{"id":"C2015A00061","name":"Biosecurity Act 2015","slug":"biosecurity-act-2015","collection":"act","jurisdiction":"commonwealth","status":"in_force","isInForce":true,"actNumber":"61 of 2015","makingDate":null,"administeringDepartment":null,"currentVersion":{"id":54865,"registerId":"commonwealth-C2015A00061-current","compilationNumber":null,"startDate":"2026-04-02","status":"InForce","reasons":null,"registeredAt":null},"sections":[{"sectionNumber":"34","sectionType":"section","heading":"The principles","content":"34 The principles\n\n","sortOrder":0},{"sectionNumber":"35","sectionType":"section","heading":"No interference with urgent or life‑threatening medical needs","content":"35 No interference with urgent or life‑threatening medical needs\n\nSubdivision B—Protections for children or incapable persons\n\n36 Child or incapable person may be accompanied\n\n37 Officer to contact parent, guardian or next of kin of unaccompanied child or incapable person\n\n38 Requirement to comply with direction\n\n39 Parent, guardian or next of kin may authorise person to accompany child or incapable person\n\n40 Giving consent\n\n41 Exception for requiring an individual to remain at a place\n\nDivision 3—Listing human diseases\n\n42 Listing human diseases\n\nPart 2—Preventing risks to human health\n\n43 Simplified outline of this Part\n\nDivision 2—Entry and exit requirements\n\n44 Entry requirements\n\n45 Exit requirements\n\n46 Civil penalties for failing to comply with certain entry and exit requirements\n\nDivision 3—Contact information for operators\n\n47 Requirements for operators to provide 24/7 contact information\n\nDivision 4—Pratique\n\n48 Positive pratique\n\n49 Negative pratique\n\n50 Pre‑departure reporting\n\nDivision 5—Preventative biosecurity measures\n\n51 Determining preventative biosecurity measures\n\n52 Civil penalty for failing to comply with a preventative biosecurity measure\n\nDivision 6—Information gathering powers\n\n54 Who may ask questions and require written information\n\n55 Asking questions and requiring answers from particular individuals\n\n56 Asking questions and requiring answers from any individual\n\n57 Requiring an individual to provide written information\n\n58 Offence for failing to comply with a requirement\n\nPart 3—Managing risks to human health: human biosecurity control orders\n\n59 Simplified outline of this Part\n\nDivision 2—Imposing human biosecurity control orders on individuals\n\nSubdivision A—Imposing, varying and revoking human biosecurity control orders\n\n60 Imposing a human biosecurity control order on an individual\n\n61 Contents of a human biosecurity control order\n\n62 Form of a human biosecurity control order\n\n63 Giving a human biosecurity control order to an individual\n\n64 Varying a human biosecurity control order\n\n65 Giving notice of a variation of a human biosecurity control order\n\n66 Revoking a human biosecurity control order\n\n67 Notifying Director of Human Biosecurity of imposition, variation or revocation of human biosecurity control order\n\nSubdivision B—Powers if officer intends to impose human biosecurity control order\n\n68 Requiring an individual to remain at a place\n\n69 Providing contact information\n\n70 Requirement for an individual to notify changes to contact information\n\nSubdivision C—When an individual is required to comply with a biosecurity measure\n\n71 Consenting to a biosecurity measure\n\n72 Director of Human Biosecurity may give direction requiring compliance\n\n73 When direction to comply with biosecurity measure ceases to be in force\n\n74 When individual is required to comply with a biosecurity measure\n\nSubdivision D—ART review of isolation and traveller movement measures\n\n75 Obligation on Director of Human Biosecurity relating to Administrative Review Tribunal application\n\n76 Applications\n\n77 Reasons and documents\n\n78 Time period for making a decision\n\n79 Limitation on Administrative Review Tribunal power to stay etc. decisions\n\nSubdivision E—Other provisions relating to external review of isolation and traveller movement measures\n\n80 Time period for making applications under the Administrative Decisions (Judicial Review) Act 1977\n\n81 Judicial review of isolation and traveller movement measures\n\nDivision 3—Biosecurity measures that may be included in a human biosecurity control order\n\nSubdivision A—General provisions relating to including biosecurity measures in a human biosecurity control order\n\n82 Who can include a biosecurity measure in a human biosecurity control order\n\n83 Informing individual of risks\n\n84 Test for including a biosecurity measure in a human biosecurity control order\n\nSubdivision B—Biosecurity measures that may be included in a human biosecurity control order\n\n85 Managing contacts\n\n86 Contacting officer with health status\n\n87 Restricting behaviour\n\n88 Risk minimisation interventions\n\n89 Decontamination\n\n90 Undergoing an examination\n\n91 Requiring body samples for diagnosis\n\n92 Receiving a vaccination or treatment\n\n93 Receiving medication\n\n94 Appropriate medical or other standards to be applied\n\n95 No use of force to require compliance with certain biosecurity measures\n\n96 Traveller movement measure\n\n97 Isolation measure\n\nSubdivision C—Provisions relating to traveller movement measures\n\n98 Traveller movement measure alert\n\n99 Content of traveller movement measure alert\n\n100 Destruction of traveller movement measure alert\n\n101 Prevention from leaving Australian territory\n\nDivision 4—Other provisions relating to human biosecurity control orders\n\nSubdivision A—Consular assistance\n\n","sortOrder":1},{"sectionNumber":"102","sectionType":"section","heading":"Consular assistance","content":"102 Consular assistance\n\nSubdivision B—Detention\n\n103 Detention\n\n104 Rules relating to detention\n\n105 Release from detention\n\n106 Offence for escaping from detention\n\nSubdivision C—Miscellaneous\n\n107 Offence for failing to comply with a human biosecurity control order\n\n108 Expenses incurred in complying with human biosecurity control orders\n\nPart 4—Managing risks to human health: other biosecurity measures\n\n109 Simplified outline of this Part\n\nDivision 2—Managing deceased individuals\n\n110 Human remains brought into Australian territory\n\n111 Officer may give directions for managing human remains\n\n112 Individuals who have died in transit or on arrival\n\nDivision 3—Human health response zones\n\n113 Determining human health response zones\n\n114 Consultation requirements\n\n115 Notification requirements\n\n116 Civil penalty for failing to comply with a requirement of a human health response zone determination\n\nChapter 3—Managing biosecurity risks: goods\n\nPart 1—Goods brought into Australian territory\n\n117 Simplified outline of this Part\n\n118 Objects of this Part\n\nDivision 2—Goods are subject to biosecurity control\n\n119 Goods brought into Australian territory are subject to biosecurity control\n\nDivision 3—Notice of goods to be unloaded in Australian territory\n\n120 Notice must be given of goods to be unloaded in Australian territory\n\n121 Notice of goods to be unloaded in Australian territory—requirement to give additional or corrected information\n\n122 Power to obtain extra information relating to goods covered by a notice under section 120\n\nDivision 4—Assessment of level of biosecurity risk\n\n123 Biosecurity risk assessment powers\n\n124 Direction to secure goods\n\n125 Inspecting goods and taking samples\n\n126 Asking questions about goods\n\n127 Requiring documents relating to goods to be produced\n\n128 Movement of goods\n\n129 Biosecurity control notice may be affixed to goods or given to person in charge of goods\n\n130 Unauthorised persons must not move etc. goods in relation to which direction has been given or notice has been affixed\n\nDivision 5—Biosecurity measures to manage unacceptable level of biosecurity risk\n\n131 Biosecurity measures may be required in relation to goods\n\n132 Movement of goods\n\n133 Treatment of goods\n\n134 Treatment that is likely to damage goods\n\n135 Export of goods\n\n136 Destruction of goods\n\n137 Regulations may provide for other biosecurity measures\n\n138 Powers of biosecurity officer if biosecurity measures are required\n\n139 Biosecurity officer may affix notice to goods\n\n140 Person must comply with direction to take biosecurity measures\n\n141 Unauthorised persons must not move etc. goods to which notice has been affixed\n\nDivision 6—Unloading goods at landing places or ports\n\n142 Application of this Division\n\n143 Person in charge may allow goods to be unloaded from aircraft or vessel subject to direction etc.\n\n144 Person may unload goods from aircraft or vessel subject to direction etc.\n\n145 Goods must not be unloaded except at first point of entry for those goods or with permission\n\n146 Permission to unload goods at landing place or port other than first point of entry for those goods\n\n147 Goods must be brought to biosecurity entry point for those goods at first point of entry\n\n148 Permission to bring goods to alternative biosecurity entry point\n\n149 Receiving or possessing goods unloaded from aircraft or vessel in contravention of this Division\n\nDivision 7—Unloading goods from vessel displaying prescribed quarantine signal\n\n150 Application of this Division\n\n151 Unloading goods from vessel displaying prescribed quarantine signal\n\n152 Receiving or possessing goods unloaded from vessel displaying prescribed quarantine signal\n\nDivision 8—Reporting biosecurity incidents\n\n153 Application of this Division\n\n154 Director of Biosecurity may determine acts, omissions or events to be reportable biosecurity incidents\n\n155 Reporting by person in charge of aircraft or vessel carrying goods\n\n156 Reporting by person in charge of goods\n\n157 How reports must be made\n\nDivision 9—Goods exposed to goods that are subject to biosecurity control\n\n158 Application of this Division\n\n159 Assessment and management of biosecurity risk associated with exposed goods\n\n160 Exposed goods orders\n\n161 Effect of exposed goods order\n\nDivision 10—Release of goods from biosecurity control\n\n162 When goods brought into Australian territory are released from biosecurity control\n\n163 Notice releasing goods from biosecurity control\n\n164 Revoking notice or declaration releasing goods from biosecurity control\n\nPart 2—Biosecurity Import Risk Analyses\n\n165 Simplified outline of this Part\n\nDivision 2—Biosecurity Import Risk Analyses\n\n166 What is a Biosecurity Import Risk Analysis (BIRA)\n\n167 Director of Biosecurity may conduct a BIRA\n\n168 Agriculture Minister may direct Director of Biosecurity to commence a BIRA\n\n169 Process for conducting a BIRA\n\n170 Reports\n\nPart 3—Prohibited goods etc.\n\n171 Simplified outline of this Part\n\n172 Exclusion of State and Territory laws\n\nDivision 2—Prohibited goods and conditionally non‑prohibited goods\n\n173 Prohibited goods\n\n174 Conditionally non‑prohibited goods\n\n175 Security may be required in relation to conditionally non‑prohibited goods\n\nDivision 3—Permits to bring or import goods into Australian territory\n\n176 Application of this Division\n\n177 Person may apply for permit\n\n178 Dealing with application\n\n179 Director of Biosecurity may grant permit\n\n180 Conditions of permit\n\n181 Variation, suspension or revocation of permit\n\nDivision 4—Suspended goods\n\n182 Director of Biosecurity may suspend bringing or importation of goods into Australian territory for a period\n\n183 Variation of determination suspending bringing or importation of goods into Australian territory\n\n184 Effect on permit of suspended goods determination\n\n185 Bringing or importing prohibited or suspended goods into Australian territory\n\n186 Contravening conditions applying to conditionally non‑prohibited goods brought or imported into Australian territory\n\n186A Contravening conditions applying to conditionally non‑prohibited goods brought or imported into Australian territory—concealment of goods\n\n187 Contravening conditions of a permit\n\n188 Receiving or possessing prohibited or suspended goods brought or imported into Australian territory\n\nChapter 4—Managing biosecurity risks: conveyances\n\n189 Objects of this Chapter\n\nPart 2—Conveyances entering Australian territory etc.\n\n190 Simplified outline of this Part\n\nDivision 2—Conveyances that are subject to biosecurity control\n\n191 Aircraft and vessels entering Australian territory\n\n192 Conveyances exposed to other conveyances that are subject to biosecurity control\n\nDivision 3—Pre‑arrival reporting etc.\n\n193 Pre‑arrival reporting\n\n194 Pre‑arrival reporting—requirement to give more information\n\n195 Power to obtain extra information relating to an aircraft or vessel covered by a pre‑arrival report\n\n196 Persons on incoming aircraft or vessel may be required to provide information or travel documents to assess biosecurity risk\n\nDivision 3A—Entry requirements: persons entering Australian territory on board conveyances\n\n196A Persons on incoming aircraft or vessel may be subject to requirements relating to diseases or pests\n\n196B Varying and revoking requirements\n\n196C Civil penalty for failing to comply with requirement\n\nDivision 4—Assessment of level of biosecurity risk associated with conveyances\n\n197 Biosecurity risk assessment powers\n\n198 Securing conveyance\n\n199 Inspecting conveyance\n\n200 Asking questions about conveyance\n\n201 Requiring documents relating to conveyance to be produced\n\n202 Movement of conveyance\n\n203 Biosecurity control notice may be affixed to conveyance or given to person in charge of conveyance\n\n204 Unauthorised persons must not move etc. conveyance in relation to which direction has been given\n\nDivision 5—Biosecurity measures to manage unacceptable level of biosecurity risk associated with conveyances\n\n204A Requirements to destroy vectors on incoming or outgoing aircraft or vessels\n\n205 Biosecurity measures may be required in relation to conveyance\n\n206 Movement of certain aircraft and vessels\n\n207 Movement of exposed conveyances\n\n208 Treatment of conveyance\n\n209 Treatment that is likely to damage conveyance\n\n210 Destruction of conveyance\n\n211 Conveyance must not be destroyed during review period\n\n212 Regulations may provide for other biosecurity measures\n\n213 Powers of biosecurity officer if biosecurity measures are required\n\n214 Biosecurity officer may affix notice to conveyance\n\n215 Person must comply with direction to take biosecurity measures\n\n216 Unauthorised persons must not move etc. conveyance in relation to which biosecurity measures have been required\n\nDivision 6—Leaving conveyances\n\n217 Person in charge of conveyance may leave conveyance unless directed not to do so\n\nDivision 7—Release of conveyances from biosecurity control\n\n218 When conveyance is released from biosecurity control\n\n219 Notice releasing conveyance from biosecurity control\n\nDivision 8—Miscellaneous\n\n220 Information about biosecurity requirements must be given to persons on board incoming aircraft or vessels\n\n221 Quarantine signal\n\nPart 3—First points of entry and biosecurity entry points\n\n222 Simplified outline of this Part\n\nDivision 2—First points of entry and biosecurity entry points for incoming aircraft and goods\n\n223 Determination of landing places that are first points of entry for aircraft or goods that are subject to biosecurity control\n\n224 Biosecurity entry points for aircraft and goods that are subject to biosecurity control\n\n225 Determination may be subject to conditions\n\n226 Determination may have effect for specified period\n\n227 Variation and revocation of determination etc.\n\n228 Determination is a legislative instrument\n\nDivision 3—First points of entry and biosecurity entry points for incoming vessels and goods\n\n229 Determination of ports that are first points of entry for vessels or goods that are subject to biosecurity control\n\n230 Biosecurity entry points for vessels and goods that are subject to biosecurity control\n\n231 Determination may be subject to conditions\n\n232 Determination may have effect for specified period\n\n233 Variation and revocation of determination etc.\n\n234 Determination is a legislative instrument\n\nPart 4—Entry points for incoming aircraft and vessels\n\n235 Simplified outline of this Part\n\nDivision 2—Entry points for aircraft that intend to land in Australian territory\n\n236 Application of this Division\n\n237 Aircraft must land at first point of entry\n\n238 Aircraft must be brought to relevant biosecurity entry point (if any) at first point of entry\n\n239 Permission for aircraft to land at landing place that is not first point of entry for aircraft\n\n240 Direction requiring aircraft to land, or not to land, at specified landing place\n\n241 Direction requiring aircraft not to land at any landing place in Australian territory\n\n242 Direction requiring aircraft to land, or not to land, at specified landing place—management of human health risks\n\n243 Person who is given direction must comply with it\n\nDivision 3—Entry points for vessels that intend to be moored in Australian territory\n\n244 Application of this Division\n\n245 Vessel must be moored at first point of entry\n\n246 Vessel must be brought to relevant biosecurity entry point (if any) at first point of entry\n\n247 Permission for vessel to be moored at port that is not first point of entry for vessel\n\n248 Direction requiring vessel to be moored, or not to be moored, at specified port\n\n249 Direction requiring vessel not to be moored at any port in Australian territory\n\n250 Direction requiring vessel to be moored, or not to be moored, at specified port—management of human health risks\n\n251 Person who is given direction must comply with it\n\nDivision 4—Miscellaneous\n\n252 Biosecurity officer etc. may enter landing places or ports\n\n252A Direction to operator of first point of entry to carry out activities to control vectors\n\nPart 5—Ship sanitation\n\n253 Simplified outline of this Part\n\nDivision 2—Ship sanitation\n\n254 Application of this Division\n\n255 Regulations may prescribe scheme in relation to ship sanitation\n\n256 Declaring ports at which vessels may be inspected for the purposes of the scheme\n\n257 Assessing and managing sanitation health risks\n\nChapter 5—Ballast water and sediment\n\nPart 1—Application and interpretation\n\n258 Simplified outline of this Part\n\nDivision 2—Application and interpretation\n\n259 Extension of Chapter to every external Territory\n\n260 Vessels in dry dock in Australia\n\n261 Foreign vessels and the Australian Antarctic Territory\n\n262 References to the person in charge of a vessel do not include persons exercising certain powers\n\n263 Permanent ballast water in sealed tanks not subject to this Chapter\n\n263A Warships, naval auxiliary or other vessels owned or operated by the Australian government or the government of a foreign country\n\n264 Relationship with other Commonwealth laws\n\n265 Relationship with State and Territory laws\n\nPart 2—Notice of discharge of ballast water in Australian territorial seas\n\n266 Simplified outline of this Part\n\nDivision 2—Reporting ballast water discharges\n\n267 Reporting ballast water discharges in Australian territorial seas\n\n268 Reporting ballast water discharges in Australian territorial seas—requirement to give additional or corrected information\n\nPart 3—Management of discharge of ballast water\n\n269 Simplified outline of this Part\n\nDivision 2—Offence of discharging ballast water\n\n270 Offence—discharging ballast water\n\nDivision 3—Exceptions: ballast water management\n\nSubdivision A—Exception\n\n","sortOrder":2},{"sectionNumber":"271","sectionType":"section","heading":"Exception—ballast water has been managed for discharge","content":"271 Exception—ballast water has been managed for discharge\n\nSubdivision B—Methods of ballast water management\n\n272 Approved method of ballast water management\n\n273 Method of ballast water management—application for approval\n\n274 Method of ballast water management—approval of method approved by foreign country\n\nSubdivision C—Ballast water exchange\n\n275 Management by ballast water exchange\n\nDivision 4—Exception: discharge as part of acceptable ballast water exchange\n\n276 Exception—discharge as part of acceptable ballast water exchange\n\nDivision 5—Exception: approved discharge to ballast water reception facility\n\n277 Exception—approved discharge to ballast water reception facility\n\n278 Discharge to ballast water reception facility—application for approval\n\nDivision 6—Exception: discharge covered by exemption\n\n278A Exception—discharge covered by prescribed conditions\n\n279 Exception—discharge covered by exemption\n\n280 Director of Biosecurity may grant exemptions\n\n281 Variation and revocation of exemption\n\nDivision 7—Exception: taking up and discharging ballast water at same place\n\n282 Exception—taking up and discharging ballast water at same place\n\nDivision 8—Exceptions and reporting requirements relating to safety, accidents and pollution\n\n283 Exceptions—safety, accidents and pollution\n\n284 Report of discharge relating to safety, accident or pollution\n\nPart 4—Ballast water management plans and ballast water management certificates\n\n285 Simplified outline of this Part\n\nDivision 1A—General requirement to have ballast water management plan and certificate\n\n285A Vessels to have a ballast water management plan and certificate\n\n285B Scheme to provide further exemptions from requirement to have a ballast water management plan and certificate\n\n285C Offence for failing to have a ballast water management plan or certificate\n\nDivision 2—Ballast water management plans\n\n286 Ballast water management plan\n\n287 Approval of ballast water management plans for vessels\n\nDivision 3—Ballast water management certificates\n\n288 Ballast water management certificate\n\n290 Issue or endorsement etc. of ballast water management certificate on behalf of the Commonwealth\n\nDivision 4—Survey authorities\n\n290A Director of Biosecurity may authorise person to be survey authority\n\nPart 5—Ballast water records\n\n291 Simplified outline of this Part\n\nDivision 2—Ballast water records\n\n292 Vessels must have a ballast water record system\n\n293 Recording ballast water operations and disposal of sediment\n\n294 Records must be retained\n\n295 Appropriate ballast water records for vessels\n\nPart 6—Offence of disposing of sediment\n\n297 Simplified outline of this Part\n\nDivision 2—Offence of disposing of sediment\n\n298 Offence—disposing of sediment\n\n299 Exceptions—safety, accidents and pollution\n\n299A Report of disposal of sediment relating to safety, accident or pollution\n\nPart 7—Compliance and enforcement\n\n300 Simplified outline of this Part\n\n300A Purpose and location of exercise of powers\n\nDivision 2—Powers in relation to vessels\n\n300B Securing vessels\n\n300C Inspecting and taking samples from vessels\n\n300D Asking questions about vessels\n\n301 Power to require owner of vessel to provide ballast water records\n\nDivision 3—Directions powers\n\n302 Directions not to discharge ballast water\n\n303 Directions about movement of vessel\n\n304 Directions about movement of vessel—variation or revocation\n\n304A Report on failure to comply with direction\n\n305 Offence—contravening a direction\n\n306 Manner of giving directions etc.\n\nPart 8—Miscellaneous\n\n307 Compensation for undue detention or delay of vessel\n\n308 Prescribing matters by reference to other instruments\n\n308A Determination\n\nChapter 6—Managing biosecurity risks: monitoring, control and response\n\n309 Simplified outline of this Part\n\n310 Modified meaning of biosecurity risk\n\n311 Objects of this Chapter\n\n312 Application of this Chapter\n\nPart 1A—Locating prohibited or suspended goods etc.\n\n312A Simplified outline of this Part\n\nDivision 2—Information‑gathering powers\n\n312B Requirement to notify of information about goods that have become suspended goods\n\n312C Requirement to notify of information about goods that have become prohibited goods\n\n312D Information‑gathering powers relating to prohibited goods, suspended goods and certain conditionally non‑prohibited goods\n\n312E Asking questions about goods\n\n312F Requiring documents relating to goods to be produced\n\nPart 2—Assessment of level of biosecurity risk\n\n313 Simplified outline of this Part\n\nDivision 2—Circumstances in which biosecurity risk assessment powers may be exercised\n\n314 Reasonable suspicion that disease or pest may pose unacceptable level of biosecurity risk\n\n315 Exercise of biosecurity risk assessment powers in premises\n\nDivision 3—Biosecurity risk assessment powers\n\n316 Application of this Division\n\n317 Direction to secure goods or conveyance\n\n318 Inspections and taking samples of goods or premises\n\n319 Asking questions about goods or premises\n\n320 Requiring documents relating to goods or premises to be produced\n\n321 Movement of goods or conveyance\n\n322 Biosecurity officer may affix notice to goods or conveyance\n\n323 Unauthorised persons must not move etc. goods or conveyance to which notice has been affixed\n\n324 Operating electronic equipment on premises\n\n325 Expert assistance to operate electronic equipment\n\n326 Compensation for damage to electronic equipment\n\nDivision 4—Offences\n\n327 Contravention of direction\n\n328 Contravention of requirement to answer questions etc.\n\n329 Contravention of requirement to produce documents\n\n330 Unauthorised persons must not move etc. goods or conveyance to which notice has been affixed\n\nPart 3—Biosecurity measures to manage unacceptable level of biosecurity risk\n\n331 Simplified outline of this Part\n\nDivision 2—Powers that may be exercised: general\n\nSubdivision A—Circumstances in which powers may be exercised\n\n","sortOrder":3},{"sectionNumber":"332","sectionType":"section","heading":"Circumstances in which powers set out in this Division may be exercised","content":"332 Circumstances in which powers set out in this Division may be exercised\n\nSubdivision B—Powers relating to entry to and exit from premises\n\n","sortOrder":4},{"sectionNumber":"333","sectionType":"section","heading":"Entry and exit etc. requirements—persons","content":"333 Entry and exit etc. requirements—persons\n\n","sortOrder":5},{"sectionNumber":"334","sectionType":"section","heading":"Entry and exit etc. requirements—goods and conveyances","content":"334 Entry and exit etc. requirements—goods and conveyances\n\nSubdivision C—Powers relating to treatment of goods, conveyances and other premises\n\n335 Treatment of goods\n\n336 Treatment that may damage goods\n\n337 Treatment of conveyance\n\n338 Treatment that may damage conveyance\n\n339 Treatment of premises (other than a conveyance)\n\n340 Treatment that may damage premises (other than a conveyance)\n\n341 Dealing with premises (other than a conveyance) if owner does not agree to treatment etc.\n\nSubdivision D—Powers relating to destruction of goods, conveyances and other premises\n\n342 Destruction of goods\n\n343 Destruction of conveyance\n\n344 Destruction of premises\n\n345 High‑value goods, conveyances or premises must not be destroyed during review period\n\nDivision 3—Powers provided by regulations\n\n346 Regulations may provide for other biosecurity measures\n\nDivision 4—Other powers\n\n347 Powers of biosecurity officer if biosecurity measures are required\n\n348 Biosecurity officer may affix notice to goods or premises\n\n349 Contravention of requirement relating to entering or leaving etc. premises\n\n350 Person must comply with direction\n\n351 Unauthorised persons must not move etc. goods or conveyance to which notice has been affixed\n\nPart 4—Biosecurity control orders\n\n352 Simplified outline of this Part\n\nDivision 2—Making, varying and revoking biosecurity control orders\n\n353 Director of Biosecurity may make biosecurity control order to manage unacceptable level of biosecurity risk\n\n354 Content of a biosecurity control order\n\n355 Form of biosecurity control order\n\n356 Biosecurity control order to be given to person in charge etc. of goods or premises or affixed to goods or premises\n\n357 Circumstances in which biosecurity control order ceases to be in force\n\n358 Variation of biosecurity control order\n\n359 Revocation of biosecurity control order\n\nDivision 3—Powers that may be exercised under biosecurity control order\n\n360 Powers that may be exercised—general\n\n361 Exercise of powers in premises\n\n362 Power to secure goods or premises to deal with another disease or pest\n\nDivision 4—Civil penalty provision\n\n363 Unauthorised persons must not interfere with etc. biosecurity control order affixed to goods or premises\n\nPart 5—Biosecurity response zones\n\n364 Simplified outline of this Part\n\nDivision 2—Biosecurity response zone determinations\n\n365 Director of Biosecurity may determine biosecurity response zone\n\n366 Content of a biosecurity response zone determination\n\n367 Additional powers that may be specified in a biosecurity response zone determination\n\n368 Consultation requirements\n\n369 Notification requirements\n\nDivision 3—Powers that may be exercised in biosecurity response zones\n\n370 Powers that may be exercised—general\n\n371 Exercise of powers in premises\n\n372 Power to secure goods or premises to deal with another disease or pest\n\n373 Unauthorised persons must not interfere with etc. notices or markings identifying biosecurity response zone\n\n374 Unauthorised persons must not interfere with etc. notices or markings identifying goods or premises in a biosecurity response zone\n\n375 Person must comply with direction\n\n376 Unauthorised persons must not interfere with etc. equipment etc. set up in biosecurity response zone\n\nPart 6—Biosecurity monitoring zones\n\n377 Simplified outline of this Part\n\nDivision 2—Permanent biosecurity monitoring zones\n\nSubdivision A—Areas that are permanent biosecurity monitoring zones\n\n","sortOrder":6},{"sectionNumber":"378","sectionType":"section","heading":"Permanent biosecurity monitoring zones","content":"378 Permanent biosecurity monitoring zones\n\nSubdivision B—Powers that may be exercised in permanent biosecurity monitoring zones\n\n379 Powers that may be exercised—general\n\n380 Exercise of powers in premises\n\n381 Unauthorised persons must not interfere with etc. notices or markings identifying permanent biosecurity monitoring zone\n\n382 Unauthorised persons must not interfere with etc. notices or markings identifying goods or premises in a permanent biosecurity monitoring zone\n\n","sortOrder":7},{"sectionNumber":"383","sectionType":"section","heading":"Unauthorised persons must not interfere with etc. equipment etc. set up in permanent biosecurity monitoring zone","content":"383 Unauthorised persons must not interfere with etc. equipment etc. set up in permanent biosecurity monitoring zone\n\n","sortOrder":8},{"sectionNumber":"Div 3","sectionType":"division","heading":"Temporary biosecurity monitoring zones","content":"Division 3—Temporary biosecurity monitoring zones\n\nSubdivision A—Temporary biosecurity monitoring zone determinations\n\n384 Director of Biosecurity may determine temporary biosecurity monitoring zone\n\n385 Content of a temporary biosecurity monitoring zone determination\n\n386 Additional powers that may be specified in a temporary biosecurity monitoring zone determination\n\n387 Consultation requirements\n\n388 Notification requirements\n\nSubdivision B—Powers that may be exercised in temporary biosecurity monitoring zones\n\n389 Powers that may be exercised—general\n\n390 Exercise of powers in premises\n\n391 Unauthorised persons must not interfere with etc. notices or markings identifying temporary biosecurity monitoring zone\n\n392 Unauthorised persons must not interfere with etc. notices or markings identifying goods or premises in temporary biosecurity monitoring zone\n\n393 Unauthorised persons must not interfere with etc. equipment etc. set up in temporary biosecurity monitoring zone\n\nPart 6A—Preventative biosecurity measures\n\n393A Simplified outline of this Part\n\nDivision 2—Preventative biosecurity measures\n\n393B Determining preventative biosecurity measures\n\n393C Civil penalty for failing to comply with a preventative biosecurity measure\n\nPart 7—Biosecurity activity zones\n\n394 Simplified outline of this Part\n\nDivision 2—Biosecurity activity zone determinations\n\n395 Director of Biosecurity may determine biosecurity activity zone\n\n396 Consultation requirements\n\n397 Notification requirements\n\n398 Revocation of biosecurity activity zone determination\n\nDivision 3—Powers that may be exercised in biosecurity activity zones\n\n399 Powers that may be exercised\n\n400 Use of force\n\n401 Unauthorised persons must not interfere with etc. notices or markings identifying biosecurity activity zone\n\n402 Unauthorised persons must not interfere with etc. notices or markings identifying goods or premises in a biosecurity activity zone\n\n","sortOrder":9},{"sectionNumber":"403","sectionType":"section","heading":"Person must comply with direction","content":"403 Person must comply with direction\n\n \n\nAn Act relating to diseases and pests that may cause harm to human, animal or plant health or the environment, and for related purposes\n\n","sortOrder":10},{"sectionNumber":"Part 1","sectionType":"part","heading":"Preliminary","content":"Chapter 1—Preliminary\n\nPart 1—Preliminary\n\n \n\n","sortOrder":11},{"sectionNumber":"1","sectionType":"section","heading":"Short title","content":"1  Short title\n\n  This Act may be cited as the Biosecurity Act 2015.\n\n","sortOrder":12},{"sectionNumber":"2","sectionType":"section","heading":"Commencement","content":"2  Commencement\n\n (1) Each provision of this Act specified in column 1 of the table commences, or is taken to have commenced, in accordance with column 2 of the table. Any other statement in column 2 has effect according to its terms.\n\n \n\n- Commencement information\n- Column 1 Column 2 Column 3\n- Provisions Commencement Date/Details\n- 1. Sections 1 and 2 and anything in this Act not elsewhere covered by this table The day this Act receives the Royal Assent. 16 June 2015\n- 2. Sections 3 to 645 A single day to be fixed by Proclamation.However, if the provisions do not commence within the period of 12 months beginning on the day this Act receives the Royal Assent, they commence on the day after the end of that period. 16 June 2016\n\nNote: This table relates only to the provisions of this Act as originally enacted. It will not be amended to deal with any later amendments of this Act.\n\n (2) Any information in column 3 of the table is not part of this Act. Information may be inserted in this column, or information in it may be edited, in any published version of this Act.\n\n","sortOrder":13},{"sectionNumber":"3","sectionType":"section","heading":"Simplified outline of this Act","content":"3  Simplified outline of this Act\n\nThis Act is about managing diseases and pests that may cause harm to human, animal or plant health or the environment.\n\nThis Chapter includes preliminary provisions (such as the extension of this Act to external Territories, and the relationship of this Act with other Australian laws). It also includes the definitions for this Act, provisions that relate to the Constitution and international law, and principles affecting decisions to exercise certain powers under this Act.\n\nChapter 2 deals with managing risks to human health. That Chapter mainly deals with diseases (listed human diseases) that are listed in a legislative instrument. The main method of managing risks to human health is by imposing a human biosecurity control order on an individual who may have a listed human disease. However, Chapter 2 also includes requirements in relation to persons entering or leaving Australian territory, and rules relating to managing deceased individuals.\n\nChapter 3 deals with managing biosecurity risks in relation to goods that are brought into Australian territory from outside Australian territory. These goods become subject to biosecurity control when the aircraft or vessel carrying the goods enters Australian territory. Powers may be exercised to assess the level of biosecurity risk associated with the goods, and biosecurity measures may be required to reduce that risk if it is considered to be unacceptable. Chapter 3 also provides a mechanism for prohibiting certain goods from being brought or imported into Australian territory, either absolutely or subject to conditions, and includes provisions dealing with biosecurity import risk analyses and import permits.\n\nChapter 4 deals with managing biosecurity risks in relation to aircraft and vessels that enter Australian territory from outside Australian territory, including by controlling the places where they can land or be moored and their movement while they are in Australian territory. These conveyances become subject to biosecurity control when they enter Australian territory. Powers may be exercised to assess the level of biosecurity risk associated with them, and biosecurity measures may be required to reduce that risk if it is considered to be unacceptable. Requirements may also be determined for persons entering Australian territory on an incoming conveyance, in connection with diseases and pests that are considered to pose an unacceptable level of biosecurity risk. Chapter 4 also provides for a scheme to deal with ship sanitation for the purposes of the International Health Regulations.\n\nChapter 5 implements the Ballast Water Convention and regulates the ballast water and sediment of certain vessels in accordance with the United Nations Convention on the Law of the Sea. It requires reporting of intended or actual discharges of ballast water in Australian territorial seas. Discharging ballast water is an offence, subject to a range of exceptions, and there is an offence of disposing of sediment. For an Australian vessel, these offences apply whether the vessel is in or outside Australian seas. For a foreign vessel, the offences apply only if the vessel is in Australian seas. The definition of Australian seas depends on whether the Administration of the foreign vessel is a party to the Ballast Water Convention. The Chapter also includes provisions for ballast water management plans and certificates, record‑keeping obligations and powers to ensure compliance.\n\nChapter 6 deals with managing biosecurity risks (other than those covered by Chapter 3 or 4) posed by diseases or pests that may be in or on goods or premises in Australian territory. The Chapter provides for powers to be exercised to monitor, respond to and control those risks.\n\nChapter 7 provides for arrangements to be approved authorising and requiring biosecurity industry participants to carry out biosecurity activities to manage biosecurity risks associated with goods, premises or other things for the purposes of this Act.\n\nChapter 8 provides for the Governor‑General to declare biosecurity emergencies and human biosecurity emergencies. Part 1 gives the Agriculture Minister special powers to deal with biosecurity emergencies and provides for certain powers to be delegated to national response agencies. Part 1 also includes other modifications of the Act that apply during biosecurity emergencies. Part 2 gives the Health Minister special powers to deal with human biosecurity emergencies, including by giving effect to recommendations of the World Health Organization.\n\nChapter 9 gives officers powers to ensure people are complying with this Act, to investigate non‑compliance and to enforce this Act by means such as civil penalties, infringement notices, enforceable undertakings and injunctions. In many cases this is done by applying the Regulatory Powers Act. The Chapter also provides for warrants for officers to enter premises and exercise powers for some other purposes relating to biosecurity, as well as powers for officers to enter premises and exercise powers there without a warrant or consent in some limited cases. Officers have certain obligations relating to their entry to premises (with or without a warrant or consent), and occupiers of premises have certain rights relating to the activities of officers on their premises. The Chapter also includes other provisions relevant to ensuring compliance with this Act, such as how to determine whether a person is a fit and proper person.\n\nChapter 10 deals with matters relating to governance and officials. It includes provisions relating to the functions and powers of the Director of Biosecurity, the Director of Human Biosecurity, biosecurity officers, biosecurity enforcement officers, chief human biosecurity officers and human biosecurity officers.\n\nChapter 11 includes miscellaneous provisions, dealing with matters such as:\n\n (a) review of reviewable decisions under this Act; and\n\n (b) managing information obtained or generated under this Act; and\n\n (c) recovering costs under this Act; and\n\n (ca) arrangements and grants for dealing with risks posed by diseases or pests; and\n\n (d) abandoned or forfeited goods and conveyances; and\n\n (e) modification of this Act in relation to certain movements of persons, goods and conveyances.\n\n","sortOrder":14},{"sectionNumber":"4","sectionType":"section","heading":"Objects of this Act","content":"4  Objects of this Act\n\n  The objects of this Act are the following:\n\n (a) to provide for managing the following:\n\n (i) biosecurity risks;\n\n (ii) the risk of contagion of a listed human disease or any other infectious human disease;\n\n (iii) the risk of listed human diseases or any other infectious human diseases entering Australian territory or a part of Australian territory, or emerging, establishing themselves or spreading in Australian territory or a part of Australian territory;\n\n (iv) risks related to ballast water;\n\n (v) biosecurity emergencies and human biosecurity emergencies;\n\n (b) to give effect to Australia’s international rights and obligations, including under the International Health Regulations, the SPS Agreement, the Ballast Water Convention, the United Nations Convention on the Law of the Sea and the Biodiversity Convention.\n\nNote: The expression biosecurity risk referred to in subparagraph (a)(i) has different meanings depending on whether it is for the purposes of Chapter 6 (managing biosecurity risks: monitoring, control and response), Part 3A of Chapter 11 (arrangements and grants for dealing with risks posed by diseases or pests) or another part of this Act (see sections 9, 310 and 614B).\n\n","sortOrder":15},{"sectionNumber":"5","sectionType":"section","heading":"Appropriate Level of Protection (ALOP) for Australia against biosecurity risks","content":"5  Appropriate Level of Protection (ALOP) for Australia against biosecurity risks\n\n  The Appropriate Level of Protection (or ALOP) for Australia is a high level of sanitary and phytosanitary protection aimed at reducing biosecurity risks to a very low level, but not to zero.\n\nNote 1: This section is in accordance with Australia’s rights and obligations under the SPS Agreement.\n\nNote 2: The ALOP for Australia must be applied in conducting a BIRA (see subsection 167(2)) or a risk assessment for the purpose of deciding whether particular goods, or a particular class of goods, can be brought or imported into Australian territory (see subsections 173(4), 174(3), 179(1A) and 182(4)).\n\n","sortOrder":16},{"sectionNumber":"6","sectionType":"section","heading":"Act binds the Crown","content":"6  Act binds the Crown\n\n (1) This Act binds the Crown in each of its capacities.\n\n (2) This Act does not make the Crown liable to be:\n\n (a) prosecuted for an offence; or\n\n (b) subject to civil proceedings for a civil penalty order under Part 4 of the Regulatory Powers Act; or\n\n (c) given an infringement notice under Part 5 of the Regulatory Powers Act.\n\n","sortOrder":17},{"sectionNumber":"7","sectionType":"section","heading":"Extension of Act to Christmas Island, Cocos (Keeling) Islands and other prescribed external Territories","content":"7  Extension of Act to Christmas Island, Cocos (Keeling) Islands and other prescribed external Territories\n\n (1) This Act extends to Christmas Island and the Cocos (Keeling) Islands.\n\n (2) The regulations may extend this Act or any provisions of this Act, other than Chapter 5 (ballast water), to any other external Territory that is prescribed by the regulations.\n\nNote: Chapter 5 extends to all the external Territories (see section 259).\n\n","sortOrder":18},{"sectionNumber":"8","sectionType":"section","heading":"Concurrent operation of State and Territory laws","content":"8  Concurrent operation of State and Territory laws\n\n (1) This Act does not exclude or limit the operation of a law of a State or Territory that is capable of operating concurrently with this Act (except as referred to in subsection (2)).\n\n (2) Subsection (1) is subject to the following provisions:\n\n (a) section 172 (prohibited goods);\n\n (b) section 265 (ballast water);\n\n (c) subsections 445(4), 446(4), 477(5) and 478(4) (biosecurity emergencies and human biosecurity emergencies).\n\n (3) Without limiting subsection (1), this Act does not exclude or limit the concurrent operation of a law of a State or Territory to the extent that:\n\n (a) the law makes an act or omission:\n\n (i) an offence; or\n\n (ii) subject to a civil penalty; and\n\n (b) that (or any similar) act or omission is also:\n\n (i) an offence against a provision of this Act; or\n\n (ii) subject to a civil penalty under this Act.\n\n (4) Subsection (3) applies even if the law of the State or Territory does any one or more of the following, in relation to the offence or civil penalty:\n\n (a) provides for a penalty that differs from the penalty provided for in this Act;\n\n (b) provides for fault elements that differ from the fault elements applicable to the offence or civil penalty provision created by this Act;\n\n (c) provides for defences or exceptions that differ from the defences or exceptions applicable to the offence or civil penalty provision created by this Act.\n\n","sortOrder":19},{"sectionNumber":"Part 2","sectionType":"part","heading":"Definitions","content":"Part 2—Definitions\n\n \n\n","sortOrder":20},{"sectionNumber":"9","sectionType":"section","heading":"Definitions","content":"9  Definitions\n\n (1) In this Act:\n\nacceptable ballast water exchange has the meaning given by section 275.\n\naccompanying person for a child or incapable person means:\n\n (a) a parent, guardian or next of kin of the child or incapable person; or\n\n (b) a person authorised by a parent, guardian or next of kin of the child or incapable person under section 39.\n\nacquisition of property has the same meaning as in paragraph 51(xxxi) of the Constitution.\n\nadjacent premises warrant means a warrant issued as a result of the test in item 5 of the table in section 489 being met.\n\nAdministration of a vessel has the same meaning as in the Ballast Water Convention.\n\naffected provisions has the meaning given by subsection 618(1).\n\nAgriculture Department means the Department administered by the Agriculture Minister.\n\nAgriculture Minister means the Minister administering the Primary Industries Levies and Charges Collection Act 2024.\n\nAgriculture Secretary means the Secretary of the Agriculture Department.\n\naircraft means any machine or craft that can derive support in the atmosphere from the reactions of the air, other than the reactions of the air against the earth’s surface.\n\nNote: A reference to an aircraft does not include a reference to an aircraft brought or imported into Australian territory from outside Australian territory on board another conveyance until the aircraft is released from biosecurity control (see subsection 16(3)).\n\nALOP (short for Appropriate Level of Protection) has the meaning given by section 5.\n\nanimal includes a dead animal and any part of an animal, but does not include a human or a part of a human, whether the human is dead or alive.\n\nappropriate ballast water records has the meaning given by section 295.\n\nappropriate person means:\n\n (a) for premises to which an entry warrant or a premises possession warrant relates, or premises entered under a provision referred to in section 513—the occupier of the premises, or another person who apparently represents the occupier; or\n\n (b) for a conveyance to which a conveyance possession warrant relates—the person responsible for the conveyance, or another person who apparently represents the person responsible for the conveyance.\n\nNote: If an entry warrant relates to a conveyance, the appropriate person is the person occupying the conveyance, or another person who apparently represents that person (see paragraph (a) of the definition of premises in this section).\n\napproved arrangement has the meaning given by section 10.\n\nassociate of a person has a meaning affected by section 11.\n\nAustralian Centre for Disease Control means the Australian Centre for Disease Control established by section 7 of the Australian Centre for Disease Control Act 2025.\n\nAustralian law means a law of the Commonwealth, or of a State or Territory.\n\nAustralian seas means:\n\n (a) for Australian vessels and foreign vessels whose Administration is a party to the Ballast Water Convention—the waters (including the internal waters of Australia) that are within the outer limits of the exclusive economic zone of Australia; or\n\n (b) for all other foreign vessels—the Australian territorial seas.\n\nNote: This definition is affected by sections 260 (vessels in dry dock) and 261 (foreign vessels and the Australian Antarctic Territory).\n\nAustralian territorial seas means the waters (including the internal waters of Australia) within the outer limits of the territorial sea of Australia (including every external Territory).\n\nNote: This definition is affected by sections 260 (vessels in dry dock) and 261 (foreign vessels and the Australian Antarctic Territory).\n\nAustralian territory has the meaning given by section 12.\n\nAustralian vessel means a vessel that:\n\n (a) has Australian nationality under section 29 of the Shipping Registration Act 1981; or\n\n (b) is a vessel whose Administration is the Commonwealth.\n\nbaggage means goods:\n\n (a) that are carried on a conveyance by or for a person who is on board the conveyance (including the person in charge and members of the crew of the conveyance); or\n\n (b) that a person intended to be so carried.\n\nballast water has the same meaning as Ballast Water has in the Ballast Water Convention.\n\nNote: Chapter 5 (ballast water) does not generally apply to permanent ballast water in sealed tanks (see section 263).\n\nBallast Water Convention means the International Convention for the Control and Management of Ships’ Ballast Water and Sediments, done at London on 13 February 2004, as in force from time to time.\n\nNote 1: The Ballast Water Convention includes the Annex to the Ballast Water Convention.\n\nNote 2: The Convention could in 2014 be viewed in the Australian Treaties Library on the AustLII website (http://www.austlii.edu.au).\n\nballast water exchange means a process involving:\n\n (a) the discharge of ballast water from a tank on a vessel; and\n\n (b) the uptake of water into the tank simultaneously with, or immediately after, the discharge.\n\nballast water management has the same meaning as Ballast Water Management has in the Ballast Water Convention.\n\nballast water management certificate has the meaning given by section 288.\n\nballast water management plan has the meaning given by section 286.\n\nballast water operation means:\n\n (a) taking up ballast water into a vessel (whether deliberately, accidentally or as part of a ballast water exchange); or\n\n (b) discharging ballast water from a vessel (whether deliberately, accidentally or as part of a ballast water exchange); or\n\n (c) treating or circulating ballast water on a vessel for the purposes of ballast water management.\n\nballast water reception facility means a facility (including a vessel) for receiving ballast water from vessels for treatment or disposal.\n\nballast water record system for a vessel means a system for making and keeping records about the vessel’s ballast water and ballast water operations.\n\nBiodiversity Convention means the Convention on Biological Diversity, done at Rio de Janeiro on 5 June 1992, as in force for Australia from time to time.\n\nNote: The Convention is in Australian Treaty Series 1993 No. 32 ([1993] ATS 32) and could in 2014 be viewed in the Australian Treaties Library on the AustLII website (http://www.austlii.edu.au).\n\nbiosecurity activities, in relation to an approved arrangement, has the meaning given by section 405.\n\nbiosecurity activity zone has the meaning given by subsection 395(1).\n\nbiosecurity activity zone determination means a determination made under subsection 395(1).\n\nbiosecurity control notice, in relation to goods that are subject to biosecurity control or a conveyance that is subject to biosecurity control, means a notice in the form approved by the Director of Biosecurity that states that the goods or conveyance is subject to biosecurity control.\n\nNote: See sections 129 and 203.\n\nbiosecurity control order means an order made under section 353.\n\nbiosecurity control order warrant means a warrant issued as a result of the test in item 2 of the table in section 489 being met.\n\nbiosecurity emergency means a biosecurity emergency that is declared to exist under subsection 443(1).\n\nbiosecurity emergency declaration means a declaration made under subsection 443(1).\n\nbiosecurity emergency period means the period specified under paragraph 443(3)(c) in a biosecurity emergency declaration as the period during which the declaration is in force.\n\nbiosecurity enforcement officer means a person who is authorised under section 546 or 548 to be a biosecurity enforcement officer under this Act.\n\nbiosecurity entry point has the meaning given by section 13.\n\nbiosecurity industry participant has the meaning given by section 14.\n\nbiosecurity measures means measures to manage any of the following:\n\n (a) biosecurity risks;\n\n (b) the risk of contagion of a listed human disease;\n\n (c) the risk of listed human diseases:\n\n (ii) emerging, establishing themselves or spreading in Australian territory or a part of Australian territory;\n\n (d) biosecurity emergencies and human biosecurity emergencies.\n\nbiosecurity monitoring zone means:\n\n (a) a permanent biosecurity monitoring zone; or\n\n (b) a temporary biosecurity monitoring zone.\n\nbiosecurity monitoring zone warrant means a warrant issued as a result of the test in item 4 of the table in section 489 being met.\n\nbiosecurity officer means a person who is authorised under section 545 to be a biosecurity officer under this Act.\n\nbiosecurity official means any of the following:\n\n (a) a biosecurity officer;\n\n (b) a biosecurity enforcement officer;\n\n (c) the Director of Biosecurity.\n\nbiosecurity response zone has the meaning given by subsection 365(1).\n\nNote: An area may be determined to be a biosecurity response zone under Part 5 of Chapter 6 during a biosecurity emergency period (see section 465).\n\nbiosecurity response zone determination means a determination made under subsection 365(1).\n\nbiosecurity response zone warrant means a warrant issued as a result of the test in item 3 of the table in section 489 being met.\n\nbiosecurity risk means (except as provided by section 310 or 614B):\n\n (ii) establishing itself or spreading in Australian territory or a part of Australian territory; and\n\n (b) the potential for any of the following:\n\n (i) the disease or pest to cause harm to human, animal or plant health;\n\n (ii) the disease or pest to cause harm to the environment;\n\n (iii) economic consequences associated with the entry, establishment or spread of the disease or pest.\n\nNote: Section 310 provides a modified meaning of biosecurity risk in relation to Chapter 6 (managing biosecurity risks: monitoring, control and response) and section 614B applies this modified meaning in relation to Part 3A of Chapter 11 (arrangements and grants for dealing with risks posed by diseases or pests).\n\nbiosecurity risk assessment warrant means a warrant issued as a result of the test in item 1 of the table in section 489 being met.\n\nbiosecurity worker has the meaning given by section 14A.\n\nBIRA (short for Biosecurity Import Risk Analysis) has the meaning given by section 166.\n\nchief human biosecurity officer for a State or Territory means a person who is authorised under section 562 to be a chief human biosecurity officer for the State or Territory.\n\nchild or incapable person means:\n\n (a) a person who is less than 18 years old; or\n\n (b) a person who is at least 18 years old and either:\n\n (i) is incapable (whether permanently or temporarily) of understanding the general nature and effect of, and purposes of carrying out, a biosecurity measure; or\n\n (ii) is incapable (whether permanently or temporarily) of indicating whether he or she consents or does not consent to a biosecurity measure.\n\nChristmas Island means the Territory of Christmas Island.\n\ncivil penalty provision has the same meaning as in the Regulatory Powers Act.\n\ncoastal sea of Australia or an external Territory has the same meaning as in subsection 15B(4) of the Acts Interpretation Act 1901.\n\nCocos (Keeling) Islands means the Territory of Cocos (Keeling) Islands.\n\nCommonwealth body includes a Department of State, or an authority or agency, of the Commonwealth.\n\nCommonwealth entity has the same meaning as in the Public Governance, Performance and Accountability Act 2013.\n\ncompetent authority has the meaning given by the International Health Regulations.\n\nconceal goods has a meaning affected by subsection 186A(2).\n\nconditionally non‑prohibited goods has the meaning given by subsection 174(2).\n\nconstitutional trade and commerce means the following:\n\n (a) trade or commerce between Australia and places outside Australia;\n\n (b) trade or commerce among the States;\n\n (c) trade or commerce within a Territory, between a State and a Territory or between 2 Territories.\n\nconveyance has the meaning given by section 16.\n\nconveyance possession warrant means a warrant issued as a result of the test in item 6 of the table in section 489 being met.\n\ncost‑recovery charge means:\n\n (a) a fee prescribed by regulations made for the purposes of subsection 592(1) for a fee‑bearing activity; or\n\n (b) a charge imposed by:\n\n (i) the Biosecurity Charges Imposition (Customs) Act 2015; or\n\n (ii) the Biosecurity Charges Imposition (Excise) Act 2015; or\n\n (iii) the Biosecurity Charges Imposition (General) Act 2015; or\n\n (c) a late payment fee relating to a fee or charge described in paragraph (a) or (b).\n\nNote: The references in paragraph (b) to the Biosecurity Charges Imposition (Customs) Act 2015, the Biosecurity Charges Imposition (Excise) Act 2015 and the Biosecurity Charges Imposition (General) Act 2015 include references to those Acts before their short titles were amended from the Quarantine Charges (Imposition—Customs) Act 2014, the Quarantine Charges (Imposition—Excise) Act 2014 and the Quarantine Charges (Imposition—General) Act 2014 respectively (see section 10 of the Acts Interpretation Act 1901).\n\ncovered by, in relation to an approved arrangement, has the meaning given by section 14.\n\ndamage, in relation to data, includes damage by erasure of data or addition of other data.\n\ndeclaration disease or pest, in relation to a biosecurity emergency declaration and a biosecurity emergency period, means the disease or pest specified under paragraph 443(3)(a) in the biosecurity emergency declaration that specifies the biosecurity emergency period.\n\ndeclaration listed human disease, in relation to a human biosecurity emergency declaration and a human biosecurity emergency period, means the listed human disease specified under paragraph 475(3)(a) in the human biosecurity emergency declaration that specifies the human biosecurity emergency period.\n\nde facto partner has the meaning given by the Acts Interpretation Act 1901.\n\nde‑identified, in relation to personal information, has the same meaning as in the Privacy Act 1988.\n\ndestination part of Australian territory has the meaning given by subsection 618(2).\n\nDirector of Biosecurity means the Director of Biosecurity referred to in section 540.\n\nDirector‑General of the CDC means the Director‑General of the Australian Centre for Disease Control appointed under section 10 of the Australian Centre for Disease Control Act 2025.\n\nDirector of Human Biosecurity means the Director of Human Biosecurity referred to in subsection 544(1).\n\ndisease means:\n\n (a) the signs or symptoms of an illness or infection caused by a disease agent; or\n\n (b) a collection of signs or symptoms that is clinically defined, for which the causal agent is unknown; or\n\n (c) a disease agent that has the potential to cause, either directly or indirectly, an illness or infection.\n\ndisease agent includes, but is not limited to, a microorganism, an infectious agent and a parasite.\n\nenactment means:\n\n (a) an Act of the Commonwealth, a State or a Territory; or\n\n (b) an instrument (including rules, regulations and by‑laws) made under an Act of the Commonwealth, a State or a Territory.\n\nengage in conduct means:\n\n (a) do an act; or\n\n (b) omit to perform an act.\n\nentrusted person means any of the following:\n\n (a) the Agriculture Minister or the Health Minister;\n\n (b) the Agriculture Secretary or the Health Secretary;\n\n (c) the Director of Biosecurity or the Director of Human Biosecurity;\n\n (d) an APS employee in the Agriculture Department or the Health Department;\n\n (e) any other person employed or engaged by the Commonwealth to provide services to the Commonwealth in connection with the Agriculture Department or the Health Department;\n\n (f) any other person who is:\n\n (i) employed or engaged by the Commonwealth or a body corporate that is established by a law of the Commonwealth; and\n\n (ii) in a class of persons prescribed by regulations made for the purposes of this subparagraph.\n\nentry warrant means any of the following warrants authorising entry to premises:\n\n (a) a biosecurity risk assessment warrant;\n\n (b) a biosecurity control order warrant;\n\n (c) a biosecurity response zone warrant;\n\n (d) a biosecurity monitoring zone warrant;\n\n (e) an adjacent premises warrant.\n\nenvironment includes:\n\n (a) ecosystems and their constituent parts; and\n\n (b) natural and physical resources.