181/1994 r 4(b) 1.5.1995
amended by 311/2020 r 4(1) 1.4.2021
cl 1(4) deleted by 1/2019 r 4(3) 1.6.2019
cl 1(5) substituted by 1/2019 r 4(4) 1.6.2019
cl 1(5a) inserted by 35/2018 s 64 1.1.2020
cl 1(6) amended by 181/1994 r 4(c) 1.5.1995
substituted by 1/2019 r 4(5) 1.6.2019
cl 2
cl 2(2) amended by 1/2019 r 4(6) 1.6.2019
cl 2(6) substituted by 1/2019 r 4(7) 1.6.2019
cl 2(11) deleted by 1/2019 r 4(8) 1.6.2019
cl 2(12) amended by 181/1994 r 4(d) 1.5.1995
amended by 1/2019 r 4(9) 1.6.2019
cl 2(13) amended by 1/2019 r 4(10) 1.6.2019
cl 2(14) and inserted by 181/1994 r 4(e) 1.5.1995
(15)
cl 3 before
substitution by
1/2019
cl 3(2) substituted by 181/1994 r 4(f) 1.5.1995
amended by 161/2001 r 4(a) 28.6.2001
cl 3(3) substituted by 181/1994 r 4(f) 1.5.1995
(e)(i)(A) deleted by 35/2008 s 23(1) 1.9.2008
amended by 35/2008 s 23(2), (3) 1.9.2008
cl 3(4) amended by 181/1994 r 4(g) 1.5.1995
amended by 21/2005 s 83(1) 1.7.2005
cl 3 substituted by 1/2019 r 4(11) 1.6.2019
cl 4 substituted by 181/1994 r 4(h) 1.5.1995
cl 4(2) amended by 5/2017 s 40(1) uncommenced—not
incorporated
amended by 1/2019 r 4(12) 1.6.2019
amended by 5/2017 s 40(2) 19.3.2021
Historical versions
Reprint No 1—1.5.1995
Reprint No 2—1.7.1995
Reprint No 3—4.4.1996
Reprint No 4—2.1.1997
Reprint No 5—2.3.1997
Reprint No 7—1.5.1997
Reprint No 8—2.7.1997
Reprint No 9—29.7.1999
Reprint No 10—2.4.2001
Reprint No 11—14.6.2001
Reprint No 12—28.6.2001
Reprint No 13—11.10.2001
Reprint No 14—1.7.2002
Reprint No 15—10.4.2003
Reprint No 16—24.11.2003
7.5.2004
1.9.2004
1.7.2005
1.7.2006
4.9.2006
1.6.2007
29.11.2007
10.12.2007
7.8.2008
1.9.2008
6.11.2008
20.11.2008
1.7.2009
1.2.2010
18.11.2012
1.1.2013
30.11.2013
1.2.2017
22.6.2017
28.11.2017
22.2.2018
1.6.2019
1.7.2019
3.10.2019
14.11.2019
1.1.2020
18.6.2020
1.7.2020
19.3.2021
1.4.2021
9.9.2021
11.2.2023