\n\nevidential burden, in relation to a matter, means the burden of adducing or pointing to evidence that suggests a reasonable possibility that the matter exists or does not exist.\n\nexit provisions has the meaning given by subsection 619(2).\n\nexposed conveyance means an exposed conveyance within the meaning of subsection 192(2) or (3).\n\nexposed goods has the meaning given by subsection 158(3).\n\nexposed goods order means an order made under subsection 159(3).\n\nexposed to has the meaning given by section 17.\n\nFederal Court means the Federal Court of Australia.\n\nfee‑bearing activities has the meaning given by subsection 592(1).\n\nfirst point of entry has the meaning given by section 18.\n\nForeign Affairs Department means the Department administered by the Minister administering the Diplomatic Privileges and Immunities Act 1967.\n\nforeign vessel means a vessel that is not an Australian vessel.\n\ngoods has the meaning given by section 19.\n\nharbour means a natural or artificial harbour, and includes:\n\n (a) a navigable estuary, river, creek or channel; and\n\n (b) a haven, roadstead, dock, pier or jetty; and\n\n (c) any other place in or at which vessels can obtain shelter or load and unload goods or embark and disembark passengers.\n\nHealth Department means the Department administered by the Health Minister.\n\nHealth Minister means the Minister administering the National Health Act 1953.\n\nHealth Secretary means the Secretary of the Health Department.\n\nhigh‑value conveyance means a conveyance of a value that is greater than the amount prescribed by the regulations for the purposes of this definition.\n\nhigh‑value goods means goods of a value that is greater than the amount prescribed by the regulations for the purposes of this definition.\n\nhuman biosecurity control order means an order imposed on an individual under section 60.\n\nhuman biosecurity emergency means a human biosecurity emergency that is declared to exist under subsection 475(1).\n\nhuman biosecurity emergency declaration means a declaration made under subsection 475(1).\n\nhuman biosecurity emergency period means the period specified under paragraph 475(3)(c) in a human biosecurity emergency declaration as the period during which the declaration is in force.\n\nhuman biosecurity officer means a person who is authorised under section 563 to be a human biosecurity officer under this Act.\n\nhuman disease means a disease that has the potential:\n\n (a) to enter Australian territory or a part of Australian territory, or to emerge, establish itself or spread in Australian territory or a part of Australian territory; and\n\n (b) to cause harm to human health.\n\nhuman health response zone has the meaning given by section 113.\n\nhuman health risk means:\n\n (b) the potential for either of the following:\n\n (i) the disease or pest to cause harm to human health;\n\n (ii) economic consequences associated with the entry, emergence, establishment or spread of the disease or pest, to the extent that the disease or pest has the potential to cause harm to human health.\n\nhuman remains means the remains of all or any part of a deceased human’s body, but does not include:\n\n (a) the cremated remains of a deceased human’s body; or\n\n (b) hair, teeth or bones of a deceased human’s body that have been separated from the deceased human’s body or a part of the deceased human’s body.\n\nImmigration Department means the Department administered by the Minister administering the Migration Act 1958.\n\nIMO guidelines means guidelines or procedures adopted by the Marine Environment Protection Committee of the International Maritime Organization, as in force from time to time.\n\nNote: The text of guidelines or procedures adopted by the Marine Environment Protection Committee of the International Maritime Organization could in 2017 be accessed through the International Maritime Organization’s website (http://www.imo.org).\n\nimport, in relation to goods, does not include unloading the goods for temporary purposes only (for example, to unload other goods).\n\nincoming aircraft or vessel means an aircraft or vessel:\n\n (a) that has entered Australian territory during a flight or voyage that commenced outside Australian territory; and\n\n (b) that intends to arrive, or has arrived, at a landing place or port in Australian territory in accordance with Part 4 of Chapter 4 (managing biosecurity risks: conveyances).\n\nincoming passenger aircraft or vessel means an incoming aircraft or vessel that is a passenger aircraft or a passenger vessel.\n\nInspector‑General means the Inspector‑General of Biosecurity appointed under section 566A.\n\ninstallation has the meaning given by section 20.\n\ninternal waters of Australia has the same meaning as in section 10 of the Seas and Submerged Lands Act 1973 and, to avoid doubt, includes waters within the limits of a State.\n\nInternational Health Regulations means the International Health Regulations (2005), done at Geneva on 23 May 2005, as in force for Australia from time to time.\n\nNote: The Regulations are in Australian Treaty Series 2007 No. 29 ([2007] ATS 29) and could in 2014 be viewed in the Australian Treaties Library on the AustLII website (http://www.austlii.edu.au).\n\ninternational mail centre means a place approved by the Comptroller‑General of Customs (within the meaning of the Customs Act 1901) in an instrument under subsection 183UA(2) of that Act.\n\ninvasive pest means a pest that:\n\n (a) is an alien species (within the meaning of the Biodiversity Convention); but\n\n (b) is not capable of:\n\n (i) infesting humans, animals or plants; or\n\n (ii) acting as a vector for a disease; or\n\n (iii) causing disease in any other way.\n\ninvestigation warrant means:\n\n (a) a warrant issued under section 70 of the Regulatory Powers Act as it applies in relation to evidential material that relates to a provision mentioned in subsection 484(1); or\n\n (b) a warrant signed by an issuing officer under section 71 of the Regulatory Powers Act as it applies in relation to evidential material that relates to a provision mentioned in subsection 484(1).\n\nisolation measure means the biosecurity measure included in a human biosecurity control order under section 97.\n\nissuing officer means:\n\n (a) a magistrate; or\n\n (b) a Judge of a court of a State or Territory; or\n\n (c) a Judge of the Federal Court or the Federal Circuit and Family Court of Australia (Division 2).\n\nNote: For conferral of powers on an issuing officer, see section 537.\n\njust terms has the same meaning as in paragraph 51(xxxi) of the Constitution.\n\nlanding place, in relation to an aircraft, means any place where the aircraft can land, including:\n\n (a) an area of land or water; and\n\n (b) an area on a building or a vessel.\n\nlate payment fee has the meaning given by section 595.\n\nlisted human disease has the meaning given by section 42.\n\nmanaged for discharge, in relation to ballast water, has the meaning given by sections 272 and 275.\n\nmedical facility includes a facility (whether permanent or temporary) where medical assessments of individuals are conducted.\n\nmonitoring warrant means a warrant issued under section 32 of the Regulatory Powers Act as it applies in relation to this Act.\n\nNational Focal Point has the meaning given by section 9 of the National Health Security Act 2007.\n\nnational response agency means:\n\n (a) the Agriculture Department and all biosecurity officers and biosecurity enforcement officers; or\n\n (b) a body declared under section 452 to be a national response agency.\n\nofficer of Customs has the same meaning as in the Customs Act 1901.\n\noffshore terminal has the same meaning as in the Ballast Water Convention.\n\noperator of a conveyance has the meaning given by section 21.\n\norigin part of Australian territory has the meaning given by subsection 618(2).\n\noutgoing aircraft or vessel means an aircraft or vessel that intends to leave Australian territory from a landing place or port in Australian territory.\n\noutgoing passenger aircraft or vessel means an outgoing aircraft or vessel that is a passenger aircraft or a passenger vessel.\n\npaid work means work for financial gain or reward (whether as an employee, a self‑employed person or otherwise).\n\npassenger of an aircraft or vessel means a person who is lawfully entitled to be on board the aircraft or vessel, other than a person who is on board the aircraft or vessel for the purpose of performing functions as the person in charge or as a member of the crew of the aircraft or vessel.\n\npassenger aircraft means an aircraft that has the capacity to carry 6 or more passengers.\n\npassenger vessel means a vessel that has the capacity to carry 12 or more passengers.\n\npermanent biosecurity monitoring zone has the meaning given by section 378.\n\npermissible distance means 400 metres or such greater distance as is prescribed by regulations for the purposes of this definition.\n\npersonal information has the same meaning as in the Privacy Act 1988.\n\nperson assisting has the meaning given by section 536.\n\nperson in charge has the meaning given by section 22.\n\nperson responsible for a conveyance means:\n\n (a) the owner of the conveyance; or\n\n (b) the person in charge of the conveyance; or\n\n (c) the operator of the conveyance.\n\npest means a species, strain or biotype of a plant or animal, or a disease agent, that has the potential to cause, either directly or indirectly, harm to:\n\n (a) human, animal or plant health; or\n\n (b) the environment.\n\nNote: For the application of this Act in relation to pests, see sections 25 and 26.\n\nplant includes a dead plant and any part of a plant.\n\nport includes a harbour.\n\npossession warrant means a premises possession warrant or a conveyance possession warrant authorising the taking of possession of premises or a conveyance.\n\nPPSA security interest means a security interest within the meaning of the Personal Property Securities Act 2009 and to which that Act applies, other than a transitional security interest within the meaning of that Act.\n\nNote 1: The Personal Property Securities Act 2009 applies to certain security interests in personal property. See the following provisions of that Act:\n\n(a) section 8 (interests to which the Act does not apply);\n\n(b) section 12 (meaning of security interest);\n\n(c) Chapter 9 (transitional provisions).\n\nNote 2: For the meaning of transitional security interest, see section 308 of the Personal Property Securities Act 2009.\n\npremises includes the following:\n\n (a) a structure, building or conveyance;\n\n (b) a place (whether or not enclosed or built on), including a place situated underground or under water;\n\n (c) a part of a thing referred to in paragraph (a) or (b).\n\nNote: Premises does not include a conveyance in certain parts of this Act (see sections 252, 472 and 497).\n\npremises possession warrant means a warrant issued as a result of the test in item 7 of the table in section 489 being met.\n\nprescribed contact information means:\n\n (a) in relation to section 47—the contact information prescribed by the regulations for the purposes of that section; and\n\n (b) in relation to section 69—the contact information prescribed by the regulations for the purposes of that section; and\n\n (c) in relation to section 85—the contact information prescribed by the regulations for the purposes of that section.\n\nprescribed quarantine signal means the signal prescribed for the purposes of subsection 221(2).\n\nprohibited goods has the meaning given by subsection 173(2).\n\nprotected information means information of any of the following kinds obtained or generated by a person:\n\n (a) sensitive information (within the meaning of the Privacy Act 1988);\n\n (b) information (including commercially sensitive information) the disclosure of which could reasonably be expected to found an action by a person (other than the Commonwealth) for breach of a duty of confidence;\n\n (c) information the disclosure of which could reasonably be expected to prejudice the prevention, detection, investigation, prosecution or punishment of one or more offences;\n\n (d) information the disclosure of which could reasonably be expected to prejudice the protection of public safety, human health or the environment;\n\n (e) information the disclosure of which could reasonably be expected to prejudice the security, defence or international relations of Australia;\n\n (f) information of a kind prescribed by regulations made for the purposes of this paragraph.\n\nprotected person has the meaning given by subsection 644(6).\n\nprotected zone has the meaning given by section 617.\n\nprotected zone area has the meaning given by section 617.\n\nprotected zone vessel has the meaning given by section 617.\n\nRegulatory Powers Act means the Regulatory Powers (Standard Provisions) Act 2014.\n\nrelated provision means the following:\n\n (a) a provision of this Act or the Quarantine Act 1908 (as it applied of its own force or to the extent that it continues to apply because of the Biosecurity (Consequential Amendments and Transitional Provisions) Act 2015) that creates an offence;\n\n (b) a civil penalty provision of this Act;\n\n (c) a provision of the Crimes Act 1914 or the Criminal Code that relates to this Act or the Quarantine Act 1908 (as it applied of its own force or to the extent that it continues to apply because of the Biosecurity (Consequential Amendments and Transitional Provisions) Act 2015) and creates an offence.\n\nrelease from biosecurity control:\n\n (a) in relation to goods that are subject to biosecurity control—means release from biosecurity control under section 162; and\n\n (b) in relation to a conveyance that is subject to biosecurity control—means release from biosecurity control under section 218.\n\nrelevant court means:\n\n (a) the Federal Court; or\n\n (b) the Federal Circuit and Family Court of Australia (Division 2); or\n\n (c) a court of a State or Territory that has jurisdiction in relation to matters arising under this Act.\n\nrelevant Director, in relation to an approved arrangement or a proposed approved arrangement, means:\n\n (a) if the arrangement provides for biosecurity activities to be carried out relating only to human health risks—the Director of Human Biosecurity; or\n\n (b) in any other case—the Director of Biosecurity.\n\nrelevant information means information obtained or generated by a person in the course of or for the purposes of:\n\n (a) performing functions or duties, or exercising powers, under this Act; or\n\n (b) assisting another person to perform functions or duties, or exercise powers, under this Act.\n\nrelevant person for a reviewable decision means:\n\n (a) for a reviewable decision referred to in column 1 of the table in subsection 574(1)—the person referred to in column 3 of that table in relation to that decision; and\n\n (b) for a reviewable decision prescribed under regulations or a determination made for the purposes of subsection 574(2)—the person specified by the regulations or determination as the relevant person for that decision.\n\nrelevant premises has the meaning given by section 510.\n\nreportable biosecurity incident:\n\n (a) in relation to goods that are subject to biosecurity control—means an act, omission or event that is determined to be a reportable biosecurity incident under section 154; and\n\n (b) in relation to an approved arrangement—has the meaning given by subsection 431(1).\n\nreviewable decision has the meaning given by subsections 574(1) and (2).\n\nsanitation health risk has the meaning prescribed for the purposes of paragraph 255(1)(a).\n\nsediment has the same meaning as Sediments has in the Ballast Water Convention.\n\nsediment reception facility means:\n\n (a) for an Australian vessel that is not in Australian seas—a facility for receiving sediment from vessels for treatment or disposal in accordance with IMO guidelines; or\n\n (b) otherwise—a facility in Australian territory for receiving sediment from vessels for treatment or disposal in a way authorised under:\n\n (i) a law of the Commonwealth; or\n\n (ii) if the facility is in a State or Territory—a law of the State or Territory.\n\nship’s pilot, in relation to a vessel, means a person who does not belong to, but has the conduct of, the vessel.\n\nSPS Agreement means the Agreement on the Application of Sanitary and Phytosanitary Measures set out in Annex 1A to the World Trade Organization Agreement, as in force for Australia from time to time.\n\nState or Territory body includes a Department of State, or an authority or agency, of a State or Territory.\n\nsubject to biosecurity control:\n\n (a) in relation to goods—means subject to biosecurity control because of subsection 119(2) or (4); and\n\n (b) in relation to a conveyance—means subject to biosecurity control because of subsection 191(2) or (4) or 192(2), (3) or (5).\n\nsurvey authority means a person authorised by the Director of Biosecurity under section 290A to be a survey authority.\n\nsuspended goods has the meaning given by subsection 182(2).\n\ntank includes space or compartment.\n\ntemporary biosecurity monitoring zone has the meaning given by subsection 384(1).\n\ntemporary biosecurity monitoring zone determination means a determination made under subsection 384(1).\n\nthis Act includes:\n\n (a) instruments made under this Act; and\n\n (b) the Regulatory Powers Act as it applies in relation to this Act.\n\nTorres Strait Treaty has the meaning given by section 617.\n\ntraditional activities has the meaning given by section 617.\n\ntraditional inhabitant has the meaning given by section 617.\n\ntraveller movement measure means the biosecurity measure included in a human biosecurity control order under section 96.\n\nunduly detained or delayed has the same meaning as in the Ballast Water Convention.\n\nUnited Nations Convention on the Law of the Sea means the United Nations Convention on the Law of the Sea, done at Montego Bay on 10 December 1982, as in force for Australia from time to time.\n\nNote: The Convention is in Australian Treaty Series 1994 No. 31 ([1994] ATS 31) and could in 2014 be viewed in the Australian Treaties Library on the AustLII website (http://www.austlii.edu.au).\n\nvector means an arthropod or other living carrier that transports an infectious agent from an infected plant or animal to an individual.\n\nvessel:\n\n (a) means any kind of vessel used in navigation by water, however propelled or moved, including the following:\n\n (i) a barge, lighter or other floating craft;\n\n (ii) an air‑cushion vehicle, or other similar craft, used wholly or primarily in navigation by water; and\n\n (b) includes:\n\n (i) an installation; and\n\n (ii) any floating structure.\n\nNote: A reference (except in Chapter 5 (ballast water and sediment) and any related provision) to a vessel does not include a reference to a vessel brought or imported into Australian territory from outside Australian territory on board another conveyance until the vessel is released from biosecurity control (see subsection 16(4)).\n\nwarrant means:\n\n (a) a warrant issued under section 488; or\n\n (b) a warrant signed by an issuing officer under section 492; or\n\n (c) an investigation warrant; or\n\n (d) a monitoring warrant.\n\nWorld Trade Organization Agreement means the Marrakesh Agreement establishing the World Trade Organization, done at Marrakesh on 15 April 1994.\n\nNote: The Agreement is in Australian Treaty Series 1995 No. 8 ([1995] ATS 8) and could in 2014 be viewed in the Australian Treaties Library on the AustLII website (http://www.austlii.edu.au).\n\n (2) Before the Governor‑General makes regulations for the purposes of paragraph (f) of the definition of protected information in subsection (1) to prescribe a kind of information, the Agriculture Minister or the Health Minister must be satisfied that disclosure of that kind of information would or could reasonably be expected to:\n\n (a) prejudice the effective working of the Agriculture Department or the Health Department; or\n\n (b) otherwise harm the public interest.\n\n","sortOrder":21},{"sectionNumber":"10","sectionType":"section","heading":"Meaning of approved arrangement","content":"10  Meaning of approved arrangement\n\n  An approved arrangement is an arrangement for which an approval is in force under paragraph 406(1)(a) (including a varied arrangement for which an approval is in force under that paragraph as it applies because of subsection 412(3)).\n\n","sortOrder":22},{"sectionNumber":"11","sectionType":"section","heading":"Meaning of associate","content":"11  Meaning of associate\n\n (1) Associate of a person (the first person) includes each of the following:\n\n (a) a person who is or was a consultant, adviser, partner, representative on retainer, employer or employee of:\n\n (i) the first person; or\n\n (ii) any corporation of which the first person is an officer or employee or in which the first person holds shares;\n\n (b) a spouse, de facto partner, child, parent, grandparent, grandchild, sibling, aunt, uncle, niece, nephew or cousin of the first person;\n\n (c) a child, parent, grandparent, grandchild, sibling, aunt, uncle, niece, nephew or cousin of a spouse or de facto partner of the first person;\n\n (d) any other person not mentioned in paragraph (a), (b) or (c) who is or was:\n\n (i) directly or indirectly concerned in; or\n\n (ii) in a position to control or influence the conduct of;\n\n  a business or undertaking of:\n\n (iii) the first person; or\n\n (iv) a corporation of which the first person is an officer or employee, or in which the first person holds shares;\n\n (e) a corporation:\n\n (i) of which the first person, or any of the other persons mentioned in paragraphs (a), (b), (c) and (d), is an officer or employee; or\n\n (ii) in which the first person, or any of those other persons, holds shares;\n\n (f) if the first person is a body corporate—another body corporate that is a related body corporate (within the meaning of the Corporations Act 2001) of the first person.\n\n (2) Without limiting who is a child of a person for the purposes of this section, each of the following is the child of a person:\n\n (a) a stepchild or adopted child of the person;\n\n (b) someone who would be the stepchild of the person except that the person is not legally married to the person’s partner;\n\n (c) someone is a child of the person within the meaning of the Family Law Act 1975.\n\n (3) Without limiting who is a parent of a person for the purposes of this Act, someone is the parent of a person if the person is his or her child because of the definition of child in subsection (2).\n\n (4) For the purposes of this section, if one person is the child of another person because of the definition of child in subsection (2), relationships traced to or through that person are to be determined on the basis that the person is the child of the other person.\n\n","sortOrder":23},{"sectionNumber":"12","sectionType":"section","heading":"Meaning of Australian territory","content":"12  Meaning of Australian territory\n\n  A reference in a provision of this Act to Australian territory is a reference to:\n\n (a) Australia, Christmas Island, Cocos (Keeling) Islands and any external Territory to which that provision extends; and\n\n (b) the airspace over an area covered by paragraph (a); and\n\n (c) the coastal sea of Australia, of Christmas Island, of Cocos (Keeling) Islands and of any other external Territory to which that provision extends.\n\nNote 1: Under subsection 7(2), the regulations may extend this Act, or any provisions of this Act, to external Territories.\n\nNote 2: The definition of coastal sea of Australia or an external Territory in subsection 15B(4) of the Acts Interpretation Act 1901 includes the airspace over Australia or the external Territory.\n\n","sortOrder":24},{"sectionNumber":"13","sectionType":"section","heading":"Meaning of biosecurity entry point","content":"13  Meaning of biosecurity entry point\n\nBiosecurity entry point for an aircraft\n\n (1) A biosecurity entry point for an aircraft that is subject to biosecurity control is an area of a landing place that is designated, under paragraph 224(a), as a biosecurity entry point for that aircraft or a class of aircraft that includes that aircraft.\n\nBiosecurity entry point for a vessel\n\n (2) A biosecurity entry point for a vessel that is subject to biosecurity control is an area of a port that is designated, under paragraph 230(a), as a biosecurity entry point for that vessel or a class of vessels that includes that vessel.\n\nBiosecurity entry point for goods\n\n (3) A biosecurity entry point for goods that are subject to biosecurity control, or exposed goods in relation to which a biosecurity control order is in force, is:\n\n (a) an area of a landing place that is designated, under paragraph 224(b), as a biosecurity entry point for those goods or a class of goods that includes those goods; or\n\n (b) an area of a port that is designated, under paragraph 230(b), as a biosecurity entry point for those goods or a class of goods that includes those goods.\n\n","sortOrder":25},{"sectionNumber":"14","sectionType":"section","heading":"Meaning of biosecurity industry participant and covered by","content":"14  Meaning of biosecurity industry participant and covered by\n\n  A person who is the holder of the approval of an approved arrangement (including a person to whom an approved arrangement has been transferred in the circumstances prescribed by regulations made for the purposes of section 411):\n\n (a) is a biosecurity industry participant; and\n\n (b) is covered by the approved arrangement.\n\nNote: If an approved arrangement is revoked under Part 5 of Chapter 7 (approved arrangements), then, for the purposes of this Act, the arrangement ceases to be an approved arrangement and the person who held the approval of the arrangement ceases to be a biosecurity industry participant covered by the arrangement.\n\n","sortOrder":26},{"sectionNumber":"14A","sectionType":"section","heading":"Meaning of biosecurity worker","content":"14A  Meaning of biosecurity worker\n\n (1) A biosecurity worker is:\n\n (a) an APS employee in the Agriculture Department or Health Department; or\n\n (b) a person who is an employee of an Agency (within the meaning of the Public Service Act 1999) and whose services are made available to the Agriculture Department or Health Department; or\n\n (c) a person who is:\n\n (i) engaged as a consultant or contractor to perform services for the Agriculture Department or Health Department; and\n\n (ii) specified in a determination under subsection (2); or\n\n (d) a person who is:\n\n (i) engaged or employed by a person to whom paragraph (c) or this paragraph applies; and\n\n (ii) performing services for the Agriculture Department or Health Department in connection with that engagement or employment; and\n\n (iii) specified in a determination under subsection (3).\n\n (2) The Director of Biosecurity or the Director of Human Biosecurity may, by written determination, specify a person for the purposes of subparagraph (1)(c)(ii).\n\n (3) The Director of Biosecurity or the Director of Human Biosecurity may, by written determination, specify a person for the purposes of subparagraph (1)(d)(iii).\n\n (4) A determination under subsection (2) or (3) is not a legislative instrument.\n\n","sortOrder":27},{"sectionNumber":"16","sectionType":"section","heading":"Meaning of conveyance","content":"16  Meaning of conveyance\n\n (1) Conveyance means any of the following:\n\n (a) an aircraft;\n\n (b) a vessel;\n\n (c) a vehicle;\n\n (d) a train (including railway rolling stock);\n\n (e) any other means of transport prescribed by the regulations.\n\n (2) However, a reference in this Act to a conveyance does not include a conveyance while it is goods because of subsection 19(2). This subsection does not apply to a reference in:\n\n (a) Part 3 of Chapter 11 (cost recovery); or\n\n (b) another provision of this Act to the extent that it relates to that Part.\n\nNote: Subsection 19(2) provides that a conveyance (the carried conveyance) that is, or is to be, brought or imported into Australian territory from outside Australian territory on board another conveyance is goods until immediately after the carried conveyance is released from biosecurity control.\n\n (3) A reference in this Act to an aircraft does not include an aircraft while it is goods because of subsection 19(2).\n\n (4) A reference in this Act to a vessel does not include a reference to a vessel while it is goods because of subsection 19(2). This subsection does not apply to a reference in:\n\n (a) Chapter 5 (ballast water and sediment); or\n\n (b) another provision of this Act to the extent that it relates to that Chapter.\n\nNote: An example of a vessel that is goods because of subsection 19(2) is a lifeboat on another vessel.\n\n","sortOrder":28},{"sectionNumber":"17","sectionType":"section","heading":"Meaning of exposed to","content":"17  Meaning of exposed to\n\n (1) A person or thing is taken to have been exposed to another person or thing if the first‑mentioned person or thing has been, or is likely to have been:\n\n (a) in physical contact with; or\n\n (b) in close proximity to; or\n\n (c) exposed to contamination, infestation or infection from;\n\nthe other person or thing.\n\n (2) In this section:\n\nthing includes goods, a conveyance and premises.\n\n","sortOrder":29},{"sectionNumber":"18","sectionType":"section","heading":"Meaning of first point of entry","content":"18  Meaning of first point of entry\n\nFirst point of entry for an aircraft\n\n (1) A first point of entry for an aircraft that is subject to biosecurity control is a landing place that is determined, under paragraph 223(1)(a), to be a first point of entry for that aircraft or a class of aircraft that includes that aircraft.\n\nFirst point of entry for a vessel\n\n (2) A first point of entry for a vessel that is subject to biosecurity control is a port that is determined, under paragraph 229(1)(a), to be a first point of entry for that vessel or a class of vessels that includes that vessel.\n\nFirst point of entry for goods\n\n (3) A first point of entry for goods that are subject to biosecurity control, or exposed goods in relation to which an exposed goods order is in force, is:\n\n (a) a landing place that is determined, under paragraph 223(1)(b), to be a first point of entry for those goods or a class of goods that includes those goods; or\n\n (b) a port that is determined, under paragraph 229(1)(b), to be a first point of entry for those goods or a class of goods that includes those goods.\n\n","sortOrder":30},{"sectionNumber":"19","sectionType":"section","heading":"Meaning of goods","content":"19  Meaning of goods\n\n (1) Goods includes the following:\n\n (a) an animal;\n\n (b) a plant (whether moveable or not);\n\n (c) a sample or specimen of a disease agent;\n\n (d) a pest;\n\n (e) mail;\n\n (f) any other article, substance or thing (including, but not limited to, any kind of moveable property).\n\n (2) For the purposes of this Act, except Part 3 of Chapter 11 (cost recovery), a conveyance (the carried conveyance) that is, or is to be, brought or imported into Australian territory from outside Australian territory on board another conveyance is goods from the time the carried conveyance is first intended to be so brought or imported until immediately after the carried conveyance is released from biosecurity control.\n\nNote: Conveyances that would be goods under this subsection include, for example, a lifeboat being carried on a vessel and an aircraft or vehicle brought into Australian territory as cargo on a vessel.\n\n (3) For the purposes of Parts 1 and 3 of Chapter 3, and any other provision of this Act to the extent that it relates to either of those Parts, the carried conveyance continues to be goods after it is released from biosecurity control.\n\nNote: This ensures that:\n\n(a) a notice or declaration releasing the carried conveyance from biosecurity control can be revoked under section 164; and\n\n(b) provisions of those Parts relating to goods can still be enforced in relation to the carried conveyance after it is released from biosecurity control.\n\n (4) However, goods does not include:\n\n (a) ballast water; or\n\n (b) human remains; or\n\n (c) except to the extent provided in subsection (2) or (3), a conveyance.\n\n","sortOrder":31},{"sectionNumber":"20","sectionType":"section","heading":"Meaning of installation","content":"20  Meaning of installation\n\n  An installation is a structure that:\n\n (a) is able:\n\n (i) to float or to be floated; and\n\n (ii) to move, or to be moved, as an entity from one place to another; and\n\n (b) is, or is to be, used wholly or principally in:\n\n (i) exploring or exploiting natural resources (such as fish or minerals) with equipment on, or forming part of, the structure; or\n\n (ii) operations or activities associated with, or incidental to, activities of the kind referred to in subparagraph (i) of this paragraph; and\n\n (c) either:\n\n (i) is attached to, or resting on, the seabed; or\n\n (ii) is attached semipermanently or permanently to a structure that is attached to, or resting on, the seabed.\n\nNote: An installation is a vessel for the purposes of this Act (see paragraph (b) of the definition of vessel in section 9).\n\n","sortOrder":32},{"sectionNumber":"21","sectionType":"section","heading":"Meaning of operator of a conveyance","content":"21  Meaning of operator of a conveyance\n\n (1) Subject to subsection (2), the operator of a conveyance is:\n\n (a) if there is a body corporate or an unincorporated body responsible for the operation of the conveyance—that body; and\n\n (b) in any other case—the person in charge of the conveyance.\n\n (2) In Chapter 5 (ballast water), and any other provision of this Act to the extent that it relates to that Chapter, the operator of a vessel has the same meaning as Company has in the Annex to the Ballast Water Convention.\n\n","sortOrder":33},{"sectionNumber":"22","sectionType":"section","heading":"Meaning of person in charge","content":"22  Meaning of person in charge\n\n (1) Person in charge of goods:\n\n (a) means:\n\n (i) the owner of the goods; or\n\n (ii) a person (other than a biosecurity officer or a biosecurity enforcement officer) who is in possession or control of the goods; and\n\n (b) includes a biosecurity industry participant who is in possession or control of the goods as authorised by an approved arrangement covering the biosecurity industry participant.\n\nNote: Person in charge of goods does not include a biosecurity industry participant in certain provisions of this Act (see subsections 134(7), 336(6), 626(5) and 628(7)).\n\n (2) Person in charge of a conveyance means the person in charge or command of the conveyance, but does not include a ship’s pilot.\n\nNote: A conveyance includes an aircraft and a vessel (see subsection 16(1)).\n\n","sortOrder":34},{"sectionNumber":"Part 3","sectionType":"part","heading":"Constitutional and international law provisions","content":"Part 3—Constitutional and international law provisions\n\n","sortOrder":35},{"sectionNumber":"23","sectionType":"section","heading":"Simplified outline of this Part","content":"23  Simplified outline of this Part\n\nThis Part contains provisions that relate to the Constitution, such as:\n\n (a) the constitutional powers relied on for this Act; and\n\n (b) the application of this Act in relation to pests; and\n\n (c) provisions relating to protections in the Constitution (for example, compensation for any acquisition of property).\n\nThis Part also ensures that this Act is consistent with the rights that foreign aircraft and vessels have under the United Nations Convention on the Law of the Sea.\n\n","sortOrder":36},{"sectionNumber":"Div 2","sectionType":"division","heading":"Constitutional and international law provisions","content":"Division 2—Constitutional and international law provisions\n\n","sortOrder":37},{"sectionNumber":"24","sectionType":"section","heading":"Severability","content":"24  Severability\n\n (1) Without limiting the effect of this Act apart from this section, this Act also has effect as provided by this section.\n\n (2) To avoid doubt, no subsection of this section limits the operation of any other subsection of this section.\n\nQuarantine power\n\n (3) This Act has the effect it would have if its operation were expressly confined to exercising a power, performing a function, conferring a right, or imposing an obligation, in relation to quarantine (within the meaning of paragraph 51(ix) of the Constitution).\n\nExternal affairs power\n\n (4) This Act has the effect it would have if its operation were expressly confined to give effect to Australia’s rights and obligations under an agreement with one or more countries.\n\nNote: This subsection is subject to section 26 (application of this Act in relation to invasive pests).\n\n (5) This Act has the effect it would have if its operation were expressly confined to acts or omissions that occur beyond the limits of the States and Territories.\n\n (6) This Act has the effect it would have if its operation were expressly confined to matters that are of international concern.\n\nTrade and commerce power\n\n (7) This Act has the effect it would have if its operation were expressly confined to acts or omissions occurring in the course of constitutional trade and commerce.\n\n (8) This Act has the effect it would have if references to goods and conveyances were expressly confined to references to goods and conveyances involved in constitutional trade and commerce.\n\nFisheries power\n\n (9) This Act has the effect it would have if its operation were expressly confined to exercising a power, performing a function, conferring a right, or imposing an obligation, that affects fisheries in Australian waters beyond territorial limits (within the meaning of paragraph 51(x) of the Constitution).\n\nAliens power\n\n (10) This Act has the effect it would have if its operation were expressly confined to:\n\n (a) exercising a power or performing a function that affects an alien (within the meaning of paragraph 51(xix) of the Constitution); or\n\n (b) conferring a right or imposing an obligation on such an alien.\n\nCorporations power\n\n (11) This Act has the effect it would have if its operation were expressly confined to:\n\n (a) exercising a power or performing a function that affects a person that is a corporation to which paragraph 51(xx) of the Constitution applies; or\n\n (b) conferring a right or imposing an obligation on such a person.\n\nTerritories and Commonwealth places power\n\n (12) This Act has the effect it would have if its operation were expressly confined to exercising a power, performing a function, conferring a right, or imposing an obligation, in relation to a person or thing in:\n\n (a) a Territory; or\n\n (b) a Commonwealth place (within the meaning of the Commonwealth Places (Application of Laws) Act 1970).\n\nPostal power\n\n (13) This Act has the effect it would have if its operation were expressly confined to acts using postal, telegraphic, telephonic, and other like services (within the meaning of paragraph 51(v) of the Constitution).\n\nSickness benefits power\n\n (14) This Act has the effect it would have if its operation were expressly confined to the provision of sickness and hospital benefits, and medical services (but not so as to authorise any form of civil conscription) (within the meaning of paragraph 51(xxiiiA) of the Constitution).\n\nCensus and statistics power\n\n (15) This Act has the effect it would have if its operation were expressly confined to a requirement to answer a question or provide information (whether in a notice, a report or otherwise) for purposes relating to census and statistics (within the meaning of paragraph 51(xi) of the Constitution).\n\n","sortOrder":38},{"sectionNumber":"25","sectionType":"section","heading":"Application of this Act in relation to pests that are quarantine risks or invasive pests","content":"25  Application of this Act in relation to pests that are quarantine risks or invasive pests\n\n (1) This Act applies in relation to a pest (subject to subsection (2)) only if:\n\n (a) the pest is capable of:\n\n (i) infesting humans, animals or plants; or\n\n (ii) acting as a vector for a disease; or\n\n (iii) causing disease in any other way; or\n\n (b) the pest is an invasive pest.\n\nNote: For the application of this Act in relation to invasive pests, see section 26.\n\n (2) The following provisions of this Act apply only in relation to a pest that is referred to in paragraph (1)(a):\n\n (a) Division 3A of Part 2 of Chapter 4 (entry requirements: persons entering Australian territory on board conveyances);\n\n (b) Part 1 of Chapter 8 (biosecurity emergencies).\n\n","sortOrder":39},{"sectionNumber":"26","sectionType":"section","heading":"Application of this Act in relation to invasive pests","content":"26  Application of this Act in relation to invasive pests\n\n (1) This section applies to the extent that:\n\n (a) a provision of this Act:\n\n (i) confers a power, function or right; or\n\n (ii) imposes an obligation;\n\n  in relation to an invasive pest; and\n\n (b) the provision would (apart from this section) exceed the legislative power of the Commonwealth if Australia were not a party to the Biodiversity Convention.\n\n (2) The power, function or right is conferred, or the obligation is imposed, only to the extent that the conferral or imposition:\n\n (a) is for the purpose of preventing the introduction of, or controlling or eradicating, those invasive pests which threaten ecosystems, habitats or species; and\n\n (b) is reasonably capable of being considered appropriate and adapted to give effect to Australia’s rights and obligations under Article 7 or 8 of the Biodiversity Convention.\n\n (3) This section limits the effect that this Act has apart from this section.\n\n","sortOrder":40},{"sectionNumber":"27","sectionType":"section","heading":"Compensation for acquisition of property","content":"27  Compensation for acquisition of property\n\n (1) If the operation of this Act would result in an acquisition of property from a person otherwise than on just terms, the Commonwealth is liable to pay a reasonable amount of compensation to the person.\n\nNote: For the definitions of acquisition of property and just terms, see section 9.\n\n (2) If the Commonwealth and the person do not agree on the amount of the compensation, the person may institute proceedings in a relevant court for the recovery from the Commonwealth of such reasonable amount of compensation as the court determines.\n\n","sortOrder":41},{"sectionNumber":"28","sectionType":"section","heading":"Freedom of interstate trade, commerce and intercourse","content":"28  Freedom of interstate trade, commerce and intercourse\n\n  A power or function conferred by this Act must not be exercised or performed in such a way as to contravene:\n\n (a) section 92 of the Constitution (trade and commerce among the States to be free); or\n\n (b) section 69 of the Australian Capital Territory (Self‑Government) Act 1988; or\n\n (c) section 49 of the Northern Territory (Self‑Government) Act 1978.\n\n","sortOrder":42},{"sectionNumber":"29","sectionType":"section","heading":"Commonwealth not to give preference","content":"29  Commonwealth not to give preference\n\n  A power or function conferred by this Act must not be exercised or performed in such a way as to give preference to one State or any part of a State in contravention of section 99 of the Constitution.\n\n","sortOrder":43},{"sectionNumber":"30","sectionType":"section","heading":"Application of this Act to foreign aircraft and vessels","content":"30  Application of this Act to foreign aircraft and vessels\n\n  This Act does not apply to the extent that its application would be inconsistent with the exercise of rights of foreign aircraft or vessels, in accordance with the United Nations Convention on the Law of the Sea, above or in any of the following:\n\n (a) the territorial sea of Australia;\n\n (b) the exclusive economic zone;\n\n (c) waters of the continental shelf.\n\n","sortOrder":44},{"sectionNumber":"Part 4","sectionType":"part","heading":"Principles affecting decisions to exercise certain powers","content":"Part 4—Principles affecting decisions to exercise certain powers\n\n \n\n","sortOrder":45},{"sectionNumber":"31","sectionType":"section","heading":"Simplified outline of this Part","content":"31  Simplified outline of this Part\n\nA biosecurity official who is making a decision to exercise a power under certain provisions of this Act must first consider the principles set out in this Part.\n\nThe principles aim to ensure that the power is exercised only if exercising the power is likely to be effective in, or to contribute to, achieving the purpose for which the power is to be exercised, is appropriate and adapted for its purpose, and is no more restrictive or intrusive than is required.\n\nIf the power is to be exercised in relation to a conveyance, the biosecurity official must consider the impact of the exercise of the power on the health and safety of any persons on board the conveyance.\n\n","sortOrder":46},{"sectionNumber":"32","sectionType":"section","heading":"The principles","content":"32  The principles\n\n (1) This section applies (subject to subsection (4)) to a biosecurity official who is making a decision to exercise a power in accordance with a provision of this Act referred to in the following table or an instrument in force under such a provision.\n\n \n\n- Provisions to which decision‑making principles apply\n- Item Power Provision\n- 1 Power of Director of Biosecurity to give approval for requiring high‑value goods to be destroyed Subsection 136(2)\n- 2 Power of Director of Biosecurity to give approval for a direction requiring an aircraft or vessel to be moved to a place outside Australian territory Paragraph 206(3)(a)\n- 3 Power of Director of Biosecurity to give approval to cause an aircraft or vessel to be moved to a place outside Australian territory Paragraph 206(3)(b)\n- 4 Power of Director of Biosecurity to give approval for a conveyance to be removed from Australian territory, destroyed or otherwise disposed of Paragraph 209(5)(d)\n- 5 Power of Director of Biosecurity to give approval for requiring a conveyance to be destroyed and for destroying it Subsection 210(2) and paragraph 210(5)(e)\n- 6 Power of Director of Biosecurity to give approval for a direction requiring an aircraft not to land at any landing place in Australian territory Subsection 241(2)\n- 7 Power of Director of Biosecurity to give approval for a direction requiring a vessel not to be moored at any port in Australian territory Subsection 249(2)\n- 8 Power of biosecurity officer or biosecurity enforcement officer to enter premises at a landing place or port in Australian territory Subsection 252(2)\n- 9 Power of Director of Biosecurity to give a direction about movement of a vessel that may have been involved in the commission of an offence against Chapter 5 (ballast water and sediment) Section 303\n- 10 Any power that may be exercised by a biosecurity official Chapter 6 (managing biosecurity risks: monitoring, control and response)\n- 11 Any power that may be exercised by a biosecurity official Divisions 5 and 6 of Part 1 of Chapter 8 (biosecurity emergencies)\n- 12 Any power that may be exercised by a biosecurity official Subdivision B of Division 2 of Part 4 of Chapter 10 (decontamination)\n- 13 Power of Director of Biosecurity to deal with an abandoned conveyance Section 629\n- 14 Power of Director of Biosecurity to deal with a forfeited conveyance Section 630\n\nPrinciples affecting decision‑making\n\n (2) Before the biosecurity official makes the decision, the biosecurity official must be satisfied of all of the following:\n\n (a) that exercising the power is likely to be effective in, or to contribute to, achieving the purpose for which the power is to be exercised;\n\n (b) that exercising the power is appropriate and adapted to achieve that purpose;\n\n (c) that the manner in which the power is to be exercised is no more restrictive or intrusive than is required in the circumstances;\n\n (d) if the power is to be exercised in relation to an individual—that the power is no more restrictive or intrusive than is required in the circumstances;\n\n (e) if the power is to be exercised during a period—that the period is only as long as is necessary.\n\nPowers that are to be exercised in relation to a conveyance\n\n (3) If the power is to be exercised in relation to a conveyance, the biosecurity official must consider the impact of the exercise of the power on the health and safety of any persons on board the conveyance.\n\nExceptions to application of the principles\n\n (4) Subsection (2) does not apply in relation to the making of a biosecurity control order or the making of a legislative instrument under Chapter 6 (including a biosecurity control order or a legislative instrument made under that Chapter in accordance with Division 5 or 6 of Part 1 of Chapter 8 (biosecurity emergencies)).\n\nNote: For principles affecting the exercise of a power under Chapter 2 (managing biosecurity risks: human health), see section 34.\n\nChapter 2—Managing biosecurity risks: human health\n\nPart 1—General protections and listing human diseases\n\n33  Simplified outline of this Part\n\nDivision 2 contains protections for individuals in relation to whom powers are exercised under this Chapter.\n\nAny person who exercises a power, or imposes a biosecurity measure, under this Chapter must first consider the principles set out in Division 2. The principles aim to ensure that a power is exercised, or biosecurity measure imposed, only when circumstances are sufficiently serious to justify it, and only if it would be effective, it is appropriate and adapted for its purpose, and it is no more restrictive or intrusive than is required. Division 2 also ensures that the requirements of this Chapter do not interfere with an individual’s urgent or life‑threatening medical needs, and sets out the protections that this Chapter provides for a child or incapable person who is subject to a requirement under this Chapter.\n\nPowers in this Chapter are exercised only in relation to human diseases that cause significant harm to human health. Those diseases must be listed in a legislative instrument that is made by the Director‑General of the CDC under Division 3.\n\nDivision 2—Protections\n\nSubdivision A—General protections\n\n34  The principles\n\n (1) This section applies (subject to subsections (3) and (4)) to a person who is making a decision to exercise a power in relation to, or impose a biosecurity measure on, an individual under this Chapter, in order to manage the risk of:\n\n (a) contagion of a listed human disease; or\n\n (b) a listed human disease entering, or emerging, establishing itself or spreading in, Australian territory or a part of Australian territory.\n\nNote: A person may exercise a power in relation to, or impose a biosecurity measure on, an individual under this Chapter during a human biosecurity emergency (see Part 2 of Chapter 8).\n\nPrinciples affecting decision‑making\n\n (2) Before the person makes the decision, the person must be satisfied of all of the following:\n\n (a) that exercising the power, or imposing the biosecurity measure, is likely to be effective in, or to contribute to, managing the risk;\n\n (b) that exercising the power, or imposing the biosecurity measure, is appropriate and adapted to manage the risk;\n\n (c) that the circumstances are sufficiently serious to justify exercising the power, or imposing the biosecurity measure;\n\n (d) that the power, or the biosecurity measure, is no more restrictive or intrusive than is required in the circumstances;\n\n (e) that the manner in which the power is to be exercised, or the biosecurity measure is to be imposed, is no more restrictive or intrusive than is required in the circumstances;\n\n (f) if the power is to be exercised or the biosecurity measure imposed during a period—that the period is only as long as is necessary.\n\n (3) Subsection (2) does not apply in relation to the making of a legislative instrument under this Chapter in relation to a class of individuals.\n\n (4) Subsection (2) does not apply in relation to the making of a decision to require answers to questions or written information under Division 6 of Part 2.\n\n35  No interference with urgent or life‑threatening medical needs\n\n  The exercise of a power, or the imposition of a biosecurity measure, in relation to an individual under this Chapter must not interfere with any urgent or life‑threatening medical needs of the individual.\n\nSubdivision B—Protections for children or incapable persons\n\n","sortOrder":47},{"sectionNumber":"36","sectionType":"section","heading":"Child or incapable person may be accompanied","content":"36  Child or incapable person may be accompanied\n\n  A child or incapable person who is subject to a requirement under this Chapter may be accompanied by an accompanying person for the child or incapable person.\n\nNote: This section is subject to section 41 (exception for requirement to remain at a place).\n\n","sortOrder":48},{"sectionNumber":"37","sectionType":"section","heading":"Officer to contact parent, guardian or next of kin of unaccompanied child or incapable person","content":"37  Officer to contact parent, guardian or next of kin of unaccompanied child or incapable person\n\n (1) A child or incapable person who is not accompanied by an accompanying person must not be subject to a requirement under this Chapter unless a biosecurity officer, human biosecurity officer or chief human biosecurity officer has taken reasonable steps to contact a parent, guardian or next of kin of the child or incapable person.\n\nNote: This subsection is subject to subsection (2) and section 41 (exception for requirement to remain at a place).\n\n (2) If the child or incapable person has urgent or life‑threatening medical needs, the officer must meet those needs first. However, the officer must take reasonable steps to contact the parent, guardian or next of kin of the child or incapable person as soon as possible after those needs have been met.\n\nRequirements when contacting parent, guardian or next of kin\n\n (3) On contacting the parent, guardian or next of kin, the officer must:\n\n (a) explain the effects of sections 36 and 39; and\n\n (b) allow an accompanying person to accompany the child or incapable person.\n\n (4) If a parent, guardian or next of kin indicates that he or she wishes the child or incapable person to be accompanied, the child or incapable person must not be subject to a requirement under this Chapter until an accompanying person for the child or incapable person accompanies the child or incapable person.\n\n","sortOrder":49},{"sectionNumber":"38","sectionType":"section","heading":"Requirement to comply with direction","content":"38  Requirement to comply with direction\n\n (1) A biosecurity officer, human biosecurity officer or chief human biosecurity officer may give a direction to an accompanying person for a child or incapable person.\n\n (2) The direction must be for the purpose of ensuring the compliance of the child or incapable person with a requirement under this Chapter.\n\n (3) An accompanying person who is given a direction under subsection (1) must comply with the direction.\n\n (a) the person is an accompanying person; and\n\n (b) the person is given a direction under this section; and\n\n (c) the person fails to comply with the direction.\n\n","sortOrder":50},{"sectionNumber":"39","sectionType":"section","heading":"Parent, guardian or next of kin may authorise person to accompany child or incapable person","content":"39  Parent, guardian or next of kin may authorise person to accompany child or incapable person\n\n  A parent, guardian or next of kin of a child or incapable person may authorise another person to be an accompanying person for the child or incapable person for the purposes of this Chapter.\n\n","sortOrder":51},{"sectionNumber":"40","sectionType":"section","heading":"Giving consent","content":"40  Giving consent\n\n (1) An accompanying person for a child or incapable person may give consent on behalf of the child or incapable person for the purposes of Part 3 of this Chapter (human biosecurity control orders).\n\n (2) If the accompanying person gives his or her consent, then, for the purposes of that Part, the child or incapable person is taken to have given his or her consent.\n\n (3) If the accompanying person does not give his or her consent, then, for the purposes of that Part, the child or incapable person is taken to have refused to give his or her consent.\n\n","sortOrder":52},{"sectionNumber":"41","sectionType":"section","heading":"Exception for requiring an individual to remain at a place","content":"41  Exception for requiring an individual to remain at a place\n\n  Despite section 36 and subsections 37(1) and (4), a child or incapable person may be required to remain at a place under section 68 without:\n\n (a) being accompanied by an accompanying person; or\n\n (b) an officer taking reasonable steps to contact a parent, guardian or next of kin in accordance with section 37.\n\nDivision 3—Listing human diseases\n\n","sortOrder":53},{"sectionNumber":"42","sectionType":"section","heading":"Listing human diseases","content":"42  Listing human diseases\n\n (1) The Director‑General of the CDC may, in writing, determine that a human disease is a listed human disease if the Director‑General considers that the disease may:\n\n (a) be communicable; and\n\n (b) cause significant harm to human health.\n\n (2) Before making a determination under this section, the Director‑General of the CDC must consult with:\n\n (a) the chief health officer (however described) for each State and Territory; and\n\n (b) the Director of Biosecurity; and\n\n (c) the Director of Human Biosecurity.\n\n (3) A determination made under this section is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument.\n\nPart 2—Preventing risks to human health\n\n43  Simplified outline of this Part\n\nDivision 2 allows the Health Minister to prescribe requirements in relation to individuals, and operators of certain aircraft or vessels, that are entering or leaving Australian territory.\n\nDivision 3 requires operators of incoming and outgoing passenger aircraft and vessels to provide 24/7 contact information.\n\nPratique is granted under Division 4 for incoming aircraft and vessels. Pratique allows things to be unloaded from, and persons to disembark from, aircraft or vessels. Pratique can be granted by force of this Act (positive pratique) or by a biosecurity officer (negative pratique).\n\nUnder Division 5, the Health Minister may determine certain biosecurity measures for the purposes of preventing a specified behaviour or practice that causes, or contributes to, the entry into, or the emergence, establishment or spread in, Australian territory or a part of Australian territory of a specified listed human disease.\n\nCertain officers and other persons can ask questions and require documents to be provided under Division 6 for various health‑related purposes.\n\nDivision 2—Entry and exit requirements\n\n","sortOrder":54},{"sectionNumber":"44","sectionType":"section","heading":"Entry requirements","content":"44  Entry requirements\n\n (1) This section applies for the purpose of preventing a listed human disease from entering, or establishing itself or spreading in, Australian territory or a part of Australian territory.\n\n (2) The Health Minister may determine one or more requirements for individuals who are entering Australian territory at a landing place or port in accordance with Division 2 or 3 of Part 4 of Chapter 4.\n\nNote: An individual who fails to comply with a requirement may contravene a civil penalty provision (see section 46).\n\n (3) A determination made under subsection (2) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument.\n\n (4) The determination must specify where the requirements apply.\n\nKinds of determinations that may be specified\n\n (5) Without limiting subsection (2), the determination may specify:\n\n (a) requirements for all individuals, or classes of individuals; and\n\n (b) specific requirements in relation to specified listed human diseases; and\n\n (c) general requirements in relation to listed human diseases generally; and\n\n (d) requirements relating to the manner in which an individual must comply with a requirement.\n\n (6) Without limiting subsection (2), the determination may specify one or more of the following requirements:\n\n (a) a requirement for an individual to provide either:\n\n (i) a declaration as to whether the individual has received a specified vaccination or other prophylaxis within a specified previous period; or\n\n (ii) evidence that the individual has received a specified vaccination or other prophylaxis within a specified previous period;\n\n (b) a requirement for an individual to complete a questionnaire on his or her health, which may include confirmation of whether the individual is undergoing or has undergone specified treatment within a specified previous period;\n\n (c) a requirement for an individual to provide a declaration in relation to a specified listed human disease;\n\n (d) a requirement for an individual to provide a declaration or evidence of where the individual has been before entering Australian territory;\n\n (e) a requirement for an individual to be screened (whether by requiring the individual to be screened by equipment, by providing a declaration, or in any other way).\n\nNote 1: An officer has certain powers in relation to an individual who fails to comply with a requirement in subsection (6) (see section 60 (imposing a human biosecurity control order on an individual)).\n\nNote 2: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\nNote 3: This section is not subject to the privilege against self‑incrimination (see section 635).\n\n (7) A determination must not specify as a requirement a biosecurity measure described in Subdivision B of Division 3 of Part 3 (biosecurity measures that may be included in a human biosecurity control order).\n\n","sortOrder":55},{"sectionNumber":"45","sectionType":"section","heading":"Exit requirements","content":"45  Exit requirements\n\n (1) This section applies for the following purposes:\n\n (a) preventing a listed human disease from spreading to another country;\n\n (b) if a recommendation has been made to the Health Minister by the World Health Organization under Part III of the International Health Regulations—purposes relating to that recommendation.\n\n (2) The Health Minister may determine one or more requirements:\n\n (a) for individuals who are leaving Australian territory; or\n\n (b) for operators of outgoing passenger aircraft or vessels.\n\nNote: A person who fails to comply with a requirement may contravene a civil penalty provision (see section 46).\n\n (3) A determination made under subsection (2) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument.\n\n (4) The determination must specify where the requirements apply.\n\nKinds of determinations that may be specified\n\n (5) Without limiting subsection (2), the determination may specify:\n\n (a) requirements for all individuals or operators, or classes of individuals or operators; and\n\n (b) specific requirements in relation to specified listed human diseases; and\n\n (c) general requirements in relation to listed human diseases generally; and\n\n (d) requirements relating to the manner in which an individual or operator must comply with a requirement.\n\n (6) Without limiting subsection (2), the determination may specify one or more of the following requirements:\n\n (a) a requirement for an operator of an outgoing passenger aircraft or vessel to provide to passengers, who are intending to leave Australian territory on the operator’s aircraft or vessel, specified information about the risks to human health associated with travelling;\n\n (b) a requirement for an operator of an outgoing passenger aircraft or vessel to report to a human biosecurity officer or a chief human biosecurity officer if the operator observes that any passenger intending to leave Australian territory on the operator’s aircraft or vessel has signs or symptoms of a listed human disease;\n\n (c) a requirement for an operator of an outgoing passenger aircraft or vessel to treat the aircraft or vessel in a specified manner;\n\n (d) a requirement for an individual to provide either:\n\n (i) a declaration as to whether the individual has received a specified vaccination or other prophylaxis within a specified previous period; or\n\n (ii) evidence that the individual has received a specified vaccination or other prophylaxis within a specified previous period;\n\n (e) a requirement for an individual to complete a questionnaire on his or her health, which may include confirmation as to whether the individual is undergoing, or has undergone, specified treatment within a specified previous period;\n\n (f) a requirement for an individual to provide a declaration in relation to a specified listed human disease;\n\n (g) a requirement for an individual to provide a declaration or evidence of where the individual has been before leaving Australian territory;\n\n (h) a requirement for an individual to be screened (whether by requiring the individual to be screened by equipment, by providing a declaration, or in any other way).\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\n (7) A determination must not specify as a requirement a biosecurity measure described in Subdivision B of Division 3 of Part 3 (biosecurity measures that may be included in a human biosecurity control order).\n\n","sortOrder":56},{"sectionNumber":"46","sectionType":"section","heading":"Civil penalties for failing to comply with certain entry and exit requirements","content":"46  Civil penalties for failing to comply with certain entry and exit requirements\n\nCivil penalty for failing to comply with entry requirement\n\n (1) An individual to whom a requirement determined under section 44 (entry requirements) applies must comply with the requirement.\n\nCivil penalty for failing to comply with exit requirements\n\n (2) An operator of an outgoing passenger aircraft or vessel to whom a requirement under paragraph 45(6)(c) (manner of treating aircraft or vessel) applies must comply with the requirement.\n\n (3) An individual to whom a requirement under paragraph 45(6)(d), (e), (f), (g) or (h) (exit requirements) applies must comply with the requirement.\n\nContraventions by individuals who are not able to comply\n\n (4) To avoid doubt, an individual may contravene subsection (1) or (3) of this section even if the individual is not able to comply with the requirement.\n\nDivision 3—Contact information for operators\n\n","sortOrder":57},{"sectionNumber":"47","sectionType":"section","heading":"Requirements for operators to provide 24/7 contact information","content":"47  Requirements for operators to provide 24/7 contact information\n\n (1) This section applies for the purposes of:\n\n (a) preventing a listed human disease from entering, or establishing itself or spreading in, Australian territory or a part of Australian territory; or\n\n (b) preventing a listed human disease from spreading to another country.\n\n (2) The operator of an incoming passenger aircraft or vessel, or an outgoing passenger aircraft or vessel, must provide the Director of Human Biosecurity with the prescribed contact information for an individual nominated by the operator.\n\n (3) The individual whose contact information is provided under subsection (2) must be reasonably able to be contacted at any time.\n\n (4) The operator must ensure that the contact information provided is kept up‑to‑date.\n\n (5) The contact information must be provided in the manner prescribed by the regulations (if any).\n\n","sortOrder":58},{"sectionNumber":"Div 4","sectionType":"division","heading":"Pratique","content":"Division 4—Pratique\n\n","sortOrder":59},{"sectionNumber":"48","sectionType":"section","heading":"Positive pratique","content":"48  Positive pratique\n\n (1) An operator of an incoming aircraft or vessel, or the person in charge of an incoming aircraft or vessel, that arrives at a landing place or port in Australian territory in accordance with Division 2 or 3 of Part 4 of Chapter 4 must not allow:\n\n (a) any thing to be unloaded from or loaded onto the aircraft or vessel; or\n\n (b) any person to disembark from or embark onto the aircraft or vessel;\n\nunless pratique has been granted under subsection (2) or 49(4).\n\nCivil penalty:\n\n (a) for an operator of the aircraft or vessel—1,000 penalty units; or\n\n (b) for the person in charge of the aircraft or vessel—300 penalty units.\n\nNote: Even if pratique has been granted, a person may still be prevented from unloading goods under Division 6 of Part 1 of Chapter 3.\n\n (2) Pratique is granted in relation to an incoming aircraft or vessel by force of this subsection at the time the aircraft or vessel arrives at a landing place or port in Australian territory, unless the aircraft or vessel is in a class of aircraft or vessels specified for the purposes of paragraph 49(1)(a).\n\n (3) Subsection (1) does not apply to the unloading or loading of a thing, or the disembarkation or embarkation of a person, that is authorised by or under this Act or another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n","sortOrder":60},{"sectionNumber":"49","sectionType":"section","heading":"Negative pratique","content":"49  Negative pratique\n\n (1) The Director of Human Biosecurity may specify, in writing:\n\n (a) classes of incoming aircraft or vessels in relation to which pratique is to be granted by a biosecurity officer; and\n\n (b) the requirements with which an incoming aircraft or vessel in that class must comply for pratique to be granted by a biosecurity officer.\n\n (2) An instrument made under subsection (1) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument.\n\n (3) Requirements specified for the purposes of paragraph (1)(b) must be consistent with Articles 28.2 and 43 of the International Health Regulations.\n\n (4) A biosecurity officer may grant pratique, orally or in writing, in relation to an incoming aircraft or vessel in a particular class of incoming aircraft or vessel if the aircraft or vessel complies with the requirements specified for the purposes of paragraph (1)(b) for that class of aircraft or vessel.\n\n (5) If a biosecurity officer orally grants pratique in relation to an incoming aircraft or vessel, he or she must make a written record of the grant as soon as practicable after the aircraft or vessel arrives at:\n\n (a) its first point of entry; or\n\n (b) another landing place where the aircraft is permitted under subsection 239(2) to land; or\n\n (c) another port where the vessel is permitted under subsection 247(2) to moor.\n\n (6) An instrument made under subsection (4) or (5) is not a legislative instrument.\n\n","sortOrder":61},{"sectionNumber":"50","sectionType":"section","heading":"Pre‑departure reporting","content":"50  Pre‑departure reporting\n\n (1) The Director of Human Biosecurity may, in writing, specify information that is required to be provided by operators of specified outgoing aircraft or vessels.\n\nNote: For reporting in relation to incoming aircraft or vessels, see section 193.\n\n (2) An instrument made under subsection (1) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument.\n\n (3) The Director of Human Biosecurity may specify in the legislative instrument the manner in which, and the period during which, the information is required to be provided.\n\nIncomplete or incorrect information\n\n (4) If the operator or the person in charge of an aircraft or vessel becomes aware that:\n\n (a) information was required to be provided under this section in relation to the aircraft or vessel; and\n\n (b) either:\n\n (i) the information provided in relation to the aircraft or vessel is incomplete or incorrect; or\n\n (ii) no information was provided;\n\nthe operator must provide the additional or correct information in the manner specified under subsection (3) as soon as reasonably practicable.\n\nCivil penalty\n\n (5) An operator who is required to provide information in accordance with this section must comply with the requirement.\n\n","sortOrder":62},{"sectionNumber":"Div 5","sectionType":"division","heading":"Preventative biosecurity measures","content":"Division 5—Preventative biosecurity measures\n\n","sortOrder":63},{"sectionNumber":"51","sectionType":"section","heading":"Determining preventative biosecurity measures","content":"51  Determining preventative biosecurity measures\n\n (1) This section applies for the purposes of preventing a behaviour or practice that:\n\n (a) may cause a listed human disease to enter, or emerge, establish itself or spread in, Australian territory or a part of Australian territory; or\n\n (b) may contribute to a listed human disease entering, or emerging, establishing itself or spreading in, Australian territory or a part of Australian territory.\n\n (2) The Health Minister may make a determination that specifies any one or more of the following biosecurity measures to be taken by specified classes of persons:\n\n (a) banning or restricting a behaviour or practice;\n\n (b) requiring a behaviour or practice;\n\n (c) requiring a specified person to provide a specified report or keep specified records;\n\n (d) conducting specified tests on specified goods.\n\nNote 1: A person who fails to comply with a biosecurity measure may contravene a civil penalty provision (see section 52).\n\nNote 2: The Director of Human Biosecurity may authorise State or Territory officers or employees to be biosecurity enforcement officers for the purposes of ensuring compliance with biosecurity measures that are specified (see sections 548 and 549).\n\n (3) The determination must specify the behaviour or practice, and the listed human disease, referred to in subsection (1).\n\n (4) A determination made under subsection (2) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument.\n\n (5) A biosecurity measure must not be specified in a determination unless the Health Minister is satisfied that the biosecurity measure is appropriate and adapted to prevent, or reduce the risk of, the disease entering, or emerging, establishing itself or spreading in, Australian territory or a part of Australian territory.\n\n (6) A determination must specify the period during which it is in force, which must not be more than 1 year.\n\n (7) Before making a determination, the Health Minister must consult with:\n\n (a) the Minister of each State and Territory with responsibility for human health; and\n\n (b) the Director of Biosecurity.\n\n","sortOrder":64},{"sectionNumber":"52","sectionType":"section","heading":"Civil penalty for failing to comply with a preventative biosecurity measure","content":"52  Civil penalty for failing to comply with a preventative biosecurity measure\n\n  A person to whom a biosecurity measure specified in accordance with subsection 51(2) applies must comply with the biosecurity measure.\n\n","sortOrder":65},{"sectionNumber":"Div 6","sectionType":"division","heading":"Information gathering powers","content":"Division 6—Information gathering powers\n\n","sortOrder":66},{"sectionNumber":"54","sectionType":"section","heading":"Who may ask questions and require written information","content":"54  Who may ask questions and require written information\n\n (1) The following persons may require answers to questions, or written information, under this Division:\n\n (a) the Director of Human Biosecurity;\n\n (b) a chief human biosecurity officer;\n\n (c) a human biosecurity officer;\n\n (d) a biosecurity officer;\n\n (e) a person referred to in subsection 103(3) (detention).\n\nNote 1: An individual who fails to comply with a requirement under this Division may commit an offence (see section 58).\n\nNote 2: Before exercising a power under this Division, a person must be satisfied of the matters referred to in section 34 (the principles).\n\nNote 3: This Division is not subject to the privilege against self‑incrimination (see section 635).\n\nNote 4: This Division constitutes an authorisation for the purposes of other laws, such as the Privacy Act 1988.\n\n (2) A person referred to in subsection (1) is taken to be an officer for the purposes of this Division.\n\n","sortOrder":67},{"sectionNumber":"55","sectionType":"section","heading":"Asking questions and requiring answers from particular individuals","content":"55  Asking questions and requiring answers from particular individuals\n\n (1) An officer may require an individual to answer questions, or provide written information, if:\n\n (a) a human biosecurity control order is in force in relation to the individual; or\n\n (b) the individual is in a human health response zone.\n\nNote 1: If written information is required, see section 57.\n\nNote 2: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\n (2) The requirement under subsection (1) must be for the purposes of determining the level of risk to human health associated with the individual.\n\n","sortOrder":68},{"sectionNumber":"56","sectionType":"section","heading":"Asking questions and requiring answers from any individual","content":"56  Asking questions and requiring answers from any individual\n\n (1) An officer may require any individual to answer questions, or provide written information, if:\n\n (a) the officer is satisfied that an individual (the relevant individual) has one or more signs or symptoms of a listed human disease; or\n\n (b) the officer is satisfied that an individual (also the relevant individual) has been exposed to:\n\n (i) a listed human disease; or\n\n (ii) another individual who has one or more signs or symptoms of a listed human disease; or\n\n (c) the questions asked or information sought relates to:\n\n (i) human remains; or\n\n (ii) an individual who died in transit before arriving in Australian territory; or\n\n (iii) an individual who died on arrival in Australian territory.\n\nNote 1: If written information is required, see section 57.\n\nNote 2: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\n (2) The requirement under subsection (1) must be for the purposes of:\n\n (a) preventing a listed human disease from entering, or emerging, establishing itself or spreading in, Australian territory or a part of Australian territory; or\n\n (b) preventing a listed human disease from spreading to another country; or\n\n (c) if paragraph (1)(a) or (b) applies—determining the level of risk to human health associated with the relevant individual.\n\n","sortOrder":69},{"sectionNumber":"57","sectionType":"section","heading":"Requiring an individual to provide written information","content":"57  Requiring an individual to provide written information\n\n (1) An officer may require an individual to provide written information under this Division:\n\n (a) by giving the individual a notice that requires the individual to provide the written information; or\n\n (b) by asking the individual orally to provide the written information.\n\n (2) An officer may require written information under this Division to be provided within a specified period or immediately.\n\n","sortOrder":70},{"sectionNumber":"58","sectionType":"section","heading":"Offence for failing to comply with a requirement","content":"58  Offence for failing to comply with a requirement\n\n  A person commits an offence of strict liability if:\n\n (a) the person is required to answer a question, or provide written information, under this Division; and\n\n (b) the person fails to answer the question or provide the information as required.\n\nPart 3—Managing risks to human health: human biosecurity control orders\n\n","sortOrder":71},{"sectionNumber":"59","sectionType":"section","heading":"Simplified outline of this Part","content":"59  Simplified outline of this Part\n\nUnder Division 2, a human biosecurity control order can be imposed on an individual if the individual may have a listed human disease.\n\nA human biosecurity control order that is in force in relation to an individual may require the individual to comply with certain biosecurity measures. Division 3 sets out what those measures are, and they include vaccination, restricting the individual’s behaviour and ordering the individual to remain isolated.\n\nAn individual may consent to a biosecurity measure included in a human biosecurity control order that is in force in relation to the individual.\n\nAn individual who refuses to consent to such a measure (other than an isolation measure or traveller movement measure) is not required to comply unless a direction has been given by the Director of Human Biosecurity requiring the individual to do so. An individual must comply with an isolation measure or a traveller movement measure for the first 72 hours while a direction from the Director of Human Biosecurity is being sought. After that time, the individual is required to comply with the measure only if a direction is given by the Director.\n\nBiosecurity measures that are included in a human biosecurity control order are treated in one of 2 ways. For some biosecurity measures, an individual who is given a direction from the Director of Human Biosecurity to comply with the measure must do so immediately. For other biosecurity measures, an individual is given a period to apply for judicial review before being required to comply with the measure.\n\nDivision 2—Imposing human biosecurity control orders on individuals\n\nSubdivision A—Imposing, varying and revoking human biosecurity control orders\n\n","sortOrder":72},{"sectionNumber":"60","sectionType":"section","heading":"Imposing a human biosecurity control order on an individual","content":"60  Imposing a human biosecurity control order on an individual\n\n (1) The following officers may impose a human biosecurity control order on an individual:\n\n (a) a chief human biosecurity officer;\n\n (b) a human biosecurity officer;\n\n (c) a biosecurity officer.\n\nNote 1: An officer who intends to impose a human biosecurity control order on an individual has certain powers under sections 68 and 69.\n\nNote 2: Before imposing a human biosecurity control order, an officer must be satisfied of the matters referred to in section 34 (the principles).\n\nNote 3: The Director of Human Biosecurity must be notified of the imposition of a human biosecurity control order (see section 67).\n\n (2) A human biosecurity control order may be imposed on an individual only if the officer is satisfied that:\n\n (a) the individual has one or more signs or symptoms of a listed human disease; or\n\n (b) the individual has been exposed to:\n\n (i) a listed human disease; or\n\n (ii) another individual who has one or more signs or symptoms of a listed human disease; or\n\n (c) the individual has failed to comply with an entry requirement in subsection 44(6) in relation to a listed human disease.\n\n (3) To avoid doubt, an individual may fail to comply with an entry requirement in subsection 44(6) even if the individual is not able to comply with the requirement.\n\n (4) An officer may include one or more biosecurity measures specified in Subdivision B of Division 3 in a human biosecurity control order.\n\nNote: For the biosecurity measures that each kind of officer can impose, see section 82.\n\n","sortOrder":73},{"sectionNumber":"61","sectionType":"section","heading":"Contents of a human biosecurity control order","content":"61  Contents of a human biosecurity control order\n\n (1) A human biosecurity control order that is in force in relation to an individual must specify the following:\n\n (a) the ground in subsection 60(2) under which the order is imposed on the individual;\n\n (b) the listed human disease in relation to which the order is imposed on the individual;\n\n (c) any signs or symptoms of the listed human disease;\n\n (d) the prescribed contact information provided by the individual under section 69 or 70 (as the case requires);\n\n (e) a unique identifier for the order;\n\n (f) each biosecurity measure (specified in Subdivision B of Division 3) with which the individual must comply, and an explanation of:\n\n (i) why each biosecurity measure is required; and\n\n (ii) in relation to a biosecurity measure included under section 89 (decontamination), 90 (examination), 91 (body samples) or 92 (vaccination or treatment)—how the biosecurity measure is to be undertaken;\n\n (g) any information required to be included in the order by Subdivision B of Division 3;\n\n (h) the period during which the order is in force, which must not be more than 3 months;\n\n (i) the following:\n\n (i) the effect of section 70 (requirement to notify of changes to contact information);\n\n (ii) the effect of section 74 (when an individual is required to comply with a biosecurity measure);\n\n (iii) the rights of review in relation to the human biosecurity control order under this Act, the Administrative Review Tribunal Act 2024 and the Administrative Decisions (Judicial Review) Act 1977;\n\n (iv) the effect of section 107 (offence for failing to comply with an order);\n\n (j) details of a chief human biosecurity officer who can be contacted for information and support in relation to the order;\n\n (k) any other information that the officer imposing the order considers appropriate;\n\n (l) any other information required by the regulations.\n\nNote: Despite paragraph (1)(h), an individual might be required to comply with a biosecurity measure for a more limited period of time (see for example section 96 (traveller movement measure)).\n\n (2) If a human biosecurity control order ceases to be in force, paragraph (1)(h) does not prevent another human biosecurity control order from being imposed on the same individual.\n\n (3) To avoid doubt, a human biosecurity control order that is varied must comply with subsection (1).\n\n","sortOrder":74},{"sectionNumber":"62","sectionType":"section","heading":"Form of a human biosecurity control order","content":"62  Form of a human biosecurity control order\n\n (1) A human biosecurity control order must be in the form approved, in writing, by the Director of Human Biosecurity.\n\n (2) A human biosecurity control order is not a legislative instrument.\n\n","sortOrder":75},{"sectionNumber":"63","sectionType":"section","heading":"Giving a human biosecurity control order to an individual","content":"63  Giving a human biosecurity control order to an individual\n\n (1) An officer who imposes a human biosecurity control order on an individual must cause the individual to be given a copy of the order as soon as reasonably practicable.\n\n (2) The officer who imposes the order on the individual must ensure that the contents of the order are read out to the individual.\n\n (3) The order ceases to be in force if:\n\n (a) a copy of the order is not given to the individual within 24 hours of the order beginning to be in force; or\n\n (b) the contents of the order are not read out in accordance with subsection (2).\n\n","sortOrder":76},{"sectionNumber":"64","sectionType":"section","heading":"Varying a human biosecurity control order","content":"64  Varying a human biosecurity control order\n\nWho may vary a human biosecurity control order\n\n (1) The following officers may vary a human biosecurity control order in accordance with this section:\n\n (a) a chief human biosecurity officer;\n\n (b) a human biosecurity officer;\n\n (c) a biosecurity officer (subject to subsection 82(2)).\n\nNote 1: Before varying a human biosecurity control order, an officer must be satisfied of the matters referred to in section 34 (the principles).\n\nNote 2: The Director of Human Biosecurity must be notified of a variation of a human biosecurity control order (see section 67).\n\nTest for varying human biosecurity control order\n\n (2) An officer may vary a human biosecurity control order only if the officer is satisfied that:\n\n (a) the variation contributes to reducing the risk of:\n\n (i) contagion of a listed human disease; or\n\n (ii) a listed human disease entering, or emerging, establishing itself or spreading in, Australian territory or a part of Australian territory; or\n\n (b) the variation removes or varies a provision that no longer contributes to reducing such a risk; or\n\n (c) the variation is of a minor technical nature.\n\nWhen variation takes effect\n\n (3) A variation of a human biosecurity control order takes effect immediately after the variation is made.\n\n","sortOrder":77},{"sectionNumber":"65","sectionType":"section","heading":"Giving notice of a variation of a human biosecurity control order","content":"65  Giving notice of a variation of a human biosecurity control order\n\n (1) An officer who varies a human biosecurity control order that is in force in relation to an individual must cause the individual to be given a copy of the varied order as soon as reasonably practicable.\n\n (2) The officer who varies the order must ensure that the variations of the order are read out to the individual.\n\n (3) The order ceases to be in force if:\n\n (a) a copy of the varied order is not given to the individual within 24 hours of the variation taking effect; or\n\n (b) the variations of the order are not read out in accordance with subsection (2).\n\n","sortOrder":78},{"sectionNumber":"66","sectionType":"section","heading":"Revoking a human biosecurity control order","content":"66  Revoking a human biosecurity control order\n\n (1) A chief human biosecurity officer or a human biosecurity officer may, by notice, revoke a human biosecurity control order that is in force in relation to an individual only if the officer is satisfied that:\n\n (a) the individual is not at risk of contagion; or\n\n (b) the order no longer contributes to reducing the risk of a listed human disease entering, or emerging, establishing itself or spreading in, Australian territory or a part of Australian territory.\n\nNote: The Director of Human Biosecurity must be notified of a revocation of a human biosecurity control order (see section 67).\n\n (2) A revocation takes effect immediately.\n\nGiving notice of revocation\n\n (3) An officer who revokes a human biosecurity control order that is in force in relation to an individual must cause the individual to be given a copy of the notice revoking the order.\n\n","sortOrder":79},{"sectionNumber":"67","sectionType":"section","heading":"Notifying Director of Human Biosecurity of imposition, variation or revocation of human biosecurity control order","content":"67  Notifying Director of Human Biosecurity of imposition, variation or revocation of human biosecurity control order\n\n  An officer must notify the Director of Human Biosecurity, as soon as reasonably practicable, if the officer:\n\n (a) imposes a human biosecurity control order on an individual; or\n\n (b) varies or revokes a human biosecurity control order.\n\nSubdivision B—Powers if officer intends to impose human biosecurity control order\n\n","sortOrder":80},{"sectionNumber":"68","sectionType":"section","heading":"Requiring an individual to remain at a place","content":"68  Requiring an individual to remain at a place\n\n (1) An officer who intends to impose a human biosecurity control order on an individual may require the individual to remain, for a period of no more than 6 hours, at the place where the individual was when the officer became satisfied that a human biosecurity control order should be imposed on the individual.\n\nNote 1: A non‑Australian citizen who is required to remain at a place is entitled to consular assistance under section 102.\n\nNote 2: A person who does not comply with the requirement to remain at a place may be detained under Subdivision B of Division 4.\n\n (2) Once the period has ended, the individual must not be required under subsection (1) to remain at that place any longer.\n\nNote: However, the individual may be required under subsection 74(4) to remain at that place in order to comply with an isolation measure.\n\n","sortOrder":81},{"sectionNumber":"69","sectionType":"section","heading":"Providing contact information","content":"69  Providing contact information\n\n (1) An officer who intends to impose a human biosecurity control order on an individual may require the individual to provide the officer with prescribed contact information for the individual.\n\n (2) The individual must comply with the requirement immediately.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\nOffence\n\n (3) An individual commits an offence if:\n\n (a) the individual is required to provide an officer with contact information under this section; and\n\n (b) the individual fails to comply with the requirement.\n\nPenalty: Imprisonment for 12 months or 60 penalty units, or both.\n\n","sortOrder":82},{"sectionNumber":"70","sectionType":"section","heading":"Requirement for an individual to notify changes to contact information","content":"70  Requirement for an individual to notify changes to contact information\n\n (1) An individual in relation to whom a human biosecurity control order is in force must, as soon as reasonably practicable, notify the chief human biosecurity officer referred to in paragraph 61(1)(j) if any of the prescribed contact information provided by the individual under section 69 changes.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\nOffence\n\n (2) An individual commits an offence if:\n\n (a) the individual is required to notify a chief human biosecurity officer of a change under subsection (1); and\n\n (b) the individual fails to notify the officer of the change.\n\nPenalty: Imprisonment for 12 months or 60 penalty units, or both.\n\nSubdivision C—When an individual is required to comply with a biosecurity measure\n\n","sortOrder":83},{"sectionNumber":"71","sectionType":"section","heading":"Consenting to a biosecurity measure","content":"71  Consenting to a biosecurity measure\n\n (1) This section applies in relation to a biosecurity measure that is included in a human biosecurity control order that is in force in relation to an individual.\n\nConsent\n\n (2) The individual may consent to the measure. If it is practicable to do so, the consent must be recorded in writing on the human biosecurity control order.\n\nNote: An accompanying person may give consent for a child or incapable person (see section 40).\n\nRefusal to consent\n\n (3) If the individual refuses to consent to the measure (including by withdrawing his or her consent), a chief human biosecurity officer, human biosecurity officer or biosecurity officer may request the Director of Human Biosecurity to give a direction in accordance with paragraph 72(5)(a) for the individual to comply with the measure.\n\nNote: For when the individual is required to comply with the measure, see section 74.\n\n","sortOrder":84},{"sectionNumber":"72","sectionType":"section","heading":"Director of Human Biosecurity may give direction requiring compliance","content":"72  Director of Human Biosecurity may give direction requiring compliance\n\n (a) an officer requests, under subsection 71(3), the Director of Human Biosecurity to give a direction in accordance with paragraph (5)(a) of this section for an individual to comply with a biosecurity measure included in a human biosecurity control order; or\n\n (b) all of the following apply:\n\n (i) the Director of Human Biosecurity gives a direction in accordance with paragraph (5)(a) of this section for an individual to comply with a biosecurity measure included in a human biosecurity control order under section 86 (contacting officer with health status), 87 (restricting behaviour), 88 (risk minimisation interventions), 93 (medication) or 97 (isolation measure);\n\n (ii) at the end of 25 days after the day the direction is given, the direction is still in force (see section 73);\n\n (iii) the individual still refuses to consent to the biosecurity measure.\n\nReview of measure\n\n (2) The Director of Human Biosecurity must review the following matters:\n\n (a) the diagnosis (if any) of the listed human disease specified in the human biosecurity control order;\n\n (b) the inclusion (or, in the case of paragraph (1)(b), the continued inclusion) of the biosecurity measure in the human biosecurity control order.\n\n (3) In conducting the review, the Director of Human Biosecurity:\n\n (a) must take into account:\n\n (i) any reason the individual gives for refusing to consent to the measure; and\n\n (ii) any factors that may affect the health of the individual; and\n\n (b) may take into account any other matter that the Director of Human Biosecurity considers relevant.\n\nTest for giving direction\n\n (4) The Director of Human Biosecurity may give a direction for an individual to comply with a biosecurity measure only if the Director is satisfied, on reasonable grounds, that the biosecurity measure contributes to reducing the risk of:\n\n (a) contagion of the listed human disease; or\n\n (b) the listed human disease entering, or emerging, establishing itself or spreading in, Australian territory or a part of Australian territory.\n\nNote 1: Before giving a direction, the Director must be satisfied of the matters referred to in section 34 (the principles).\n\nNote 2: If an individual refuses to comply with a direction given under this section, the Director of Human Biosecurity may be able to apply for an injunction under Part 7 of the Regulatory Powers Act as it applies in relation to this Act.\n\nGiving notice of outcome of review\n\n (5) Within 72 hours of the time referred to in subsection (6), the Director must cause a notice to be given to the individual that:\n\n (a) directs the individual to comply with the measure; or\n\n (b) informs the individual that he or she is not required to comply with the measure.\n\nNote 1: An individual may be able to apply for merits or judicial review of a decision to give a direction in accordance with paragraph (5)(a) (see section 76 of this Act and the Administrative Decisions (Judicial Review) Act 1977).\n\nNote 2: After giving a direction in accordance with paragraph (5)(a), the Director of Human Biosecurity has certain obligations under section 75 in relation to an individual’s right to apply to the Administrative Review Tribunal for review of the decision to give the direction.\n\n (6) For the purposes of subsection (5), the time is:\n\n (a) if paragraph (1)(a) applies (other than in relation to an isolation measure or a traveller movement measure)—the time when the request is made; or\n\n (b) if paragraph (1)(a) applies in relation to an isolation measure or a traveller movement measure—the time when the individual refuses to consent to the measure; or\n\n (c) if paragraph (1)(b) applies—12 am on the 26th day (whether or not that day is a business day) after the day the direction is given.\n\nNote: For the definition of business day, see section 2B of the Acts Interpretation Act 1901.\n\n (7) The notice must include:\n\n (a) the time and the day the notice is given; and\n\n (b) the reasons for the decision to give the notice.\n\n","sortOrder":85},{"sectionNumber":"73","sectionType":"section","heading":"When direction to comply with biosecurity measure ceases to be in force","content":"73  When direction to comply with biosecurity measure ceases to be in force\n\n  A direction given in accordance with paragraph 72(5)(a) for an individual to comply with a biosecurity measure included in a human biosecurity control order ceases to be in force if:\n\n (a) the period of 28 days after the day the direction was given ends; or\n\n (b) a new notice is given to the individual in accordance with either paragraph 72(5)(a) or (b); or\n\n (c) the measure is removed from the human biosecurity control order; or\n\n (d) the individual makes an application under the Administrative Decisions (Judicial Review) Act 1977 for an order of review of a decision to give a direction in accordance with paragraph 72(5)(a), the application is finally determined, and as a result of the order made in relation to the application the individual is not required to comply with the measure; or\n\n (e) in relation to an isolation measure or a traveller movement measure—the decision to give the direction is set aside by the Administrative Review Tribunal; or\n\n (f) in relation to a traveller movement measure—the measure ceases to be in force; or\n\n (g) in any case—the human biosecurity control order ceases to be in force.\n\n","sortOrder":86},{"sectionNumber":"74","sectionType":"section","heading":"When individual is required to comply with a biosecurity measure","content":"74  When individual is required to comply with a biosecurity measure\n\nBiosecurity measures where compliance is not required before review period has ended\n\n (1) Subsection (2) sets out when an individual is required to comply with a biosecurity measure included, under one of the following sections, in a human biosecurity control order that is in force in relation to the individual:\n\n (a) section 85 (managing contacts);\n\n (b) section 89 (decontamination);\n\n (c) section 90 (examination);\n\n (d) section 91 (body samples);\n\n (e) section 92 (vaccination or treatment).\n\n (2) The individual is required to comply with the measure only if:\n\n (a) the individual consents to the measure; or\n\n (b) the Director of Human Biosecurity has given a direction for the individual to comply with the measure in accordance with paragraph 72(5)(a), and either:\n\n (i) the period of 7 business days referred to in section 80 has ended, and the individual has not made an application under the Administrative Decisions (Judicial Review) Act 1977; or\n\n (ii) the individual has made an application in accordance with section 80 for an order of review of the decision to give the direction, the application has been finally determined, and as a result of the order made in relation to the application the individual is required to comply with the measure.\n\nNote 1: A person who fails to comply with a biosecurity measure that the person is required to comply with may commit an offence (see section 107).\n\nNote 2: For expenses incurred in complying with a human biosecurity control order, see section 108.\n\nNote 3: Generally, force must not be used to require compliance with a biosecurity measure (see section 95).\n\nBiosecurity measures where compliance is required without review\n\n (3) Subsection (4) sets out when an individual is required to comply with a biosecurity measure included, under one of the following sections, in a human biosecurity control order that is in force in relation to the individual:\n\n (a) section 86 (contacting officer with health status);\n\n (b) section 87 (restricting behaviour);\n\n (c) section 88 (risk minimisation interventions);\n\n (d) section 93 (medication);\n\n (e) section 96 (traveller movement measure);\n\n (f) section 97 (isolation measure).\n\n (4) The individual is required to comply with the measure only if:\n\n (a) the individual consents to the measure; or\n\n (b) both of the following apply:\n\n (i) the Director of Human Biosecurity has given a direction for the individual to comply with the measure in accordance with paragraph 72(5)(a);\n\n (ii) the direction is still in force (see section 73); or\n\n (c) if the measure is an isolation measure or a traveller movement measure—the individual refuses to consent to the measure, and the period of 72 hours from the time when the individual refused to consent to the measure has not yet ended.\n\nNote 1: A person who fails to comply with a biosecurity measure that the person is required to comply with may commit an offence (see section 107).\n\nNote 2: An individual who has applied for merits or judicial review of a decision to give a direction requiring the individual to comply with a biosecurity measure referred to in subsection (3) must comply with the direction while the review is occurring.\n\nNote 3: A person who does not comply with an isolation measure that the person is required to comply with may be detained under Subdivision B of Division 4.\n\nSubdivision D—ART review of isolation and traveller movement measures\n\n","sortOrder":87},{"sectionNumber":"75","sectionType":"section","heading":"Obligation on Director of Human Biosecurity relating to Administrative Review Tribunal application","content":"75  Obligation on Director of Human Biosecurity relating to Administrative Review Tribunal application\n\n (1) As soon as possible after the Director of Human Biosecurity gives a direction in accordance with paragraph 72(5)(a) for an individual to comply with an isolation measure, the Director must:\n\n (a) inform the individual of the individual’s right to apply under section 76 to the Administrative Review Tribunal for review of the decision to give the direction; and\n\n (b) inform the individual that the individual may communicate, or attempt to communicate, with anyone in relation to that right; and\n\n (c) if the individual wishes to apply to the Tribunal for review of the decision, or to communicate in relation to that right—ensure that the individual is provided with reasonable facilities to enable him or her to do so.\n\n (2) If the individual makes an application under section 76 for review of the decision to give the direction, the Director of Human Biosecurity must ensure that the individual is also given reasonable facilities to enable the individual to participate in the proceeding.\n\n","sortOrder":88},{"sectionNumber":"76","sectionType":"section","heading":"Applications","content":"76  Applications\n\n (1) An application may be made to the Administrative Review Tribunal for review of a decision of the Director of Human Biosecurity to give a direction in accordance with paragraph 72(5)(a) for an individual to comply with an isolation measure or a traveller movement measure (whether or not the direction is still in force).\n\nNote: For when the direction ceases to be in force, see section 73.\n\n (2) Despite subsection 18(1) of the Administrative Review Tribunal Act 2024, the application must be made within 7 business days after the day the decision is made.\n\nApplications to cover later decisions\n\n (3) Subsection (4) applies if:\n\n (a) an application is made under subsection (1) in relation to a decision (the first decision) of the Director of Human Biosecurity to give a direction to an individual in accordance with paragraph 72(5)(a); and\n\n (b) while the Administrative Review Tribunal is reviewing the first decision, the Director of Human Biosecurity makes a decision (the later decision) to give another direction to the individual in accordance with that paragraph; and\n\n (c) the Tribunal does not give the individual a notice under subsection (5).\n\n (4) The application that relates to the first decision is also taken to have been made in relation to the later decision for the following purposes:\n\n (a) the purposes of this Subdivision, other than subsections 77(2) and 78(1);\n\n (b) the purposes of the Administrative Review Tribunal Act 2024.\n\n (5) The Administrative Review Tribunal may give a notice to the individual requiring the individual to make a separate application in relation to the later decision if the Tribunal is satisfied that it is reasonable in all the circumstances to do so.\n\n","sortOrder":89},{"sectionNumber":"77","sectionType":"section","heading":"Reasons and documents","content":"77  Reasons and documents\n\n (1) Sections 23 (decision‑maker must give Tribunal reasons and documents—general rule) and 268 (requesting reasons for reviewable decision from decision‑maker) of the Administrative Review Tribunal Act 2024 do not apply in relation to a decision to which an application under subsection 76(1) relates.\n\nNote: Under subsection 76(4), an application under subsection 76(1) may be taken to also relate to a later decision.\n\nNotification of application\n\n (2) The Director of Human Biosecurity must be notified under section 21 of the Administrative Review Tribunal Act 2024 of an application for review of a decision referred to in subsection 76(1) of this Act as soon as possible after the application is received by the Administrative Review Tribunal.\n\nNotification of later decision\n\n (3) The Director of Human Biosecurity must notify the Administrative Review Tribunal as soon as practicable after making a later decision referred to in paragraph 76(3)(b).\n\nRequirement to lodge documents\n\n (4) The Director of Human Biosecurity must lodge with the Administrative Review Tribunal and the individual to whom the direction is given:\n\n (a) the reasons for a decision to which an application under subsection 76(1) relates; and\n\n (b) every other document or part of a document that is:\n\n (i) in the Director’s possession or under his or her control; and\n\n (ii) relevant to the review of the decision by the Tribunal.\n\n (5) Reasons and documents, or parts of documents, must be lodged under subsection (4):\n\n (a) as soon as possible after the following time (as the case requires):\n\n (i) the time when the Director of Human Biosecurity is notified of an application for review of a decision referred to in subsection 76(1);\n\n (ii) the time when the Director of Human Biosecurity makes a later decision referred to in paragraph 76(3)(b); and\n\n (b) in any case:\n\n (i) before the end of the second business day after that time; or\n\n (ii) within any further period as the Tribunal determines (whether orally or in writing).\n\n","sortOrder":90},{"sectionNumber":"78","sectionType":"section","heading":"Time period for making a decision","content":"78  Time period for making a decision\n\n (1) Within 7 days after receiving an application under subsection 76(1) for review of a decision, the Administrative Review Tribunal must (subject to this section) make a decision on the review.\n\nExtending the time period\n\n (2) Before the end of that 7‑day period, the Administrative Review Tribunal may extend the period for making the decision on the review if the Tribunal is satisfied that it is reasonable in all the circumstances to do so. The Tribunal may only extend the period once.\n\n (3) If the Administrative Review Tribunal extends the period under subsection (2) in relation to an application, the Tribunal must make a decision on the review to which the application relates by the end of the period as extended.\n\nNote: Under subsection 76(4), the application may be taken to also relate to a later decision. The Tribunal must make a decision on the review in relation to all decisions to which the application relates by the end of the period as extended.\n\nDeemed decision\n\n (4) If the Administrative Review Tribunal does not make a decision in accordance with subsection (1) or (3) (as the case requires), the Tribunal is taken, at the end of the period referred to in that subsection, to have made a decision under section 105 of the Administrative Review Tribunal Act 2024 to affirm the decision under review.\n\nNo time period for making decision if direction has ceased to be in force\n\n (5) The Administrative Review Tribunal is not required to make a decision within any specified time period, and is not taken to have made a decision under subsection (4) of this section, if:\n\n (a) an application under subsection 76(1) relates to a decision to give a direction to an individual; and\n\n (b) the direction has ceased to be in force; and\n\n (c) there is no other direction referred to in paragraph 76(3)(b) given to the individual that is still in force.\n\nNote: For when a direction ceases to be in force, see section 73.\n\n","sortOrder":91},{"sectionNumber":"79","sectionType":"section","heading":"Limitation on Administrative Review Tribunal power to stay etc. decisions","content":"79  Limitation on Administrative Review Tribunal power to stay etc. decisions\n\n  Despite subsections 32(2) to (9) of the Administrative Review Tribunal Act 2024, the Administrative Review Tribunal may not make any order staying or otherwise affecting the operation or implementation of a decision to give a direction in accordance with paragraph 72(5)(a).\n\nSubdivision E—Other provisions relating to external review of isolation and traveller movement measures\n\n","sortOrder":92},{"sectionNumber":"80","sectionType":"section","heading":"Time period for making applications under the Administrative Decisions (Judicial Review) Act 1977","content":"80  Time period for making applications under the Administrative Decisions (Judicial Review) Act 1977\n\n (1) An application may be made under the Administrative Decisions (Judicial Review) Act 1977, for an order of review of a decision to give a direction in accordance with paragraph 72(5)(a) of this Act, within:\n\n (a) 7 business days from the day the decision is made; or\n\n (b) any further period as the court concerned allows (whether before or after the end of the period referred to in paragraph (a) of this subsection).\n\n (2) This section applies despite section 11 of the Administrative Decisions (Judicial Review) Act 1977.\n\n","sortOrder":93},{"sectionNumber":"81","sectionType":"section","heading":"Judicial review of isolation and traveller movement measures","content":"81  Judicial review of isolation and traveller movement measures\n\n (1) If judicial review is sought in relation to an isolation measure or traveller movement measure, the measure remains in force (subject to this Division) unless a court finally determines the validity of the decision in relation to which review is sought.\n\n (2) This section has effect despite any other law.\n\nDivision 3—Biosecurity measures that may be included in a human biosecurity control order\n\nSubdivision A—General provisions relating to including biosecurity measures in a human biosecurity control order\n\n","sortOrder":94},{"sectionNumber":"82","sectionType":"section","heading":"Who can include a biosecurity measure in a human biosecurity control order","content":"82  Who can include a biosecurity measure in a human biosecurity control order\n\nChief human biosecurity officers and human biosecurity officers\n\n (1) A chief human biosecurity officer or human biosecurity officer may include any biosecurity measure set out in Subdivision B of this Division in a human biosecurity control order.\n\nNote: Under Division 6 of Part 2 of this Chapter, an officer may ask questions, or require written information, of an individual in relation to whom a human biosecurity control order is in force.\n\nBiosecurity officers\n\n (2) A biosecurity officer may include in a human biosecurity control order either of the biosecurity measures set out in the following provisions:\n\n (a) section 85 (managing contacts);\n\n (b) section 88 (risk minimisation interventions).\n\n","sortOrder":95},{"sectionNumber":"83","sectionType":"section","heading":"Informing individual of risks","content":"83  Informing individual of risks\n\n (1) Before an officer includes one or more biosecurity measures in a human biosecurity control order that is or is to be in force in relation to an individual, the officer must take reasonable steps to inform the individual of the risk posed by the listed human disease specified in the order to:\n\n (a) the individual’s health; and\n\n (b) the health of the public.\n\n (2) To avoid doubt, an officer must comply with subsection (1):\n\n (a) at the time of imposing the order; and\n\n (b) if the officer later varies the order to include a new biosecurity measure.\n\n","sortOrder":96},{"sectionNumber":"84","sectionType":"section","heading":"Test for including a biosecurity measure in a human biosecurity control order","content":"84  Test for including a biosecurity measure in a human biosecurity control order\n\n  An officer may include a biosecurity measure in a human biosecurity control order only if the officer is satisfied that the biosecurity measure contributes to managing the risk of:\n\n (a) contagion of a listed human disease; or\n\n (b) a listed human disease entering, or emerging, establishing itself or spreading in, Australian territory or a part of Australian territory.\n\nNote 1: Before including a biosecurity measure in a human biosecurity control order, an officer must be satisfied of the matters referred to in section 34 (the principles).\n\nNote 2: For when an individual is required to comply with a biosecurity measure included in a human biosecurity control order, see Subdivision C of Division 2.\n\nSubdivision B—Biosecurity measures that may be included in a human biosecurity control order\n\n","sortOrder":97},{"sectionNumber":"85","sectionType":"section","heading":"Managing contacts","content":"85  Managing contacts\n\n  An individual may be required by a human biosecurity control order to provide to a specified biosecurity officer, human biosecurity officer or chief human biosecurity officer the prescribed contact information for any individual with whom the individual has been, or will be, in close proximity.\n\nNote 1: This section constitutes an authorisation for the purposes of the Privacy Act 1988 and other laws.\n\n","sortOrder":98},{"sectionNumber":"86","sectionType":"section","heading":"Contacting officer with health status","content":"86  Contacting officer with health status\n\n (1) An individual may be required by a human biosecurity control order to contact a specified human biosecurity officer or chief human biosecurity officer during a specified period to advise the officer of the individual’s health.\n\n (2) The order:\n\n (a) must require the individual to report specified signs or symptoms of the listed human disease; and\n\n (b) may require the individual to report if specified signs or symptoms disappear.\n\n","sortOrder":99},{"sectionNumber":"87","sectionType":"section","heading":"Restricting behaviour","content":"87  Restricting behaviour\n\n (1) An individual may be required by a human biosecurity control order to go to, and remain at, the individual’s intended place of residence for a specified period.\n\n (2) Without limiting subsection (1), if an individual does not reside in Australian territory, the individual’s intended place of residence includes a place at which the individual intends to stay while in Australian territory.\n\n (3) An individual may be required by a human biosecurity control order not to do either or both of the following for a specified period:\n\n (a) visit a specified place, or class of place, where there is an increased risk of contagion of the listed human disease;\n\n (b) come into close proximity with a specified class of individuals, where there is an increased risk that the individuals in that class might contract the listed human disease.\n\n","sortOrder":100},{"sectionNumber":"88","sectionType":"section","heading":"Risk minimisation interventions","content":"88  Risk minimisation interventions\n\n (1) An individual may be required by a human biosecurity control order to wear either or both specified clothing and equipment that is designed to prevent a disease from emerging, establishing itself or spreading.\n\n (2) The order must specify the following:\n\n (a) the circumstances in which the individual is required to wear the clothing and equipment;\n\n (b) the period during which, or the times at which, the individual is required to wear the clothing and equipment;\n\n (c) instructions for wearing the clothing and equipment.\n\n","sortOrder":101},{"sectionNumber":"89","sectionType":"section","heading":"Decontamination","content":"89  Decontamination\n\n (1) An individual may be required by a human biosecurity control order to be decontaminated.\n\n (2) An individual may be required by a human biosecurity control order to allow the individual’s clothing, and any personal effects that the individual has with him or her, to be decontaminated.\n\n (3) Without limiting subsection (2), an individual’s personal effects include any baggage that the individual has with him or her that remained under the individual’s immediate physical control while the individual was on any aircraft, vessel or other conveyance.\n\n (4) The order must specify the following:\n\n (a) where and when the decontamination is to take place;\n\n (b) who is to conduct the decontamination.\n\n","sortOrder":102},{"sectionNumber":"90","sectionType":"section","heading":"Undergoing an examination","content":"90  Undergoing an examination\n\n  An individual may be required by a human biosecurity control order to undergo, at a specified medical facility, a specified kind of examination relating to determining the presence in the individual of:\n\n (a) the listed human disease specified in the order; and\n\n (b) any other listed human disease.\n\n","sortOrder":103},{"sectionNumber":"91","sectionType":"section","heading":"Requiring body samples for diagnosis","content":"91  Requiring body samples for diagnosis\n\n (1) This section applies if an individual has undergone an examination under section 90.\n\n (2) The individual may be required by a human biosecurity control order to provide, at a specified medical facility, specified body samples for the purpose of determining the presence in the individual of:\n\n (a) the listed human disease specified in the order; and\n\n (b) any other listed human disease.\n\nRequirements for samples\n\n (3) The regulations must prescribe requirements for taking, storing, transporting, labelling and using body samples provided under subsection (2).\n\nNote: The regulations may prescribe offences and civil penalties in relation to a failure to comply with a prescribed requirement (see subsection 645(2)).\n\nGiving samples to the World Health Organization\n\n (4) The Health Minister may, at the request of the World Health Organization, give all or part of a sample provided under subsection (2) to the Organization for the purposes of detecting, assessing or responding to a listed human disease.\n\n","sortOrder":104},{"sectionNumber":"92","sectionType":"section","heading":"Receiving a vaccination or treatment","content":"92  Receiving a vaccination or treatment\n\n  An individual may be required by a human biosecurity control order to receive, at a specified medical facility:\n\n (a) a specified vaccination; or\n\n (b) a specified form of treatment;\n\nin order to manage the listed human disease specified in the order, and any other listed human disease.\n\n","sortOrder":105},{"sectionNumber":"93","sectionType":"section","heading":"Receiving medication","content":"93  Receiving medication\n\n (1) An individual may be required by a human biosecurity control order to receive specified medication in order to manage the listed human disease specified in the order, and any other listed human disease.\n\n (2) The order must specify:\n\n (a) how much medication is to be taken; and\n\n (b) how long the medication is to be taken for.\n\n","sortOrder":106},{"sectionNumber":"94","sectionType":"section","heading":"Appropriate medical or other standards to be applied","content":"94  Appropriate medical or other standards to be applied\n\n  A biosecurity measure set out in section 90 (examination), 91 (body samples), 92 (vaccination or treatment) or 93 (medication) must be carried out in a manner consistent with either or both of the following (as the case requires):\n\n (a) appropriate medical standards;\n\n (b) appropriate other relevant professional standards.\n\n","sortOrder":107},{"sectionNumber":"95","sectionType":"section","heading":"No use of force to require compliance with certain biosecurity measures","content":"95  No use of force to require compliance with certain biosecurity measures\n\n  Force must not be used against an individual to require the individual to comply with a biosecurity measure imposed under any of sections 85 to 93.\n\nNote: Force may be used in preventing an individual leaving Australian territory in contravention of a traveller movement measure (see section 101) or in detaining a person who fails to comply with an isolation measure (see section 104).\n\n","sortOrder":108},{"sectionNumber":"96","sectionType":"section","heading":"Traveller movement measure","content":"96  Traveller movement measure\n\n (1) An individual may, for a specified period of no more than 28 days, be required by a human biosecurity control order not to leave Australian territory on an outgoing passenger aircraft or vessel.\n\nNote: For provisions relating to traveller movement measures, see Subdivision C.\n\nTraveller movement measure ceasing to be in force before human biosecurity control order\n\n (2) If a traveller movement measure ceases to be in force, subsection (1) does not prevent another traveller movement measure from being included in the same human biosecurity control order.\n\nWhen traveller movement measure ceases to be in force\n\n (3) A traveller movement measure ceases to be in force at the earliest of the following times:\n\n (a) at the end of the period specified under subsection (1);\n\n (b) the time when the human biosecurity control order ceases to be in force;\n\n (c) the time when the order is varied to remove the measure;\n\n (d) the time when the order is revoked.\n\n","sortOrder":109},{"sectionNumber":"97","sectionType":"section","heading":"Isolation measure","content":"97  Isolation measure\n\n (1) An individual may be required by a human biosecurity control order to remain isolated at a specified medical facility.\n\nNote 1: A non‑Australian citizen who is required to remain isolated is entitled to consular assistance under section 102.\n\nNote 2: A person who does not comply with an isolation measure that the person is required to comply with may be detained under Subdivision B of Division 4.\n\n (2) An isolation measure included in a human biosecurity control order under subsection (1) may be made conditional on a person refusing to consent to another biosecurity measure included in the human biosecurity control order.\n\nSubdivision C—Provisions relating to traveller movement measures\n\n","sortOrder":110},{"sectionNumber":"98","sectionType":"section","heading":"Traveller movement measure alert","content":"98  Traveller movement measure alert\n\nWho Director of Human Biosecurity must notify\n\n (1) The Director of Human Biosecurity must notify the following if a traveller movement measure is included in a human biosecurity control order:\n\n (a) the Agriculture Department;\n\n (b) the Immigration Department;\n\n (c) the Foreign Affairs Department;\n\n (e) the National Focal Point.\n\nNote: For the content of the notification, see section 99.\n\n (2) A failure to notify a person, body or agency under subsection (1) does not affect the validity of the human biosecurity control order, or the traveller movement measure.\n\nWho Director of Human Biosecurity may notify\n\n (3) The Director of Human Biosecurity may (if he or she considers it appropriate) also notify any one or more of the following if a traveller movement measure is included in a human biosecurity control order:\n\n (a) any one or more operators of outgoing passenger aircraft or vessels;\n\n (b) any State or Territory body responsible for the administration of health services in the State or Territory;\n\n (c) any State Party’s National IHR Focal Point (within the meaning of the International Health Regulations).\n\nRequirement for notification\n\n (4) A notification under subsection (1) or (3):\n\n (b) must be made within 24 hours of including the traveller movement measure in the human biosecurity control order.\n\nLegislative instruments\n\n (5) A notification under subsection (1) or (3) is not a legislative instrument.\n\nNotification of cessation of measure\n\n (6) If a person, body or agency was notified under subsection (1) or (3) of the inclusion of a traveller movement measure, the Director of Human Biosecurity must further notify the person, body or agency if the measure ceases to be in force.\n\nNote 1: For when a traveller movement measure ceases to be in force, see subsection 96(3).\n\nNote 2: The original notification of the traveller movement measure must be destroyed in accordance with section 100.\n\n","sortOrder":111},{"sectionNumber":"99","sectionType":"section","heading":"Content of traveller movement measure alert","content":"99  Content of traveller movement measure alert\n\n  A notification under section 98 must include the following:\n\n (a) the name of the individual in relation to whom the traveller movement measure is in force and the number of his or her:\n\n (i) Australian travel document (within the meaning of the Australian Passports Act 2005); or\n\n (ii) passport or other travel document, issued to the individual by or on behalf of the government of a foreign country;\n\n (b) a statement that:\n\n (i) a traveller movement measure is in force in relation to the individual; and\n\n (ii) the individual must not board an outgoing passenger aircraft or vessel while the measure is in force;\n\n (c) the period during which the measure is in force;\n\n (d) any known travel details of the individual;\n\n (e) details of a chief human biosecurity officer who can be contacted for information in relation to the measure;\n\n (f) any other information prescribed by the regulations.\n\nNote: Information disclosed under this section must be dealt with in accordance with the Privacy Act 1988.\n\n","sortOrder":112},{"sectionNumber":"100","sectionType":"section","heading":"Destruction of traveller movement measure alert","content":"100  Destruction of traveller movement measure alert\n\n  A person who is notified of a traveller movement measure under section 98 must destroy the notification within 6 months of being further notified that the measure has ceased to be in force.\n\n","sortOrder":113},{"sectionNumber":"101","sectionType":"section","heading":"Prevention from leaving Australian territory","content":"101  Prevention from leaving Australian territory\n\n (1) An officer of Customs may prevent an individual from boarding an outgoing passenger aircraft or vessel if:\n\n (a) a traveller movement measure is in force in relation to the individual; and\n\n (b) the individual would contravene the measure if the individual boarded the aircraft or vessel and left Australian territory.\n\nNote: For the definition of officer of Customs, see section 9.\n\nUse of force in detaining person\n\n (2) An officer of Customs must not use more force, or subject the person to greater indignity, than is necessary and reasonable to prevent the individual from boarding the aircraft or vessel.\n\nDivision 4—Other provisions relating to human biosecurity control orders\n\nSubdivision A—Consular assistance\n\n102  Consular assistance\n\n (1) This section sets out requirements that must be complied with if:\n\n (a) either of the following events occurs:\n\n (i) an officer requires an individual to remain at a place under section 68;\n\n (ii) an officer includes an isolation measure in a human biosecurity control order, requiring an individual to remain isolated; and\n\n (b) the individual is not an Australian citizen.\n\n (2) As soon as practicable after the event referred to in paragraph (1)(a) occurs, the officer must do the following:\n\n (a) inform the individual that he or she may request that the consular office of the following country be notified that the event has occurred:\n\n (i) the country of which he or she is a citizen;\n\n (ii) the country to which he or she claims a special connection;\n\n (b) if the individual so requests—notify that consular office;\n\n (c) inform the individual that he or she may communicate, or attempt to communicate, with that consular office;\n\n (d) give the individual reasonable facilities to do so;\n\n (e) forward any written communication from the individual to that consular office;\n\n (f) allow the individual a reasonable time to communicate, or attempt to communicate, with that consular office.\n\nSubdivision B—Detention\n\n","sortOrder":114},{"sectionNumber":"103","sectionType":"section","heading":"Detention","content":"103  Detention\n\n (1) An individual may be detained by a person referred to in subsection (3) of this section if:\n\n (a) either:\n\n (i) the individual fails to comply with a requirement to remain at a place under section 68; or\n\n (ii) the individual fails to comply with an isolation measure that the individual is required to comply with under subsection 74(4); and\n\n (b) a human biosecurity officer or chief human biosecurity officer is satisfied:\n\n (i) of the matters in paragraphs 34(2)(a) to (f) (the principles); and\n\n (ii) that the detention is necessary because, without detention, the individual may pose a significant risk of contagion.\n\nNote: For when an individual must be released from detention, see section 105.\n\n (2) An individual who is detained for failing to comply with an isolation measure may be detained only for the purpose of taking the individual to the medical facility referred to in section 97.\n\nWho may detain an individual\n\n (3) The individual may be detained by:\n\n (a) a member or special member of the Australian Federal Police; or\n\n (b) a member of the police force of a State or Territory; or\n\n (c) a protective services officer (within the meaning of the Australian Federal Police Act 1979).\n\nAgreement of State or Territory required\n\n (4) A member of the police force of a State or Territory must not exercise a power under this section unless the exercise of the power is in accordance with an agreement between the Commonwealth and the State or Territory concerned.\n\n","sortOrder":115},{"sectionNumber":"104","sectionType":"section","heading":"Rules relating to detention","content":"104  Rules relating to detention\n\nUse of force in detaining person\n\n (1) A person (the officer) referred to in subsection 103(3) must not use more force, or subject an individual (the detainee) to greater indignity, than is necessary and reasonable to detain the detainee or prevent the detainee from escaping.\n\nPlace of detention\n\n (2) The officer who detains a detainee must take the detainee, as soon as possible, to a place that:\n\n (a) in the officer’s opinion, affords adequate personal privacy to the detainee; and\n\n (b) either:\n\n (i) if the detainee was detained for failing to comply with a requirement to remain at a place under section 68—is at the place where the detainee was when the officer referred to in that section became satisfied that a human biosecurity control order should be imposed on the detainee; or\n\n (ii) if the detainee was detained for failing to comply with an isolation measure—is at the medical facility specified in the human biosecurity control order that is in force in relation to the detainee.\n\nNote: For when an individual must be released from detention, see section 105.\n\nRight to communicate\n\n (3) As soon as possible after detaining a detainee, the officer who detains the detainee must inform the detainee that the detainee may communicate, or attempt to communicate, with any person.\n\n (4) If the detainee wishes to communicate with any person, the officer must, as soon as possible, give the detainee reasonable facilities to enable the detainee to do so.\n\n","sortOrder":116},{"sectionNumber":"105","sectionType":"section","heading":"Release from detention","content":"105  Release from detention\n\nRelease from detention after failure to comply with requirement to remain at a place\n\n (1) An individual who has been detained under section 103 for failing to comply with a requirement to remain at a place under section 68 must be released at the end of the 6‑hour period referred to in section 68.\n\nRelease from detention after failure to comply with isolation measure\n\n (2) An individual who has been detained under section 103 for failing to comply with an isolation measure must be released from detention at the earlier of the following times:\n\n (a) the time when the person has been taken to a place, in accordance with subsection 104(2), at the medical facility specified in the human biosecurity control order that is in force in relation to the individual;\n\n (b) the time when the individual is no longer required to comply with an isolation measure under subsection 74(4).\n\nNote: An individual is required to comply with an isolation measure for only 72 hours, unless the Director of Human Biosecurity gives a direction under section 72 (see subsection 74(4)).\n\n (3) To avoid doubt, an individual may be required to remain isolated at the medical facility even after the individual has been released from detention.\n\n","sortOrder":117},{"sectionNumber":"106","sectionType":"section","heading":"Offence for escaping from detention","content":"106  Offence for escaping from detention\n\n  An individual commits an offence if the individual escapes from detention under section 103.\n\nSubdivision C—Miscellaneous\n\n","sortOrder":118},{"sectionNumber":"107","sectionType":"section","heading":"Offence for failing to comply with a human biosecurity control order","content":"107  Offence for failing to comply with a human biosecurity control order\n\n  An individual commits an offence if:\n\n (a) a human biosecurity control order is in force in relation to the individual; and\n\n (b) the individual engages in conduct; and\n\n (c) the conduct results in the person failing to comply with a biosecurity measure included in the human biosecurity control order; and\n\n (d) the individual is required to comply with the measure under subsection 74(2) or (4).\n\n","sortOrder":119},{"sectionNumber":"108","sectionType":"section","heading":"Expenses incurred in complying with human biosecurity control orders","content":"108  Expenses incurred in complying with human biosecurity control orders\n\n  The Commonwealth is liable to pay for reasonable expenses incurred by an individual in complying with a biosecurity measure included in a human biosecurity control order.\n\nPart 4—Managing risks to human health: other biosecurity measures\n\n109  Simplified outline of this Part\n\nDivision 2 allows human remains to be brought into Australian territory. Sometimes, requirements may be specified or directions given in relation to human remains.\n\nDivision 3 allows the Director of Human Biosecurity to determine human health response zones to which entry and exit requirements apply.\n\nDivision 2—Managing deceased individuals\n\n110  Human remains brought into Australian territory\n\n (1) Human remains may be brought into Australian territory.\n\nNote 1: In some cases, requirements are specified for bringing human remains into Australian territory (see subsection (2)).\n\nNote 2: Human remains are not goods (see the definition of goods in section 19).\n\n (2) The Director of Human Biosecurity may specify, in writing:\n\n (a) classes of human remains; and\n\n (b) requirements for:\n\n (i) bringing human remains into Australian territory; or\n\n (ii) managing human remains in those classes after bringing them into Australian territory.\n\n (3) An instrument made under subsection (2) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument.\n\n (4) A requirement specified for the purposes of paragraph (2)(b) must relate to preventing, or reducing the risk of, a listed human disease entering, or emerging, establishing itself, or spreading in, Australian territory or a part of Australian territory.\n\n (5) This section does not apply to the human remains of an individual who dies:\n\n (a) in transit before arriving in Australian territory; or\n\n (b) on arrival in Australian territory.\n\nNote: For individuals who have died in transit or on arrival, see section 112.\n\n (6) A person to whom a requirement under subsection (2) applies must comply with the requirement.\n\n","sortOrder":120},{"sectionNumber":"111","sectionType":"section","heading":"Officer may give directions for managing human remains","content":"111  Officer may give directions for managing human remains\n\n (1) A biosecurity officer, human biosecurity officer, or chief human biosecurity officer, may give a direction for managing specified human remains if:\n\n (a) the officer is satisfied that those remains are likely to be infected with a listed human disease (whether the remains were brought into Australian territory as mentioned in section 110, or were already in Australian territory); or\n\n (b) a person did not comply with a requirement specified under subsection 110(2) in relation to those remains.\n\n (2) The officer must give a written direction to the person who is responsible for the human remains.\n\n (3) A person to whom a direction is given under this section must comply with the direction.\n\n","sortOrder":121},{"sectionNumber":"112","sectionType":"section","heading":"Individuals who have died in transit or on arrival","content":"112  Individuals who have died in transit or on arrival\n\n (1) The Director of Human Biosecurity may specify, in writing, requirements for classes of persons who bring into Australian territory, or who manage, the bodies of deceased individuals who die:\n\n (a) in transit before arriving in Australian territory; or\n\n (b) on arrival in Australian territory.\n\n (2) A requirement specified for the purposes of subsection (1) must relate to preventing, or reducing the risk of, a listed human disease entering, or emerging, establishing itself, or spreading in, Australian territory or a part of Australian territory.\n\n (3) An instrument made under subsection (1) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument.\n\n (4) A person to whom a requirement under subsection (1) applies must comply with the requirement.\n\nDivision 3—Human health response zones\n\n","sortOrder":122},{"sectionNumber":"113","sectionType":"section","heading":"Determining human health response zones","content":"113  Determining human health response zones\n\n (1) The Director of Human Biosecurity may determine that a specified area within a State or Territory is a human health response zone if the Director is satisfied that it is necessary to do so for the purposes of preventing, or reducing the risk of, a listed human disease emerging, establishing itself or spreading in Australian territory or a part of Australian territory.\n\nNote 1: For consultation and notification requirements, see sections 114 and 115.\n\nNote 2: Under Division 6 of Part 2 of this Chapter, an officer may ask questions, or require written information, of an individual who is in a human health response zone.\n\n (2) Without limiting subsection (1), a specified area may consist of the whole or a part of a specified building.\n\nContents of a determination\n\n (3) The determination must also specify:\n\n (a) the listed human disease to which the determination relates; and\n\n (b) either or both of the following:\n\n (i) any requirements for individuals who are entering or leaving the zone;\n\n (ii) a requirement that specified classes of individuals must not enter the zone; and\n\n (c) the period during which the determination is in force, which must not be more than 3 months.\n\nNote: A person who does not comply with a requirement of a human health response zone determination might contravene a civil penalty provision (see section 116).\n\n (4) A requirement must not be specified in a determination unless the Director of Human Biosecurity is satisfied that the requirement is appropriate and adapted to prevent, or reduce the risk of, the specified listed human disease emerging, establishing itself or spreading in Australian territory or a part of Australian territory.\n\n (5) A determination must not specify as a requirement a biosecurity measure described in Subdivision B of Division 3 of Part 3 of this Chapter (biosecurity measures that may be included in a human biosecurity control order).\n\n (6) If a determination ceases to be in force, the Director of Human Biosecurity may make another determination specifying the same area covered by the previous determination.\n\nDetermination not subject to disallowance\n\n (7) A determination made under subsection (1) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the determination.\n\n","sortOrder":123},{"sectionNumber":"114","sectionType":"section","heading":"Consultation requirements","content":"114  Consultation requirements\n\n  Before making a determination under section 113, the Director of Human Biosecurity must consult with:\n\n (a) the chief health officer (however described) for the State or Territory in which the human health response zone will lie; and\n\n (b) the Director of Biosecurity; and\n\n (c) the Director‑General of the CDC.\n\n","sortOrder":124},{"sectionNumber":"115","sectionType":"section","heading":"Notification requirements","content":"115  Notification requirements\n\n (1) In addition to the requirement under the Legislation Act 2003 for the determination to be registered, the Director of Human Biosecurity must ensure that the determination is made public, in any other way he or she thinks fit.\n\n (2) A failure to comply with subsection (1) of this section does not affect the validity of the determination.\n\n","sortOrder":125},{"sectionNumber":"116","sectionType":"section","heading":"Civil penalty for failing to comply with a requirement of a human health response zone determination","content":"116  Civil penalty for failing to comply with a requirement of a human health response zone determination\n\n  A person to whom a requirement in a determination made under section 113 (human health response zone) applies must comply with the requirement.\n\nChapter 3—Managing biosecurity risks: goods\n\nPart 1—Goods brought into Australian territory\n\n117  Simplified outline of this Part\n\nThis Part deals with goods that are brought or imported into Australian territory from outside Australian territory.\n\nDivision 2 provides that the goods become subject to biosecurity control when they enter Australian territory.\n\nDivision 3 provides for notice to be given of goods that are, or are intended to be, brought into Australian territory and unloaded at a landing place or port.\n\nDivision 4 sets out powers that may be exercised to assess the level of biosecurity risk associated with goods that are subject to biosecurity control.\n\nDivision 5 provides for biosecurity measures to be taken in relation to goods that are subject to biosecurity control if the level of biosecurity risk associated with the goods is considered to be unacceptable.\n\nDivision 6 deals with unloading goods that are subject to biosecurity control at landing places or ports in Australian territory.\n\nDivision 7 deals with unloading goods that are subject to biosecurity control from a vessel that is displaying the prescribed quarantine signal.\n\nDivision 8 requires biosecurity incidents in relation to goods that are subject to biosecurity control to be reported to a biosecurity officer or the Director of Biosecurity.\n\nDivision 9 provides for the assessment and management of the level of biosecurity risk associated with goods that are exposed to goods that are subject to biosecurity control.\n\nDivision 10 deals with releasing goods from biosecurity control.\n\n118  Objects of this Part\n\n  The main objects of this Part are:\n\n (a) to provide for the assessment of the level of biosecurity risk associated with goods brought into Australian territory; and\n\n (b) to provide for biosecurity measures to be taken in relation to those goods if the level of biosecurity risk associated with them is considered to be unacceptable.\n\nNote: In Parts 1 and 3 of this Chapter, goods includes a conveyance brought or imported into Australian territory from outside Australian territory on board another conveyance (for example a lifeboat being carried on a vessel) (see section 19).\n\nDivision 2—Goods are subject to biosecurity control\n\n","sortOrder":126},{"sectionNumber":"119","sectionType":"section","heading":"Goods brought into Australian territory are subject to biosecurity control","content":"119  Goods brought into Australian territory are subject to biosecurity control\n\n (1) This section applies in relation to goods that are brought into Australian territory on an aircraft or vessel that has entered Australian territory during a flight or voyage that commenced outside Australian territory.\n\nNote: Goods that are brought into Australian territory include goods brought into Australian territory with the intention of being imported into Australian territory.\n\n (2) The goods become subject to biosecurity control when the aircraft or vessel carrying the goods enters Australian territory.\n\n (3) The goods remain subject to biosecurity control until they are released from biosecurity control under Division 10.\n\n (4) If the goods are released from biosecurity control under paragraph 162(1)(e) by leaving Australian territory on an aircraft or vessel that is on a flight or voyage between places in Australian territory, the goods become subject to biosecurity control again when the aircraft or vessel re‑enters Australian territory during that flight or voyage.\n\nNote: Goods are released from biosecurity control under paragraph 162(1)(e) if they leave Australian territory.\n\nDivision 3—Notice of goods to be unloaded in Australian territory\n\n","sortOrder":127},{"sectionNumber":"120","sectionType":"section","heading":"Notice must be given of goods to be unloaded in Australian territory","content":"120  Notice must be given of goods to be unloaded in Australian territory\n\n (1) A notice must be given of goods that are, or are intended to be:\n\n (a) brought into Australian territory; and\n\n (b) unloaded at a landing place or port in Australian territory;\n\nother than goods originating in Australian territory that leave temporarily for the purpose of travelling between landing places or ports in Australian territory.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\nNote 2: The obligation in this subsection applies whether or not the person who is required to give the notice is in Australian territory when the notice is required to be given or when the goods are unloaded (see subsection (8) of this section).\n\n (2) The notice must be given by a person prescribed by the regulations in relation to the goods.\n\n (3) The notice must:\n\n (a) include the information in relation to the goods that is prescribed by the regulations; and\n\n (b) be given in the manner, and to the person, prescribed by the regulations; and\n\n (c) be given at a time, or during the period, prescribed by the regulations (which may be before or after the goods are unloaded as referred to in subsection (1)); and\n\nNote: The regulations may prescribe different requirements for notices for different classes of goods (see subsection 33(3A) of the Acts Interpretation Act 1901).\n\n (4) The regulations may prescribe exceptions to the requirement to give a notice under this section.\n\nNote: A defendant bears an evidential burden in relation to any exception prescribed for the purposes of this subsection (see subsection 13.3(3) of the Criminal Code and section 96 of the Regulatory Powers Act).\n\nFailure to give notice\n\n (a) goods are unloaded as referred to in subsection (1); and\n\n (b) the person is a person prescribed for the purposes of subsection (2) in relation to the goods; and\n\n (c) the person does not give a notice in relation to the goods in accordance with subsection (3); and\n\n (d) no other person gives a notice in relation to the goods in accordance with that subsection.\n\nNote: The physical elements of an offence against subsection (6) are set out in this subsection (see section 534).\n\n (8) Subsections (5), (6) and (7) apply whether or not the person is in Australian territory when the notice is required to be given or when the goods are unloaded.\n\n","sortOrder":128},{"sectionNumber":"121","sectionType":"section","heading":"Notice of goods to be unloaded in Australian territory—requirement to give additional or corrected information","content":"121  Notice of goods to be unloaded in Australian territory—requirement to give additional or corrected information\n\n (a) a person gives a notice in relation to goods under section 120; and\n\n (b) after giving the notice, the person becomes aware that the information included in the notice was incomplete or incorrect;\n\nthe person must as soon as practicable give a biosecurity officer the additional or corrected information, to the extent that it is relevant to assessing the level of biosecurity risk associated with the goods.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\nNote 2: The obligation in this subsection applies whether or not the person is in Australian territory when the person becomes aware that the information included in a notice given under section 120 was incomplete or incorrect (see subsection (5) of this section).\n\nNote 3: See also Division 8 which deals with reporting biosecurity incidents.\n\n (3) A person commits an offence if the person contravenes subsection (2).\n\n (4) A person is liable to a civil penalty if the person contravenes subsection (2).\n\n (5) Subsections (2), (3) and (4) apply whether or not the person is in Australian territory when the person is required to give the information.\n\n","sortOrder":129},{"sectionNumber":"122","sectionType":"section","heading":"Power to obtain extra information relating to goods covered by a notice under section 120","content":"122  Power to obtain extra information relating to goods covered by a notice under section 120\n\n (1) A biosecurity officer may exercise the powers under subsections (2), (3) and (4) for the purpose of assessing the level of biosecurity risk associated with goods that are the subject of a notice under section 120 (notice of goods to be unloaded in Australian territory) but have not become subject to biosecurity control.\n\nPower to require information or answers to questions\n\n (2) A biosecurity officer may require a person who the biosecurity officer suspects, on reasonable grounds, has information in relation to the goods to answer questions, or provide information in writing, in relation to the goods.\n\nNote: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information (see section 137.1 of the Criminal Code and section 532 of this Act).\n\nPower to require production of documents\n\n (3) A biosecurity officer may require a person who the biosecurity officer suspects, on reasonable grounds, has the custody or control of documents in relation to the goods to produce to the biosecurity officer such of those documents as are specified by the biosecurity officer.\n\nNote: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading documents (see section 137.2 of the Criminal Code and section 533 of this Act).\n\nPower to deal with documents\n\n (4) A biosecurity officer:\n\n (a) may make copies of, or take extracts from, a document produced under subsection (3); and\n\nComplying with requirements\n\n (a) the person is required:\n\n (i) to answer questions or give information to a biosecurity officer under subsection (2); or\n\n (ii) to produce documents to a biosecurity officer under subsection (3); and\n\n (b) the person does not comply with the requirement.\n\nNote 1: The obligation in this subsection applies whether or not the person is in Australian territory when the requirement is made (see subsection (8)).\n\nNote 2: The physical elements of an offence against subsection (6) are set out in this subsection (see section 534).\n\n (8) Subsections (5), (6) and (7) apply whether or not the person is in Australian territory when the person is required to answer the questions, give the information or produce the documents.\n\nDivision 4—Assessment of level of biosecurity risk\n\n","sortOrder":130},{"sectionNumber":"123","sectionType":"section","heading":"Biosecurity risk assessment powers","content":"123  Biosecurity risk assessment powers\n\n  This Division sets out powers that may be exercised for the purpose of assessing the level of biosecurity risk associated with goods that are subject to biosecurity control.\n\nNote: The powers in this Division may also be exercised in relation to exposed goods and goods in relation to which an exposed goods order is in force (see Division 9).\n\n","sortOrder":131},{"sectionNumber":"124","sectionType":"section","heading":"Direction to secure goods","content":"124  Direction to secure goods\n\n (1) A biosecurity officer may direct a person in charge of the goods to secure the goods in a manner specified by the biosecurity officer.\n\nNote 1: If judicial review is sought in relation to a direction given under subsection (1), the direction remains in force unless a court finally determines the validity of the decision to give the direction (see section 538).\n\nNote 2: A person may contravene a civil penalty provision for moving, dealing with or interfering with goods that have been secured in accordance with a direction given under subsection (1) (see section 130).\n\n","sortOrder":132},{"sectionNumber":"125","sectionType":"section","heading":"Inspecting goods and taking samples","content":"125  Inspecting goods and taking samples\n\n (1) A biosecurity officer may inspect the goods.\n\n (a) take samples of the goods; or\n\n (b) direct a person in charge of the goods to deliver to the biosecurity officer samples of such of those goods as are specified in the direction; or\n\n (c) arrange for another person, with appropriate qualifications or expertise, to take samples of the goods.\n\n (b) arrange for another person, with appropriate qualifications or expertise, to carry out tests on any of those samples.\n\nNote: See also section 554 (carrying out tests on samples).\n\n","sortOrder":133},{"sectionNumber":"126","sectionType":"section","heading":"Asking questions about goods","content":"126  Asking questions about goods\n\n (1) A biosecurity officer may require a person who the biosecurity officer suspects, on reasonable grounds, has information in relation to the goods to answer questions, or provide information in writing, in relation to the goods.\n\nNote: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information (see section 137.1 of the Criminal Code and section 532 of this Act).\n\n (2) A person who is required to answer questions, or provide information in writing, under subsection (1) must comply with the requirement.\n\n","sortOrder":134},{"sectionNumber":"127","sectionType":"section","heading":"Requiring documents relating to goods to be produced","content":"127  Requiring documents relating to goods to be produced\n\n (1) A biosecurity officer may require a person who the biosecurity officer suspects, on reasonable grounds, has the custody or control of documents in relation to the goods to produce to the biosecurity officer such of those documents as are specified by the biosecurity officer.\n\nNote: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading documents (see section 137.2 of the Criminal Code and section 533 of this Act).\n\n","sortOrder":135},{"sectionNumber":"128","sectionType":"section","heading":"Movement of goods","content":"128  Movement of goods\n\n (a) give any of the following directions to a person in charge of the goods:\n\n (i) a direction not to move, deal with or interfere with the goods;\n\n (ii) a direction to move the goods, as soon as practicable, to a place specified by the biosecurity officer;\n\n (iii) any other direction relating to the movement of the goods; or\n\n (b) cause the goods to be moved to another place.\n\nNote: A person may contravene a civil penalty provision for moving, dealing with or interfering with goods in relation to which a direction relating to movement has been given under paragraph (1)(a) or that have been moved under paragraph (1)(b) (see section 130).\n\n","sortOrder":136},{"sectionNumber":"129","sectionType":"section","heading":"Biosecurity control notice may be affixed to goods or given to person in charge of goods","content":"129  Biosecurity control notice may be affixed to goods or given to person in charge of goods\n\n (a) affix a biosecurity control notice to, or as near as reasonably practicable to, the goods; or\n\n (b) give a biosecurity control notice to a person in charge of the goods.\n\n (a) a biosecurity control notice is affixed to, or as near as reasonably practicable to, goods under paragraph (1)(a); and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (3) Subsection (2) does not apply if the person is authorised to engage in the conduct referred to in paragraph (2)(b) under this Act or under another Australian law.\n\nNote 1: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\nNote 2: A person may contravene a civil penalty provision for moving, dealing with or interfering with goods in relation to which a biosecurity control notice has been affixed under paragraph (1)(a) (see section 130).\n\n","sortOrder":137},{"sectionNumber":"130","sectionType":"section","heading":"Unauthorised persons must not move etc. goods in relation to which direction has been given or notice has been affixed","content":"130  Unauthorised persons must not move etc. goods in relation to which direction has been given or notice has been affixed\n\n (1) This section applies in relation to:\n\n (a) goods that have been secured in accordance with a direction given under subsection 124(1); or\n\n (b) goods in relation to which a direction relating to movement has been given under paragraph 128(1)(a); or\n\n (c) goods that have been moved under paragraph 128(1)(b); or\n\n (d) goods in relation to which a biosecurity control notice has been affixed under paragraph 129(1)(a).\n\n (a) the person moves, deals with or interferes with goods in relation to which this section applies; and\n\n (b) none of the following applies:\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (a) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (3) Subsection (2) does not apply if the person is authorised to engage in the conduct referred to in paragraph (2)(a) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\nDivision 5—Biosecurity measures to manage unacceptable level of biosecurity risk\n\n","sortOrder":138},{"sectionNumber":"131","sectionType":"section","heading":"Biosecurity measures may be required in relation to goods","content":"131  Biosecurity measures may be required in relation to goods\n\n  If a biosecurity officer suspects, on reasonable grounds, that the level of biosecurity risk associated with goods that are subject to biosecurity control is unacceptable, a biosecurity officer may require biosecurity measures to be taken in relation to the goods as set out in this Division.\n\nNote 1: This Division also applies in relation to exposed goods in relation to which an exposed goods order is in force. This Division applies to those goods as if they were subject to biosecurity control (see subsection 161(1)).\n\nNote 2: Sections 626 and 627 deal with abandoned and forfeited goods in relation to which biosecurity measures have been required under this Division.\n\n","sortOrder":139},{"sectionNumber":"132","sectionType":"section","heading":"Movement of goods","content":"132  Movement of goods\n\n  A biosecurity officer may:\n\n (a) require the goods to be moved to a specified place, as soon as practicable; or\n\n (b) require the goods to be left at a specified place in a specified manner and for a specified period; or\n\n (c) require any other action to be taken in relation to the movement of the goods.\n\n","sortOrder":140},{"sectionNumber":"133","sectionType":"section","heading":"Treatment of goods","content":"133  Treatment of goods\n\n (1) A biosecurity officer may, subject to subsection (2), require the goods to be treated in a manner specified by the biosecurity officer.\n\nNote: If the treatment might damage the goods, a person in charge of the goods must be asked to agree to the treatment (see section 134).\n\n (2) A biosecurity officer must not require high‑value goods to be treated in a manner that the biosecurity officer suspects, on reasonable grounds, is likely to damage the goods, without the written approval of the Director of Biosecurity.\n\n","sortOrder":141},{"sectionNumber":"134","sectionType":"section","heading":"Treatment that is likely to damage goods","content":"134  Treatment that is likely to damage goods\n\n (a) a biosecurity officer requires goods to be treated in a specified manner under section 133; and\n\n (b) a biosecurity officer suspects, on reasonable grounds, that treatment of the goods in that manner is likely to damage the goods.\n\nNotice must be given that treatment is likely to damage goods\n\n (2) Before any treatment is carried out on the goods, a biosecurity officer must, by notice in writing or orally:\n\n (a) inform a person in charge of the goods that:\n\n (i) the goods are required to be treated in a specified manner; and\n\n (ii) the treatment is likely to damage the goods; and\n\n (b) request the person to agree to the treatment of the goods.\n\nNote: The meaning of person in charge of goods in this subsection is affected by subsection (7).\n\n (3) However, the goods may be treated in the specified manner without notice having been given under subsection (2) if:\n\n (a) a biosecurity officer suspects, on reasonable grounds, that there is a high level of biosecurity risk associated with the goods; and\n\n (b) the biosecurity officer is satisfied that the goods need to be treated as soon as practicable to reduce that risk to an acceptable level.\n\nDealing with goods if person in charge does not agree to treatment\n\n (a) a notice in writing is given to a person in charge of the goods under subsection (2); and\n\n (b) a person in charge of the goods does not, within 30 days after receiving the notice, notify a biosecurity officer in writing that the person agrees to the treatment of the goods as specified in the notice;\n\na biosecurity officer may, in writing, request a person in charge of the goods to arrange for the goods:\n\n (d) to be exported from Australian territory;\n\nNote: The meaning of person in charge of goods in paragraphs (4)(a) and (b) is affected by subsection (7).\n\n (a) notice is given orally to a person in charge of the goods under subsection (2); and\n\n (b) a person in charge of the goods informs a biosecurity officer that the person does not agree to the treatment of the goods in the specified manner;\n\na biosecurity officer may, in writing or orally, request a person in charge of the goods to arrange for the goods:\n\n (d) to be exported from Australian territory;\n\nNote: The meaning of person in charge of goods in paragraphs (5)(a) and (b) is affected by subsection (7).\n\n (6) If:\n\n (a) a request is made under subsection (4) or (5) in relation to the goods; and\n\n (b) the goods are not, within the period specified in the request:\n\n (i) dealt with, or destroyed, in a manner specified in the request; or\n\n (ii) exported from Australian territory;\n\na biosecurity officer may take possession of the goods and cause them to be exported from Australian territory, destroyed or otherwise disposed of.\n\nModified meaning of person in charge of goods\n\n (7) In subsection (2) and paragraphs (4)(a) and (b) and (5)(a) and (b), person in charge of goods does not include a biosecurity industry participant who is in possession or control of the goods only because of a direction given to the biosecurity industry participant by a biosecurity officer.\n\n","sortOrder":142},{"sectionNumber":"135","sectionType":"section","heading":"Export of goods","content":"135  Export of goods\n\n (1) A biosecurity officer may require the goods to be exported from Australian territory.\n\n (2) For the purposes of subsection (1), a biosecurity officer may:\n\n (a) arrange for the goods to be exported from Australian territory; or\n\n (b) direct a person in charge of the goods to arrange for the goods to be exported from Australian territory.\n\nNote: A person who is given a direction under paragraph (2)(b) may commit an offence or contravene a civil penalty provision for failing to comply with the direction (see section 140).\n\n","sortOrder":143},{"sectionNumber":"136","sectionType":"section","heading":"Destruction of goods","content":"136  Destruction of goods\n\n (1) If a biosecurity officer considers, on reasonable grounds, that the goods cannot be effectively treated, a biosecurity officer may, subject to subsection (2), require the goods to be destroyed.\n\nNote: If goods are required under this section to be destroyed:\n\n(a) paragraph 138(1)(a) lets a biosecurity officer direct the person in charge of the goods to destroy them (and failure to comply with the direction may be an offence against section 140); and\n\n(b) paragraph 138(1)(b) lets a biosecurity officer destroy them; and\n\n(c) paragraph 138(1)(c) lets a biosecurity officer arrange for someone else to carry out the destruction of the goods.\n\n (2) A biosecurity officer must not require high‑value goods to be destroyed without the written approval of the Director of Biosecurity.\n\nNote 1: Before giving approval under this subsection, the Director of Biosecurity must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 2: A decision to give approval for a requirement for high‑value goods to be destroyed is a reviewable decision (see Part 1 of Chapter 11).\n\n (3) A biosecurity officer must not take action under section 138, in relation to a requirement for high‑value goods to be destroyed, until:\n\n (a) after the period in which an application may be made for review (including merits or judicial review) of the decision to require the goods to be destroyed; or\n\n (b) if an application referred to in paragraph (a) is made—after the review or any related proceeding (including any appeal) have been completed.\n\n (4) However, subsection (3) does not apply in relation to high‑value goods if a biosecurity officer is satisfied that:\n\n (a) there is a high level of biosecurity risk associated with the goods; and\n\n (b) the biosecurity risk cannot be managed for long enough to allow a review of the decision to require the goods to be destroyed, and any related proceeding (including any appeal), to be finally determined.\n\n (a) in accordance with subsection (4), a biosecurity officer takes action under section 138, in relation to the requirement for the goods to be destroyed, before the end of the period referred to in paragraph (3)(a); and\n\n (b) no application for review of the decision to require the goods to be destroyed had been made before the action was taken;\n\nan application for review of the decision to require the goods to be destroyed must not be made.\n\n (6) If:\n\n (a) an application referred to in paragraph (3)(a) has been made in relation to the decision to require the goods to be destroyed; and\n\n (b) in accordance with subsection (4), a biosecurity officer takes action under section 138, in relation to the requirement for the goods to be destroyed, before the review or any related proceeding (including any appeal) has been finally determined;\n\n","sortOrder":144},{"sectionNumber":"137","sectionType":"section","heading":"Regulations may provide for other biosecurity measures","content":"137  Regulations may provide for other biosecurity measures\n\n (1) The regulations may provide that a biosecurity officer may require a specified kind of biosecurity measure (a prescribed biosecurity measure) to be taken in relation to the goods.\n\n (2) Regulations made for the purposes of this section must not provide for a biosecurity officer to require any of the following kinds of biosecurity measures to be taken in relation to the goods:\n\n (a) a biosecurity measure of a kind set out in Division 4 of this Part (assessment of level of biosecurity risk);\n\n (b) a biosecurity measure of a kind set out in another provision of this Division (biosecurity measures to manage unacceptable level of biosecurity risk);\n\n (c) a biosecurity measure of a kind referred to in Subdivision B of Division 2 of Part 4 of Chapter 10 (decontamination).\n\n (3) Regulations made for the purposes of this section may also provide for, or in relation to, other matters relating to a prescribed biosecurity measure.\n\n (a) provide for persons to be notified, and the circumstances in which the persons must be notified, that a prescribed biosecurity measure is required to be taken in relation to goods;\n\n (b) if regulations made for the purposes of subsection 574(2) provide that the decision to require a prescribed biosecurity measure to be taken in relation to the goods is a reviewable decision—provide that, except in the circumstances (if any) prescribed, the prescribed biosecurity measure must not be taken during the period in which a review of that decision, or any related proceeding (including any appeal), has been finally determined.\n\n","sortOrder":145},{"sectionNumber":"138","sectionType":"section","heading":"Powers of biosecurity officer if biosecurity measures are required","content":"138  Powers of biosecurity officer if biosecurity measures are required\n\n (1) If a biosecurity officer requires a biosecurity measure to be taken in relation to goods under section 132 (movement), section 133 (treatment), section 136 (destruction) or a regulation made for the purposes of section 137, a biosecurity officer may:\n\n (a) direct a person in charge of the goods to carry out the biosecurity measure; or\n\n (b) carry out the biosecurity measure; or\n\n (c) arrange for another person with appropriate qualifications or expertise to carry out the biosecurity measure.\n\nNote 1: Section 136 sets out prerequisites to a biosecurity officer taking certain actions under this section in relation to a requirement under section 136 to destroy high‑value goods.\n\nNote 2: A person who is given a direction under paragraph (1)(a) of this section may commit an offence or contravene a civil penalty provision for failing to comply with the direction (see section 140).\n\n","sortOrder":146},{"sectionNumber":"139","sectionType":"section","heading":"Biosecurity officer may affix notice to goods","content":"139  Biosecurity officer may affix notice to goods\n\n (1) A biosecurity officer may affix a notice to, or as near as reasonably practicable to, goods in relation to which biosecurity measures have been required under:\n\n (a) this Division; or\n\n (b) a regulation made for the purposes of section 137.\n\n (a) that the level of biosecurity risk associated with the goods is unacceptable; and\n\n (b) that biosecurity measures have been required in relation to the goods, in accordance with this Chapter, for the purpose of managing that biosecurity risk; and\n\n (c) the effect of subsections (3) and (4) of this section and section 141.\n\n (a) a notice is affixed to, or as near as reasonably practicable to, goods under subsection (1); and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (4) Subsection (3) does not apply if the person is authorised to engage in the conduct referred to in paragraph (3)(b) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n","sortOrder":147},{"sectionNumber":"140","sectionType":"section","heading":"Person must comply with direction to take biosecurity measures","content":"140  Person must comply with direction to take biosecurity measures\n\n (1) A person who is given a direction under paragraph 135(2)(b) or 138(1)(a) must comply with the direction.\n\n (a) the person is given a direction under paragraph 135(2)(b) or 138(1)(a); and\n\n (a) the person is given a direction under paragraph 135(2)(b) or 138(1)(a); and\n\n","sortOrder":148},{"sectionNumber":"141","sectionType":"section","heading":"Unauthorised persons must not move etc. goods to which notice has been affixed","content":"141  Unauthorised persons must not move etc. goods to which notice has been affixed\n\n (a) a notice has been affixed to, or as near as reasonably practicable to, goods under subsection 139(1); and\n\n (b) the person moves, deals with or interferes with the goods; and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(b) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see subsection 13.3(3) of the Criminal Code and section 96 of the Regulatory Powers Act).\n\nDivision 6—Unloading goods at landing places or ports\n\n","sortOrder":149},{"sectionNumber":"142","sectionType":"section","heading":"Application of this Division","content":"142  Application of this Division\n\n  This Division applies in relation to goods that:\n\n (a) are, or will become, subject to biosecurity control; and\n\n (b) are intended to be unloaded from an aircraft or vessel at a landing place or port in Australian territory.\n\nNote: This Division also applies in relation to exposed goods in relation to which an exposed goods order is in force. This Division applies to those goods as if they were subject to biosecurity control (see subsection 161(1)).\n\n","sortOrder":150},{"sectionNumber":"143","sectionType":"section","heading":"Person in charge may allow goods to be unloaded from aircraft or vessel subject to direction etc.","content":"143  Person in charge may allow goods to be unloaded from aircraft or vessel subject to direction etc.\n\n (1) The person in charge of the aircraft or vessel may allow the goods to be unloaded from the aircraft or vessel at the landing place or port at which the aircraft or vessel has arrived.\n\nNote: Nothing may be unloaded from the aircraft or vessel unless pratique has been granted in relation to the aircraft or vessel or the unloading is authorised by or under this Act or another Australian law (see sections 48 and 49).\n\n (2) Subsection (1) has effect subject to:\n\n (a) sections 145, 146, 147, 148 and 151; and\n\n (b) any direction given under subsection (3) of this section.\n\n (3) A biosecurity officer may give the person in charge of the aircraft or vessel a direction relating to the unloading of the goods from the aircraft or vessel (including a direction not to allow some or all of the goods to be unloaded from the aircraft or vessel).\n\n (4) A person who is given a direction under subsection (3) must comply with the direction.\n\n (a) the person is given a direction under subsection (3); and\n\n (7) Subsections (5) and (6) do not apply if:\n\n (a) the person in charge of the aircraft or vessel gave another person a direction (the person in charge’s direction) under subsection 144(4); and\n\n (b) the person in charge’s direction was in the same terms as the direction given under subsection (3) of this section; and\n\n (c) the other person did not comply with the person in charge’s direction.\n\nNote: A defendant bears an evidential burden in relation to the matters in this subsection (see subsection 13.3(3) of the Criminal Code and section 96 of the Regulatory Powers Act).\n\n","sortOrder":151},{"sectionNumber":"144","sectionType":"section","heading":"Person may unload goods from aircraft or vessel subject to direction etc.","content":"144  Person may unload goods from aircraft or vessel subject to direction etc.\n\n (1) A person may unload the goods from the aircraft or vessel at the landing place or port at which the aircraft or vessel has arrived.\n\nNote: Nothing may be unloaded from the aircraft or vessel unless pratique has been granted in relation to the aircraft or vessel or the unloading is authorised by or under this Act or another Australian law (see sections 48 and 49).\n\n (2) Subsection (1) has effect subject to:\n\n (a) sections 145, 146, 147, 148 and 151; and\n\n (b) any direction given under subsection (3) or (4) of this section.\n\n (3) A biosecurity officer may give a person a direction relating to the unloading of the goods from the aircraft or vessel (including a direction not to unload some or all of the goods from the aircraft or vessel).\n\n (4) If the person in charge of the aircraft or vessel has been given a direction under subsection 143(3), the person in charge may, for the purpose of giving effect to that direction, give another person a direction relating to the unloading of the goods from the aircraft or vessel (including a direction not to unload some or all of the goods from the aircraft or vessel).\n\n (5) A person who is given a direction under subsection (3) or (4) must comply with the direction.\n\n (6) A person commits an offence if:\n\n (a) the person is given a direction under subsection (3) or (4); and\n\n","sortOrder":152},{"sectionNumber":"145","sectionType":"section","heading":"Goods must not be unloaded except at first point of entry for those goods or with permission","content":"145  Goods must not be unloaded except at first point of entry for those goods or with permission\n\n (1) The person in charge of the aircraft or vessel must not allow the goods to be unloaded from the aircraft or vessel at a landing place or port that is not a first point of entry for those goods, unless permission has been given under subsection 146(2) for the goods to be unloaded at that landing place or port.\n\n (2) The person in charge of an aircraft or vessel commits an offence if:\n\n (a) the person allows goods to be unloaded from the aircraft or vessel at a landing place or port in Australian territory; and\n\n (b) the goods are subject to biosecurity control; and\n\n (c) the landing place or port is not a first point of entry for those goods; and\n\n (d) permission has not been given under subsection 146(2) for the goods to be unloaded at that landing place or port.\n\n","sortOrder":153},{"sectionNumber":"146","sectionType":"section","heading":"Permission to unload goods at landing place or port other than first point of entry for those goods","content":"146  Permission to unload goods at landing place or port other than first point of entry for those goods\n\n (1) The person in charge or the operator of the aircraft or vessel may, in writing, request the Director of Biosecurity to give permission for the goods to be unloaded at a landing place or port that is not a first point of entry for those goods.\n\nNote: A request under this subsection may be made at the same time as a request under section 239 or 247 is made for permission to arrive at a landing place or port that is not a first point of entry for the aircraft or vessel.\n\n (2) If the Director of Biosecurity receives a request under subsection (1), the Director may, by notice in writing to the person in charge or the operator of the aircraft or vessel, give permission for the goods to be unloaded from the aircraft or vessel at the landing place or port specified in the request.\n\n (3) The Director of Biosecurity may give permission under subsection (2) subject to any conditions specified in the notice giving the permission.\n\n (a) the operator of the aircraft or vessel has been given a permission under subsection (2); and\n\n (a) the person in charge of the aircraft or vessel has been given a permission under subsection (2); and\n\n (a) the person in charge or the operator of the aircraft or vessel has been given a permission under subsection (2); and\n\n","sortOrder":154},{"sectionNumber":"147","sectionType":"section","heading":"Goods must be brought to biosecurity entry point for those goods at first point of entry","content":"147  Goods must be brought to biosecurity entry point for those goods at first point of entry\n\n (a) the aircraft or vessel has arrived at a first point of entry for the aircraft or vessel; and\n\n (b) there is a biosecurity entry point at the first point of entry for goods that are to be unloaded from the aircraft or vessel.\n\n (2) The person in charge of the aircraft or vessel must ensure that goods that are to be unloaded from the aircraft or vessel are brought to the biosecurity entry point for those goods as soon as practicable, unless:\n\n (a) a biosecurity officer has given a direction under subsection (3) to the person in charge or the operator of the aircraft or vessel to bring the goods to an alternative biosecurity entry point at the first point of entry; or\n\n (b) permission has been given under subsection 148(2) for the goods to be brought to an alternative biosecurity entry point at the first point of entry.\n\nNote 1: Nothing may be unloaded from the aircraft or vessel unless pratique has been granted in relation to the aircraft or vessel or the unloading is authorised by or under this Act or another Australian law (see sections 48 and 49).\n\nNote 2: Goods must not be unloaded from the vessel if a direction has been given under subsection 143(3) or 144(3) or (4) not to unload the goods from the vessel.\n\nNote 3: Goods must not be unloaded from the vessel if it is displaying the prescribed quarantine signal (see section 151).\n\n (3) A biosecurity officer may give the person in charge or the operator of the aircraft or vessel a direction requiring goods that are to be unloaded from the aircraft or vessel to be brought to a biosecurity entry point that is not a biosecurity entry point for those goods.\n\n (b) the person has been given a direction under subsection (3); and\n\n (d) the conduct contravenes the direction.\n\n (a) the operator of the aircraft or vessel has been given a direction under subsection (3); and\n\n (a) the person in charge of the aircraft or vessel has been given a direction under subsection (3); and\n\n (a) the person in charge or the operator of the aircraft or vessel has been given a direction under subsection (3); and\n\n","sortOrder":155},{"sectionNumber":"148","sectionType":"section","heading":"Permission to bring goods to alternative biosecurity entry point","content":"148  Permission to bring goods to alternative biosecurity entry point\n\n (1) The person in charge or the operator of the aircraft or vessel may, in writing, request the Director of Biosecurity to give permission to bring the goods to a biosecurity entry point (the alternative biosecurity entry point) that is not a biosecurity entry point for those goods.\n\n (2) If the Director of Biosecurity receives a request under subsection (1), the Director may, by notice in writing to the person in charge or the operator of the aircraft or vessel, give permission for the goods to be brought to the alternative biosecurity entry point.\n\n (3) The Director of Biosecurity may give permission under subsection (2) subject to any conditions specified in the notice giving the permission.\n\n (a) the operator of the aircraft or vessel has been given a permission under subsection (2); and\n\n (a) the person in charge of the aircraft or vessel has been given a permission under subsection (2); and\n\n (a) the person in charge or the operator of the aircraft or vessel has been given a permission under subsection (2); and\n\n","sortOrder":156},{"sectionNumber":"149","sectionType":"section","heading":"Receiving or possessing goods unloaded from aircraft or vessel in contravention of this Division","content":"149  Receiving or possessing goods unloaded from aircraft or vessel in contravention of this Division\n\n (a) the person receives, or has in the person’s possession, goods that have been unloaded from an aircraft or vessel in Australian territory; and\n\n (b) any of the following applies in relation to the goods:\n\n (i) the goods were unloaded from the aircraft or vessel in contravention of a direction given under subsection 143(3), 144(3) or (4) or 147(3);\n\n (ii) the goods were unloaded from the aircraft or vessel in contravention of subsection 145(1);\n\n (iii) a condition imposed under subsection 146(3) or 148(3) in relation to the goods was contravened;\n\n (iv) subsection 147(2) was contravened.\n\n (2) Subsection (1) does not apply if the person did not know, and could not reasonably be expected to have known, that:\n\n (a) the goods were unloaded from the aircraft or vessel in contravention of a direction given under subsection 143(3), 144(3) or (4) or 147(3); or\n\n (b) the goods were unloaded from the aircraft or vessel in contravention of subsection 145(1); or\n\n (c) a condition imposed under subsection 146(3) or 148(3) in relation to the goods was contravened; or\n\n (d) subsection 147(2) was contravened;\n\nas the case may be.\n\nNote: A defendant bears an evidential burden in relation to the matters in this subsection (see section 96 of the Regulatory Powers Act).\n\n","sortOrder":157},{"sectionNumber":"Div 7","sectionType":"division","heading":"Unloading goods from vessel displaying prescribed quarantine signal","content":"Division 7—Unloading goods from vessel displaying prescribed quarantine signal\n\n","sortOrder":158},{"sectionNumber":"150","sectionType":"section","heading":"Application of this Division","content":"150  Application of this Division\n\n  This Division applies in relation to goods that:\n\n (a) are subject to biosecurity control; and\n\n (b) are unloaded from a vessel that is displaying the prescribed quarantine signal.\n\nNote: This Division also applies in relation to exposed goods in relation to which an exposed goods order is in force. This Division applies to those goods as if they were subject to biosecurity control (see subsection 161(1)).\n\n","sortOrder":159},{"sectionNumber":"151","sectionType":"section","heading":"Unloading goods from vessel displaying prescribed quarantine signal","content":"151  Unloading goods from vessel displaying prescribed quarantine signal\n\n (a) the person unloads goods from a vessel in Australian territory; and\n\n (b) the goods are subject to biosecurity control; and\n\n (c) the vessel is displaying the prescribed quarantine signal; and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (a) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\nNote 1: See section 221 in relation to when a vessel must display the prescribed quarantine signal.\n\nNote 2: The physical elements of an offence against subsection (3) are set out in this subsection (see section 534).\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(a) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see subsection 13.3(3) of the Criminal Code and section 96 of the Regulatory Powers Act).\n\n","sortOrder":160},{"sectionNumber":"152","sectionType":"section","heading":"Receiving or possessing goods unloaded from vessel displaying prescribed quarantine signal","content":"152  Receiving or possessing goods unloaded from vessel displaying prescribed quarantine signal\n\n (a) the person receives, or has in the person’s possession, goods; and\n\n (b) the goods were unloaded from a vessel in Australian territory; and\n\n (c) the goods are subject to biosecurity control; and\n\n (d) the vessel was displaying the prescribed quarantine signal when the goods were unloaded; and\n\n (e) none of the following applies:\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (a) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\nNote 1: See section 221 in relation to when a vessel must display the prescribed quarantine signal.\n\nNote 2: The physical elements of an offence against subsection (3) are set out in this subsection (see section 534).\n\n (2) Subsection (1) does not apply if:\n\n (a) the person is authorised to engage in the conduct referred to in paragraph (1)(a) under this Act or under another Australian law; or\n\n (b) the person did not know, and could not reasonably be expected to have known, that the vessel was displaying the prescribed quarantine signal when the goods were unloaded.\n\nNote: A defendant bears an evidential burden in relation to the matters in this subsection (see subsection 13.3(3) of the Criminal Code and section 96 of the Regulatory Powers Act).\n\n","sortOrder":161},{"sectionNumber":"Div 8","sectionType":"division","heading":"Reporting biosecurity incidents","content":"Division 8—Reporting biosecurity incidents\n\n","sortOrder":162},{"sectionNumber":"153","sectionType":"section","heading":"Application of this Division","content":"153  Application of this Division\n\n  This Division applies in relation to goods that are subject to biosecurity control.\n\nNote: This Division also applies in relation to exposed goods in relation to which an exposed goods order is in force. This Division applies to those goods as if they were subject to biosecurity control (see subsection 161(1)).\n\n","sortOrder":163},{"sectionNumber":"154","sectionType":"section","heading":"Director of Biosecurity may determine acts, omissions or events to be reportable biosecurity incidents","content":"154  Director of Biosecurity may determine acts, omissions or events to be reportable biosecurity incidents\n\n  The Director of Biosecurity may, by legislative instrument, determine that an act, omission or event is a reportable biosecurity incident in relation to goods that are subject to biosecurity control.\n\nNote: For variation and revocation of a determination made under this section, see subsection 33(3) of the Acts Interpretation Act 1901.\n\n","sortOrder":164},{"sectionNumber":"155","sectionType":"section","heading":"Reporting by person in charge of aircraft or vessel carrying goods","content":"155  Reporting by person in charge of aircraft or vessel carrying goods\n\n (a) the goods are, or were, on board an aircraft or vessel; and\n\n (b) the person in charge of the aircraft or vessel becomes aware of a reportable biosecurity incident in relation to the goods;\n\nthe person must, as soon as practicable after becoming aware of the incident, report the incident to a biosecurity officer or the Director of Biosecurity.\n\nNote: The obligation in this subsection applies whether or not the person is in Australian territory when the person becomes aware of the reportable biosecurity incident (see subsection (4)).\n\n (2) The person in charge of an aircraft or vessel commits an offence if:\n\n (a) the aircraft or vessel is, or was, carrying goods that are subject to biosecurity control; and\n\n (b) the person becomes aware of a reportable biosecurity incident in relation to the goods; and\n\n (c) the person fails to report the incident as required by subsection (1).\n\n (4) Subsections (2) and (3) apply whether or not the person is in Australian territory when the person becomes aware of the reportable biosecurity incident.\n\n","sortOrder":165},{"sectionNumber":"156","sectionType":"section","heading":"Reporting by person in charge of goods","content":"156  Reporting by person in charge of goods\n\n (1) If a person in charge of the goods becomes aware of a reportable biosecurity incident in relation to the goods, the person must, as soon as practicable after becoming aware of the incident, report the incident to a biosecurity officer or the Director of Biosecurity.\n\nNote: The obligation in this subsection applies whether or not the person is in Australian territory when the person becomes aware of the reportable biosecurity incident (see subsection (4)).\n\n (2) A person in charge of goods that are subject to biosecurity control commits an offence if:\n\n (a) the person becomes aware of a reportable biosecurity incident in relation to the goods; and\n\n (b) the person fails to report the incident as required by subsection (1).\n\n (4) Subsections (2) and (3) apply whether or not the person is in Australian territory when the person becomes aware of the reportable biosecurity incident.\n\n","sortOrder":166},{"sectionNumber":"157","sectionType":"section","heading":"How reports must be made","content":"157  How reports must be made\n\n (1) The Director of Biosecurity may, by legislative instrument, determine either or both of the following:\n\n (a) information that must be included in a report required by subsection 155(1) or 156(1);\n\n (b) the way in which the report must be made.\n\n (2) If a report of a reportable biosecurity incident does not comply with any requirements in a determination in force under subsection (1), the report is taken, for the purposes of this Division, not to have been made.\n\n","sortOrder":167},{"sectionNumber":"Div 9","sectionType":"division","heading":"Goods exposed to goods that are subject to biosecurity control","content":"Division 9—Goods exposed to goods that are subject to biosecurity control\n\n","sortOrder":168},{"sectionNumber":"158","sectionType":"section","heading":"Application of this Division","content":"158  Application of this Division\n\n (1) This Division applies in relation to goods (other than goods that are subject to biosecurity control) if a biosecurity officer suspects, on reasonable grounds, that the goods have been exposed to:\n\n (a) goods that are subject to biosecurity control; or\n\n (b) a conveyance that is subject to biosecurity control.\n\n (2) This Division also applies in relation to goods (other than goods that are subject to biosecurity control) if a biosecurity officer suspects, on reasonable grounds, that the goods have been exposed to other exposed goods.\n\n (3) Goods to which this Division applies are exposed goods.\n\nNote: See section 17 for the meaning of exposed to.\n\n","sortOrder":169},{"sectionNumber":"159","sectionType":"section","heading":"Assessment and management of biosecurity risk associated with exposed goods","content":"159  Assessment and management of biosecurity risk associated with exposed goods\n\n (1) A biosecurity officer may, subject to subsection (4), exercise the powers in Division 4 (biosecurity risk assessment powers) for the purpose of identifying and assessing the level of biosecurity risk associated with exposed goods.\n\n (2) For the purposes of subsection (1), the powers in Division 4 may be exercised in relation to exposed goods as if they were subject to biosecurity control.\n\n (3) If a biosecurity officer suspects, on reasonable grounds, that the level of biosecurity risk associated with exposed goods is unacceptable, a biosecurity officer may, subject to subsection (4), make an exposed goods order in relation to the goods.\n\n (4) A biosecurity officer must not exercise the powers in Division 4 (as applied by subsections (1) and (2)), or make an exposed goods order, in relation to exposed goods unless the goods:\n\n (a) are within the precincts of a landing place or port; or\n\n (b) are on board a conveyance that is subject to biosecurity control; or\n\n (c) are on premises owned or controlled by the Commonwealth where biosecurity measures can be taken for the purpose of managing biosecurity risks; or\n\n (d) are on premises where biosecurity activities are carried out by a biosecurity industry participant in accordance with an approved arrangement covering the biosecurity industry participant.\n\n","sortOrder":170},{"sectionNumber":"160","sectionType":"section","heading":"Exposed goods orders","content":"160  Exposed goods orders\n\n (1) An exposed goods order must:\n\n (a) be in writing; and\n\n (b) specify the exposed goods to which the order relates; and\n\n (c) specify the period during which the order is to be in force.\n\n (2) An exposed goods order is not a legislative instrument.\n\n (3) A biosecurity officer must give a copy of an exposed goods order to a person in charge of the exposed goods to which the order relates, if it is practicable to do so.\n\n","sortOrder":171},{"sectionNumber":"161","sectionType":"section","heading":"Effect of exposed goods order","content":"161  Effect of exposed goods order\n\n (1) If an exposed goods order is in force in relation to exposed goods, the following provisions (to the extent that they are applicable) apply in relation to the goods as if they were subject to biosecurity control:\n\n (a) Division 4 (biosecurity risk assessment powers);\n\n (b) Division 5 (biosecurity measures to manage unacceptable level of biosecurity risk);\n\n (c) Divisions 6 and 7 (unloading goods);\n\n (d) Division 8 (reporting biosecurity incidents);\n\n (e) Division 10 (release of goods from biosecurity control).\n\n (2) An exposed goods order ceases to be in force in relation to exposed goods if any of the following occurs:\n\n (a) the order expires;\n\n (b) the order is revoked;\n\n (c) subject to subsection (3), the goods are released from biosecurity control under Division 10.\n\n (a) goods to which an exposed goods order is in force are released from biosecurity control under paragraph 162(1)(e) by leaving Australian territory on a conveyance that is on a journey between places in Australian territory; and\n\n (b) the exposed goods order has not expired and has not been revoked when the conveyance re‑enters Australian territory during that journey;\n\nthe exposed goods order takes effect again when the conveyance re‑enters Australian territory during that journey.\n\nNote: Goods are released from biosecurity control under paragraph 162(1)(e) if they leave Australian territory.\n\n","sortOrder":172},{"sectionNumber":"Div 10","sectionType":"division","heading":"Release of goods from biosecurity control","content":"Division 10—Release of goods from biosecurity control\n\n","sortOrder":173},{"sectionNumber":"162","sectionType":"section","heading":"When goods brought into Australian territory are released from biosecurity control","content":"162  When goods brought into Australian territory are released from biosecurity control\n\n (1) Goods that are subject to biosecurity control are released from biosecurity control if:\n\n (a) a biosecurity officer notifies or, before the goods became subject to biosecurity control, notified a person in charge of the goods, under section 163, that the goods are released from biosecurity control; or\n\n (b) a biosecurity industry participant, who is authorised to release the goods in accordance with an approved arrangement covering the biosecurity industry participant:\n\n (i) unless subparagraph (ii) applies, gives a written notice, or gave a written notice before the goods became subject to biosecurity control, to a person in charge of the goods releasing the goods from biosecurity control; or\n\n (ii) if the biosecurity industry participant is, or will be, a person in charge of the goods—makes a written declaration, or made a written declaration before the goods became subject to biosecurity control, releasing the goods from biosecurity control; or\n\n (c) the goods are prescribed goods and the goods leave a designated biosecurity control release area at a first point of entry or an international mail centre; or\n\n (d) the goods are destroyed; or\n\n (e) the goods leave Australian territory.\n\nNote 1: This Division also applies in relation to exposed goods in relation to which an exposed goods order is in force. This section applies to those goods as if they were subject to biosecurity control (see subsection 161(1)).\n\nNote 2: If goods are released from biosecurity control under paragraph (1)(e) by leaving Australian territory on a conveyance that is on a journey between places in Australian territory, the goods become subject to biosecurity control again when the conveyance re‑enters Australian territory during that journey (see subsection 119(4)). See also subsection 161(3), which deals with exposed goods in relation to which an exposed goods order is in force.\n\nNote 3: A biosecurity officer may refuse to release goods from biosecurity control if the goods are withheld under section 600 because a cost‑recovery charge has not been paid (see subsection 600(4)).\n\n (2) To avoid doubt, if goods are released from biosecurity control under paragraph (1)(a) or (b) because of a notification, written notice given or written declaration made before the goods became subject to biosecurity control, they are released immediately after they became subject to biosecurity control.\n\nNote: The goods are therefore subject to biosecurity control for an instant. If a cost‑recovery charge is due and payable by the owner of the goods at that instant, section 598 creates a charge on the goods.\n\n (3) Neither of the following is a legislative instrument:\n\n (a) a notification that is given in writing under paragraph (1)(a);\n\n (b) a notice referred to in subparagraph (1)(b)(i) or a declaration referred to in subparagraph (1)(b)(ii).\n\n (4) The regulations may provide that a specified area at a first point of entry or an international mail centre is a designated biosecurity control release area for the purposes of paragraph (1)(c).\n\n","sortOrder":174},{"sectionNumber":"163","sectionType":"section","heading":"Notice releasing goods from biosecurity control","content":"163  Notice releasing goods from biosecurity control\n\nGiving notice\n\n (1) For the purposes of paragraph 162(1)(a), a notice releasing goods from biosecurity control may be given:\n\n (a) in writing (including by an automated electronic system); or\n\n (b) orally.\n\nAutomated release notices\n\n (2) An automated electronic system that is used to produce notices (automated release notices) releasing goods from biosecurity control for the purposes of paragraph 162(1)(a) must comply with the requirements prescribed by the regulations.\n\n (3) An automated release notice is taken to have been given by a biosecurity officer.\n\n (4) An automated release notice in relation to goods is of no effect to the extent that it is inconsistent with an earlier direction given in relation to the goods by a biosecurity officer under this Act.\n\n","sortOrder":175},{"sectionNumber":"164","sectionType":"section","heading":"Revoking notice or declaration releasing goods from biosecurity control","content":"164  Revoking notice or declaration releasing goods from biosecurity control\n\nRevoking notice given by biosecurity officer\n\n (1) A biosecurity officer may revoke a notice releasing goods from biosecurity control for the purposes of paragraph 162(1)(a) that was given to a person, by informing the person in writing or orally of the revocation. It does not matter whether the notice was given in writing (including by an automated electronic system) or orally.\n\nRevoking notice given by biosecurity industry participant\n\n (2) If a biosecurity industry participant gave a person in charge of goods a written notice for the purposes of subparagraph 162(1)(b)(i) releasing them from biosecurity control, the biosecurity industry participant or a biosecurity officer may revoke the notice by informing the person in writing of the revocation.\n\nRevoking declaration made by biosecurity industry participant\n\n (2A) If a biosecurity industry participant made a written declaration for the purposes of subparagraph 162(1)(b)(ii) releasing goods from biosecurity control, the biosecurity industry participant may, in writing, revoke the declaration.\n\nGrounds for revocation and timing of revocation\n\n (3) Despite subsections (1), (2) and (2A), the biosecurity officer or biosecurity industry participant may revoke the notice, or the biosecurity industry participant may revoke the declaration, only if:\n\n (a) he or she suspects on reasonable grounds that the level of biosecurity risk associated with the goods is unacceptable; and\n\n (b) the revocation occurs before any of the conditions in paragraphs 162(1)(c), (d) and (e) exist in relation to the goods.\n\nEffect of revocation\n\n (4) The revoked notice is taken never to have been given or the revoked declaration is taken never to have been made. This has effect for the purposes of this Act, except this section.\n\nRevocation not a legislative instrument\n\n (5) Neither of the following is a legislative instrument:\n\n (a) a revocation that is given in writing under subsection (1) or (2);\n\n (b) a revocation under subsection (2A).\n\nPart 2—Biosecurity Import Risk Analyses\n\n","sortOrder":176},{"sectionNumber":"165","sectionType":"section","heading":"Simplified outline of this Part","content":"165  Simplified outline of this Part\n\nThis Part provides for the Director of Biosecurity to conduct Biosecurity Import Risk Analyses (BIRAs) in relation to particular goods, or a particular class of goods, that may be imported, or are proposed to be imported, into Australian territory.\n\nA BIRA is an evaluation of the level of biosecurity risk associated with the goods or the class of goods.\n\nA BIRA may identify conditions that must be met to manage the level of biosecurity risk associated with the goods, or the class of goods, to a level that achieves the ALOP for Australia.\n\nNote: The level of biosecurity risk associated with the goods may vary according to the place in Australian territory at which the goods are to enter Australian territory or be unloaded, so the conditions may vary accordingly.\n\nDivision 2—Biosecurity Import Risk Analyses\n\n","sortOrder":177},{"sectionNumber":"166","sectionType":"section","heading":"What is a Biosecurity Import Risk Analysis (BIRA)","content":"166  What is a Biosecurity Import Risk Analysis (BIRA)\n\n  A Biosecurity Import Risk Analysis (or BIRA) is an evaluation of the level of biosecurity risk associated with particular goods, or a particular class of goods, that may be imported, or are proposed to be imported, into Australian territory, including, if necessary, the identification of conditions that must be met to manage the level of biosecurity risk associated with the goods, or the class of goods, to a level that achieves the ALOP for Australia.\n\nNote: The level of biosecurity risk associated with the goods may vary according to the place in Australian territory at which the goods are to enter Australian territory or be unloaded, so the conditions may vary accordingly.\n\n","sortOrder":178},{"sectionNumber":"167","sectionType":"section","heading":"Director of Biosecurity may conduct a BIRA","content":"167  Director of Biosecurity may conduct a BIRA\n\n (1) The Director of Biosecurity may conduct a BIRA in relation to particular goods or a particular class of goods.\n\n (2) The Director of Biosecurity must apply the ALOP for Australia in conducting a BIRA.\n\n (3) The Director of Biosecurity may determine the order in which BIRAs are to be conducted.\n\n (4) Subsection (3) has effect subject to any direction given to the Director of Biosecurity under subsection 168(1).\n\n","sortOrder":179},{"sectionNumber":"168","sectionType":"section","heading":"Agriculture Minister may direct Director of Biosecurity to commence a BIRA","content":"168  Agriculture Minister may direct Director of Biosecurity to commence a BIRA\n\n (1) The Agriculture Minister may direct the Director of Biosecurity to commence a BIRA in relation to particular goods, or a particular class of goods, if the Agriculture Minister is satisfied that the BIRA should be commenced.\n\n (2) A direction under subsection (1) must:\n\n (a) be in writing; and\n\n (b) set out the reasons for the direction.\n\n (3) A direction under subsection (1) must be tabled in each House of the Parliament no later than 15 sitting days of that House after it is given.\n\n (4) A direction under subsection (1) is not a legislative instrument.\n\n (5) Except as provided in subsection (1), the Director of Biosecurity is not subject to direction by or on behalf of the Commonwealth Government in relation to the conduct, findings or outcome of a BIRA.\n\nNote: See also subsection 543(3) (directions the Agriculture Minister must not give).\n\n","sortOrder":180},{"sectionNumber":"169","sectionType":"section","heading":"Process for conducting a BIRA","content":"169  Process for conducting a BIRA\n\n (1) A BIRA must be conducted:\n\n (a) in accordance with a process prescribed in the regulations; and\n\n (b) taking into account the matters set out in the guidelines (if any) made by the Director of Biosecurity under subsection (2).\n\n (2) The Director of Biosecurity may, in writing, make guidelines setting out matters to be taken into account in conducting a BIRA.\n\n (3) Guidelines made under subsection (2) must be published on the Agriculture Department’s website.\n\n (4) Guidelines made under subsection (2) are not legislative instruments.\n\n (5) For the purpose of conducting a BIRA in relation to goods, or a class of goods, the Director of Biosecurity may request the Director‑General of the CDC to prepare a statement of the human health risks associated with the goods or the class of goods.\n\n","sortOrder":181},{"sectionNumber":"170","sectionType":"section","heading":"Reports","content":"170  Reports\n\n (1) The regulations must require the Director of Biosecurity to prepare the following reports as part of the process of conducting a BIRA:\n\n (a) a draft BIRA report;\n\n (b) a provisional BIRA report;\n\n (c) a final BIRA report.\n\n (2) A report referred to in subsection (1) must:\n\n (a) include the information prescribed by the regulations; and\n\n (b) be published in accordance with the regulations.\n\nPart 3—Prohibited goods etc.\n\n","sortOrder":182},{"sectionNumber":"171","sectionType":"section","heading":"Simplified outline of this Part","content":"171  Simplified outline of this Part\n\nThis Part deals with bringing or importing goods into Australian territory.\n\nThis Part applies to the exclusion of State and Territory laws to the extent that the laws purport to prohibit or restrict the bringing or importation of particular goods into Australian territory, or into a part of Australian territory, from outside Australian territory for the purpose of managing biosecurity risks associated with the goods.\n\nCertain goods (prohibited goods) must not be brought or imported into Australian territory at all.\n\nCertain goods (conditionally non‑prohibited goods) may be brought or imported into Australian territory subject to conditions.\n\nDivision 2 provides for the Director of Biosecurity and the Director of Human Biosecurity to jointly determine that certain goods are prohibited goods or conditionally non‑prohibited goods.\n\nDivision 3 deals with permits to bring or import certain conditionally non‑prohibited goods into Australian territory.\n\nDivision 4 provides for the Director of Biosecurity to determine that certain goods (suspended goods) must not be brought or imported into Australian territory for a period of up to 6 months.\n\nDivision 5 sets out offences and civil penalty provisions.\n\n172  Exclusion of State and Territory laws\n\n  This Part applies to the exclusion of a law, or a provision of a law, of a State or Territory to the extent that the law or provision purports to prohibit or restrict the bringing or importation of particular goods into Australian territory, or into a part of Australian territory, from outside Australian territory for the purpose of managing biosecurity risks associated with the goods.\n\nDivision 2—Prohibited goods and conditionally non‑prohibited goods\n\n","sortOrder":183},{"sectionNumber":"173","sectionType":"section","heading":"Prohibited goods","content":"173  Prohibited goods\n\n (1) The Director of Biosecurity and the Director of Human Biosecurity may jointly determine that specified goods, or a specified class of goods, must not be brought or imported into Australian territory.\n\n (2) Goods specified in a determination in force under subsection (1), or goods included in a class of goods specified in a determination in force under that subsection, are prohibited goods.\n\n (3) The Director of Biosecurity and the Director of Human Biosecurity may make a determination under subsection (1) in relation to specified goods, or a specified class of goods, only if each Director is satisfied that:\n\n (a) the level of biosecurity risk associated with the goods, or the class of goods, is unacceptable; and\n\n (b) biosecurity measures would not be able to be taken to reduce that level of biosecurity risk to an acceptable level.\n\n (4) Before a determination under subsection (1) is made:\n\n (b) the Director of Biosecurity:\n\n (iii) may also consider any other matters that the Director considers relevant; and\n\n (c) the Director of Human Biosecurity:\n\n (iii) may also consider any other matters that the Director considers relevant.\n\n (5) A determination under subsection (1) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the determination.\n\nNote 1: For variation and revocation of a determination made under subsection (1), see subsection 33(3) of the Acts Interpretation Act 1901.\n\nNote 2: Division 5 sets out offences and civil penalty provisions relating to bringing or importing prohibited goods into Australian territory.\n\nNote 3: Prohibited goods that are brought or imported into Australian territory may be forfeited to the Commonwealth (see section 628).\n\n","sortOrder":184},{"sectionNumber":"174","sectionType":"section","heading":"Conditionally non‑prohibited goods","content":"174  Conditionally non‑prohibited goods\n\n (1) The Director of Biosecurity and the Director of Human Biosecurity may jointly determine that specified classes of goods must not be brought or imported into Australian territory unless specified conditions (including conditions for administrative purposes) are complied with.\n\n (2) Goods included in a class of goods specified in a determination in force under subsection (1) are conditionally non‑prohibited goods.\n\n (3) Before a determination under subsection (1) is made:\n\n (b) the Director of Biosecurity:\n\n (iii) may also consider any other matters that the Director considers relevant; and\n\n (c) the Director of Human Biosecurity:\n\n (iii) may also consider any other matters that the Director considers relevant.\n\n (4) Without limiting subsection (1), a determination under that subsection may specify either, or both, of the following in relation to a class of goods specified in the determination:\n\n (a) a condition that goods included in that class must not be brought or imported into Australian territory unless a permit authorising the goods to be brought or imported into Australian territory has been granted under Division 3;\n\n (b) a condition relating to the use of goods included in that class.\n\nNote: A permit may be granted under Division 3 subject to conditions (see section 180).\n\n (5) A determination under subsection (1) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the determination.\n\n (6) Despite subsection 14(2) of the Legislation Act 2003, a determination under subsection (1) may make provision in relation to a matter by applying, adopting or incorporating any matter contained in an instrument or other writing, as in force or existing from time to time, if the instrument or other writing is publicly available.\n\nNote 1: For variation and revocation of a determination made under subsection (1), see subsection 33(3) of the Acts Interpretation Act 1901.\n\nNote 2: The Director of Biosecurity may determine that conditionally non‑prohibited goods (suspended goods) must not be brought or imported into Australian territory for a period of up to 6 months (see Division 4).\n\nNote 3: Division 5 sets out offences and civil penalty provisions relating to bringing or importing conditionally non‑prohibited goods into Australian territory.\n\nNote 4: Conditionally non‑prohibited goods that are brought or imported into Australian territory may be forfeited to the Commonwealth if a condition applying to the goods has not been complied with (see section 628).\n\n","sortOrder":185},{"sectionNumber":"175","sectionType":"section","heading":"Security may be required in relation to conditionally non‑prohibited goods","content":"175  Security may be required in relation to conditionally non‑prohibited goods\n\n (1) The Director of Biosecurity may, if he or she considers it appropriate having regard to the criteria (if any) prescribed by the regulations for the purposes of subsection (2), require a security to be given in relation to conditionally non‑prohibited goods that are, or are intended to be, brought or imported into Australian territory.\n\n (2) The regulations may:\n\n (a) prescribe criteria to which the Director of Biosecurity must have regard in considering whether to require a security to be given in relation to conditionally non‑prohibited goods that are, or are intended to be, brought or imported into Australian territory; and\n\n (b) make provision for, or in relation to, any security that may be required.\n\n (3) Without limiting paragraph (2)(b), regulations made for the purposes of that paragraph may deal with any or all of the following:\n\n (a) the form of the security;\n\n (b) the amount of the security;\n\n (c) who must give the security;\n\n (d) when the security must be given;\n\n (e) the circumstances in which the security may be retained;\n\n (f) the circumstances in which the security, or any part of the security, must be repaid.\n\nNote: If a permit to bring or import conditionally non‑prohibited goods into Australian territory is required under this Act, the Director of Biosecurity may refuse to consider the application for the permit until the security is given (see subsection 179(6)).\n\nDivision 3—Permits to bring or import goods into Australian territory\n\n","sortOrder":186},{"sectionNumber":"176","sectionType":"section","heading":"Application of this Division","content":"176  Application of this Division\n\n  This Division applies in relation to conditionally non‑prohibited goods that must not be brought or imported into Australian territory unless the Director of Biosecurity has granted a permit authorising the goods to be brought or imported into Australian territory.\n\nNote: A condition specified in a determination under subsection 174(1) in relation to conditionally non‑prohibited goods may require a permit to be granted under this Division authorising the goods to be brought or imported into Australian territory.\n\n","sortOrder":187},{"sectionNumber":"177","sectionType":"section","heading":"Person may apply for permit","content":"177  Person may apply for permit\n\n (1) A person may apply to the Director of Biosecurity for a permit authorising, for the purposes of this Act, the person, or a person acting on behalf of the person, to bring or import particular goods to which this Division applies into Australian territory.\n\n (2) An application must:\n\n (a) be in the form approved by the Director of Biosecurity; and\n\n (b) include the information prescribed by the regulations.\n\nNote 1: Personal information may also be required to be provided with the application (see subsection 531(1)). If personal information is required to be provided with the application and the information is not provided, the application is taken not to have been made (see subsection 531(2)).\n\nNote 2: An application fee may be required (see paragraph 592(4)(b)).\n\n","sortOrder":188},{"sectionNumber":"178","sectionType":"section","heading":"Dealing with application","content":"178  Dealing with application\n\n (1) This section applies in relation to an application made under section 177 for a permit, unless the application is withdrawn.\n\nTime within which decision must be made\n\n (2) The Director of Biosecurity must make a decision in relation to the application within the period (the decision‑making period) that:\n\n (a) starts when the Director receives the application; and\n\n (b) is the period prescribed by the regulations, as extended under subsections (4) and (5) if relevant.\n\n (3) If the Director of Biosecurity does not make a decision in relation to the application within the decision‑making period, the Director is taken to have refused under subsection 179(1) to grant the permit at the end of that period.\n\nExtension of period for deciding on application\n\n (4) The period prescribed by the regulations for the purposes of paragraph (2)(b) is extended, for each request made under subsection (6), by the number of days falling within the period:\n\n (a) starting on the day the request was made; and\n\n (b) ending on:\n\n (i) the day the information or documents requested were received by the Director of Biosecurity; or\n\n (ii) if the information or documents were not given within the period specified in the request—the last day of that period.\n\n (5) The period prescribed by the regulations for the purposes of paragraph (2)(b) is also extended, for each activity that relates to an application and is prescribed by the regulations, by the number of days falling within the period:\n\n (a) starting on the day the activity starts; and\n\n (b) ending on the day the activity ends.\n\nDirector of Biosecurity may request further information etc.\n\n (6) For the purpose of making a decision in relation to an application, the Director of Biosecurity may, within the decision‑making period, request:\n\n (a) the applicant; or\n\n (b) any other person who the Director considers may have information relevant to the application;\n\nto give the Director further specified information or documents relevant to the application.\n\n (7) A request under subsection (6):\n\n (b) must specify the period (which must not be longer than the period prescribed by the regulations for the purposes of this paragraph) within which the information or documents must be given.\n\n","sortOrder":189},{"sectionNumber":"179","sectionType":"section","heading":"Director of Biosecurity may grant permit","content":"179  Director of Biosecurity may grant permit\n\n (1) The Director of Biosecurity may, on application by a person under section 177 for a permit in relation to particular goods, grant the permit.\n\nNote 1: The Director of Biosecurity is not subject to direction by the Agriculture Minister in relation to a decision relating to an application for a permit (see subsection 543(3)).\n\nNote 2: If the Director of Biosecurity does not make a decision in relation to the application within the decision‑making period for the application, the Director is taken to have refused to grant the permit at the end of that period (see subsection 178(3)).\n\nNote 3: A decision not to grant a permit is a reviewable decision (see Part 1 of Chapter 11).\n\n (1A) Before granting the permit in relation to the goods:\n\n (a) a risk assessment must be conducted in relation to the goods by a biosecurity worker; and\n\n (b) the Director of Biosecurity must be satisfied that the ALOP for Australia was applied in the conduct of the risk assessment.\n\n (2) In deciding whether to grant the permit in relation to the goods, the Director of Biosecurity must consider:\n\n (aa) the risk assessment that was conducted in relation to the goods; and\n\n (a) the level of biosecurity risk associated with the goods; and\n\n (b) whether it would be necessary to impose conditions on the permit to reduce the level of biosecurity risk associated with the goods to an acceptable level; and\n\n (c) any personal information that is required to be provided with the application for the permit under section 531.\n\n (4) In deciding whether to grant the permit in relation to the goods, the Director of Biosecurity may also consider:\n\n (a) whether the applicant is a fit and proper person (having regard to the matters referred to in section 530); and\n\n (b) whether the applicant is an associate of a person whose application under section 177 for a permit has been refused (whether or not the person’s application related to goods of the same kind); and\n\n (c) any other matters relating to the goods or the applicant that the Director considers relevant.\n\n (5) The Director of Biosecurity may refuse to grant the permit under subsection (1) in relation to the goods if the applicant is an associate of a person:\n\n (a) who has been refused a permit the person applied for under section 177 (whether in relation to the same or different goods); or\n\n (b) who was granted a permit under this section (whether in relation to the same or different goods) that was later revoked under section 181.\n\nThis does not limit the grounds on which the Director of Biosecurity may refuse to grant the permit under subsection (1).\n\n (6) If a security in relation to the goods is required under section 175, the Director of Biosecurity may refuse to consider the application for the permit until the security is given.\n\n (7) A permit must be in writing.\n\n","sortOrder":190},{"sectionNumber":"180","sectionType":"section","heading":"Conditions of permit","content":"180  Conditions of permit\n\n (1) A permit may be granted under section 179, subject to such conditions as are specified in the permit.\n\nNote 1: A decision to impose a condition on a permit is a reviewable decision (see Part 1 of Chapter 11).\n\nNote 2: A person who holds a permit granted under section 179 may commit an offence or contravene a civil penalty provision if the person contravenes a condition of the permit (see section 187).\n\n (2) The Director of Biosecurity may, in accordance with the regulations:\n\n (a) vary or revoke a condition of a permit granted under section 179; or\n\n (b) impose further conditions on such a permit.\n\nNote: A decision to vary a condition of, or impose a further condition on, a permit is a reviewable decision (see Part 1 of Chapter 11).\n\n (3) Without limiting subsections (1) and (2), conditions of a permit granted under section 179:\n\n (a) may require the holder of the permit to do specified things in relation to the goods to which the permit relates; and\n\n (b) may be required to be met either before or after the goods to which the permit relates are brought or imported into Australian territory.\n\n","sortOrder":191},{"sectionNumber":"181","sectionType":"section","heading":"Variation, suspension or revocation of permit","content":"181  Variation, suspension or revocation of permit\n\n (1) The Director of Biosecurity may, in accordance with the regulations, do any of the following in relation to a permit granted under section 179:\n\n (a) vary the permit;\n\n (b) suspend the permit for a specified period;\n\n (c) revoke the permit.\n\nNote 1: The Director of Biosecurity is not subject to direction by the Agriculture Minister in relation to a decision relating to a permit (see subsection 543(3)).\n\nNote 2: A decision to vary a permit, to refuse to vary a permit, to suspend a permit for a period, or to revoke a permit is a reviewable decision (see Part 1 of Chapter 11).\n\nNote 3: A permit to bring or import goods into Australian territory may be taken to have been suspended for a period because of a determination in force under subsection 182(1) in relation to the goods (see section 184).\n\n (2) A permit granted under section 179 is not in force during any period in which it is suspended.\n\n (a) a permit in relation to goods is suspended or revoked; and\n\n (b) a condition of the permit applied in relation to the goods immediately before the suspension or revocation of the permit;\n\nthe condition continues to apply in relation to the goods despite the suspension or revocation of the permit.\n\nNote 1: This subsection also applies if a permit is taken to have been suspended under section 184.\n\nNote 2: A person who was the holder of a permit that has been suspended may commit an offence or contravene a civil penalty provision if the person contravenes a condition of the permit that continues to apply because of this subsection (see section 187).\n\nDivision 4—Suspended goods\n\n","sortOrder":192},{"sectionNumber":"182","sectionType":"section","heading":"Director of Biosecurity may suspend bringing or importation of goods into Australian territory for a period","content":"182  Director of Biosecurity may suspend bringing or importation of goods into Australian territory for a period\n\n (1) The Director of Biosecurity may determine that specified goods, or a specified class of goods, (including conditionally non‑prohibited goods) must not be brought or imported into Australian territory for a specified period. The period must not be longer than 6 months.\n\n (2) Goods specified in a determination in force under subsection (1), or goods included in a class of goods specified in a determination in force under that subsection, are suspended goods.\n\n (3) The Director of Biosecurity may make a determination under subsection (1) in relation to goods, or a class of goods, only if the Director is satisfied that the level of biosecurity risk associated with the goods, or the class of goods, is unacceptable.\n\n (4) Before a determination under subsection (1) is made:\n\n (b) the Director of Biosecurity must be satisfied that the ALOP for Australia was applied in the conduct of the risk assessment; and\n\n (c) the Director of Biosecurity must consider the risk assessment; and\n\n (d) the Director of Biosecurity may also consider any other matters that the Director considers relevant.\n\n (5) A determination under subsection (1) must set out the reasons for making the determination.\n\n (6) A determination under subsection (1) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the determination.\n\n (7) If a determination in force under subsection (1) in relation to goods, or a class of goods, is inconsistent with a determination in force under subsection 174(1):\n\n (a) the determination under subsection (1) of this section prevails; and\n\n (b) the determination under subsection 174(1) has, to the extent of the inconsistency, no effect.\n\nNote 1: Division 5 sets out offences and civil penalty provisions relating to bringing or importing suspended goods into Australian territory.\n\nNote 2: If suspended goods are brought or imported into Australian territory in contravention of a determination in force under subsection (1), the goods may be forfeited to the Commonwealth (see section 628).\n\n","sortOrder":193},{"sectionNumber":"183","sectionType":"section","heading":"Variation of determination suspending bringing or importation of goods into Australian territory","content":"183  Variation of determination suspending bringing or importation of goods into Australian territory\n\n (1) The Director of Biosecurity may vary a determination in force under subsection 182(1) to extend the period of suspension specified in the determination for a further period of up to 6 months.\n\n (2) The Director of Biosecurity may vary a determination under subsection (1) only if the Director is satisfied that the level of biosecurity risk associated with the goods, or the class of goods, specified in the determination continues to be unacceptable.\n\n (3) The Director of Biosecurity may extend the period of suspension specified in a determination in force under subsection 182(1) more than once.\n\n (4) This section does not limit the application of subsection 33(3) of the Acts Interpretation Act 1901 in relation to a determination in force under subsection 182(1).\n\n","sortOrder":194},{"sectionNumber":"184","sectionType":"section","heading":"Effect on permit of suspended goods determination","content":"184  Effect on permit of suspended goods determination\n\n  If:\n\n (a) a determination under subsection 182(1) is in force in relation to goods or a class of goods; and\n\n (b) a permit has been granted under section 179 in relation to the goods or goods included in the class of goods;\n\nthe permit is taken to have been suspended under section 181 for the period specified in the determination, to the extent that the permit relates to those goods.\n\nNote 1: If a condition of the permit applied in relation to the goods immediately before the permit was taken to have been suspended, the condition continues to apply despite the suspension (see subsection 181(3)).\n\nNote 2: A person who was the holder of a permit that is taken to have been suspended may commit an offence or contravene a civil penalty provision if the person contravenes a condition of the permit that continues to apply because of subsection 181(3) (see section 187).\n\n","sortOrder":195},{"sectionNumber":"185","sectionType":"section","heading":"Bringing or importing prohibited or suspended goods into Australian territory","content":"185  Bringing or importing prohibited or suspended goods into Australian territory\n\n (ii) suspended goods.\n\nNote: The physical elements of an offence against subsections (2) and (2A) are set out in this subsection (see section 534).\n\nBasic fault‑based offence\n\n (2A) A person commits an offence of strict liability if the person contravenes subsection (1).\n\nFault‑based offence involving obtaining commercial advantage\n\n (ii) suspended goods; and\n\n (c) as a result of bringing or importing the goods into Australian territory, the person obtains, or may obtain, a commercial advantage over the person’s competitors or potential competitors.\n\nPenalty: Imprisonment for 10 years or 5,000 penalty units, or both.\n\nFault‑based offence involving harm to the environment or economic consequences\n\n (ii) suspended goods; and\n\n (c) the bringing or importation of the goods into Australian territory:\n\n (i) has caused, or has the potential to cause, harm to the environment; or\n\n (ii) has had, or has the potential to have, economic consequences.\n\nPenalty: Imprisonment for 10 years or 2,000 penalty units, or both.\n\nAlternative verdict\n\n (6) In a trial for an offence against subsection (4) or (5), the trier of fact may find the defendant not guilty of that offence but guilty of an offence against subsection (2) if:\n\n (a) the trier of fact is not satisfied that the defendant is guilty of the offence against subsection (4) or (5); and\n\n (b) the trier of fact is satisfied that the defendant is guilty of the offence against subsection (2); and\n\n (c) the defendant has been accorded procedural fairness in relation to that finding of guilt.\n\n","sortOrder":196},{"sectionNumber":"186","sectionType":"section","heading":"Contravening conditions applying to conditionally non‑prohibited goods brought or imported into Australian territory","content":"186  Contravening conditions applying to conditionally non‑prohibited goods brought or imported into Australian territory\n\n (c) a condition in relation to the goods specified in a determination in force under subsection 174(1) has not been complied with.\n\nNote 1: The physical elements of an offence against subsection (2) are set out in this subsection (see section 534).\n\nNote 2: Subsection (7) provides an exception to an offence against this section and liability to a civil penalty under subsection (3).\n\nBasic fault‑based offence\n\nFault‑based offence involving obtaining commercial advantage\n\n (c) a condition in relation to the goods specified in a determination in force under subsection 174(1) has not been complied with; and\n\n (d) as a result, the person obtains, or may obtain, a commercial advantage over the person’s competitors or potential competitors.\n\nNote: The following are examples of a commercial advantage as referred to in paragraph (d):\n\n(a) avoiding business costs associated with obtaining an import permit or meeting other requirements under this Act;\n\n(b) avoiding delays necessarily involved in complying with applicable biosecurity measures.\n\nPenalty: Imprisonment for 10 years or 5,000 penalty units, or both.\n\nFault‑based offence involving harm to the environment or economic consequences\n\n (c) a condition in relation to the goods specified in a determination in force under subsection 174(1) has not been complied with; and\n\n (d) the bringing or importation of the goods into Australian territory:\n\n (i) has caused, or has the potential to cause, harm to the environment; or\n\n (ii) has had, or has the potential to have, economic consequences.\n\nPenalty: Imprisonment for 10 years or 2,000 penalty units, or both.\n\nAlternative verdict\n\n (6) In a trial for an offence against subsection (4) or (5), the trier of fact may find the defendant not guilty of that offence but guilty of an offence against subsection (2) if:\n\n (a) the trier of fact is not satisfied that the defendant is guilty of the offence against subsection (4) or (5); and\n\n (b) the trier of fact is satisfied that the defendant is guilty of the offence against subsection (2); and\n\n (c) the defendant has been accorded procedural fairness in relation to that finding of guilt.\n\n (7) Subsection (1), (4) or (5) does not apply if the person:\n\n (a) did not do the act, or omit to do the act, that constituted the failure to comply with the condition referred to in paragraph (1)(c), (4)(c) or (5)(c); and\n\n (b) did not aid, abet, counsel or procure that act or omission; and\n\n (c) was not in any way knowingly concerned in, or party to, that act or omission (whether directly or indirectly and whether by any act or omission of the person).\n\nNote: A defendant bears an evidential burden in relation to the matters in this subsection (see subsection 13.3(3) of the Criminal Code and section 96 of the Regulatory Powers Act).\n\n186A  Contravening conditions applying to conditionally non‑prohibited goods brought or imported into Australian territory—concealment of goods\n\n (c) a condition in relation to the goods specified in a determination in force under subsection 174(1) has not been complied with; and\n\n (d) the goods are concealed for the purpose of preventing the goods from being found, or preventing the true nature of the goods from being determined, by a biosecurity official.\n\nCivil penalty: 1,200 penalty units.\n\n (2) Conceal goods includes any of the following:\n\n (a) concealing or disguising the goods on a person, within any clothing worn by the person, within any other object located on the person or within any other object not located on the person (including by sewing, gluing, fastening, binding, wrapping, covering, enveloping or packaging the goods);\n\n (b) incorrectly marking or labelling the goods or any packaging or container in which the goods are located;\n\n (c) altering the goods (including by changing or suppressing the appearance, texture, smell or sound of the goods).\n\n (3) Subsection (1) does not apply if the person:\n\n (a) did not do the act, or omit to do the act, that constituted the failure to comply with the condition referred to in paragraph (1)(c); and\n\n (b) did not aid, abet, counsel or procure that act or omission; and\n\n (c) was not in any way knowingly concerned in, or party to, that act or omission (whether directly or indirectly and whether by any act or omission of the person).\n\nNote: A defendant bears an evidential burden in relation to the matters in this subsection (see section 96 of the Regulatory Powers Act).\n\n","sortOrder":197},{"sectionNumber":"187","sectionType":"section","heading":"Contravening conditions of a permit","content":"187  Contravening conditions of a permit\n\nFault‑based offence—permits in force\n\n (c) the conduct contravenes a condition of the permit.\n\nStrict liability offence—permits in force\n\n (1A) A person commits an offence of strict liability if:\n\n (c) the conduct contravenes a condition of the permit.\n\nCivil penalty provision—permits in force\n\n (b) the person contravenes a condition of the permit.\n\nFault‑based offence—suspended or revoked permits\n\n (3) A person commits an offence if:\n\n (e) the conduct contravenes the condition.\n\nStrict liability offence—suspended or revoked permits\n\n (3A) A person commits an offence of strict liability if:\n\n (e) the conduct contravenes the condition.\n\nCivil penalty provision—suspended or revoked permits\n\n (4) A person is liable to a civil penalty if:\n\n (d) the person contravenes the condition.\n\n","sortOrder":198},{"sectionNumber":"188","sectionType":"section","heading":"Receiving or possessing prohibited or suspended goods brought or imported into Australian territory","content":"188  Receiving or possessing prohibited or suspended goods brought or imported into Australian territory\n\n (1) A person commits an offence of strict liability if:\n\n (a) the person receives, or has in the person’s possession, goods; and\n\n (ii) suspended goods.\n\nNote: For strict liability, see section 6.1 of the Criminal Code.\n\n (2) Subsection (1) does not apply if:\n\n (a) the goods were not brought or imported into Australian territory; or\n\n (b) the goods were brought or imported into Australian territory but, at the time they were brought or imported into Australian territory, they were not:\n\n (ii) suspended goods; or\n\n (c) the goods are the progeny of other goods that were legally brought or imported into Australian territory.\n\nNote: A defendant bears an evidential burden in relation to the matters in this subsection (see subsection 13.3(3) of the Criminal Code).\n\nChapter 4—Managing biosecurity risks: conveyances\n\n \n\n","sortOrder":199},{"sectionNumber":"189","sectionType":"section","heading":"Objects of this Chapter","content":"189  Objects of this Chapter\n\n  The main objects of this Chapter are:\n\n (a) to provide for the assessment of the level of biosecurity risk associated with conveyances entering Australian territory from outside Australian territory, including by:\n\n (i) controlling the places where those conveyances can land or be moored in Australian territory; and\n\n (ii) controlling the movement of conveyances that are subject to biosecurity control while they are in Australian territory; and\n\n (b) to provide for biosecurity measures to be taken in relation to conveyances referred to in paragraph (a) if the level of biosecurity risk associated with them is considered to be unacceptable; and\n\n (c) to give effect to Australia’s rights and obligations in relation to ship sanitation for the purposes of the International Health Regulations.\n\nNote: In this Chapter, a conveyance does not include a conveyance (the carried conveyance) brought or imported into Australian territory from outside Australian territory on board another conveyance until the carried conveyance is released from biosecurity control as goods (see section 16).\n\nPart 2—Conveyances entering Australian territory etc.\n\n","sortOrder":200},{"sectionNumber":"190","sectionType":"section","heading":"Simplified outline of this Part","content":"190  Simplified outline of this Part\n\nThis Part deals with conveyances that enter, or intend to enter, Australian territory from outside Australian territory.\n\nDivision 2 provides for those conveyances to be subject to biosecurity control when they enter Australian territory. Division 2 also provides for other conveyances to be subject to biosecurity control if they are exposed to a conveyance that is subject to biosecurity control.\n\nDivision 3 provides for pre‑arrival reports to be given in relation to aircraft or vessels that enter or intend to enter Australian territory from outside Australian territory and aircraft or vessels that intend to be, or are, exposed to conveyances or goods that are subject to biosecurity control. Division 3 also provides for persons on board incoming aircraft or vessels to:\n\n (a) provide information for the purpose of assessing the level of biosecurity risk associated with the persons and any goods the persons have with them; and\n\n (b) produce travel documents for the purpose of assessing the level of biosecurity risk associated with the persons and any goods the persons have with them or of the future profiling, or future assessment, of biosecurity risks.\n\nDivision 3A allows the Agriculture Minister to determine requirements, for persons entering Australian territory on an incoming aircraft or vessel, in connection with diseases and pests that are considered to pose an unacceptable level of biosecurity risk.\n\nDivision 4 sets out powers that may be exercised to assess the level of biosecurity risk associated with conveyances that are subject to biosecurity control.\n\nDivision 5 provides for biosecurity measures to be taken if the level of biosecurity risk associated with conveyances that are subject to biosecurity control is considered to be unacceptable.\n\nDivision 6 deals with leaving conveyances that are subject to biosecurity control.\n\nDivision 7 sets out how conveyances that are subject to biosecurity control are released from biosecurity control.\n\nDivision 8 deals with when a vessel must display the prescribed quarantine signal and provides for other miscellaneous matters.\n\nDivision 2—Conveyances that are subject to biosecurity control\n\n191  Aircraft and vessels entering Australian territory\n\n (1) This section applies to an aircraft or vessel that has entered Australian territory during a flight or voyage that commenced outside Australian territory.\n\nNote 1: A reference in this Division to an aircraft does not include an aircraft brought or imported into Australian territory from outside Australian territory on board another conveyance (see subsection 16(3)).\n\nNote 2: A reference in this Division to a vessel does not include a vessel brought or imported into Australian territory from outside Australian territory on board another conveyance (see subsection 16(4)).\n\nNote 3: A vessel includes an installation (see subparagraph (b)(i) of the definition of vessel in section 9, and the definition of installation in section 20).\n\n (2) The aircraft or vessel becomes subject to biosecurity control when the aircraft or vessel enters Australian territory.\n\nNote: Part 4 deals with entry points for aircraft and vessels that intend to land or be moored in Australian territory.\n\n (3) The aircraft or vessel remains subject to biosecurity control until it is released from biosecurity control.\n\nNote: Division 7 deals with releasing conveyances from biosecurity control.\n\n (4) If the aircraft or vessel is released from biosecurity control under paragraph 218(1)(d) by leaving Australian territory during a flight or voyage between places in Australian territory, the aircraft or vessel becomes subject to biosecurity control again when it re‑enters Australian territory during that flight or voyage.\n\nNote: An aircraft or vessel is released from biosecurity control under paragraph 218(1)(d) if it leaves Australian territory.\n\n","sortOrder":201},{"sectionNumber":"192","sectionType":"section","heading":"Conveyances exposed to other conveyances that are subject to biosecurity control","content":"192  Conveyances exposed to other conveyances that are subject to biosecurity control\n\n (1) This section applies in relation to a conveyance that is not already subject to biosecurity control if:\n\n (a) the conveyance is exposed to:\n\n (i) an aircraft or vessel that is subject to biosecurity control because of subsection 191(2) or (4); or\n\n (ii) a conveyance that is subject to biosecurity control because of subsection (2), (3) or (5) of this section; or\n\n (iii) goods that are subject to biosecurity control and are of a kind prescribed by the regulations; or\n\n (b) in the course of a journey by the conveyance:\n\n (i) the conveyance leaves Australian territory; and\n\n (ii) the conveyance is exposed to another conveyance while it is outside Australian territory; and\n\n (iii) after being exposed to the other conveyance, the conveyance re‑enters Australian territory.\n\nNote 1: In this Chapter, a conveyance does not include a conveyance (the carried conveyance) brought or imported into Australian territory from outside Australian territory on board another conveyance until the carried conveyance is released from biosecurity control as goods (see section 16).\n\nNote 2: See section 17 for the meaning of exposed to.\n\n (2) A conveyance (an exposed conveyance) that is exposed to an aircraft or vessel, another conveyance or goods as referred to in paragraph (1)(a) becomes subject to biosecurity control when it is exposed to that aircraft, vessel, other conveyance or goods.\n\n (3) A conveyance (also an exposed conveyance) to which paragraph (1)(b) applies becomes subject to biosecurity control when it re‑enters Australian territory.\n\n (4) An exposed conveyance remains subject to biosecurity control until it is released from biosecurity control.\n\nNote: Division 7 deals with releasing conveyances from biosecurity control.\n\n (5) If an exposed conveyance is released from biosecurity control under paragraph 218(1)(d) by leaving Australian territory during a journey between places in Australian territory, the exposed conveyance becomes subject to biosecurity control again when it re‑enters Australian territory during that journey.\n\nNote: A conveyance is released from biosecurity control under paragraph 218(1)(d) if it leaves Australian territory.\n\n (6) The Director of Biosecurity may, by legislative instrument, determine that this section does not apply in relation to:\n\n (a) specified conveyances; or\n\n (b) specified conveyances in specified circumstances.\n\nNote 1: A determination under this subsection may make different provision with respect to different classes of conveyances (see subsection 33(3A) of the Acts Interpretation Act 1901).\n\nNote 2: For variation and revocation, see subsections 33(3) and (3AA) of the Acts Interpretation Act 1901.\n\nDivision 3—Pre‑arrival reporting etc.\n\n","sortOrder":202},{"sectionNumber":"193","sectionType":"section","heading":"Pre‑arrival reporting","content":"193  Pre‑arrival reporting\n\nInitial report\n\n (1) The operator of an aircraft or vessel must give a report if:\n\n (a) it is intended that the aircraft or vessel enter, or the aircraft or vessel enters, Australian territory:\n\n (i) on a flight or voyage that commenced outside Australian territory; or\n\n (ii) after being exposed to another conveyance while outside Australian territory; or\n\n (b) it is intended that the aircraft or vessel be, or the aircraft or vessel is, exposed to:\n\n (i) a conveyance that is subject to biosecurity control; or\n\n (ii) goods referred to in subparagraph 192(1)(a)(iii).\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\nNote 2: The obligation in this subsection applies whether or not the operator of the aircraft or vessel is in Australian territory when the operator is required to give the report (see subsection (7) of this section).\n\nOther reports\n\n (1A) The operator of the aircraft or vessel must give one or more other reports, as required by the regulations, in relation to the aircraft or vessel:\n\n (a) if the aircraft or vessel is included in a class of aircraft or vessels that is prescribed by the regulations for the purposes of this paragraph; or\n\n (b) in the circumstances prescribed by the regulations for the purposes of this paragraph.\n\nRequirements for reports\n\n (2) A report under this section must:\n\n (a) include the information in relation to the aircraft or vessel that is prescribed by the regulations; and\n\n (b) be given in the manner, and to the person, prescribed by the regulations; and\n\n (c) be given at a time, or during the period, prescribed by the regulations (which may be before or after the aircraft or vessel enters Australian territory, or is exposed to another conveyance in Australian territory, as referred to in subsection (1)); and\n\nNote: The regulations may prescribe different requirements for reports for different classes of aircraft or vessels (see subsection 33(3A) of the Acts Interpretation Act 1901).\n\n (3) The regulations may prescribe exceptions to the requirement to give a report under this section.\n\nNote: A defendant bears an evidential burden in relation to any exception prescribed for the purposes of this subsection (see subsection 13.3(3) of the Criminal Code and section 96 of the Regulatory Powers Act).\n\nFailure to give report\n\n (4) A person contravenes this subsection if:\n\n (a) the person is required to give a report under subsection (1) or (1A); and\n\n (b) the person does not give the report in accordance with subsection (2).\n\nNote: The physical elements of an offence against subsection (5) are set out in this subsection (see section 534).\n\n (5) A person commits an offence if the person contravenes subsection (4).\n\n (7) Subsections (4), (5) and (6) apply whether or not the person is in Australian territory when the person is required to give the report.\n\n","sortOrder":203},{"sectionNumber":"194","sectionType":"section","heading":"Pre‑arrival reporting—requirement to give more information","content":"194  Pre‑arrival reporting—requirement to give more information\n\n (a) the operator of an aircraft or vessel gives a report in relation to the aircraft or vessel under subsection 193(1) or (1A); and\n\n (b) the person in charge or the operator of the aircraft or vessel becomes aware that the information included in the report was incomplete or incorrect;\n\nthe operator must as soon as practicable give a biosecurity officer the additional or corrected information.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\nNote 2: The obligation in this subsection applies whether or not the operator of the aircraft or vessel is in Australian territory when the person in charge or the operator of the aircraft or vessel becomes aware that the information included in a report given under section 193 was incomplete or incorrect (see subsection (5) of this section).\n\n (1A) The regulations may:\n\n (a) prescribe the circumstances in which the operator of an aircraft or vessel, that has given a report in relation to the aircraft or vessel under subsection 193(1) or (1A), must give a biosecurity officer further information in relation to that report; and\n\n (b) prescribe the kind of further information that the operator is required to give a biosecurity officer; and\n\n (c) prescribe when the operator must give that further information to a biosecurity officer.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\nNote 2: The obligation in this subsection applies whether or not the operator of the aircraft or vessel is in Australian territory when the operator of the aircraft or vessel is required to give the further information (see subsection (5)).\n\nFailure to give information\n\n (2A) A person contravenes this subsection if:\n\n (a) the person is required to give information under regulations made for the purposes of subsection (1A); and\n\n (b) the person does not give the information to a biosecurity officer as required by those regulations.\n\n (3) A person commits an offence if the person contravenes subsection (2) or (2A).\n\n (4) A person is liable to a civil penalty if the person contravenes subsection (2) or (2A).\n\n (5) Subsections (2), (2A), (3) and (4) apply whether or not the person is in Australian territory when the person is required to give the information.\n\n","sortOrder":204},{"sectionNumber":"195","sectionType":"section","heading":"Power to obtain extra information relating to an aircraft or vessel covered by a pre‑arrival report","content":"195  Power to obtain extra information relating to an aircraft or vessel covered by a pre‑arrival report\n\n (1) A biosecurity officer may exercise the powers under subsections (2), (3) and (4) for the purpose of assessing the level of biosecurity risk associated with an aircraft or vessel that is the subject of a report under paragraph 193(1)(a), or a report under subsection 193(1A) where paragraph 193(1)(a) applies, but was not subject to biosecurity control when the report was given and has not become subject to biosecurity control since.\n\nPower to require information or answers to questions\n\n (2) A biosecurity officer may require a person who the biosecurity officer suspects, on reasonable grounds, has information in relation to the aircraft or vessel to answer questions, or provide information in writing, in relation to the aircraft or vessel.\n\nNote 1: The obligation in this subsection applies whether or not the person is in Australian territory when the requirement is made (see subsection (8)).\n\nNote 2: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information (see section 137.1 of the Criminal Code and section 532 of this Act).\n\nPower to require production of documents\n\n (3) A biosecurity officer may require a person who the biosecurity officer suspects, on reasonable grounds, has the custody or control of documents in relation to the aircraft or vessel to produce to the biosecurity officer such of those documents as are specified by the biosecurity officer.\n\nNote 1: The obligation in this subsection applies whether or not the person is in Australian territory when the requirement is made (see subsection (8)).\n\nNote 2: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading documents (see section 137.2 of the Criminal Code and section 533 of this Act).\n\nPower to deal with documents\n\n (4) A biosecurity officer:\n\n (a) may make copies of, or take extracts from, a document produced under subsection (3); and\n\nComplying with requirements\n\n (a) the person is required:\n\n (i) to answer questions or give information to a biosecurity officer under subsection (2); or\n\n (ii) to produce documents to a biosecurity officer under subsection (3); and\n\n (b) the person does not comply with the requirement.\n\nNote: The physical elements of an offence against subsection (6) are set out in this subsection (see section 534).\n\n (8) Subsections (5), (6) and (7) apply whether or not the person is in Australian territory when the person is required to answer the questions, give the information or produce the documents.\n\n196  Persons on incoming aircraft or vessel may be required to provide information or travel documents to assess biosecurity risk\n\n (1) This section applies in relation to persons who:\n\n (a) intend to enter, or enter, Australian territory on an incoming aircraft or vessel; and\n\n (b) are included in a prescribed class of persons.\n\n (2) The Director of Biosecurity may require any person covered by subsection (1), or each person included in a class of persons covered by subsection (1), to provide information (including by answering questions) for the purpose of assessing the level of biosecurity risk associated with the person and any goods that the person has with him or her.\n\nNote 2: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information (see section 137.1 of the Criminal Code and section 532 of this Act).\n\n (3) The information required under subsection (2) must be provided in the manner approved by the Director of Biosecurity.\n\nProduction and scanning of travel documents\n\n (3A) The Director of Biosecurity may do the following:\n\n (a) require any person covered by subsection (1), or each person included in a class of persons covered by subsection (1), to produce a document covered by subsection (3B) to the Director for either or both of the following purposes:\n\n (i) assessing the level of biosecurity risk associated with the person and any goods that the person has with the person;\n\n (ii) the future profiling, or future assessment, of biosecurity risks;\n\n (b) scan any document so produced for either or both of those purposes;\n\n (c) collect and retain personal information obtained as part of that production or scanning for either or both of those purposes.\n\nNote 2: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading documents (see section 137.2 of the Criminal Code and section 533 of this Act).\n\n (3B) For the purposes of paragraph (3A)(a), the documents covered by this subsection are the following:\n\n (a) the person’s Australian travel document (within the meaning of the Australian Passports Act 2005);\n\n (b) a passport, or other travel document, issued to the person by or on behalf of the government of a foreign country.\n\nCivil penalty provisions\n\n (4) A person who is required to provide information under subsection (2) must comply with the requirement.\n\n (5) A person who is required to produce a document under paragraph (3A)(a) must comply with the requirement.\n\n","sortOrder":205},{"sectionNumber":"Div 3A","sectionType":"division","heading":"Entry requirements: persons entering Australian territory on board conveyances","content":"Division 3A—Entry requirements: persons entering Australian territory on board conveyances\n\n","sortOrder":206},{"sectionNumber":"196A","sectionType":"section","heading":"Persons on incoming aircraft or vessel may be subject to requirements relating to diseases or pests","content":"196A  Persons on incoming aircraft or vessel may be subject to requirements relating to diseases or pests\n\n (1) This section applies for the purposes of preventing, or reducing the risk of, a disease or pest that is considered to pose an unacceptable level of biosecurity risk entering, or establishing itself or spreading in, Australian territory or a part of Australian territory.\n\nNote: This Division does not apply in relation to invasive pests (see subsection 25(2)).\n\n (2) The Agriculture Minister may determine one or more requirements for individuals who are entering Australian territory at a landing place or port in accordance with Division 2 or 3 of Part 4 of this Chapter.\n\nNote: An individual who fails to comply with a requirement may contravene a civil penalty provision (see section 196C).\n\n (3) The determination must specify the disease or pest referred to in subsection (1).\n\n (4) A determination made under subsection (2) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument.\n\n (5) A requirement must not be specified in a determination unless the Agriculture Minister is satisfied that:\n\n (a) the disease or pest poses an unacceptable level of biosecurity risk; and\n\n (b) the requirement is appropriate and adapted to prevent, or reduce the risk of, the disease or pest entering, or establishing itself or spreading in, Australian territory or a part of Australian territory.\n\n (6) The determination must specify where the requirements apply.\n\nKinds of requirements that may be specified\n\n (7) Without limiting subsection (2), the determination may specify:\n\n (a) requirements for all individuals, or classes of individuals; and\n\n (b) requirements in relation to particular diseases or pests or classes of diseases or pests; and\n\n (c) general requirements in relation to all specified diseases or pests; and\n\n (d) requirements relating to the manner in which an individual must comply with a requirement.\n\n (8) Without limiting subsection (2), the determination may specify one or more of the following requirements:\n\n (a) a requirement for an individual to provide a declaration or evidence as to whether the individual has been exposed to goods, conveyances, premises or other things specified in the determination;\n\n (b) a requirement for an individual to provide a declaration or evidence as to where the individual has been before entering Australian territory;\n\n (c) a requirement for an individual to provide a declaration or evidence as to whether the individual has undertaken specified activities during a specified period before entering Australian territory, and, if so, specified details about those activities;\n\n (d) a requirement for an individual to provide a declaration as to the individual’s intended destination or destinations in Australian territory during a specified period after entering Australian territory;\n\n (e) a requirement for an individual to provide a declaration as to the individual’s intended work (whether paid or unpaid) or occupation during a specified period after entering Australian territory;\n\n (f) a requirement for an individual to be screened (whether by requiring the individual to be screened by equipment, by providing a declaration, or in any other way);\n\n (g) a requirement for an individual to move to a place, at the landing place or port, directed by a biosecurity officer (whether the direction is in relation to the individual or a class that includes the individual) for the purpose of a biosecurity officer assessing the level of biosecurity risk associated with either or both of the following:\n\n (i) the individual;\n\n (ii) any goods the individual is bringing with them into Australian territory at the landing place or port.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\n (9) Before making a determination, the Agriculture Minister must consult with:\n\n (a) the Director of Biosecurity; and\n\n (b) the Director of Human Biosecurity; and\n\n (c) the head (however described) of the State or Territory body that is responsible for the administration of matters relating to biosecurity in each State and Territory.\n\n (10) A failure by the Agriculture Minister to comply with subsection (9) does not affect the validity of the determination.\n\n","sortOrder":207},{"sectionNumber":"196B","sectionType":"section","heading":"Varying and revoking requirements","content":"196B  Varying and revoking requirements\n\n (1) The Agriculture Minister must vary or revoke a determination in force under section 196A in relation to a disease or pest if the Agriculture Minister is satisfied that:\n\n (a) the disease or pest no longer poses an unacceptable biosecurity risk; or\n\n (b) a requirement determined in relation to the disease or pest is no longer appropriate and adapted to prevent, or reduce the risk of, the disease or pest entering, or establishing itself or spreading in, Australian territory or a part of Australian territory.\n\n (2) An instrument that varies or revokes a determination made under section 196A is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument.\n\n (3) This section does not limit the application of subsection 33(3) of the Acts Interpretation Act 1901 in relation to a determination in force under section 196A.\n\n","sortOrder":208},{"sectionNumber":"196C","sectionType":"section","heading":"Civil penalty for failing to comply with requirement","content":"196C  Civil penalty for failing to comply with requirement\n\n  An individual to whom a requirement determined under section 196A applies must comply with the requirement.\n\nDivision 4—Assessment of level of biosecurity risk associated with conveyances\n\n","sortOrder":209},{"sectionNumber":"197","sectionType":"section","heading":"Biosecurity risk assessment powers","content":"197  Biosecurity risk assessment powers\n\n  This Division sets out powers that may be exercised for the purpose of assessing the level of biosecurity risk associated with a conveyance that is subject to biosecurity control.\n\n","sortOrder":210},{"sectionNumber":"198","sectionType":"section","heading":"Securing conveyance","content":"198  Securing conveyance\n\n (1) A biosecurity officer may direct the person in charge or the operator of the conveyance to secure the conveyance in a manner, and for a period (which must not exceed 48 hours), specified by the biosecurity officer.\n\nNote: The biosecurity officer may give more than one direction relating to the conveyance (see subsection 33(1) of the Acts Interpretation Act 1901).\n\nNote 1: If judicial review is sought in relation to a direction given under subsection (1), the direction remains in force unless a court finally determines the validity of the decision to give the direction (see section 538).\n\nNote 2: A person may contravene a civil penalty provision for moving, dealing with or interfering with a conveyance that has been secured in accordance with a direction given under subsection (1) (see section 204).\n\n","sortOrder":211},{"sectionNumber":"199","sectionType":"section","heading":"Inspecting conveyance","content":"199  Inspecting conveyance\n\n  A biosecurity officer may conduct a physical inspection of the conveyance.\n\n","sortOrder":212},{"sectionNumber":"200","sectionType":"section","heading":"Asking questions about conveyance","content":"200  Asking questions about conveyance\n\n (1) A biosecurity officer may require a person who the biosecurity officer suspects, on reasonable grounds, has information in relation to the conveyance to answer questions, or provide information in writing, in relation to the conveyance.\n\nNote: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information (see section 137.1 of the Criminal Code and section 532 of this Act).\n\n (2) A person who is required to answer questions, or provide information in writing, under subsection (1) must comply with the requirement.\n\n","sortOrder":213},{"sectionNumber":"201","sectionType":"section","heading":"Requiring documents relating to conveyance to be produced","content":"201  Requiring documents relating to conveyance to be produced\n\n (1) A biosecurity officer may require a person who the biosecurity officer suspects, on reasonable grounds, has the custody or control of documents in relation to the conveyance to produce to the officer such of those documents as are specified by the officer.\n\nNote: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading documents (see section 137.2 of the Criminal Code and section 533 of this Act).\n\n","sortOrder":214},{"sectionNumber":"202","sectionType":"section","heading":"Movement of conveyance","content":"202  Movement of conveyance\n\n (a) give any of the following directions to the person in charge or the operator of the conveyance:\n\n (i) a direction not to move, deal with or interfere with the conveyance;\n\n (ii) a direction to move the conveyance, as soon as practicable, to a place specified by the biosecurity officer (except a place outside Australian territory);\n\n (iii) any other direction relating to the movement of the conveyance; or\n\n (b) cause the conveyance to be moved to another place (except a place outside Australian territory).\n\nNote 1: A person may contravene a civil penalty provision for moving, dealing with or interfering with a conveyance in relation to which a direction relating to movement has been given under paragraph (1)(a) or that has been moved under paragraph (1)(b) (see section 204).\n\n","sortOrder":215},{"sectionNumber":"203","sectionType":"section","heading":"Biosecurity control notice may be affixed to conveyance or given to person in charge of conveyance","content":"203  Biosecurity control notice may be affixed to conveyance or given to person in charge of conveyance\n\n (a) affix a biosecurity control notice to, or as near as reasonably practicable to, the conveyance; or\n\n (b) give a biosecurity control notice to the person in charge of the conveyance.\n\n (a) a biosecurity control notice is affixed to, or as near as reasonably practicable to, a conveyance under paragraph (1)(a); and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (3) Subsection (2) does not apply if the person is authorised to engage in the conduct referred to in paragraph (2)(b) under this Act or under another Australian law.\n\nNote 1: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\nNote 2: A person may contravene a civil penalty provision for moving, dealing with or interfering with a conveyance in relation to which a biosecurity control notice has been affixed under paragraph (1)(a) (see section 204).\n\n","sortOrder":216},{"sectionNumber":"204","sectionType":"section","heading":"Unauthorised persons must not move etc. conveyance in relation to which direction has been given","content":"204  Unauthorised persons must not move etc. conveyance in relation to which direction has been given\n\n (1) This section applies in relation to:\n\n (a) a conveyance that has been secured in accordance with a direction given under subsection 198(1); or\n\n (b) a conveyance in relation to which a direction relating to movement has been given under paragraph 202(1)(a); or\n\n (c) a conveyance that has been moved under paragraph 202(1)(b); or\n\n (d) a conveyance in relation to which a biosecurity control notice has been affixed under paragraph 203(1)(a).\n\n (a) the person moves, deals with or interferes with a conveyance in relation to which this section applies; and\n\n (b) none of the following applies:\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (a) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (3) Subsection (2) does not apply if the person is authorised to engage in the conduct referred to in paragraph (2)(a) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\nDivision 5—Biosecurity measures to manage unacceptable level of biosecurity risk associated with conveyances\n\n","sortOrder":217},{"sectionNumber":"204A","sectionType":"section","heading":"Requirements to destroy vectors on incoming or outgoing aircraft or vessels","content":"204A  Requirements to destroy vectors on incoming or outgoing aircraft or vessels\n\n  The regulations may prescribe measures to be taken by operators of incoming aircraft or vessels or outgoing aircraft or vessels to destroy vectors that:\n\n (a) have the potential to cause, directly or indirectly, a listed human disease or any other human disease; and\n\n (b) may exist on the aircraft or vessels.\n\n","sortOrder":218},{"sectionNumber":"205","sectionType":"section","heading":"Biosecurity measures may be required in relation to conveyance","content":"205  Biosecurity measures may be required in relation to conveyance\n\n  If a biosecurity officer suspects, on reasonable grounds, that the level of biosecurity risk associated with a conveyance that is subject to biosecurity control is unacceptable, a biosecurity officer may require biosecurity measures to be taken in relation to the conveyance as set out in this Division.\n\nNote: Sections 629 and 630 deal with abandoned and forfeited conveyances in relation to which biosecurity measures have been required under this Division.\n\n","sortOrder":219},{"sectionNumber":"206","sectionType":"section","heading":"Movement of certain aircraft and vessels","content":"206  Movement of certain aircraft and vessels\n\n (1) This section applies in relation to an aircraft or vessel that is subject to biosecurity control because of subsection 191(2) or (4) (aircraft and vessels entering Australian territory).\n\n (2) Subject to subsection (3), a biosecurity officer may:\n\n (a) give any of the following directions to the person in charge or the operator of the aircraft or vessel:\n\n (i) a direction not to move, deal with or interfere with the aircraft or vessel;\n\n (ii) a direction to move the aircraft or vessel, as soon as practicable, to a place specified by the biosecurity officer (including a place outside Australian territory);\n\n (iii) any other direction relating to the movement of the aircraft or vessel; or\n\n (b) cause the aircraft or vessel to be moved to another place (including a place outside Australian territory).\n\nNote: If a direction is given under paragraph (2)(a) in relation to an aircraft or vessel, and the direction is not complied with, the person in charge and the operator of the aircraft or vessel may each commit an offence or contravene a civil penalty provision (see section 215).\n\n (3) A biosecurity officer must not, without the written approval of the Director of Biosecurity:\n\n (a) give a direction under subparagraph (2)(a)(ii) or (iii) requiring the aircraft or vessel to be moved to a place outside Australian territory; or\n\n (b) under paragraph (2)(b), cause the aircraft or vessel to be moved to a place outside Australian territory.\n\nNote 1: Before giving an approval under this subsection, the Director of Biosecurity must be satisfied of the matters referred to in section 32 (the principles).\n\n","sortOrder":220},{"sectionNumber":"207","sectionType":"section","heading":"Movement of exposed conveyances","content":"207  Movement of exposed conveyances\n\n (1) This section applies in relation to an exposed conveyance that is subject to biosecurity control because of subsection 192(2), (3) or (5).\n\n (a) give any of the following directions to the person in charge or the operator of the conveyance:\n\n (i) a direction not to move, deal with or interfere with the conveyance;\n\n (ii) a direction to move the conveyance, as soon as practicable, to a place specified by the biosecurity officer (except a place outside Australian territory);\n\n (iii) any other direction relating to the movement of the conveyance; or\n\n (b) cause the conveyance to be moved to another place (except a place outside Australian territory).\n\nNote 1: If a direction is given under paragraph (2)(a) in relation to a conveyance, and the direction is not complied with, the person in charge and the operator of the conveyance may each commit an offence or contravene a civil penalty provision (see section 215).\n\n","sortOrder":221},{"sectionNumber":"208","sectionType":"section","heading":"Treatment of conveyance","content":"208  Treatment of conveyance\n\n (1) A biosecurity officer may, subject to subsection (2), require the conveyance to be treated in a manner specified by the biosecurity officer.\n\nNote: If the treatment might damage the conveyance, the person in charge or the operator of the conveyance must be asked to agree to the treatment (see section 209).\n\n (2) A biosecurity officer must not require a high‑value conveyance to be treated in a manner that the biosecurity officer suspects, on reasonable grounds, is likely to damage the conveyance, without the written approval of the Director of Biosecurity.\n\n","sortOrder":222},{"sectionNumber":"209","sectionType":"section","heading":"Treatment that is likely to damage conveyance","content":"209  Treatment that is likely to damage conveyance\n\n (a) a biosecurity officer requires a conveyance to be treated in a specified manner under subsection 208(1); and\n\n (b) a biosecurity officer suspects, on reasonable grounds, that treatment of the conveyance in that manner is likely to damage the conveyance.\n\nNotice must be given that treatment is likely to damage conveyance\n\n (2) Before any treatment is carried out on the conveyance, a biosecurity officer must, by notice in writing:\n\n (a) inform the person in charge or the operator of the conveyance that:\n\n (i) the conveyance is required to be treated in a specified manner; and\n\n (ii) the treatment is likely to damage the conveyance; and\n\n (b) request the person in charge or the operator to agree to the treatment of the conveyance.\n\n (3) However, the conveyance may be treated in the specified manner without notice having been given under subsection (2) if:\n\n (a) a biosecurity officer suspects, on reasonable grounds, that there is a high level of biosecurity risk associated with the conveyance; and\n\n (b) the biosecurity officer is satisfied that the conveyance needs to be treated as soon as practicable to reduce that risk to an acceptable level.\n\nDealing with conveyance if person in charge or operator does not agree to treatment\n\n (a) a notice is given to the person in charge or the operator of the conveyance under subsection (2); and\n\n (b) the person in charge or the operator does not, within 30 days after receiving the notice, notify a biosecurity officer in writing that the person or operator agrees to the conveyance being treated as specified in the notice;\n\na biosecurity officer may, in writing, request the person in charge or the operator to arrange for the conveyance:\n\n (d) to be removed from Australian territory;\n\n (a) a request is made under subsection (4) in relation to the conveyance; and\n\n (b) the conveyance is not, within the period specified in the request:\n\n (i) dealt with, or destroyed, in a manner specified in the request; or\n\n (ii) removed from Australian territory;\n\n (d) a biosecurity officer may, with the written approval of the Director of Biosecurity, cause the conveyance to be removed from Australian territory, destroyed or otherwise disposed of.\n\nNote: Before giving approval under paragraph (5)(d), the Director of Biosecurity must be satisfied of the matters referred to in section 32 (the principles).\n\n (6) A biosecurity enforcement officer must not take possession of the conveyance under subsection (5) unless:\n\n (a) the owner of the conveyance has consented in writing to the taking of possession; or\n\nNote: For the issue of warrants, and the obligations and powers of biosecurity enforcement officers in taking possession of a conveyance under a warrant, see Part 3, and Division 3 of Part 4, of Chapter 9.\n\n (7) If a conveyance is to be destroyed under this section, a biosecurity officer may cause any goods on board the conveyance to be removed from the conveyance before it is destroyed.\n\n","sortOrder":223},{"sectionNumber":"210","sectionType":"section","heading":"Destruction of conveyance","content":"210  Destruction of conveyance\n\n (1) If a biosecurity officer considers, on reasonable grounds, that the conveyance cannot be effectively treated, a biosecurity officer may, subject to subsection (2), require the conveyance to be destroyed.\n\nNote 1: If a conveyance is required under this section to be destroyed:\n\n(a) paragraphs 213(1)(b) and (c) let a biosecurity officer direct the operator or owner of the conveyance to arrange for it to be destroyed (and failure to comply with the direction may be an offence against section 215 or attract a civil penalty under that section); and\n\n(b) paragraph 213(1)(d) lets a biosecurity officer destroy the conveyance; and\n\n(c) paragraph 213(1)(e) lets a biosecurity officer arrange for someone else to carry out the destruction of the conveyance.\n\nNote 2: The conveyance must not be destroyed until after any review or related proceeding (including any appeal) has been finally determined (see section 211), unless subsection (4) of this section applies or the owner or operator of the conveyance chooses.\n\nDirector of Biosecurity must approve destruction\n\n (2) A biosecurity officer must not require the conveyance to be destroyed without the written approval of the Director of Biosecurity.\n\nNote 1: Before giving approval under this subsection, the Director of Biosecurity must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 2: A decision to give approval for a requirement for a conveyance to be destroyed is a reviewable decision (see Part 1 of Chapter 11).\n\nNotice must be given that conveyance is required to be destroyed\n\n (3) Before a biosecurity officer takes action under paragraph 213(1)(b), (c), (d) or (e) in relation to the requirement to destroy the conveyance, a biosecurity officer must, by notice in writing:\n\n (a) inform the owner or the operator of the conveyance of:\n\n (i) the requirement that the conveyance be destroyed; and\n\n (ii) the reasons why the conveyance is required to be destroyed; and\n\n (b) request the owner or the operator of the conveyance to arrange for the conveyance:\n\n (i) to be removed from Australian territory; or\n\n (ii) to be destroyed in a manner specified in the notice;\n\n  within the period specified in the notice.\n\n (4) However, a notice is not required to be given under subsection (3) if either:\n\n (a) a biosecurity officer:\n\n (i) has not been able, despite making reasonable efforts, to locate the owner or the operator of the conveyance; and\n\n (ii) has certified in writing to that effect; or\n\n (b) a biosecurity officer:\n\n (i) suspects, on reasonable grounds, that there is a high level of biosecurity risk associated with the conveyance; and\n\n (ii) is satisfied that the conveyance needs to be destroyed as soon as practicable to reduce that risk to an acceptable level.\n\nNote: If a biosecurity officer cannot, despite making reasonable efforts, locate the owner or the operator of a conveyance, the conveyance may be forfeited to the Commonwealth (see section 630).\n\nDealing with conveyance if conveyance is not removed from Australian territory or destroyed\n\n (a) a notice is given to the owner or the operator of the conveyance under subsection (3) and the conveyance is not, within the period specified in the notice:\n\n (i) removed from Australian territory; or\n\n (ii) destroyed in a manner specified in the notice; or\n\n (b) a certificate in relation to the conveyance has been issued under subparagraph (4)(a)(ii); or\n\n (c) paragraph (4)(b) applies;\n\n (d) a biosecurity enforcement officer may, subject to subsection (6), take possession of the conveyance; and\n\n (e) a biosecurity officer may, with the written approval of the Director of Biosecurity for the destruction of the conveyance, take action under paragraph 213(1)(d) or (e) to destroy the conveyance or arrange for another person to destroy it.\n\nNote: Before giving approval under paragraph (5)(e), the Director of Biosecurity must be satisfied of the matters referred to in section 32 (the principles).\n\n (a) the owner or the operator of the conveyance has consented in writing to the taking of possession; or\n\nNote 1: This subsection does not apply in relation to a conveyance that has been forfeited to the Commonwealth under section 630.\n\nNote 2: For the issue of warrants, and the obligations and powers of biosecurity enforcement officers in taking possession of a conveyance under a warrant, see Part 3, and Division 3 of Part 4, of Chapter 9.\n\n (7) If a conveyance is to be destroyed under subsection 213(1), a biosecurity officer may cause any goods on board the conveyance to be removed from the conveyance before it is destroyed.\n\n","sortOrder":224},{"sectionNumber":"211","sectionType":"section","heading":"Conveyance must not be destroyed during review period","content":"211  Conveyance must not be destroyed during review period\n\n (1) This section applies if a biosecurity officer has given a notice in relation to a conveyance in accordance with subsection 210(3).\n\n (2) A biosecurity officer must not take action under subsection 213(1), in relation to the requirement to destroy the conveyance, until:\n\n (a) after the period in which an application may be made for review (including merits or judicial review) of:\n\n (i) the decision to require the conveyance to be destroyed; or\n\n (ii) the decision of the Director of Biosecurity to approve the making of the requirement; or\n\n (b) if an application referred to in paragraph (a) is made—after the review or any related proceeding (including any appeal) has been finally determined.\n\nNote: If a conveyance is required under section 210 to be destroyed:\n\n(a) paragraphs 213(1)(b) and (c) let a biosecurity officer direct the operator or owner of the conveyance to arrange for it to be destroyed (and failure to comply with the direction may be an offence against section 215 or attract a civil penalty under that section); and\n\n(b) paragraph 213(1)(d) lets a biosecurity officer destroy the conveyance; and\n\n(c) paragraph 213(1)(e) lets a biosecurity officer arrange for someone else to carry out the destruction of the conveyance.\n\n (3) However, subsection (2) does not apply in relation to the conveyance if a biosecurity officer is satisfied that:\n\n (a) there is a high level of biosecurity risk associated with the conveyance; and\n\n (b) the biosecurity risk cannot be managed for long enough to allow a review of a decision described in paragraph (2)(a), and any related proceeding (including any appeal), to be finally determined.\n\n (a) in accordance with subsection (3), a biosecurity officer takes action under subsection 213(1) in relation to the requirement to destroy the conveyance before the end of the period referred to in paragraph (2)(a); and\n\n (b) no application for review described in paragraph (2)(a) had been made before the action was taken;\n\nan application for review described in paragraph (2)(a) must not be made.\n\n (a) an application referred to in paragraph (2)(a) has been made; and\n\n (b) before the review or any related proceeding (including any appeal) has been finally determined, a biosecurity officer takes action in accordance with subsection (3) under subsection 213(1) in relation to the requirement to destroy the conveyance;\n\n","sortOrder":225},{"sectionNumber":"212","sectionType":"section","heading":"Regulations may provide for other biosecurity measures","content":"212  Regulations may provide for other biosecurity measures\n\n (1) The regulations may provide that a biosecurity officer may require a specified kind of biosecurity measure (a prescribed biosecurity measure) to be taken in relation to the conveyance.\n\n (2) Regulations made for the purposes of this section must not provide for a biosecurity officer to require any of the following kinds of biosecurity measures to be taken in relation to the conveyance:\n\n (a) a biosecurity measure of a kind set out in Division 4 of this Part (biosecurity risk assessment powers);\n\n (b) a biosecurity measure of a kind set out in another provision of this Division (biosecurity measures to manage unacceptable level of biosecurity risk);\n\n (c) a biosecurity measure of a kind referred to in Subdivision B of Division 2 of Part 4 of Chapter 10 (decontamination).\n\n (3) Regulations made for the purposes of this section may also provide for, or in relation to, other matters relating to a prescribed biosecurity measure.\n\n (a) provide for persons to be notified, and the circumstances in which the persons must be notified, that a prescribed biosecurity measure is required to be taken in relation to a conveyance;\n\n (b) if regulations made for the purposes of subsection 574(2) provide that the decision to require a prescribed biosecurity measure to be taken in relation to a conveyance is a reviewable decision—provide that, except in the circumstances (if any) prescribed, the prescribed biosecurity measure must not be taken during the period in which a review of that decision, or any related proceeding (including any appeal), has been finally determined.\n\n","sortOrder":226},{"sectionNumber":"213","sectionType":"section","heading":"Powers of biosecurity officer if biosecurity measures are required","content":"213  Powers of biosecurity officer if biosecurity measures are required\n\n (1) If a biosecurity officer requires a biosecurity measure to be taken in relation to a conveyance under section 208 or 209 (treatment), section 210 (destruction) or a regulation made for the purposes of section 212, a biosecurity officer may:\n\n (a) direct the person in charge of the conveyance to carry out the biosecurity measure, unless the measure is destruction of the conveyance; or\n\n (b) direct the operator of the conveyance to arrange for the biosecurity measure to be carried out; or\n\n (c) direct the owner of the conveyance to arrange for the biosecurity measure to be carried out, if the measure is destruction of the conveyance; or\n\n (d) carry out the biosecurity measure; or\n\n (e) arrange for another person with appropriate qualifications or expertise to carry out the biosecurity measure.\n\nNote 1: Sections 210 and 211 set out prerequisites to a biosecurity officer taking certain actions under this section in relation to a requirement under section 210 to destroy a conveyance.\n\nNote 2: A person who is given a direction under paragraph (1)(a), (b) or (c) of this section may commit an offence or contravene a civil penalty provision for failing to comply with the direction (see section 215).\n\n","sortOrder":227},{"sectionNumber":"214","sectionType":"section","heading":"Biosecurity officer may affix notice to conveyance","content":"214  Biosecurity officer may affix notice to conveyance\n\n (1) A biosecurity officer may affix a notice to, or as near as reasonably practicable to, a conveyance in relation to which biosecurity measures have been required under:\n\n (a) this Division; or\n\n (b) a regulation made for the purposes of section 212.\n\n (a) that the level of biosecurity risk associated with the conveyance is unacceptable; and\n\n (b) that biosecurity measures have been required in relation to the conveyance, in accordance with this Chapter, for the purpose of managing that biosecurity risk; and\n\n (c) the effect of subsections (3) and (4) and section 216.\n\n (a) a notice is affixed to, or as near as reasonably practicable to, a conveyance under subsection (1); and\n\n (b) the person interferes with, removes or defaces, the notice; and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (4) Subsection (3) does not apply if the person is authorised to engage in the conduct referred to in paragraph (3)(b) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n","sortOrder":228},{"sectionNumber":"215","sectionType":"section","heading":"Person must comply with direction to take biosecurity measures","content":"215  Person must comply with direction to take biosecurity measures\n\n (1) A person who is given a direction in relation to a conveyance under paragraph 206(2)(a), 207(2)(a) or 213(1)(a), (b) or (c) must comply with the direction.\n\n (a) the person is the person in charge, the operator or the owner of an aircraft or vessel; and\n\n (b) the person has been given a direction under paragraph 206(2)(a), 207(2)(a) or 213(1)(a), (b) or (c); and\n\n (d) the conduct contravenes the direction.\n\n (3) The person in charge of an aircraft or vessel commits an offence if:\n\n (a) the operator of the aircraft or vessel has been given a direction under paragraph 206(2)(a), 207(2)(a) or 213(1)(b), other than a direction under paragraph 213(1)(b) to arrange for destruction of the aircraft or vessel to be carried out; and\n\n (4) The operator of an aircraft or vessel commits an offence if:\n\n (a) the person in charge of the aircraft or vessel has been given a direction under paragraph 206(2)(a), 207(2)(a) or 213(1)(a); and\n\n (5) The operator of an aircraft or vessel commits an offence if:\n\n (a) the owner of the aircraft or vessel has been given a direction under paragraph 213(1)(c); and\n\n (6) The owner of an aircraft or vessel commits an offence if:\n\n (a) the operator of the aircraft or vessel has been given a direction under paragraph 213(1)(b) to arrange for the destruction of the aircraft or vessel to be carried out; and\n\nCivil penalty provisions\n\n (a) the person in charge or the operator of the aircraft or vessel has been given a direction under paragraph 206(2)(a), 207(2)(a) or 213(1)(a) or (b), other than a direction under paragraph 213(1)(b) to arrange for destruction of the aircraft or vessel to be carried out; and\n\n (8) The operator and the owner of an aircraft or vessel are each liable to a civil penalty if:\n\n (a) the operator or the owner of the aircraft or vessel has been given a direction under paragraph 213(1)(b) or (c) to arrange for destruction of the aircraft or vessel to be carried out; and\n\n","sortOrder":229},{"sectionNumber":"216","sectionType":"section","heading":"Unauthorised persons must not move etc. conveyance in relation to which biosecurity measures have been required","content":"216  Unauthorised persons must not move etc. conveyance in relation to which biosecurity measures have been required\n\n (a) a notice has been affixed to, or as near as reasonably practicable to, a conveyance under subsection 214(1); and\n\n (b) the person moves, deals with or interferes with the conveyance; and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(b) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see subsection 13.3(3) of the Criminal Code and section 96 of the Regulatory Powers Act).\n\nDivision 6—Leaving conveyances\n\n","sortOrder":230},{"sectionNumber":"217","sectionType":"section","heading":"Person in charge of conveyance may leave conveyance unless directed not to do so","content":"217  Person in charge of conveyance may leave conveyance unless directed not to do so\n\n (1) The person in charge of a conveyance that is subject to biosecurity control may leave the conveyance unless a biosecurity officer has directed the person not to leave the conveyance.\n\nNote: If the conveyance is an incoming aircraft or vessel, the person in charge of the aircraft or vessel must not leave the aircraft or vessel unless pratique has been granted in relation to the aircraft or vessel or he or she is authorised to leave by or under this Act or another Australian law (see sections 48 and 49).\n\n (2) A biosecurity officer may direct the person in charge of the conveyance not to leave the conveyance for a specified period. The period must not be longer than 24 hours.\n\n (3) A person who is given a direction under subsection (2) must comply with the direction.\n\n (a) the person is given a direction under subsection (2); and\n\n (5) A person is liable to a civil penalty if the person contravenes subsection (3).\n\nDivision 7—Release of conveyances from biosecurity control\n\n","sortOrder":231},{"sectionNumber":"218","sectionType":"section","heading":"When conveyance is released from biosecurity control","content":"218  When conveyance is released from biosecurity control\n\n (1) A conveyance that is subject to biosecurity control is released from biosecurity control if:\n\n (a) a biosecurity officer notifies the person in charge of the conveyance, the owner of the conveyance or the operator of the conveyance, under section 219, that the conveyance is released from biosecurity control; or\n\n (b) a written notice releasing the conveyance from biosecurity control is given to the person in charge of the conveyance by a biosecurity industry participant who is authorised to release the conveyance in accordance with an approved arrangement covering the biosecurity industry participant; or\n\n (c) the conveyance is destroyed; or\n\n (d) the conveyance leaves Australian territory.\n\nNote: If a conveyance is released from biosecurity control under paragraph (1)(d) by leaving Australian territory during a journey between places in Australian territory, the conveyance becomes subject to biosecurity control again when it re‑enters Australian territory during that journey (see subsections 191(4) and 192(5)).\n\n (2) Neither of the following is a legislative instrument:\n\n (a) a notification that is given in writing under paragraph (1)(a);\n\n (b) a notice referred to in paragraph (1)(b).\n\n","sortOrder":232},{"sectionNumber":"219","sectionType":"section","heading":"Notice releasing conveyance from biosecurity control","content":"219  Notice releasing conveyance from biosecurity control\n\nGiving notice\n\n (1) For the purposes of paragraph 218(1)(a), a notice releasing a conveyance from biosecurity control may be given:\n\n (a) in writing (including by an automated electronic system); or\n\n (b) orally.\n\nAutomated release notices\n\n (2) An automated electronic system that is used to produce notices (automated release notices) releasing conveyances from biosecurity control for the purposes of paragraph 218(1)(a) must comply with the requirements prescribed by the regulations.\n\n (3) An automated release notice is taken to have been given by a biosecurity officer.\n\n (4) An automated release notice in relation to a conveyance is of no effect to the extent that it is inconsistent with an earlier direction given in relation to the conveyance by a biosecurity officer under this Act.\n\nDivision 8—Miscellaneous\n\n","sortOrder":233},{"sectionNumber":"220","sectionType":"section","heading":"Information about biosecurity requirements must be given to persons on board incoming aircraft or vessels","content":"220  Information about biosecurity requirements must be given to persons on board incoming aircraft or vessels\n\n (1) The person in charge or the operator of an incoming aircraft or vessel that is subject to biosecurity control because of subsection 191(2) or (4) must ensure that each person (including a member of the crew) on board the aircraft or vessel is given information about biosecurity requirements under the laws of the Commonwealth.\n\n (2) The content and form of information given under subsection (1) must have been approved by the Director of Biosecurity or the Director of Human Biosecurity.\n\n (3) The information may be given in writing or orally, including by means of an audio, or audio‑visual, recording.\n\n","sortOrder":234},{"sectionNumber":"221","sectionType":"section","heading":"Quarantine signal","content":"221  Quarantine signal\n\n (1) The person in charge of a vessel that is within Australian territory must ensure that the prescribed quarantine signal is displayed on the vessel in the circumstances and in the manner prescribed by the regulations.\n\n (2) The regulations must prescribe:\n\n (a) the quarantine signal; and\n\n (b) the circumstances in which the quarantine signal must be displayed on a vessel within Australian territory; and\n\n (c) the manner in which the quarantine signal must be displayed.\n\n (3) A person commits an offence of strict liability if the person contravenes subsection (1).\n\nNote: For strict liability, see section 6.1 of the Criminal Code.\n\nPenalty for contravention of this subsection: 60 penalty units.\n\nPart 3—First points of entry and biosecurity entry points\n\n","sortOrder":235},{"sectionNumber":"222","sectionType":"section","heading":"Simplified outline of this Part","content":"222  Simplified outline of this Part\n\nThis Part deals with first points of entry and biosecurity entry points for conveyances and goods that are subject to biosecurity control.\n\nDivision 2 provides for the Director of Biosecurity or the Director of Human Biosecurity to determine the landing places in Australian territory that are first points of entry for certain aircraft and goods that are subject to biosecurity control.\n\nDivision 2 also provides for an area of a landing place that is a first point of entry to be designated as a biosecurity entry point for certain aircraft and goods that are subject to biosecurity control.\n\nDivision 3 provides for the Director of Biosecurity or the Director of Human Biosecurity to determine the ports in Australian territory that are first points of entry for certain vessels and goods that are subject to biosecurity control.\n\nDivision 3 also provides for an area of a port that is a first point of entry to be designated as a biosecurity entry point for vessels and goods that are subject to biosecurity control.\n\nDivision 2—First points of entry and biosecurity entry points for incoming aircraft and goods\n\n223  Determination of landing places that are first points of entry for aircraft or goods that are subject to biosecurity control\n\n (1) The Director of Biosecurity or the Director of Human Biosecurity may determine that a specified landing place in Australian territory is a first point of entry for any of the following:\n\n (a) aircraft generally, or a specified class of aircraft, that are subject to biosecurity control;\n\n (b) specified goods, or a specified class of goods:\n\n (i) that are subject to biosecurity control; or\n\n (ii) in relation to which an exposed goods order is in force.\n\n (2) The Director of Biosecurity or the Director of Human Biosecurity may make a determination under subsection (1) in relation to a landing place only if the Director who is proposing to make the determination is satisfied that:\n\n (a) the requirements (if any) prescribed by the regulations in relation to the landing place are met; and\n\n (b) the level of biosecurity risk associated with operations carried out at the landing place is acceptable.\n\n (3) For the purpose of being satisfied of the matters referred to in subsection (2), the Director of Biosecurity or the Director of Human Biosecurity (as the case may be) may have regard to any matter that the Director considers relevant.\n\nNote: A determination under subsection (1) may be varied under section 226 or 227 or revoked under section 227. Subsection 33(3) of the Acts Interpretation Act 1901 does not apply in relation to this section.\n\n","sortOrder":236},{"sectionNumber":"224","sectionType":"section","heading":"Biosecurity entry points for aircraft and goods that are subject to biosecurity control","content":"224  Biosecurity entry points for aircraft and goods that are subject to biosecurity control\n\n  A determination under subsection 223(1) in relation to a landing place may designate a specified area of the landing place as a biosecurity entry point for any of the following:\n\n (a) aircraft generally, or a specified class of aircraft, as referred to in paragraph 223(1)(a);\n\n (b) specified goods, or a specified class of goods, as referred to in paragraph 223(1)(b).\n\n","sortOrder":237},{"sectionNumber":"225","sectionType":"section","heading":"Determination may be subject to conditions","content":"225  Determination may be subject to conditions\n\n (1) A determination under subsection 223(1) in relation to a landing place may be expressed to be subject to conditions specified in the determination.\n\n (2) Without limiting subsection (1), the conditions may relate to any of the following:\n\n (a) an owner or lessee of the landing place;\n\n (b) a person or body that is responsible for carrying out operations at the landing place;\n\n (c) the operations carried out at the landing place.\n\n","sortOrder":238},{"sectionNumber":"226","sectionType":"section","heading":"Determination may have effect for specified period","content":"226  Determination may have effect for specified period\n\n (1) A determination under subsection 223(1) may be expressed to have effect for a specified period.\n\n (2) If a determination under subsection 223(1) is expressed to have effect for a specified period, the Director who made the determination may vary the determination to extend or shorten the period.\n\n","sortOrder":239},{"sectionNumber":"227","sectionType":"section","heading":"Variation and revocation of determination etc.","content":"227  Variation and revocation of determination etc.\n\n  If a determination is made under subsection 223(1) in relation to a landing place, the Director who made the determination may vary or revoke the determination, or vary the conditions specified in the determination (including by imposing new conditions), if the Director is satisfied that:\n\n (a) one or more requirements prescribed by regulations made for the purposes of paragraph 223(2)(a) in relation to the landing place are no longer being met; or\n\n (b) the level of biosecurity risk associated with operations carried out at the landing place has become unacceptable; or\n\n (c) a condition specified in the determination under section 225 has not been, or is not being, met; or\n\n (d) the landing place is no longer required to be a first point of entry for aircraft or goods to which the determination relates; or\n\n (e) a circumstance prescribed by the regulations has occurred.\n\n","sortOrder":240},{"sectionNumber":"228","sectionType":"section","heading":"Determination is a legislative instrument","content":"228  Determination is a legislative instrument\n\n  Each of the following is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument:\n\n (a) a determination made under subsection 223(1);\n\n (b) an instrument that varies or revokes a determination made under subsection 223(1).\n\nDivision 3—First points of entry and biosecurity entry points for incoming vessels and goods\n\n","sortOrder":241},{"sectionNumber":"229","sectionType":"section","heading":"Determination of ports that are first points of entry for vessels or goods that are subject to biosecurity control","content":"229  Determination of ports that are first points of entry for vessels or goods that are subject to biosecurity control\n\n (1) The Director of Biosecurity or the Director of Human Biosecurity may determine that a specified port in Australian territory is a first point of entry for any of the following:\n\n (a) vessels generally, or a specified class of vessels, that are subject to biosecurity control;\n\n (b) specified goods, or a specified class of goods:\n\n (i) that are subject to biosecurity control; or\n\n (ii) in relation to which an exposed goods order is in force.\n\n (2) The Director of Biosecurity or the Director of Human Biosecurity may make a determination under subsection (1) in relation to a port only if the Director who is proposing to make the determination is satisfied that:\n\n (a) the requirements (if any) prescribed by the regulations in relation to the port are met; and\n\n (b) the level of biosecurity risk associated with operations carried out at the port is acceptable.\n\n (3) For the purpose of being satisfied of the matters referred to in subsection (2), the Director of Biosecurity or the Director of Human Biosecurity (as the case may be) may have regard to any matter that the Director considers relevant.\n\nNote: A determination under subsection (1) may be varied under section 232 or 233 or revoked under section 233. Subsection 33(3) of the Acts Interpretation Act 1901 does not apply in relation to this section.\n\n","sortOrder":242},{"sectionNumber":"230","sectionType":"section","heading":"Biosecurity entry points for vessels and goods that are subject to biosecurity control","content":"230  Biosecurity entry points for vessels and goods that are subject to biosecurity control\n\n  A determination under subsection 229(1) in relation to a port may designate a specified area of the port as a biosecurity entry point for any of the following:\n\n (a) vessels generally, or a specified class of vessels, as referred to in paragraph 229(1)(a);\n\n (b) specified goods, or a specified class of goods, as referred to in paragraph 229(1)(b).\n\n","sortOrder":243},{"sectionNumber":"231","sectionType":"section","heading":"Determination may be subject to conditions","content":"231  Determination may be subject to conditions\n\n (1) A determination under subsection 229(1) in relation to a port may be expressed to be subject to conditions specified in the determination.\n\n (2) Without limiting subsection (1), the conditions may relate to any of the following:\n\n (a) an owner or lessee of the port;\n\n (b) a person or body that is responsible for carrying out operations at the port;\n\n (c) the operations carried out at the port.\n\n","sortOrder":244},{"sectionNumber":"232","sectionType":"section","heading":"Determination may have effect for specified period","content":"232  Determination may have effect for specified period\n\n (1) A determination under subsection 229(1) may be expressed to have effect for a specified period.\n\n (2) If a determination under subsection 229(1) is expressed to have effect for a specified period, the Director who made the determination may vary the determination to extend or shorten the period.\n\n","sortOrder":245},{"sectionNumber":"233","sectionType":"section","heading":"Variation and revocation of determination etc.","content":"233  Variation and revocation of determination etc.\n\n  If a determination is made under subsection 229(1) in relation to a port, the Director who made the determination may vary or revoke the determination, or vary the conditions specified in the determination (including by imposing new conditions), if the Director is satisfied that:\n\n (a) one or more requirements prescribed by regulations made for the purposes of paragraph 229(2)(a) in relation to the port are no longer being met; or\n\n (b) the level of biosecurity risk associated with operations carried out at the port has become unacceptable; or\n\n (c) a condition specified in the determination under section 231 has not been, or is not being, met; or\n\n (d) the port is no longer required to be a first point of entry for vessels or goods to which the determination relates; or\n\n (e) a circumstance prescribed by the regulations has occurred.\n\n","sortOrder":246},{"sectionNumber":"234","sectionType":"section","heading":"Determination is a legislative instrument","content":"234  Determination is a legislative instrument\n\n  Each of the following is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument:\n\n (a) a determination made under subsection 229(1);\n\n (b) an instrument that varies or revokes a determination made under subsection 229(1).\n\nPart 4—Entry points for incoming aircraft and vessels\n\n","sortOrder":247},{"sectionNumber":"235","sectionType":"section","heading":"Simplified outline of this Part","content":"235  Simplified outline of this Part\n\nThis Part makes provision in relation to the places (the entry points) in Australian territory where incoming aircraft and vessels can land or be moored.\n\nDivision 2 deals with entry points for aircraft. Unless permitted or directed to do otherwise, an aircraft must land at a first point of entry for the aircraft and, if there is a biosecurity entry point for the aircraft at that first point of entry, the aircraft must be brought to that biosecurity entry point.\n\nDivision 3 deals with entry points for vessels. Unless permitted or directed to do otherwise, a vessel must be moored at a first point of entry for the vessel and, if there is a biosecurity entry point for the vessel at that first point of entry, the vessel must be brought to that biosecurity entry point.\n\nDivision 4 allows for directions to be given requiring activities to control vectors to be carried out in first points of entry. Division 4 also provides for biosecurity officers and biosecurity enforcement officers to enter landing places or ports where an aircraft or vessel that is subject to biosecurity control has arrived, or intends to arrive, for the purpose of performing functions or exercising powers under this Act.\n\nDivision 2—Entry points for aircraft that intend to land in Australian territory\n\n236  Application of this Division\n\n  This Division applies in relation to an aircraft that intends to land at a landing place in Australian territory.\n\nNote: A reference in this Division to an aircraft does not include an aircraft brought or imported into Australian territory from outside Australian territory on board another conveyance (see subsection 16(3)).\n\n","sortOrder":248},{"sectionNumber":"237","sectionType":"section","heading":"Aircraft must land at first point of entry","content":"237  Aircraft must land at first point of entry\n\n (1) An aircraft that is subject to biosecurity control must not land at a landing place in Australian territory that is not a first point of entry for the aircraft, unless:\n\n (a) permission has been given under subsection 239(2) for the aircraft to land at that landing place; or\n\n (b) a direction has been given under paragraph 240(1)(a) or 242(1)(a) requiring the aircraft to land at that landing place.\n\n (b) the aircraft is subject to biosecurity control; and\n\n (c) the person permits the aircraft to land at a landing place in Australian territory that is not a first point of entry for the aircraft; and\n\n (ii) a direction has been given under paragraph 240(1)(a) or 242(1)(a) requiring the aircraft to land at that landing place.\n\n (3) The person in charge of an aircraft commits an offence if:\n\n (b) the operator of the aircraft permits the aircraft to land at a landing place in Australian territory that is not a first point of entry for the aircraft; and\n\n (ii) a direction has been given under paragraph 240(1)(a) or 242(1)(a) requiring the aircraft to land at that landing place.\n\n (4) The operator of an aircraft commits an offence if:\n\n (b) the person in charge of the aircraft permits the aircraft to land at a landing place in Australian territory that is not a first point of entry for the aircraft; and\n\n (ii) a direction has been given under paragraph 240(1)(a) or 242(1)(a) requiring the aircraft to land at that landing place.\n\n (5) The person in charge and the operator of an aircraft are each liable to a civil penalty if:\n\n (b) the aircraft lands at a landing place in Australian territory that is not a first point of entry for the aircraft; and\n\n (ii) a direction has been given under paragraph 240(1)(a) or 242(1)(a) requiring the aircraft to land at that landing place.\n\n","sortOrder":249},{"sectionNumber":"238","sectionType":"section","heading":"Aircraft must be brought to relevant biosecurity entry point (if any) at first point of entry","content":"238  Aircraft must be brought to relevant biosecurity entry point (if any) at first point of entry\n\n (a) an aircraft that is subject to biosecurity control has landed at a first point of entry for the aircraft; and\n\n (b) there is a biosecurity entry point for the aircraft at the first point of entry;\n\nthe aircraft must be brought to that biosecurity entry point as soon as practicable.\n\nNote: Goods that are to be unloaded from the aircraft must generally be brought to a biosecurity entry point (if any) for the goods (see sections 147 and 148).\n\n (b) the aircraft is subject to biosecurity control; and\n\n (c) the aircraft has landed at a first point of entry for the aircraft; and\n\n (d) there is a biosecurity entry point for the aircraft at the first point of entry; and\n\n (e) the person does not ensure that the aircraft is brought to that biosecurity entry point as soon as practicable.\n\n (3) The person in charge of an aircraft commits an offence if:\n\n (d) the operator of the aircraft does not ensure that the aircraft is brought to that biosecurity entry point as soon as practicable.\n\n (4) The operator of an aircraft commits an offence if:\n\n (d) the person in charge of the aircraft does not ensure that the aircraft is brought to that biosecurity entry point as soon as practicable.\n\n (5) The person in charge and the operator of an aircraft are each liable to a civil penalty if:\n\n (d) the aircraft is not brought to that biosecurity entry point as soon as practicable.\n\n","sortOrder":250},{"sectionNumber":"239","sectionType":"section","heading":"Permission for aircraft to land at landing place that is not first point of entry for aircraft","content":"239  Permission for aircraft to land at landing place that is not first point of entry for aircraft\n\n (1) The person in charge or the operator of an aircraft that intends to land at a landing place in Australian territory may, in writing, request the Director of Biosecurity or the Director of Human Biosecurity to give permission for the aircraft to land at a specified landing place in Australian territory that is not a first point of entry for the aircraft.\n\nNote: The person in charge and the operator of the aircraft may also request permission for goods to be unloaded at the specified landing place (see section 146).\n\n (2) If the Director of Biosecurity or the Director of Human Biosecurity receives a request under subsection (1), the Director may, by written notice to the person in charge or the operator of the aircraft, give permission for the aircraft to land at the landing place specified in the request.\n\n (3) The Director of Biosecurity or the Director of Human Biosecurity may give permission under subsection (2) subject to any conditions specified in the notice giving the permission.\n\n (5) The person in charge of an aircraft commits an offence if:\n\n (a) the operator of the aircraft has been given a permission under subsection (2); and\n\n (6) The operator of an aircraft commits an offence if:\n\n (a) the person in charge of the aircraft has been given a permission under subsection (2); and\n\n (7) The person in charge and the operator of an aircraft are each liable to a civil penalty if:\n\n (a) the person in charge or the operator of the aircraft has been given a permission under subsection (2); and\n\n","sortOrder":251},{"sectionNumber":"240","sectionType":"section","heading":"Direction requiring aircraft to land, or not to land, at specified landing place","content":"240  Direction requiring aircraft to land, or not to land, at specified landing place\n\n (1) Subject to subsections (2) and (3), a biosecurity officer may give the person in charge or the operator of an aircraft that intends to land at a landing place in Australian territory:\n\n (a) a direction requiring the aircraft to land at a specified landing place in Australian territory; or\n\n (b) a direction requiring the aircraft not to land at one or more specified landing places in Australian territory.\n\nNote: The person in charge or the operator of the aircraft may commit an offence or contravene a civil penalty provision for failing to comply with a direction given under this subsection (see section 243).\n\n (2) A direction may be given under paragraph (1)(a) or (b) only if a biosecurity officer is satisfied that the direction is necessary to manage biosecurity risks associated with the aircraft or any person or thing on board the aircraft.\n\n (3) A direction must not be given under paragraph (1)(b) requiring the aircraft not to land at any landing place in Australian territory.\n\nNote: A direction of this kind may be given under section 241.\n\n (4) A biosecurity officer must revoke a direction given under paragraph (1)(b) if a biosecurity officer is satisfied that the direction is no longer necessary to manage biosecurity risks associated with the aircraft or any person or thing on board the aircraft.\n\n (5) Subsection (4) does not, by implication, limit the power of a biosecurity officer to revoke a direction given under paragraph (1)(b).\n\n","sortOrder":252},{"sectionNumber":"241","sectionType":"section","heading":"Direction requiring aircraft not to land at any landing place in Australian territory","content":"241  Direction requiring aircraft not to land at any landing place in Australian territory\n\n (1) Subject to subsections (2) and (3), a biosecurity officer may give the person in charge or the operator of an aircraft that intends to land at a landing place in Australian territory a direction requiring the aircraft not to land at any landing place in Australian territory.\n\nNote: The person in charge or the operator of the aircraft may commit an offence or contravene a civil penalty provision for failing to comply with a direction given under this subsection (see section 243).\n\n (2) A biosecurity officer must not give a direction under subsection (1) without the written approval of the Director of Biosecurity.\n\nNote: Before giving approval under this subsection, the Director of Biosecurity must be satisfied of the matters referred to in subsection (3) and the matters referred to in section 32 (the principles).\n\n (3) The Director of Biosecurity must not give approval for a direction to be given under subsection (1) unless the Director is satisfied, on reasonable grounds, that:\n\n (a) the level of biosecurity risk associated with the aircraft or any person or thing on board the aircraft is unacceptable; and\n\n (b) biosecurity measures cannot be taken to reduce that level of biosecurity risk to an acceptable level.\n\n (4) The Director of Biosecurity must not give approval for a direction to be given under subsection (1) for the purpose of managing human health risks associated with the aircraft or any person or thing on board the aircraft.\n\n (5) A biosecurity officer must revoke a direction given under subsection (1) if the Director of Biosecurity is satisfied that:\n\n (a) the level of biosecurity risk associated with the aircraft or any person or thing on board the aircraft is no longer unacceptable; or\n\n (b) biosecurity measures can be taken to reduce the level of biosecurity risk associated with the aircraft or any person or thing on board the aircraft to an acceptable level; or\n\n (c) the direction should be revoked for any other reason.\n\n","sortOrder":253},{"sectionNumber":"242","sectionType":"section","heading":"Direction requiring aircraft to land, or not to land, at specified landing place—management of human health risks","content":"242  Direction requiring aircraft to land, or not to land, at specified landing place—management of human health risks\n\n (1) Subject to subsections (2) and (3), a chief human biosecurity officer or a human biosecurity officer may give the person in charge or the operator of an aircraft that intends to land at a landing place in Australian territory:\n\n (a) a direction requiring the aircraft to land at a specified landing place in Australian territory; or\n\n (b) a direction requiring the aircraft not to land at one or more specified landing places in Australian territory.\n\nNote: The person in charge or the operator of the aircraft may commit an offence or contravene a civil penalty provision for failing to comply with a direction given under this subsection (see section 243).\n\n (2) A direction may be given under paragraph (1)(a) or (b) only if a chief human biosecurity officer or a human biosecurity officer is satisfied, on reasonable grounds, that the direction is necessary to manage human health risks associated with the aircraft or any person or thing on board the aircraft.\n\n (3) A direction must not be given under paragraph (1)(b) requiring the aircraft not to land at any landing place in Australian territory.\n\n (4) A chief human biosecurity officer or a human biosecurity officer must revoke a direction given under paragraph (1)(b) if the officer is satisfied that the direction is no longer necessary to manage human health risks associated with the aircraft or any person or thing on board the aircraft.\n\n (5) Subsection (4) does not, by implication, limit the power of a chief human biosecurity officer or a human biosecurity officer to revoke a direction given under paragraph (1)(b).\n\n","sortOrder":254},{"sectionNumber":"243","sectionType":"section","heading":"Person who is given direction must comply with it","content":"243  Person who is given direction must comply with it\n\n (1) A person who is given a direction under a provision of this Division must comply with the direction.\n\nDivision 3—Entry points for vessels that intend to be moored in Australian territory\n\n","sortOrder":255},{"sectionNumber":"244","sectionType":"section","heading":"Application of this Division","content":"244  Application of this Division\n\n  This Division applies in relation to a vessel that intends to be moored at a port in Australian territory.\n\nNote 1: A reference in this Division to a vessel does not include a vessel brought or imported into Australian territory from outside Australian territory on board another conveyance (see subsection 16(4)).\n\nNote 2: A vessel includes an installation (see paragraph (b) of the definition of vessel in section 9, and the definition of installation in section 20).\n\n","sortOrder":256},{"sectionNumber":"245","sectionType":"section","heading":"Vessel must be moored at first point of entry","content":"245  Vessel must be moored at first point of entry\n\n (1) A vessel that is subject to biosecurity control must not be moored at a port in Australian territory that is not a first point of entry for the vessel, unless:\n\n (a) permission has been given under subsection 247(2) for the vessel to be moored at that port; or\n\n (b) a direction has been given under paragraph 248(1)(a) or 250(1)(a) requiring the vessel to be moored at that port.\n\n (b) the vessel is subject to biosecurity control; and\n\n (c) the person permits the vessel to be moored at a port in Australian territory that is not a first point of entry for the vessel; and\n\n (3) The person in charge of a vessel commits an offence if:\n\n (b) the operator of the vessel permits the vessel to be moored at a port in Australian territory that is not a first point of entry for the vessel; and\n\n (4) The operator of a vessel commits an offence if:\n\n (b) the person in charge of the vessel permits the vessel to be moored at a port in Australian territory that is not a first point of entry for the vessel; and\n\n (5) The person in charge and the operator of a vessel are each liable to a civil penalty if:\n\n (b) the vessel is moored at a port in Australian territory that is not a first point of entry for the vessel; and\n\n","sortOrder":257},{"sectionNumber":"246","sectionType":"section","heading":"Vessel must be brought to relevant biosecurity entry point (if any) at first point of entry","content":"246  Vessel must be brought to relevant biosecurity entry point (if any) at first point of entry\n\n (a) a vessel that is subject to biosecurity control has been moored at a first point of entry for the vessel; and\n\n (b) there is a biosecurity entry point for the vessel at the first point of entry;\n\nthe vessel must be brought to that biosecurity entry point as soon as practicable.\n\nNote: Goods that are to be unloaded from the vessel must generally be brought to a biosecurity entry point (if any) for the goods (see sections 147 and 148).\n\n (b) the vessel is subject to biosecurity control; and\n\n (c) the vessel has been moored at a first point of entry for the vessel; and\n\n (d) there is a biosecurity entry point for the vessel at the first point of entry; and\n\n (e) the person does not ensure that the vessel is brought to that biosecurity entry point as soon as practicable.\n\n (3) The person in charge of a vessel commits an offence if:\n\n (d) the operator of the vessel does not ensure that the vessel is brought to that biosecurity entry point as soon as practicable.\n\n (4) The operator of a vessel commits an offence if:\n\n (d) the person in charge of the vessel does not ensure that the vessel is brought to that biosecurity entry point as soon as practicable.\n\n (5) The person in charge and the operator of a vessel are each liable to a civil penalty if:\n\n (d) the vessel is not brought to that biosecurity entry point as soon as practicable.\n\n","sortOrder":258},{"sectionNumber":"247","sectionType":"section","heading":"Permission for vessel to be moored at port that is not first point of entry for vessel","content":"247  Permission for vessel to be moored at port that is not first point of entry for vessel\n\n (1) The person in charge or the operator of a vessel that intends to be moored at a port in Australian territory may, in writing, request the Director of Biosecurity or the Director of Human Biosecurity to give permission for the vessel to be moored at a specified port in Australian territory that is not a first point of entry for the vessel.\n\nNote: The person in charge or the operator of the vessel may also request permission for goods to be unloaded at the specified port (see section 146).\n\n (2) If the Director of Biosecurity or the Director of Human Biosecurity receives a request under subsection (1), the Director may, by written notice to the person in charge or the operator of the vessel, give permission for the vessel to be moored at the port specified in the request.\n\n (3) The Director of Biosecurity or the Director of Human Biosecurity may give permission under subsection (2) subject to any conditions specified in the notice giving the permission.\n\n (5) The person in charge of a vessel commits an offence if:\n\n (a) the operator of the vessel has been given a permission under subsection (2); and\n\n (6) The operator of a vessel commits an offence if:\n\n (a) the person in charge of the vessel has been given a permission under subsection (2); and\n\n (7) The person in charge and the operator of a vessel are each liable to a civil penalty if:\n\n (a) the person in charge or the operator of the vessel has been given a permission under subsection (2); and\n\n","sortOrder":259},{"sectionNumber":"248","sectionType":"section","heading":"Direction requiring vessel to be moored, or not to be moored, at specified port","content":"248  Direction requiring vessel to be moored, or not to be moored, at specified port\n\n (1) Subject to subsections (2) and (3), a biosecurity officer may give the person in charge or the operator of a vessel that intends to be moored at a port in Australian territory:\n\n (a) a direction requiring the vessel to be moored at a specified port in Australian territory; or\n\n (b) a direction requiring the vessel not to be moored at one or more specified ports in Australian territory.\n\nNote: The person in charge or the operator of the vessel may commit an offence or contravene a civil penalty provision for failing to comply with a direction given under this subsection (see section 251).\n\n (2) A direction may be given under paragraph (1)(a) or (b) only if a biosecurity officer is satisfied that the direction is necessary to manage biosecurity risks associated with the vessel or any person or thing on board the vessel.\n\n (3) A direction must not be given under paragraph (1)(b) requiring the vessel not to be moored at any port in Australian territory.\n\nNote: A direction of this kind may be given under section 249.\n\n (4) A biosecurity officer must revoke a direction given under paragraph (1)(b) if a biosecurity officer is satisfied that the direction is no longer necessary to manage biosecurity risks associated with the vessel or any person or thing on board the vessel.\n\n (5) Subsection (4) does not, by implication, limit the power of a biosecurity officer to revoke a direction given under paragraph (1)(b).\n\n","sortOrder":260},{"sectionNumber":"249","sectionType":"section","heading":"Direction requiring vessel not to be moored at any port in Australian territory","content":"249  Direction requiring vessel not to be moored at any port in Australian territory\n\n (1) Subject to subsections (2) and (3), a biosecurity officer may give the person in charge or the operator of a vessel that intends to be moored at a port in Australian territory a direction requiring the vessel not to be moored at any port in Australian territory.\n\nNote: The person in charge or the operator of the vessel may commit an offence or contravene a civil penalty provision for failing to comply with a direction given under this subsection (see section 251).\n\n (2) A biosecurity officer must not give a direction under subsection (1) without the written approval of the Director of Biosecurity.\n\nNote: Before giving approval under this subsection, the Director of Biosecurity must be satisfied of the matters referred to in subsection (3) and the matters referred to in section 32 (the principles).\n\n (3) The Director of Biosecurity must not give approval for a direction to be given under subsection (1) unless the Director is satisfied, on reasonable grounds, that:\n\n (a) the level of biosecurity risk associated with the vessel or any person or thing on board the vessel is unacceptable; and\n\n (b) biosecurity measures cannot be taken to reduce that level of biosecurity risk to an acceptable level.\n\n (4) A direction must not be given under subsection (1) for the purpose of managing human health risks associated with the vessel or any person or thing on board the vessel.\n\n (5) A biosecurity officer must revoke a direction given under subsection (1) if the Director of Biosecurity is satisfied that:\n\n (a) the level of biosecurity risk associated with the vessel or any person or thing on board the vessel is no longer unacceptable; or\n\n (b) biosecurity measures can be taken to reduce the level of biosecurity risk associated with the vessel or any person or thing on board the vessel to an acceptable level; or\n\n (c) the direction should be revoked for any other reason.\n\n","sortOrder":261},{"sectionNumber":"250","sectionType":"section","heading":"Direction requiring vessel to be moored, or not to be moored, at specified port—management of human health risks","content":"250  Direction requiring vessel to be moored, or not to be moored, at specified port—management of human health risks\n\n (1) Subject to subsections (2) and (3), a chief human biosecurity officer or a human biosecurity officer may give the person in charge or the operator of a vessel that intends to be moored at a port in Australian territory:\n\n (a) a direction requiring the vessel to be moored at a specified port in Australian territory; or\n\n (b) a direction requiring the vessel not to be moored at one or more specified ports in Australian territory.\n\nNote: The person in charge or the operator of the vessel may commit an offence or contravene a civil penalty provision for failing to comply with a direction given under this subsection (see section 251).\n\n (2) A direction may be given under paragraph (1)(a) or (b) only if a chief human biosecurity officer or a human biosecurity officer is satisfied, on reasonable grounds, that the direction is necessary to manage human health risks associated with the vessel or any person or thing on board the vessel.\n\n (3) A direction must not be given under paragraph (1)(b) requiring the vessel not to be moored at any port in Australian territory.\n\n (4) A chief human biosecurity officer or a human biosecurity officer must revoke a direction given under paragraph (1)(b) if the officer is satisfied that the direction is no longer necessary to manage human health risks associated with the vessel or any person or thing on board the vessel.\n\n (5) Subsection (4) does not, by implication, limit the power of a chief human biosecurity officer or a human biosecurity officer to revoke a direction given under paragraph (1)(b).\n\n","sortOrder":262},{"sectionNumber":"251","sectionType":"section","heading":"Person who is given direction must comply with it","content":"251  Person who is given direction must comply with it\n\n (1) A person who is given a direction under a provision of this Division must comply with the direction.\n\nDivision 4—Miscellaneous\n\n","sortOrder":263},{"sectionNumber":"252","sectionType":"section","heading":"Biosecurity officer etc. may enter landing places or ports","content":"252  Biosecurity officer etc. may enter landing places or ports\n\n (1) This section applies in relation to the following premises:\n\n (a) a landing place in Australian territory where an aircraft that is subject to biosecurity control has landed or intends to land;\n\n (b) a port in Australian territory where a vessel that is subject to biosecurity control has been moored or intends to be moored.\n\n (2) A biosecurity officer or a biosecurity enforcement officer may enter the premises at any time for the purpose of performing functions, or exercising powers, under this Act.\n\nNote 1: Before entering premises under this subsection, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 2: For the obligations and powers of biosecurity enforcement officers entering premises under this section, see Part 5 of Chapter 9.\n\n (3) However, a biosecurity officer is not authorised to enter premises under subsection (2) unless a biosecurity enforcement officer accompanies the biosecurity officer.\n\n (4) In this section, premises does not include a conveyance.\n\nNote: A biosecurity enforcement officer may also enter a landing place or port that is a first point of entry for monitoring and searching purposes (see Division 2 of Part 5 of Chapter 9).\n\n","sortOrder":264},{"sectionNumber":"252A","sectionType":"section","heading":"Direction to operator of first point of entry to carry out activities to control vectors","content":"252A  Direction to operator of first point of entry to carry out activities to control vectors\n\n (1) The Director of Human Biosecurity or a chief human biosecurity officer for a State or Territory may, in writing, direct the operator of a first point of entry to carry out specified activities within the area of a first point of entry to control a vector if the Director or chief has reasonable grounds to believe that carrying out those activities in that area is necessary to ensure that the vector has not spread into, or is not likely to become established in, the area.\n\n (2) A chief human biosecurity officer for a State or Territory may give a direction under subsection (1) to an operator of a first point of entry only if the first point of entry is in the State or Territory.\n\nOffence and civil penalty\n\n (3) A person commits an offence if:\n\n (a) the person is given a direction under this section; and\n\n (b) the person fails to comply with the direction.\n\n (4) A person who is given a direction must comply with the direction.\n\n","sortOrder":265},{"sectionNumber":"Part 5","sectionType":"part","heading":"Ship sanitation","content":"Part 5—Ship sanitation\n\n","sortOrder":266},{"sectionNumber":"253","sectionType":"section","heading":"Simplified outline of this Part","content":"253  Simplified outline of this Part\n\nThis Part provides for the regulations to prescribe a scheme to give effect to Australia’s rights and obligations in relation to ship sanitation for the purposes of the International Health Regulations.\n\nDivision 2—Ship sanitation\n\n","sortOrder":267},{"sectionNumber":"254","sectionType":"section","heading":"Application of this Division","content":"254  Application of this Division\n\n  This Division applies in relation to vessels that are in Australian territory and that:\n\n (a) have entered Australian territory during a voyage that commenced outside Australian territory; or\n\n (b) intend to leave Australian territory.\n\n","sortOrder":268},{"sectionNumber":"255","sectionType":"section","heading":"Regulations may prescribe scheme in relation to ship sanitation","content":"255  Regulations may prescribe scheme in relation to ship sanitation\n\n (1) The regulations may prescribe a scheme providing for the following:\n\n (a) the meaning of sanitation health risk;\n\n (b) determining the level of sanitation health risk associated with a vessel;\n\n (c) the circumstances in which the level of sanitation health risk associated with a vessel is unacceptable;\n\n (d) certificates (to be called ship sanitation certificates) to be issued in relation to the level of sanitation health risk associated with a vessel;\n\n (e) recognising such certificates issued by, or on behalf of, competent authorities;\n\n (f) the circumstances in which a vessel in a port declared under section 256 may, at the request of the operator of the vessel, be inspected for the purposes of the scheme;\n\n (g) measures that the operator of a vessel may take to manage sanitation health risks associated with the vessel for the purposes of certification under the scheme;\n\n (h) the circumstances in which section 257 (assessing and managing sanitation health risks) applies to a vessel in a port in Australian territory;\n\n (i) without limiting Division 3 of Part 2 of Chapter 11, disclosing information obtained under the scheme to any of the following:\n\n (i) a Commonwealth body;\n\n (ii) a State or Territory body;\n\n (iii) a biosecurity industry participant;\n\n (iv) a competent authority;\n\n (j) classes of vessels to which the scheme does not apply.\n\nNote: The regulations may prescribe decisions made under the scheme that are reviewable decisions (see subsection 574(2)).\n\n (2) Without limiting subsection (1), the scheme may provide for the following matters in relation to the certificates referred to in paragraphs (1)(d) and (e):\n\n (a) extending the period for which a certificate remains in force;\n\n (b) who may issue or extend a certificate;\n\n (c) the form and content of a certificate;\n\n (d) making notes on a certificate.\n\nGiving effect to International Health Regulations\n\n (3) The scheme must be appropriate and adapted to give effect to Australia’s rights and obligations in relation to ship sanitation under the International Health Regulations.\n\n","sortOrder":269},{"sectionNumber":"256","sectionType":"section","heading":"Declaring ports at which vessels may be inspected for the purposes of the scheme","content":"256  Declaring ports at which vessels may be inspected for the purposes of the scheme\n\n (1) The Director of Human Biosecurity may declare that a port in Australian territory is a port at which a vessel may be inspected for the purposes of the scheme referred to in subsection 255(1).\n\n (2) The Director of Human Biosecurity must consult the Director of Biosecurity before making a declaration under subsection (1).\n\n (3) A declaration made under subsection (1) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the declaration.\n\n","sortOrder":270},{"sectionNumber":"257","sectionType":"section","heading":"Assessing and managing sanitation health risks","content":"257  Assessing and managing sanitation health risks\n\n (1) This section applies to a vessel in a port in Australian territory in the circumstances provided for by the scheme under paragraph 255(1)(h).\n\n (2) The following provisions of this Act (the applied provisions) apply in relation to the vessel, subject to the modifications set out in subsections (4) to (6), in the same way as those provisions apply in relation to a vessel that is subject to biosecurity control because of subsection 191(2):\n\n (a) Division 4 of Part 2 of this Chapter (assessment of level of biosecurity risk);\n\n (b) Division 5 of Part 2 of this Chapter (biosecurity measures to manage unacceptable level of biosecurity risk), other than the following provisions:\n\n (i) section 208 (to the extent that that section permits a biosecurity officer to require a conveyance to be treated in a manner that is likely to damage the conveyance);\n\n (ii) section 209 (treatment that may damage conveyance);\n\n (iii) section 210 (destruction of conveyance);\n\n (c) sections 552 to 557 (functions and powers of biosecurity officers and biosecurity enforcement officers);\n\n (d) sections 629 and 630 (abandoned and forfeited conveyances);\n\n (e) any other provision of this Act to the extent that it relates to the provisions applied by paragraphs (a) to (d).\n\n (3) The application of the applied provisions under this section is in addition to, and does not limit, any application that the applied provisions would otherwise have in relation to the vessel.\n\nModifications of the applied provisions\n\n (4) A reference in the applied provisions to the level of biosecurity risk associated with the vessel is taken to be a reference to the level of sanitation health risk associated with the vessel.\n\n (5) A reference in the applied provisions to biosecurity measures is taken to be a reference to measures to manage sanitation health risks.\n\n (6) A reference in the applied provisions to a biosecurity officer is taken to include a reference to a human biosecurity officer, and a reference to the Director of Biosecurity is taken to include a reference to the Director of Human Biosecurity.\n\nChapter 5—Ballast water and sediment\n\nPart 1—Application and interpretation\n\n258  Simplified outline of this Part\n\nThis Part describes how the scheme in this Chapter, which deals with the ballast water and sediment of vessels, applies.\n\nThis Part also gives special meanings to certain expressions used in this Chapter, and sets out the relationship between this Chapter and other laws of the Commonwealth and States and Territories.\n\nDivision 2—Application and interpretation\n\n","sortOrder":271},{"sectionNumber":"259","sectionType":"section","heading":"Extension of Chapter to every external Territory","content":"259  Extension of Chapter to every external Territory\n\n  This Chapter extends to every external Territory.\n\n","sortOrder":272},{"sectionNumber":"260","sectionType":"section","heading":"Vessels in dry dock in Australia","content":"260  Vessels in dry dock in Australia\n\n  For the purposes of this Chapter, a vessel that is in dry dock in Australia is taken to be in the territorial sea of Australia.\n\n","sortOrder":273},{"sectionNumber":"261","sectionType":"section","heading":"Foreign vessels and the Australian Antarctic Territory","content":"261  Foreign vessels and the Australian Antarctic Territory\n\n (1) For the purposes of this Chapter, a foreign vessel that is within the outer limits of the territorial sea of the Australian Antarctic Territory is taken not to be in Australian seas.\n\n (2) In addition, a foreign vessel:\n\n (a) whose Administration is a party to the Ballast Water Convention; and\n\n (b) that is within the outer limits of the exclusive economic zone adjacent to the coast of the Australian Antarctic Territory;\n\nis also taken not to be in Australian seas.\n\n","sortOrder":274},{"sectionNumber":"262","sectionType":"section","heading":"References to the person in charge of a vessel do not include persons exercising certain powers","content":"262  References to the person in charge of a vessel do not include persons exercising certain powers\n\n  For the purposes of this Chapter, a reference to the person in charge of a vessel does not include a reference to a person exercising powers under an Australian law.\n\n","sortOrder":275},{"sectionNumber":"263","sectionType":"section","heading":"Permanent ballast water in sealed tanks not subject to this Chapter","content":"263  Permanent ballast water in sealed tanks not subject to this Chapter\n\n  This Chapter does not apply in relation to permanent ballast water that is in a sealed tank on a vessel and is not discharged from the vessel.\n\n263A  Warships, naval auxiliary or other vessels owned or operated by the Australian government or the government of a foreign country\n\n  This Chapter does not apply in relation to vessels referred to in Article 3.2(e) of the Ballast Water Convention.\n\nNote: Article 3.2(e) of the Ballast Water Convention refers to “any warship, naval auxiliary or other ship owned or operated by a State and used, for the time being, only on government non‑commercial service”.\n\n","sortOrder":276},{"sectionNumber":"264","sectionType":"section","heading":"Relationship with other Commonwealth laws","content":"264  Relationship with other Commonwealth laws\n\n  The provisions of this Chapter are in addition to, not in substitution for, any other law of the Commonwealth.\n\n","sortOrder":277},{"sectionNumber":"265","sectionType":"section","heading":"Relationship with State and Territory laws","content":"265  Relationship with State and Territory laws\n\n (1) This Chapter applies (subject to subsection (2)) to the exclusion of a law, or a provision of a law, of a State or Territory to the extent that the law or provision deals with biosecurity risks associated with ballast water or sediment.\n\n (2) This Chapter does not exclude or limit the concurrent operation of a law, or a provision of a law, of a State or Territory to the extent that the law or provision deals with the treatment or disposal of ballast water or sediment after it has been removed from a vessel.\n\nPart 2—Notice of discharge of ballast water in Australian territorial seas\n\n","sortOrder":278},{"sectionNumber":"266","sectionType":"section","heading":"Simplified outline of this Part","content":"266  Simplified outline of this Part\n\nThe operator of a vessel must give a report if it is intended that the vessel discharge, or the vessel discharges, ballast water in Australian territorial seas. If the operator later finds the report was incomplete or incorrect, the operator must give additional or corrected information.\n\nDivision 2—Reporting ballast water discharges\n\n","sortOrder":279},{"sectionNumber":"267","sectionType":"section","heading":"Reporting ballast water discharges in Australian territorial seas","content":"267  Reporting ballast water discharges in Australian territorial seas\n\n (1) The operator of a vessel must give a report if it is intended that the vessel discharge, or the vessel discharges, ballast water in Australian territorial seas.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\nNote 2: The obligation in this subsection applies whether or not the operator of the vessel is in Australian territory when the operator is required to give the report (see subsection (7) of this section).\n\n (a) include the information in relation to the vessel that is prescribed by the determination under section 308A; and\n\n (b) be given in the manner, and to the person, prescribed by the determination; and\n\n (c) be given at a time, or during the period, prescribed by the determination (which may be before or after the vessel enters Australian territorial seas as referred to in subsection (1)); and\n\nNote: The determination may prescribe different requirements for reports for different classes of vessels (see subsection 33(3A) of the Acts Interpretation Act 1901).\n\n (3) The determination under section 308A may prescribe exceptions to the requirement to give a report under this section.\n\nNote: A defendant bears an evidential burden in relation to any exception prescribed for the purposes of this subsection (see subsection 13.3(3) of the Criminal Code and section 96 of the Regulatory Powers Act).\n\nFailure to give report\n\n (4) A person contravenes this subsection if:\n\n (a) the person is required to give a report under subsection (1); and\n\n (b) the person does not give the report in accordance with subsection (2).\n\nNote: The physical elements of an offence against subsection (5) are set out in this subsection (see section 534).\n\n (5) A person commits an offence if the person contravenes subsection (4).\n\n (7) Subsections (4), (5) and (6) apply whether or not the person is in Australian territory when the person is required to give the report.\n\n","sortOrder":280},{"sectionNumber":"268","sectionType":"section","heading":"Reporting ballast water discharges in Australian territorial seas—requirement to give additional or corrected information","content":"268  Reporting ballast water discharges in Australian territorial seas—requirement to give additional or corrected information\n\n (a) the operator of a vessel gives a report in relation to the vessel under section 267; and\n\n (b) the person in charge or the operator of the vessel becomes aware that the information included in the report was incomplete or incorrect;\n\nthe operator must give the additional or corrected information to a biosecurity officer as soon as practicable.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information or documents (see sections 137.1 and 137.2 of the Criminal Code and sections 532 and 533 of this Act).\n\nNote 2: The obligation in this subsection applies whether or not the operator of the vessel is in Australian territory when the person in charge or the operator of the vessel becomes aware that the information included in a report given under section 267 was incomplete or incorrect (see subsection (5) of this section).\n\nFailure to give information\n\n (3) A person commits an offence if the person contravenes subsection (2).\n\n (4) A person is liable to a civil penalty if the person contravenes subsection (2).\n\n (5) Subsections (2), (3) and (4) apply whether or not the person is in Australian territory when the person is required to give the information.\n\nPart 3—Management of discharge of ballast water\n\n269  Simplified outline of this Part\n\nDivision 2 provides an offence of discharging ballast water. For an Australian vessel, the offence applies whether the vessel is in or outside Australian seas. For a foreign vessel, the offence applies only if the vessel is in Australian seas.\n\nThe rest of this Part sets out exceptions to the offence that may apply if:\n\n (a) the ballast water was managed for discharge by an approved method of ballast water management, or by ballast water exchange (Division 3); or\n\n (b) the discharge was part of an acceptable ballast water exchange (Division 4); or\n\n (c) the discharge was an approved discharge of ballast water to a ballast water reception facility (Division 5); or\n\n (d) the discharge was covered by an exemption (Division 6, which also provides for the Director of Biosecurity to prescribe and grant exemptions); or\n\n (e) the ballast water was discharged at or near the place where it was taken up into the vessel (Division 7); or\n\n (f) the ballast water was discharged for reasons of safety, by accident or in order to avoid or minimise pollution (Division 8, which also sets out reporting requirements for such discharges).\n\nDivision 2—Offence of discharging ballast water\n\n","sortOrder":281},{"sectionNumber":"270","sectionType":"section","heading":"Offence—discharging ballast water","content":"270  Offence—discharging ballast water\n\n (c) the vessel discharges ballast water (whether in or outside Australian seas).\n\nNote: The physical elements of offences against subsections (2) and (3) are set out in this subsection (see section 534).\n\n (1A) A person contravenes this subsection if:\n\n (d) the vessel discharges ballast water.\n\nNote: The physical elements of offences against subsections (2) and (3) are set out in this subsection (see section 534).\n\n (2) A person commits an offence if the person contravenes subsection (1) or (1A).\n\n (3) A person commits an offence of strict liability if the person contravenes subsection (1) or (1A).\n\nPenalty: 500 penalty units.\n\n (4) Subsections (1) and (1A) do not apply if:\n\n (a) the condition in section 271, 276, 277, 278A, 279, 282, or subsection 283(1), (2) or (3), is met in relation to the discharge of ballast water; and\n\n (b) either of the following applies:\n\n (i) the vessel has a ballast water management plan, and a ballast water management certificate is in force for the vessel;\n\n (ii) the vessel is prescribed for the purposes of subsection 285A(3) or is granted an exemption under the scheme prescribed for the purposes of section 285B; and\n\n (c) if subparagraph (b)(i) of this subsection applies—the management of the ballast water was carried out in accordance with the ballast water management plan; and\n\n (d) if subparagraph (b)(ii) of this subsection applies—any condition of the exemption granted under the scheme prescribed for the purposes of section 285B has been met.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see subsection 13.3(3) of the Criminal Code).\n\nDivision 3—Exceptions: ballast water management\n\nSubdivision A—Exception\n\n271  Exception—ballast water has been managed for discharge\n\n  The condition in this section is met in relation to a discharge of ballast water from a vessel if the ballast water has been managed for discharge in accordance with this Division.\n\nSubdivision B—Methods of ballast water management\n\n","sortOrder":282},{"sectionNumber":"272","sectionType":"section","heading":"Approved method of ballast water management","content":"272  Approved method of ballast water management\n\n  Ballast water discharged from a vessel has been managed for discharge if:\n\n (a) the ballast water has been managed using a method of ballast water management approved for the purposes of section 273 or 274; and\n\n (b) at the time the ballast water is discharged, the vessel has appropriate ballast water records; and\n\n (d) the requirements (if any) prescribed by the determination under section 308A are met in relation to the management and discharge of the ballast water.\n\nNote 1: For when a vessel has appropriate ballast water records, see section 295.\n\nNote 2: The determination may prescribe matters by reference to other instruments as in force or existing from time to time (see section 308).\n\n","sortOrder":283},{"sectionNumber":"273","sectionType":"section","heading":"Method of ballast water management—application for approval","content":"273  Method of ballast water management—application for approval\n\n (1) An application may be made, in accordance with the determination under section 308A, for the Director of Biosecurity to approve a method of ballast water management.\n\nNote 1: A method of ballast water management may be a ballast water treatment system, a prototype ballast water treatment system or some other method.\n\nNote 2: An application fee may be required (see paragraph 592(4)(b)).\n\n (a) grant the approval; or\n\n (b) refuse to grant the approval.\n\nNote: A decision to refuse to grant an approval is a reviewable decision (see Part 1 of Chapter 11).\n\n (3) The Director of Biosecurity must make a decision under subsection (2) in accordance with the determination under section 308A.\n\nNote: The determination may prescribe matters by reference to other instruments as in force or existing from time to time (see section 308).\n\n (4) The Director of Biosecurity must make a decision and give notice under subsection (2) before the end of 28 days after the application was made.\n\n (5) If the Director of Biosecurity does not give notice under subsection (2) within the 28‑day period referred to in subsection (4), the Director is taken to have refused to grant the approval at the end of that period.\n\n (6) A copy of a notice granting an approval under subsection (2) must be published on the Agriculture Department’s website.\n\nDirector of Biosecurity may require further information\n\n (7) The Director of Biosecurity may, by written notice, require a person who has made an application under subsection (1) to give the Director further information about the application.\n\n (8) If a notice is given under subsection (7):\n\n (a) the 28‑day period referred to in subsection (4) stops on the day the notice is given; and\n\n (b) that period begins again on the day after the information is given to the Director.\n\n","sortOrder":284},{"sectionNumber":"274","sectionType":"section","heading":"Method of ballast water management—approval of method approved by foreign country","content":"274  Method of ballast water management—approval of method approved by foreign country\n\n  The determination under section 308A may specify a method of ballast water management that is approved, for the purposes of this section, if the method has been approved, in accordance with the Ballast Water Convention, by a foreign country.\n\nSubdivision C—Ballast water exchange\n\n","sortOrder":285},{"sectionNumber":"275","sectionType":"section","heading":"Management by ballast water exchange","content":"275  Management by ballast water exchange\n\n (1) Ballast water discharged from a tank on a vessel has been managed for discharge if:\n\n (a) at least the proportion (by volume), prescribed by the determination under section 308A, of the ballast water in the tank immediately before the discharge had been taken up in an acceptable ballast water exchange; and\n\n (b) at the time the ballast water is discharged, the vessel has appropriate ballast water records; and\n\n (c) the vessel is not specified by the determination to be excluded from the operation of this section.\n\nNote 1: For when a vessel has appropriate ballast water records, see section 295.\n\nNote 2: For tank, see section 9.\n\n (2) The determination under section 308A may prescribe a method for working out whether, for the purposes of subsection (1), the prescribed proportion of the ballast water in the tank of a vessel has been taken up.\n\n (3) A ballast water exchange is an acceptable ballast water exchange if it is conducted:\n\n (a) in an area prescribed, or an area meeting requirements prescribed, by the determination under section 308A to be an acceptable location for ballast water exchange; and\n\n (c) in accordance with the requirements (if any) prescribed by the determination.\n\nNote: A person does not commit an offence under section 270 for discharging ballast water as part of an acceptable ballast water exchange, even if that ballast water has not been managed for discharge (see section 276).\n\nDivision 4—Exception: discharge as part of acceptable ballast water exchange\n\n","sortOrder":286},{"sectionNumber":"276","sectionType":"section","heading":"Exception—discharge as part of acceptable ballast water exchange","content":"276  Exception—discharge as part of acceptable ballast water exchange\n\n  The condition in this section is met in relation to a discharge of ballast water from a vessel if the discharge is part of an acceptable ballast water exchange.\n\nDivision 5—Exception: approved discharge to ballast water reception facility\n\n","sortOrder":287},{"sectionNumber":"277","sectionType":"section","heading":"Exception—approved discharge to ballast water reception facility","content":"277  Exception—approved discharge to ballast water reception facility\n\n (a) the ballast water is discharged to a ballast water reception facility:\n\n (i) in accordance with an approval given by the Director of Biosecurity under section 278; or\n\n (ii) that has been provided, or approved, in accordance with IMO guidelines; and\n\n (b) the ballast water is treated or disposed of at the facility in accordance with the approval.\n\n","sortOrder":288},{"sectionNumber":"278","sectionType":"section","heading":"Discharge to ballast water reception facility—application for approval","content":"278  Discharge to ballast water reception facility—application for approval\n\n (1) An application may be made, in accordance with the determination under section 308A, for the Director of Biosecurity to approve:\n\n (a) one or more discharges of ballast water to a ballast water reception facility in Australian territory; and\n\n (b) the manner in which the ballast water is to be treated or disposed of at the facility.\n\nNote: An application fee may be required (see paragraph 592(4)(b)).\n\n (a) grant the approval; or\n\n (b) refuse to grant the approval.\n\nNote: A decision to refuse to grant an approval is a reviewable decision (see Part 1 of Chapter 11).\n\n (3) The Director of Biosecurity:\n\n (a) must make a decision under subsection (2) in accordance with the determination under section 308A; and\n\n (b) must not approve a manner of treating or disposing of the ballast water that would contravene a law of a State or Territory.\n\nNote: For the relationship between this Chapter and State and Territory laws, see section 265.\n\n (4) The Director of Biosecurity must make a decision and give notice under subsection (2) before the end of 28 days after the application was made.\n\n (5) If the Director of Biosecurity does not give notice under subsection (2) within the 28‑day period referred to in subsection (4), the Director is taken to have refused to grant the approval at the end of that period.\n\nDirector of Biosecurity may require further information\n\n (6) The Director of Biosecurity may, by written notice, require a person who has made an application under subsection (1) to give the Director further information about the application.\n\n (7) If a notice is given under subsection (6):\n\n (a) the 28‑day period referred to in subsection (4) stops on the day the notice is given; and\n\n (b) that period begins again on the day after the information is given to the Director.\n\nDivision 6—Exception: discharge covered by exemption\n\n","sortOrder":289},{"sectionNumber":"278A","sectionType":"section","heading":"Exception—discharge covered by prescribed conditions","content":"278A  Exception—discharge covered by prescribed conditions\n\n (1) The condition in this section is met in relation to a discharge of ballast water from a vessel if conditions prescribed by the determination under section 308A for the purposes of this section are met in relation to the discharge.\n\n (2) The Director of Biosecurity may prescribe conditions for the purposes of this section only if he or she is satisfied that those conditions are consistent with the objects of this Act.\n\n","sortOrder":290},{"sectionNumber":"279","sectionType":"section","heading":"Exception—discharge covered by exemption","content":"279  Exception—discharge covered by exemption\n\n (a) the discharge is covered by an exemption granted under section 280; and\n\n (b) the conditions of the exemption (if any) have been complied with.\n\n","sortOrder":291},{"sectionNumber":"280","sectionType":"section","heading":"Director of Biosecurity may grant exemptions","content":"280  Director of Biosecurity may grant exemptions\n\n (1) An application may be made, in a manner acceptable to the Director of Biosecurity, for an exemption for one or more discharges of ballast water from a vessel that:\n\n (a) are to be connected with one or more of the vessel’s voyages between specified ports, offshore terminals or other locations; and\n\n (b) are to be of ballast water taken up in one or more of those ports, offshore terminals or other locations; and\n\n (c) are to occur within a specified period of not more than 5 years.\n\nNote: An application fee may be required (see paragraph 592(4)(b)).\n\n (a) grant the exemption:\n\n (i) in whole or in part; and\n\n (ii) subject to the conditions (if any) specified in the notice; or\n\n (b) refuse to grant the exemption.\n\nNote 1: A decision to refuse to grant an exemption, or a decision to impose a condition on an exemption, is a reviewable decision (see Part 1 of Chapter 11).\n\nNote 2: An exemption may be varied or revoked under section 281. Subsection 33(3) of the Acts Interpretation Act 1901 does not apply in relation to subsection (2) of this section.\n\n (3) The Director of Biosecurity must make a decision under subsection (2) in accordance with the determination under section 308A.\n\n (4) The Director of Biosecurity must make a decision and give notice under subsection (2) before the end of 28 days after the application was made.\n\n (5) If the Director of Biosecurity does not give notice under subsection (2) within the 28‑day period referred to in subsection (4), the Director is taken to have refused to grant the exemption at the end of that period.\n\nDecisions made by computer\n\n (6) The Director of Biosecurity may arrange for the use, under the Director’s control, of computer programs for making decisions on the granting or refusal of exemptions or the conditions to be imposed on exemptions.\n\n (7) A decision made by the operation of a computer program under an arrangement made under subsection (6) is taken to be a decision made by the Director of Biosecurity.\n\n","sortOrder":292},{"sectionNumber":"281","sectionType":"section","heading":"Variation and revocation of exemption","content":"281  Variation and revocation of exemption\n\n  The Director of Biosecurity may, at any time, vary or revoke an exemption granted under section 280, by writing given to the owner, person in charge or operator of the vessel to which the exemption relates, or to an agent of the vessel, if the Director is satisfied that:\n\n (a) a condition of the exemption has been contravened; or\n\n (b) the exemption would not be granted if an application for the exemption were made at that time.\n\nNote: A decision to vary or revoke an exemption is a reviewable decision (see Part 1 of Chapter 11).\n\nDivision 7—Exception: taking up and discharging ballast water at same place\n\n","sortOrder":293},{"sectionNumber":"282","sectionType":"section","heading":"Exception—taking up and discharging ballast water at same place","content":"282  Exception—taking up and discharging ballast water at same place\n\n (a) all the ballast water discharged was taken up at a port, offshore terminal or another point; and\n\n (b) that ballast water was not mixed with other ballast water that had not been managed for discharge in accordance with Division 3 of this Part; and\n\n (c) the discharge occurs at the port or offshore terminal, or within 1 nautical mile of the other point, where the ballast water was taken up.\n\nDivision 8—Exceptions and reporting requirements relating to safety, accidents and pollution\n\n","sortOrder":294},{"sectionNumber":"283","sectionType":"section","heading":"Exceptions—safety, accidents and pollution","content":"283  Exceptions—safety, accidents and pollution\n\nSafety\n\n (1) The condition in this subsection is met in relation to a discharge of ballast water from a vessel if the discharge is necessary for the purpose of:\n\nAccidents\n\n (2) The condition in this subsection is met in relation to a discharge of ballast water from a vessel if:\n\n (a) the discharge is accidental and results from damage to the vessel or its equipment; and\n\n (b) all reasonable precautions to prevent or minimise the discharge are taken at the following times:\n\n (i) before and after the occurrence of the damage;\n\n (ii) before and after the discovery of the damage;\n\n (iii) before and after the discovery of the discharge; and\n\nAvoiding or minimising pollution\n\n (3) The condition in this subsection is met in relation to a discharge of ballast water from a vessel if the discharge is for the purpose of avoiding or minimising pollution from the vessel.\n\n","sortOrder":295},{"sectionNumber":"284","sectionType":"section","heading":"Report of discharge relating to safety, accident or pollution","content":"284  Report of discharge relating to safety, accident or pollution\n\nReport of discharge must be made to Director of Biosecurity\n\n (a) the vessel discharges ballast water in Australian territorial seas; and\n\n (b) the discharge is:\n\n (i) for the purpose of ensuring the safety of the vessel in an emergency or saving life at sea; or\n\n (ii) accidental; or\n\n (a) set out the reason for the discharge; and\n\n (b) be made as soon as practicable, and in any case within 24 hours, after a member of the vessel’s crew becomes aware of the discharge.\n\n (3) Subsection (1) does not apply in relation to a discharge of ballast water if the discharge is covered by an exception referred to in section 271, 276, 277, 278A, 279 or 282.\n\nNote 1: Those sections deal with ballast water that has been managed for discharge, ballast water discharged as part of an acceptable ballast water exchange, ballast water discharged to a ballast water reception facility, discharges covered by exemptions and ballast water taken up and discharged at the same place.\n\nNote 2: A defendant bears an evidential burden in relation to the matter in this subsection (see subsection 13.3(3) of the Criminal Code).\n\n (b) a report under subsection (1) is required to be made in relation to the vessel; and\n\n (c) the report is not made in accordance with this section.\n\nPenalty for contravention of this subsection: 120 penalty units.\n\nPart 4—Ballast water management plans and ballast water management certificates\n\n","sortOrder":296},{"sectionNumber":"285","sectionType":"section","heading":"Simplified outline of this Part","content":"285  Simplified outline of this Part\n\nThis Part provides for ballast water management plans and ballast water management certificates for vessels to be issued, endorsed and recognised.\n\nDivision 1A requires most vessels to have a ballast water management plan and a ballast water management certificate. Australian vessels require a plan and certificate in and outside Australian seas. Foreign vessels require a plan and certificate only if they are in Australian seas.\n\nDivision 2 sets out what a ballast water management plan is, and provides for the determination under section 308A to prescribe a scheme for the Director of Biosecurity and survey authorities to approve ballast water management plans for vessels.\n\nDivision 3 sets out what a ballast water management certificate is, and provides for the determination under section 308A to prescribe a scheme for the Director of Biosecurity and survey authorities to survey vessels for the purposes of certification.\n\nDivision 1A—General requirement to have ballast water management plan and certificate\n\n285A  Vessels to have a ballast water management plan and certificate\n\n (1) An Australian vessel (whether in or outside Australian seas) must, subject to subsection (3) and section 285B, have:\n\n (a) a ballast water management plan; and\n\n (b) a ballast water management certificate that is in force.\n\nNote: A person may commit an offence if the vessel does not have a ballast water management plan and a ballast water management certificate that is in force (see section 285C).\n\n (2) A foreign vessel in Australian seas must, subject to subsection (3) and section 285B, have:\n\n (a) a ballast water management plan; and\n\n (b) a ballast water management certificate that is in force.\n\n (3) The determination under section 308A may prescribe vessels that are exempt from the requirements in subsections (1) and (2).\n\n","sortOrder":297},{"sectionNumber":"285B","sectionType":"section","heading":"Scheme to provide further exemptions from requirement to have a ballast water management plan and certificate","content":"285B  Scheme to provide further exemptions from requirement to have a ballast water management plan and certificate\n\n  The determination under section 308A may prescribe a scheme for the Director of Biosecurity or a survey authority to grant an exemption to a particular vessel from the requirement in subsection 285A(1) or (2).\n\n","sortOrder":298},{"sectionNumber":"285C","sectionType":"section","heading":"Offence for failing to have a ballast water management plan or certificate","content":"285C  Offence for failing to have a ballast water management plan or certificate\n\n (i) the vessel has a ballast water management plan, and a ballast water management certificate that is in force for the vessel;\n\n (ii) the vessel is prescribed for the purposes of subsection 285A(3) or is granted an exemption under the scheme prescribed for the purposes of section 285B.\n\n (i) the vessel has a ballast water management plan, and a ballast water management certificate that is in force for the vessel;\n\n (ii) the vessel is prescribed for the purposes of subsection 285A(3) or is granted an exemption under the scheme prescribed for the purposes of section 285B.\n\nDivision 2—Ballast water management plans\n\n","sortOrder":299},{"sectionNumber":"286","sectionType":"section","heading":"Ballast water management plan","content":"286  Ballast water management plan\n\n  A ballast water management plan for a vessel is a document:\n\n (a) that deals with ballast water management for the vessel and the disposal of sediments from the vessel; and\n\n (b) that meets the requirements prescribed by the determination under section 308A; and\n\n (c) for which an approval:\n\n (i) by the Director of Biosecurity, or a survey authority, is in force under section 287; or\n\n (ii) by, or on behalf of, the vessel’s Administration is in force.\n\n","sortOrder":300},{"sectionNumber":"287","sectionType":"section","heading":"Approval of ballast water management plans for vessels","content":"287  Approval of ballast water management plans for vessels\n\n (1) The determination under section 308A may prescribe a scheme for the Director of Biosecurity or a survey authority to take any of the following actions in relation to a vessel:\n\n (a) approve a ballast water management plan for the vessel;\n\n (b) approve an amendment of the vessel’s ballast water management plan;\n\n (c) cancel the approval of the vessel’s ballast water management plan.\n\nNote: A decision to refuse to approve a ballast water management plan, a decision to refuse to approve an amendment of a plan or a decision to cancel a plan is a reviewable decision (see Part 1 of Chapter 11).\n\n (2) An action referred to in subsection (1) may be taken in relation to a foreign vessel only on request by the vessel’s Administration.\n\nDivision 3—Ballast water management certificates\n\n","sortOrder":301},{"sectionNumber":"288","sectionType":"section","heading":"Ballast water management certificate","content":"288  Ballast water management certificate\n\n  A ballast water management certificate for a vessel is a document that:\n\n (a) certifies that the vessel has a ballast water management plan for which an approval by, or on behalf of, the vessel’s Administration (including an approval under section 287) is in force; and\n\n (b) is issued or endorsed:\n\n (i) by the Director of Biosecurity, or a survey authority, under section 290; or\n\n (ii) by, or on behalf of, the vessel’s Administration; and\n\n (c) certifies that the vessel meets any other requirements prescribed by the determination under section 308A.\n\n","sortOrder":302},{"sectionNumber":"290","sectionType":"section","heading":"Issue or endorsement etc. of ballast water management certificate on behalf of the Commonwealth","content":"290  Issue or endorsement etc. of ballast water management certificate on behalf of the Commonwealth\n\n (1) The determination under section 308A may prescribe a scheme for the Director of Biosecurity or a survey authority to take, on behalf of the Commonwealth, any of the following actions in relation to a vessel:\n\n (a) survey the vessel to determine whether a ballast water management certificate should be issued or endorsed for the vessel;\n\n (b) issue a ballast water management certificate for the vessel;\n\n (c) endorse a ballast water management certificate for the vessel;\n\n (d) withdraw a ballast water management certificate for the vessel;\n\n (e) extend the period during which a ballast water management certificate for the vessel is in force;\n\n (f) amend the expiry date on a ballast water management certificate for the vessel.\n\nNote: A decision to refuse to issue, endorse or amend a ballast water management certificate for a vessel, a decision to refuse to extend the period during which such a certificate is in force or a decision to withdraw such a certificate is a reviewable decision (see Part 1 of Chapter 11).\n\n (2) An action referred to in subsection (1) may be taken in relation to a foreign vessel only on request by the vessel’s Administration.\n\nCertificate is not a legislative instrument\n\n (3) A ballast water management certificate issued or endorsed under this section is not a legislative instrument.\n\nDivision 4—Survey authorities\n\n","sortOrder":303},{"sectionNumber":"290A","sectionType":"section","heading":"Director of Biosecurity may authorise person to be survey authority","content":"290A  Director of Biosecurity may authorise person to be survey authority\n\n (1) The Director of Biosecurity may, in writing, authorise a person to be a survey authority if the Director is satisfied the person has suitable qualifications to perform the functions of a survey authority under:\n\n (a) the scheme prescribed for the purposes of section 285B; and\n\n (b) sections 287 and 290.\n\n (2) An authorisation made under subsection (1) is not a legislative instrument.\n\n (3) A survey authority may charge a fee in relation to anything done under this Part.\n\n (4) A fee must not be such as to amount to taxation.\n\nPart 5—Ballast water records\n\n","sortOrder":304},{"sectionNumber":"291","sectionType":"section","heading":"Simplified outline of this Part","content":"291  Simplified outline of this Part\n\nThis Part sets out how vessels are to keep records of their ballast water operations.\n\nDivision 2 sets out record‑keeping requirements for vessels, and the circumstances in which a vessel has appropriate ballast water records for the purposes of using certain methods of ballast water management.\n\nDivision 2—Ballast water records\n\n292  Vessels must have a ballast water record system\n\n (1) An Australian vessel (whether in or outside Australian seas) that is capable of carrying ballast water must have on board a ballast water record system that complies with the requirements (if any) prescribed by the determination under section 308A.\n\nNote: A ballast water record system is a system for making and keeping records of details about the vessel’s ballast water and ballast water operations (see section 9).\n\n (1A) A foreign vessel in Australian seas that is capable of carrying ballast water must have on board a ballast water record system that complies with the requirements (if any) prescribed by the determination under section 308A.\n\n (2) A person commits an offence of strict liability if:\n\n (b) the vessel is capable of carrying ballast water; and\n\n (c) the vessel does not have a ballast water record system as required by subsection (1) or (1A).\n\n","sortOrder":305},{"sectionNumber":"293","sectionType":"section","heading":"Recording ballast water operations and disposal of sediment","content":"293  Recording ballast water operations and disposal of sediment\n\n (1) A record must be made if an Australian vessel (whether in or outside Australian seas):\n\n (a) conducts a ballast water operation; or\n\n (b) disposes of sediment.\n\nNote: A vessel conducts a ballast water operation if ballast water is taken up into the vessel, discharged from the vessel, or treated or circulated on the vessel for the purposes of ballast water management (see section 9).\n\n (1A) A record must be made if a foreign vessel:\n\n (a) conducts a ballast water operation in Australian seas; or\n\n (b) disposes of sediment in Australian seas.\n\n (2) A record required under subsection (1) or (1A) must:\n\n (a) be made using the vessel’s ballast water record system; and\n\n (b) be made as soon as practicable after the ballast water operation is conducted or the sediment is disposed of; and\n\n (c) comply with the requirements (if any) prescribed by the determination under section 308A.\n\nStrict liability offence—failure to make record in accordance with this section\n\n (3) A person commits an offence of strict liability if:\n\n (b) subsection (1) or (1A) requires a record to be made; and\n\n (c) the record is not made in accordance with this section.\n\nFault‑based offence—making a false or misleading record\n\n (a) the person makes a record using a vessel’s ballast water record system; and\n\n (b) the record is false or misleading in a material particular.\n\n","sortOrder":306},{"sectionNumber":"294","sectionType":"section","heading":"Records must be retained","content":"294  Records must be retained\n\n (1) Each record made, for the purposes of subsection 293(1) or (1A), using a vessel’s ballast water record system must be retained on board the vessel for 2 years after the record is made.\n\n (2) Each record made, for the purposes of subsection 293(1) or (1A), using a vessel’s ballast water record system must be retained:\n\n (a) on board the vessel; or\n\n (b) in the control of the owner of the vessel;\n\nfor a further 3 years starting at the end of the 2‑year period referred to in subsection (1).\n\n (3) For the purposes of subsections (1) and (2), if a vessel (the first vessel) is being towed by another vessel and has no crew on board, a record that is on board the other vessel is taken to be on board the first vessel.\n\n (a) the person is the owner of a vessel; and\n\n (b) subsection (1) or (2) requires a record to be retained; and\n\n (c) the record is not retained in accordance with this section.\n\n (5) Subsections (1) and (2) do not apply in relation to a record if:\n\n (a) the record was lost or destroyed; and\n\n (b) the loss or destruction of the record was beyond the control of:\n\n (i) the present owner of the vessel; and\n\n (ii) if the present owner was not the owner when the record was lost or destroyed—the person who was the owner of the vessel at that time.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see subsection 13.3(3) of the Criminal Code).\n\n","sortOrder":307},{"sectionNumber":"295","sectionType":"section","heading":"Appropriate ballast water records for vessels","content":"295  Appropriate ballast water records for vessels\n\n (1) A vessel has appropriate ballast water records if:\n\n (a) the vessel has on board records, made in accordance with section 293, that are sufficient to allow any biosecurity risk associated with the vessel’s ballast water or sediment to be identified and assessed; and\n\n (b) the vessel does not have on board any records, made using the vessel’s ballast water record system, that are false or misleading in a material particular.\n\n (2) For the purposes of subsection (1), if a vessel (the first vessel) is being towed by another vessel and has no crew on board, a record that is on board the other vessel is taken to be on board the first vessel.\n\n","sortOrder":308},{"sectionNumber":"Part 6","sectionType":"part","heading":"Offence of disposing of sediment","content":"Part 6—Offence of disposing of sediment\n\n","sortOrder":309},{"sectionNumber":"297","sectionType":"section","heading":"Simplified outline of this Part","content":"297  Simplified outline of this Part\n\nThis Part provides an offence of disposing of sediment, and sets out exceptions in relation to safety, accidents, and avoiding or minimising pollution. For an Australian vessel, the offence applies whether the vessel is in or outside Australian seas. For a foreign vessel, the offence applies only if the vessel is in Australian seas.\n\nDivision 2—Offence of disposing of sediment\n\n","sortOrder":310},{"sectionNumber":"298","sectionType":"section","heading":"Offence—disposing of sediment","content":"298  Offence—disposing of sediment\n\n (c) the vessel disposes of sediment (whether in or outside Australian seas); and\n\n (d) the sediment is not disposed of to a sediment reception facility.\n\nNote 1: For exceptions relating to safety, accidents and pollution, see section 299.\n\nNote 2: The physical elements of offences against subsections (2) and (3) are set out in this subsection (see section 534).\n\n (1A) A person contravenes this subsection if:\n\n (d) the vessel disposes of sediment; and\n\n (e) the sediment is not disposed of to a sediment reception facility.\n\nNote 1: For exceptions relating to safety, accidents and pollution, see section 299.\n\nNote 2: The physical elements of offences against subsections (2) and (3) are set out in this subsection (see section 534).\n\n (2) A person commits an offence if the person contravenes subsection (1) or (1A).\n\n (3) A person commits an offence of strict liability if the person contravenes subsection (1) or (1A).\n\nPenalty for contravention of this subsection: 500 penalty units.\n\n","sortOrder":311},{"sectionNumber":"299","sectionType":"section","heading":"Exceptions—safety, accidents and pollution","content":"299  Exceptions—safety, accidents and pollution\n\nSafety\n\n (1) Section 298 does not apply to the disposal of sediment from a vessel if the disposal is necessary for the purpose of:\n\nNote: A defendant bears an evidential burden in relation to the matters in this subsection (see subsection 13.3(3) of the Criminal Code).\n\nAccidents\n\n (2) Section 298 does not apply to the disposal of sediment from a vessel if:\n\n (a) the disposal is accidental and results from damage to the vessel or its equipment; and\n\n (b) all reasonable precautions to prevent or minimise the disposal are taken at the following times:\n\n (i) before and after the occurrence of the damage;\n\n (ii) before and after the discovery of the damage;\n\n (iii) before and after the discovery of the disposal; and\n\nNote: A defendant bears an evidential burden in relation to the matters in this subsection (see subsection 13.3(3) of the Criminal Code).\n\nAvoiding or minimising pollution\n\n (3) Section 298 does not apply to the disposal of sediment from a vessel if the disposal is for the purpose of avoiding or minimising pollution from the vessel.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see subsection 13.3(3) of the Criminal Code).\n\n","sortOrder":312},{"sectionNumber":"299A","sectionType":"section","heading":"Report of disposal of sediment relating to safety, accident or pollution","content":"299A  Report of disposal of sediment relating to safety, accident or pollution\n\nReport of disposal of sediment must be made to Director of Biosecurity\n\n (a) the vessel disposes of sediment in Australian territorial seas; and\n\n (b) the disposal is:\n\n (i) for the purpose of ensuring the safety of the vessel in an emergency or saving life at sea; or\n\n (ii) accidental; or\n\n (a) set out the reason for the disposal of the sediment; and\n\n (b) be made as soon as practicable, and in any case within 24 hours, after a member of the vessel’s crew becomes aware of the disposal.\n\n (3) A person commits an offence of strict liability if:\n\n (b) a report under subsection (1) is required to be made in relation to the vessel; and\n\n (c) the report is not made in accordance with this section.\n\nPenalty for contravention of this subsection: 120 penalty units.\n\n","sortOrder":313},{"sectionNumber":"Part 7","sectionType":"part","heading":"Compliance and enforcement","content":"Part 7—Compliance and enforcement\n\n","sortOrder":314},{"sectionNumber":"300","sectionType":"section","heading":"Simplified outline of this Part","content":"300  Simplified outline of this Part\n\nThis Part gives the Director of Biosecurity and biosecurity officers powers to enforce the provisions of this Chapter at a port or offshore terminal within the outer limits of the exclusive economic zone of Australia.\n\nUnder Division 2, a biosecurity officer may exercise powers for the purposes of monitoring compliance with this Chapter (such as taking samples of ballast water and requiring ballast water records to be produced).\n\nUnder Division 3, the person in charge of a vessel may be given a direction not to discharge ballast water, or a direction in relation to the movement of the vessel.\n\n","sortOrder":315},{"sectionNumber":"300A","sectionType":"section","heading":"Purpose and location of exercise of powers","content":"300A  Purpose and location of exercise of powers\n\n  The powers in this Part may be exercised, for the purposes of this Chapter, at a port or offshore terminal within the outer limits of the exclusive economic zone of Australia.\n\nDivision 2—Powers in relation to vessels\n\n","sortOrder":316},{"sectionNumber":"300B","sectionType":"section","heading":"Securing vessels","content":"300B  Securing vessels\n\n (1) A biosecurity officer may direct the person in charge or the operator of a vessel to secure the vessel in a manner, and for a period (which must not exceed 48 hours), specified by the biosecurity officer.\n\nNote: The biosecurity officer may give more than one direction relating to the vessel (see subsection 33(1) of the Acts Interpretation Act 1901).\n\nNote 1: If judicial review is sought in relation to a direction given under subsection (1), the direction remains in force unless a court finally determines the validity of the decision to give the direction (see section 538).\n\nNote 2: A person may commit an offence for failing to comply with a direction given under subsection (1) (see section 305).\n\n","sortOrder":317},{"sectionNumber":"300C","sectionType":"section","heading":"Inspecting and taking samples from vessels","content":"300C  Inspecting and taking samples from vessels\n\n (1) A biosecurity officer may conduct a physical inspection of a vessel.\n\n (a) take samples of ballast water from the vessel; or\n\n (b) direct a person in charge of the vessel to deliver to the biosecurity officer samples of ballast water from the vessel; or\n\n (c) arrange for another person, with appropriate qualifications or expertise, to take samples of ballast water from the vessel.\n\n (b) arrange for another person, with appropriate qualifications or expertise, to carry out tests on any of those samples.\n\n","sortOrder":318},{"sectionNumber":"300D","sectionType":"section","heading":"Asking questions about vessels","content":"300D  Asking questions about vessels\n\n (1) A biosecurity officer may require a person who the biosecurity officer suspects, on reasonable grounds, has information in relation to a vessel to answer questions, or provide information in writing, in relation to the vessel.\n\nNote: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information (see section 137.1 of the Criminal Code and section 532 of this Act).\n\n (2) A person who is required to answer questions, or provide information in writing, under subsection (1) must comply with the requirement.\n\n","sortOrder":319},{"sectionNumber":"301","sectionType":"section","heading":"Power to require owner of vessel to provide ballast water records","content":"301  Power to require owner of vessel to provide ballast water records\n\n (1) A biosecurity officer may require the owner of a vessel to produce to the officer any record required to be retained under section 294, or a copy of such a record certified by or on behalf of the owner.\n\nNote: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading documents (see section 137.2 of the Criminal Code and section 533 of this Act).\n\n (a) may make copies of, or take extracts from, a record produced under subsection (1); and\n\n (b) for that purpose, may remove the record from the place at which it was produced.\n\n (3) A person who is required to produce a record, or a copy of a record, under subsection (1) must comply with the requirement as soon as reasonably practicable.\n\n (a) the person is required to produce a record, or a copy of a record, under subsection (1); and\n\n (b) the person fails to comply with the requirement as soon as reasonably practicable.\n\nPenalty for contravention of this subsection: 80 penalty units.\n\nDivision 3—Directions powers\n\n","sortOrder":320},{"sectionNumber":"302","sectionType":"section","heading":"Directions not to discharge ballast water","content":"302  Directions not to discharge ballast water\n\n (1) The Director of Biosecurity or a biosecurity officer may give a direction under this section to the person in charge of a vessel if:\n\n (a) the Director or the biosecurity officer is satisfied that:\n\n (i) a sample of the vessel’s ballast water indicates that the vessel poses an unacceptable level of biosecurity risk; or\n\n (ii) the person in charge or crew of the vessel are not familiar with, or have not implemented, essential shipboard procedures relating to ballast water management that are set out in the ballast water management plan for the vessel; or\n\n (iii) the vessel does not have appropriate ballast water records; or\n\n (iv) if ballast water were discharged from the vessel, an offence against this Chapter involving the vessel would be committed; or\n\n (b) the Director or the biosecurity officer has reasonable grounds for believing that an offence against this Chapter involving the vessel has been committed.\n\n (2) The Director of Biosecurity or a biosecurity officer may direct the person in charge not to discharge ballast water from the vessel until the conditions specified in the direction are met.\n\nNote: A person who fails to comply with a direction given under this section may commit an offence (see section 305).\n\n (3) A condition specified in the direction must be for the purposes of reducing the biosecurity risk associated with the vessel to an acceptable level.\n\n (4) The person in charge of the vessel must comply with the direction.\n\n (5) A biosecurity officer may vary or revoke the direction.\n\nNote: See section 306 for the manner in which a direction may be varied or revoked.\n\n","sortOrder":321},{"sectionNumber":"303","sectionType":"section","heading":"Directions about movement of vessel","content":"303  Directions about movement of vessel\n\n (1) This section applies if the Director of Biosecurity has clear grounds for believing that an offence against this Chapter, except section 267 or 268, has been committed involving:\n\n (a) an Australian vessel; or\n\n (b) a foreign vessel in Australian seas.\n\n (2) The Director of Biosecurity may direct the person in charge of the vessel to do one or more of the following:\n\n (a) remove the vessel from a port or offshore terminal within the outer limits of the exclusive economic zone of Australia as soon as practicable;\n\n (b) keep the vessel out of a port or offshore terminal within the outer limits of the exclusive economic zone of Australia;\n\n (c) take the vessel to the nearest suitable repair yard or sediment reception facility as soon as practicable;\n\n (d) keep the vessel in a specified location.\n\nNote 1: Before giving a direction under this subsection, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 2: A person who fails to comply with a direction given under this subsection may commit an offence (see section 305).\n\nNote 3: A decision to give a direction under this subsection is a reviewable decision (see Part 1 of Chapter 11).\n\n (3) The person in charge of the vessel must comply with the direction.\n\n","sortOrder":322},{"sectionNumber":"304","sectionType":"section","heading":"Directions about movement of vessel—variation or revocation","content":"304  Directions about movement of vessel—variation or revocation\n\n (1) The Director of Biosecurity may vary or revoke a direction given under subsection 303(2).\n\nNote 1: See section 306 for the manner in which a direction may be varied or revoked.\n\nNote 2: A decision to refuse to vary or revoke a direction under this subsection is a reviewable decision (see Part 1 of Chapter 11).\n\n (2) The Director of Biosecurity may make it a prerequisite for the variation or revocation of a direction given to the person in charge of a vessel under paragraph 303(2)(b) or (d) that the owner of the vessel provide a security that:\n\n (a) is in a form acceptable to the Director; and\n\n (b) is an amount that, in the Director’s opinion, is equivalent to the maximum amount of all penalties, other amounts of money, costs and expenses that could be payable by the person in charge and the owner of the vessel in respect of each offence that was a basis for giving the direction.\n\n","sortOrder":323},{"sectionNumber":"304A","sectionType":"section","heading":"Report on failure to comply with direction","content":"304A  Report on failure to comply with direction\n\n (a) the person is given a direction under Division 2 or this Division; and\n\n (b) the person fails to comply with the direction.\n\n (a) set out the reason for the failure to comply; and\n\n (b) be made as soon as practicable, and in any case within 24 hours, after a member of the vessel’s crew becomes aware of the failure to comply; and\n\n (c) specify (as the case requires) that the failure to comply is:\n\n (i) necessary for the purpose of ensuring the safety of the vessel in an emergency or saving life at sea; or\n\n (ii) accidental and results from damage to the vessel or its equipment; or\n\n","sortOrder":324},{"sectionNumber":"305","sectionType":"section","heading":"Offence—contravening a direction","content":"305  Offence—contravening a direction\n\n (1) A person commits an offence of strict liability if:\n\n (a) the person is the person in charge or operator of a vessel; and\n\n (b) the person is given a direction under Division 2 or this Division; and\n\n (c) the person fails to comply with the direction.\n\nExceptions\n\n (2) Subsection (1) does not apply if the failure to comply with the direction is necessary for the purpose of:\n\nNote: A defendant bears an evidential burden in relation to the matters in this subsection (see subsection 13.3(3) of the Criminal Code).\n\n (3) Subsection (1) does not apply if:\n\n (a) the failure to comply with the direction is accidental and results from damage to the vessel or its equipment; and\n\n (b) all reasonable efforts are made to comply with the direction; and\n\nNote: A defendant bears an evidential burden in relation to the matters in this subsection (see subsection 13.3(3) of the Criminal Code).\n\n (4) Subsection (1) does not apply if the failure to comply with the direction is for the purpose of avoiding or minimising pollution from the vessel.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see subsection 13.3(3) of the Criminal Code).\n\n","sortOrder":325},{"sectionNumber":"306","sectionType":"section","heading":"Manner of giving directions etc.","content":"306  Manner of giving directions etc.\n\n (1) A direction may be given or varied under this Division by any means of communication (including by electronic means).\n\n (2) Notice of revocation of a direction under this Division may be given by any means of communication (including by electronic means).\n\n (a) a direction is given, or is varied or revoked, under this Division; and\n\n (b) the direction is given, varied or revoked otherwise than in writing;\n\nthe person who gave, varied or revoked the direction must give the recipient of the direction a written notice setting out the effect of the direction, variation or revocation.\n\n (4) If a direction under this Division is given in writing, the direction is not a legislative instrument.\n\n (5) A notice under subsection (3) is not a legislative instrument.\n\n","sortOrder":326},{"sectionNumber":"Part 8","sectionType":"part","heading":"Miscellaneous","content":"Part 8—Miscellaneous\n\n \n\n","sortOrder":327},{"sectionNumber":"307","sectionType":"section","heading":"Compensation for undue detention or delay of vessel","content":"307  Compensation for undue detention or delay of vessel\n\n (1) If a vessel is unduly detained or delayed under this Chapter, the Commonwealth is liable to pay the owner of the vessel a reasonable amount of compensation for any loss or damage suffered by the owner as a result of the undue detention or delay.\n\nNote: For unduly detained or delayed, see section 9.\n\n (2) If the owner and the Commonwealth do not agree on the amount of compensation, the owner may institute proceedings in a relevant court for the recovery from the Commonwealth of such reasonable amount of compensation as the court determines.\n\n","sortOrder":328},{"sectionNumber":"308","sectionType":"section","heading":"Prescribing matters by reference to other instruments","content":"308  Prescribing matters by reference to other instruments\n\n  Despite subsection 14(2) of the Legislation Act 2003, the determination under section 308A may make provision in relation to a matter by applying, adopting or incorporating any matter contained in an instrument or other writing as in force or existing from time to time.\n\n","sortOrder":329},{"sectionNumber":"308A","sectionType":"section","heading":"Determination","content":"308A  Determination\n\n (1) The Director of Biosecurity may, by legislative instrument, make a determination prescribing matters:\n\n (a) required or permitted by this Chapter to be prescribed by the determination; or\n\n (b) necessary or convenient to be prescribed for carrying out or giving effect to this Chapter.\n\nNote: The power to make the determination must not be delegated (see paragraph 542(1)(b)).\n\n (2) Without limiting subsection (1), the determination may provide for any one or more of the following:\n\n (a) the Director of Biosecurity to enter into agreements;\n\n (b) the Director of Biosecurity to make decisions;\n\n (c) the Director of Biosecurity to determine matters by notifiable instrument.\n\nNote: The decisions may be reviewable (see subsection 574(2)).\n\n (3) To avoid doubt, the determination may not do the following:\n\n (a) create an offence or civil penalty;\n\n (b) provide powers of:\n\n (i) arrest or detention; or\n\n (ii) entry, search or seizure;\n\n (c) impose a tax;\n\n (d) set an amount to be appropriated from the Consolidated Revenue Fund under an appropriation in this Act;\n\n (e) directly amend the text of this Act.\n\n (4) A determination that is inconsistent with the regulations has no effect to the extent of the inconsistency, but the determination is taken to be consistent with the regulations to the extent that the determination is capable of operating concurrently with the regulations.\n\n (5) This section does not limit section 645 (regulations).\n\nChapter 6—Managing biosecurity risks: monitoring, control and response\n\n \n\n","sortOrder":330},{"sectionNumber":"309","sectionType":"section","heading":"Simplified outline of this Part","content":"309  Simplified outline of this Part\n\nThis Part deals with some matters that apply to the whole of this Chapter.\n\nThis Part includes a modified definition of biosecurity risk for this Chapter, sets out the main objects of this Chapter and provides that this Chapter does not apply in relation to certain goods and conveyances.\n\nDuring a biosecurity emergency period, this Chapter may apply in a modified way (see Divisions 5 and 6 of Part 1 of Chapter 8).\n\n","sortOrder":331},{"sectionNumber":"310","sectionType":"section","heading":"Modified meaning of biosecurity risk","content":"310  Modified meaning of biosecurity risk\n\n (1) For the purposes of this Chapter, and any other provision of this Act to the extent that it relates to this Chapter, biosecurity risk means (subject to subsection (2)):\n\n (b) the potential for any of the following:\n\n (i) the disease or pest to cause harm to human, animal or plant health;\n\n (ii) the disease or pest to cause harm to the environment;\n\n (iii) economic consequences associated with the entry, emergence, establishment or spread of the disease or pest.\n\n (2) However, if a pest is suspected of being, or is known to be, an invasive pest, biosecurity risk means:\n\n (a) the likelihood of the invasive pest:\n\n (b) the potential for the invasive pest to cause harm to ecosystems, habitats or species.\n\nNote: See sections 25 and 26 in relation to the application of this Act in relation to invasive pests.\n\n","sortOrder":332},{"sectionNumber":"311","sectionType":"section","heading":"Objects of this Chapter","content":"311  Objects of this Chapter\n\n  The main objects of this Chapter are:\n\n (aa) to enable information to be obtained about prohibited goods, suspended goods or certain conditionally non‑prohibited goods that have been brought or imported into Australian territory and have been released from biosecurity control, for the purpose of assessing or managing the level of biosecurity risk associated with the goods; and\n\n (a) to provide for the assessment of the level of biosecurity risk posed by a disease or pest that may be present in or on goods or premises in Australian territory; and\n\n (b) to provide for biosecurity measures to be taken in relation to goods or premises in Australian territory if the level of biosecurity risk posed by a disease or pest that may be present in or on the goods or premises is considered to be unacceptable; and\n\n (c) to provide for powers to be exercised in, or in relation to goods or premises in, certain areas in Australian territory for the purpose of managing biosecurity risks posed by diseases or pests that may pose an unacceptable level of biosecurity risk in, or in relation to, the area; and\n\n (d) to provide for powers to be exercised in, or in relation to goods or premises in, certain areas in Australian territory for the purpose of monitoring whether a disease or pest that may pose an unacceptable level of biosecurity risk:\n\n (i) has entered, or has emerged, established itself or spread in, the area; or\n\n (ii) is likely to enter, or to emerge, establish itself or spread in, the area; and\n\n (e) to provide for biosecurity measures to be taken for the purposes of preventing behaviours or practices that may cause, or contribute to, the entry into, or the emergence, establishment or spread in, Australian territory or a part of Australian territory of diseases (other than listed human diseases), or pests, that are considered to pose an unacceptable level of biosecurity risk.\n\nNote 4: Before exercising a power under this Chapter, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\n","sortOrder":333},{"sectionNumber":"312","sectionType":"section","heading":"Application of this Chapter","content":"312  Application of this Chapter\n\n  This Chapter does not apply in relation to, and powers must not be exercised under this Chapter in relation to, any of the following:\n\n (a) goods that are subject to biosecurity control;\n\n (b) goods in relation to which an exposed goods order is in force;\n\n (c) a conveyance that is subject to biosecurity control.\n\nNote: Part 1 of Chapter 3 deals with goods that are subject to biosecurity control. Division 9 of that Part deals with goods in relation to which an exposed goods order is in force. Chapter 4 deals with conveyances that are subject to biosecurity control.\n\n","sortOrder":334},{"sectionNumber":"Part 1A","sectionType":"part","heading":"Locating prohibited or suspended goods etc.","content":"Part 1A—Locating prohibited or suspended goods etc.\n\n","sortOrder":335},{"sectionNumber":"312A","sectionType":"section","heading":"Simplified outline of this Part","content":"312A  Simplified outline of this Part\n\nIf goods become suspended or prohibited goods, the Director of Biosecurity (or, in the case of prohibited goods, the Director of Human Biosecurity) may require a person in charge of certain goods that are of the same kind as the suspended or prohibited goods, and were brought or imported into Australian territory before the date the goods became suspended or prohibited goods, to notify the Director of:\n\n (a) the location of those goods; and\n\n (b) any other information specified by the Director that the person has relating to those goods.\n\nA biosecurity officer may ask questions or require documents to be produced about prohibited goods, suspended goods or certain conditionally non‑prohibited goods that have been brought or imported into Australian territory and have been released from biosecurity control.\n\nThe powers in this Part may be exercised in relation to goods for the purpose of assessing or managing the level of biosecurity risk associated with the goods.\n\nDivision 2—Information‑gathering powers\n\n","sortOrder":336},{"sectionNumber":"312B","sectionType":"section","heading":"Requirement to notify of information about goods that have become suspended goods","content":"312B  Requirement to notify of information about goods that have become suspended goods\n\n (a) the Director of Biosecurity has determined, under subsection 182(1), that specified goods or a specified class of goods (suspended goods) must not be brought or imported into Australian territory for a specified period (the suspension period); and\n\n (b) the suspension period has not ended.\n\nNote: The Director of Biosecurity may make a determination under subsection 182(1) in relation to goods, or a class of goods, only if the Director is satisfied that the level of biosecurity risk associated with the goods, or the class of goods, is unacceptable (see subsection 182(3)).\n\n (2) The Director of Biosecurity may require a person in charge of goods that:\n\n (a) are of the same kind as the suspended goods; and\n\n (b) were brought or imported into Australian territory before the start of the suspension period; and\n\n (c) have been released from biosecurity control;\n\nto notify the Director, within a specified period, of the location of the goods and of any other information specified by the Director that the person has in relation to the goods.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information (see section 137.1 of the Criminal Code and section 532 of this Act).\n\n (3) A requirement under subsection (2) may be made by publishing a notice or in any other way the Director of Biosecurity considers appropriate.\n\n (4) The Director of Biosecurity may exercise the power under subsection (2) in relation to goods for the purpose of assessing or managing the level of biosecurity risk associated with the goods.\n\n (5) A person who is aware of the requirement to notify the Director of Biosecurity of information under subsection (2) must comply with the requirement.\n\n","sortOrder":337},{"sectionNumber":"312C","sectionType":"section","heading":"Requirement to notify of information about goods that have become prohibited goods","content":"312C  Requirement to notify of information about goods that have become prohibited goods\n\n (1) This section applies if the Director of Biosecurity and the Director of Human Biosecurity jointly determine, under subsection 173(1), that specified goods or a specified class of goods (prohibited goods) must not be brought or imported into Australian territory.\n\nNote: The Director of Biosecurity and the Director of Human Biosecurity may make a determination under subsection 173(1) in relation to specified goods, or a specified class of goods, only if each Director is satisfied of certain matters (see subsection 173(3)).\n\n (2) The Director of Biosecurity or the Director of Human Biosecurity may require a person in charge of goods that:\n\n (a) are of the same kind as the prohibited goods; and\n\n (b) were brought or imported into Australian territory before the goods became subject to a determination under subsection 173(1); and\n\n (c) have been released from biosecurity control;\n\nto notify the Director of Biosecurity or the Director of Human Biosecurity (as the case may be), within a specified period, of the location of the goods and of any other information specified by the Director that the person has in relation to the goods.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information (see section 137.1 of the Criminal Code and section 532 of this Act).\n\n (3) A requirement under subsection (2) may be made by publishing a notice or in any other way the Director of Biosecurity or the Director of Human Biosecurity (as the case may be) considers appropriate.\n\n (4) The Director of Biosecurity or the Director of Human Biosecurity may exercise the power under subsection (2) in relation to goods for the purpose of assessing or managing the level of biosecurity risk associated with the goods.\n\n (5) A person who is aware of the requirement to notify the Director of Biosecurity or the Director of Human Biosecurity of information under subsection (2) must comply with the requirement.\n\n","sortOrder":338},{"sectionNumber":"312D","sectionType":"section","heading":"Information‑gathering powers relating to prohibited goods, suspended goods and certain conditionally non‑prohibited goods","content":"312D  Information‑gathering powers relating to prohibited goods, suspended goods and certain conditionally non‑prohibited goods\n\n (1) A biosecurity officer may exercise the power under section 312E or 312F in relation to goods that were brought or imported into Australian territory if:\n\n (a) at the time the goods were brought or imported into Australian territory, the goods were:\n\n (ii) suspended goods; or\n\n (iii) conditionally non‑prohibited goods; and\n\n (b) in the case of conditionally non‑prohibited goods—a biosecurity officer suspects, on reasonable grounds, that an applicable condition in relation to the goods has not been, or may not have been, complied with; and\n\n (c) the goods have been released from biosecurity control.\n\n (2) A biosecurity officer may exercise the power under section 312E or 312F in relation to goods referred to in subsection (1) of this section for the purpose of assessing or managing the level of biosecurity risk associated with the goods.\n\n","sortOrder":339},{"sectionNumber":"312E","sectionType":"section","heading":"Asking questions about goods","content":"312E  Asking questions about goods\n\n (1) A biosecurity officer may require the person who brought or imported goods referred to in subsection 312D(1) into Australian territory, or a person in charge of such goods, to answer questions, or provide information in writing, in relation to the goods.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information (see section 137.1 of the Criminal Code and section 532 of this Act).\n\n (2) A person who is required to answer questions, or provide information in writing, under subsection (1) must comply with the requirement.\n\n","sortOrder":340},{"sectionNumber":"312F","sectionType":"section","heading":"Requiring documents relating to goods to be produced","content":"312F  Requiring documents relating to goods to be produced\n\n (1) A biosecurity officer may require the person who brought or imported goods referred to in subsection 312D(1) into Australian territory, or a person in charge of such goods, to produce to the biosecurity officer specified documents in relation to the goods that a biosecurity officer reasonably suspects are in the custody or control of the person.\n\nNote 1: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading documents (see section 137.2 of the Criminal Code and section 533 of this Act).\n\nPart 2—Assessment of level of biosecurity risk\n\n","sortOrder":341},{"sectionNumber":"313","sectionType":"section","heading":"Simplified outline of this Part","content":"313  Simplified outline of this Part\n\nThis Part deals with assessing the level of biosecurity risk posed by a disease or pest that may be present in or on goods or premises in Australian territory.\n\nDivision 2 provides for the circumstances in which powers may be exercised under this Act (including in premises) to assess the level of biosecurity risk posed by a disease or pest that may be present in or on the goods or premises.\n\nDivision 3 sets out the powers (the biosecurity risk assessment powers) that may be exercised in relation to the goods or premises if a biosecurity officer suspects, on reasonable grounds, that a disease or pest may be present in or on the goods or premises, and the disease or pest may pose an unacceptable level of biosecurity risk.\n\nThe biosecurity risk assessment powers may be exercised for any of the following purposes:\n\n (a) to establish whether the disease or pest is present in or on the goods or premises;\n\n (b) if possible, to identify the disease or pest;\n\n (c) to assess the level of biosecurity risk posed by the disease or pest.\n\nBefore exercising a power set out in Division 3, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nDivision 4 sets out offences that apply in relation to contraventions relating to biosecurity risk assessment powers that are exercised in accordance with a biosecurity control order (see Part 4) or a biosecurity response zone determination (see Part 5).\n\nDivision 2—Circumstances in which biosecurity risk assessment powers may be exercised\n\n314  Reasonable suspicion that disease or pest may pose unacceptable level of biosecurity risk\n\n  If a biosecurity officer suspects, on reasonable grounds, that:\n\n (a) a disease or pest may be present in or on goods or premises in Australian territory; and\n\n (b) the disease or pest may pose an unacceptable level of biosecurity risk;\n\nthe powers set out in Division 3 may be exercised for any of the following purposes:\n\n (c) to establish whether the disease or pest is present in or on the goods or premises;\n\n (d) if possible, to identify the disease or pest;\n\n (e) to assess the level of biosecurity risk posed by the disease or pest.\n\nNote 4: A biosecurity officer or biosecurity enforcement officer may be assisted by other persons in exercising powers in accordance with this section (see section 536).\n\nNote 5: Before exercising a power under Division 3, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\n","sortOrder":342},{"sectionNumber":"315","sectionType":"section","heading":"Exercise of biosecurity risk assessment powers in premises","content":"315  Exercise of biosecurity risk assessment powers in premises\n\n (1) A biosecurity officer or a biosecurity enforcement officer may enter any premises in Australian territory for the purpose of exercising powers in accordance with section 314.\n\n (a) the occupier of the premises has consented to the entry and the officer has shown his or her identity card if required by the occupier; or\n\n (b) the entry is made under a biosecurity risk assessment warrant.\n\nNote 1: For the issue of warrants, and the obligations and powers of biosecurity enforcement officers and biosecurity officers in entering premises under a warrant or with consent, see Part 3, and Division 3 of Part 4, of Chapter 9.\n\nNote 2: If the premises can be accessed only by entering other premises, an adjacent premises warrant may be needed (see Division 2 of Part 4 of Chapter 9).\n\nDivision 3—Biosecurity risk assessment powers\n\n","sortOrder":343},{"sectionNumber":"316","sectionType":"section","heading":"Application of this Division","content":"316  Application of this Division\n\n  This Division sets out powers that may be exercised in relation to goods or premises for any of the purposes referred to in section 314.\n\n","sortOrder":344},{"sectionNumber":"317","sectionType":"section","heading":"Direction to secure goods or conveyance","content":"317  Direction to secure goods or conveyance\n\nGoods\n\n (1) A biosecurity officer may direct a person in charge of goods to secure the goods in a manner specified by the biosecurity officer.\n\nNote: The biosecurity officer may give more than one direction relating to the goods (see subsection 33(1) of the Acts Interpretation Act 1901).\n\nConveyance\n\n (2) A biosecurity officer may direct a person in charge of a conveyance to secure the conveyance in a manner, and for a period (which must not exceed 48 hours), specified by the biosecurity officer.\n\nNote: The biosecurity officer may give more than one direction relating to the conveyance (see subsection 33(1) of the Acts Interpretation Act 1901).\n\n (3) A person who is given a direction under subsection (1) or (2) must comply with the direction.\n\nNote 1: If a person is given a direction under subsection (1) or (2) in accordance with a biosecurity control order or a biosecurity response zone determination and the person fails to comply with the direction, the person may also commit an offence (see section 327).\n\nNote 2: If judicial review is sought in relation to a direction given under subsection (1) or (2), the direction remains in force unless a court finally determines the validity of the decision to give the direction (see section 538).\n\n","sortOrder":345},{"sectionNumber":"318","sectionType":"section","heading":"Inspections and taking samples of goods or premises","content":"318  Inspections and taking samples of goods or premises\n\n (1) A biosecurity officer may inspect goods or premises.\n\n (a) take samples of the goods or premises; or\n\n (b) direct a person in charge of the goods or premises to deliver to the biosecurity officer such samples of the goods or premises as are specified in the direction; or\n\n (c) arrange for another person, with appropriate qualifications or expertise, to take samples of the goods or premises.\n\n (b) arrange for another person, with appropriate qualifications or expertise, to carry out tests on any of those samples.\n\nNote: See also section 554 (carrying out tests on samples).\n\nNote: If a person is given a direction under paragraph (2)(b) in accordance with a biosecurity control order or a biosecurity response zone determination and the person fails to comply with the direction, the person may also commit an offence (see section 327).\n\nMeaning of person in charge of premises (other than a conveyance)\n\n (5) For the purposes of paragraph (2)(b), the person in charge of premises (other than a conveyance) is the owner or the occupier of the premises.\n\n","sortOrder":346},{"sectionNumber":"319","sectionType":"section","heading":"Asking questions about goods or premises","content":"319  Asking questions about goods or premises\n\n (1) A biosecurity officer may require a person who the biosecurity officer suspects, on reasonable grounds, has information in relation to goods or premises to answer questions, or provide information in writing, in relation to the goods or premises.\n\nNote 2: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading information (see section 137.1 of the Criminal Code and section 532 of this Act).\n\n (2) A person who is required to answer questions, or provide information in writing, under subsection (1) must comply with the requirement.\n\nNote 2: If a person is required to answer questions, or provide information in writing, under subsection (1) in accordance with a biosecurity control order or a biosecurity response zone determination and the person fails to comply with the requirement, the person may also commit an offence (see section 328).\n\n","sortOrder":347},{"sectionNumber":"320","sectionType":"section","heading":"Requiring documents relating to goods or premises to be produced","content":"320  Requiring documents relating to goods or premises to be produced\n\n (1) A biosecurity officer may require a person who the biosecurity officer suspects, on reasonable grounds, has the custody or control of documents in relation to goods or premises to produce to the biosecurity officer such of those documents as are specified by the biosecurity officer.\n\nNote 2: A person may commit an offence or contravene a civil penalty provision if the person provides false or misleading documents (see section 137.2 of the Criminal Code and section 533 of this Act).\n\nNote 2: If a person is required to produce documents under subsection (1) in accordance with a biosecurity control order or a biosecurity response zone determination and the person fails to comply with the requirement, the person may also commit an offence (see section 329).\n\n","sortOrder":348},{"sectionNumber":"321","sectionType":"section","heading":"Movement of goods or conveyance","content":"321  Movement of goods or conveyance\n\n (a) give any of the following directions to a person in charge of goods or a conveyance:\n\n (i) a direction not to move, deal with or interfere with the goods or conveyance;\n\n (ii) a direction to move the goods or conveyance, as soon as practicable, to a place specified by the biosecurity officer;\n\n (iii) any other direction relating to the movement of the goods or conveyance; or\n\n (b) cause the goods or conveyance to be moved to another place.\n\nNote: If a person is given a direction under paragraph (1)(a) in accordance with a biosecurity control order or a biosecurity response zone determination and the person fails to comply with the direction, the person may also commit an offence (see section 327).\n\n","sortOrder":349},{"sectionNumber":"322","sectionType":"section","heading":"Biosecurity officer may affix notice to goods or conveyance","content":"322  Biosecurity officer may affix notice to goods or conveyance\n\n (1) A biosecurity officer may affix a notice to, or as near as reasonably practicable to:\n\n (a) goods or a conveyance that have been secured in accordance with a direction given under subsection 317(1) or (2); or\n\n (b) goods or a conveyance in relation to which a direction relating to movement has been given under paragraph 321(1)(a); or\n\n (c) goods or a conveyance that have been moved under paragraph 321(1)(b).\n\n (a) that a disease or pest may be present in or on the goods or conveyance; and\n\n (b) that the disease or pest may pose an unacceptable level of biosecurity risk; and\n\n (c) that the goods or conveyance have been secured or moved (as the case may be), in accordance with this Chapter, to enable a biosecurity officer to exercise powers under this Chapter; and\n\n (d) the effect of subsections (3) and (4) and sections 323 and 330.\n\n (a) a notice is affixed to, or as near as reasonably practicable to, goods or a conveyance under subsection (1); and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (4) Subsection (3) does not apply if the person is authorised to engage in the conduct referred to in paragraph (3)(b) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n","sortOrder":350},{"sectionNumber":"323","sectionType":"section","heading":"Unauthorised persons must not move etc. goods or conveyance to which notice has been affixed","content":"323  Unauthorised persons must not move etc. goods or conveyance to which notice has been affixed\n\n (a) a notice has been affixed to, or as near as reasonably practicable to, goods or a conveyance under subsection 322(1); and\n\n (b) the person moves, deals with or interferes with the goods or conveyance; and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(b) under this Act or under another Australian law.\n\nNote 1: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\nNote 2: If a notice is affixed to, or as near as reasonably practicable to, goods or a conveyance under subsection 322(1) in accordance with a biosecurity control order or a biosecurity response zone determination and the person contravenes subsection (1), the person may also commit an offence (see section 330).\n\n","sortOrder":351},{"sectionNumber":"324","sectionType":"section","heading":"Operating electronic equipment on premises","content":"324  Operating electronic equipment on premises\n\n (1) The powers in this section may be exercised in relation to electronic equipment on premises.\n\n (2) A biosecurity enforcement officer may:\n\n (a) operate electronic equipment on the premises for a purpose for which the premises were entered; and\n\n (b) use a disk, tape or other storage device that:\n\n (i) is on the premises; and\n\n (ii) can be used with the equipment or is associated with it.\n\n (3) A biosecurity enforcement officer may exercise the powers referred to in subsection (4) if information (relevant data) is found in the exercise of the power under subsection (2) that is relevant to a purpose for which the premises were entered.\n\n (4) The powers are as follows:\n\n (a) the power to operate electronic equipment on the premises to put the relevant data in documentary form and remove the documents so produced from the premises;\n\n (b) the power to operate electronic equipment on the premises to transfer the relevant data to a disk, tape or other storage device that:\n\n (i) is brought to the premises for the exercise of the power; or\n\n (ii) is on the premises and the use of which for that purpose has been agreed in writing by the occupier of the premises;\n\n  and remove the disk, tape or other storage device from the premises.\n\n (5) A biosecurity enforcement officer may operate electronic equipment as mentioned in subsection (2) or (4) only if the biosecurity enforcement officer believes on reasonable grounds that the operation of the equipment can be carried out without causing damage to the equipment.\n\nNote: For compensation for damage to electronic equipment, see section 326.\n\n","sortOrder":352},{"sectionNumber":"325","sectionType":"section","heading":"Expert assistance to operate electronic equipment","content":"325  Expert assistance to operate electronic equipment\n\n (1) The powers in this section may be exercised in relation to electronic equipment on premises if:\n\n (a) a biosecurity enforcement officer enters the premises under a biosecurity risk assessment warrant, a biosecurity control order warrant or a biosecurity response zone warrant (the relevant warrant); and\n\n (b) the relevant warrant authorises the biosecurity enforcement officer to exercise the powers in this section.\n\nSecuring equipment\n\n (2) The biosecurity enforcement officer may secure any electronic equipment that is on the premises if the biosecurity enforcement officer suspects on reasonable grounds that:\n\n (a) there is relevant data on the premises; and\n\n (b) the relevant data may be accessible by operating the equipment; and\n\n (c) expert assistance is required to operate the equipment; and\n\n (d) the relevant data may be destroyed, altered, or otherwise interfered with, if the biosecurity enforcement officer does not take action under this subsection.\n\nThe equipment may be secured by locking it up, placing a guard or any other means.\n\n (3) Relevant data means information relevant to a purpose for which the premises were entered.\n\n (4) The biosecurity enforcement officer must give notice to the occupier of the premises, or another person who apparently represents the occupier, of:\n\n (a) the biosecurity enforcement officer’s intention to secure the equipment; and\n\n (b) the fact that the equipment may be secured for up to 24 hours.\n\nPeriod equipment may be secured\n\n (5) The equipment may be secured until the earlier of the following happens:\n\n (a) the 24‑hour period ends;\n\n (b) the equipment has been operated by an expert.\n\nNote: For compensation for damage to electronic equipment, see section 326.\n\nExtensions\n\n (6) The biosecurity enforcement officer may apply to an issuing officer for an extension of the 24‑hour period if the biosecurity enforcement officer believes on reasonable grounds that the equipment needs to be secured for longer than that period.\n\n (7) Before making the application, the biosecurity enforcement officer must give notice to the occupier of the premises, or another person who apparently represents the occupier, of his or her intention to apply for an extension. The occupier or other person is entitled to be heard in relation to that application.\n\n (8) The provisions of Part 3 of Chapter 9 relating to the issue of the relevant warrant apply, with such modifications as are necessary, to the issue of an extension.\n\n (9) The 24‑hour period may be extended more than once.\n\n","sortOrder":353},{"sectionNumber":"326","sectionType":"section","heading":"Compensation for damage to electronic equipment","content":"326  Compensation for damage to electronic equipment\n\n (a) as a result of electronic equipment being operated as mentioned in this Division:\n\n (i) damage is caused to the equipment; or\n\n (ii) the data recorded on the equipment is damaged; or\n\n (iii) programs associated with the use of the equipment, or with the use of the data, are damaged or corrupted; and\n\n (b) the damage or corruption occurs because:\n\n (i) insufficient care was exercised in selecting the person who was to operate the equipment; or\n\n (ii) insufficient care was exercised by the person operating the equipment.\n\nNote: Electronic equipment may be operated as mentioned in this Division as it applies because of section 314 or paragraph 470(1)(a).\n\n (2) The Commonwealth must pay the owner of the equipment, or the user of the data or programs, such reasonable compensation for the damage or corruption as the Commonwealth and the owner or user agree on.\n\n (3) However, if the owner or user and the Commonwealth fail to agree, the owner or user may institute proceedings in a relevant court for such reasonable amount of compensation as the court determines.\n\n (4) In determining the amount of compensation payable, regard is to be had to whether the occupier of the premises, or the occupier’s employees or agents, if they were available at the time, provided any appropriate warning or guidance on the operation of the equipment.\n\nDivision 4—Offences\n\nNote: The offences in this Division apply only in relation to contraventions relating to powers that are exercised in accordance with a biosecurity control order or a biosecurity response zone determination.\n\n","sortOrder":354},{"sectionNumber":"327","sectionType":"section","heading":"Contravention of direction","content":"327  Contravention of direction\n\n (a) the power to give a direction under any of the following provisions is specified in a biosecurity control order or a biosecurity response zone determination:\n\n (i) subsection 317(1) or (2) (direction to secure goods or a conveyance);\n\n (ii) paragraph 318(2)(b) (direction to deliver samples of goods or premises);\n\n (iii) paragraph 321(1)(a) (direction relating to movement of goods or conveyance); and\n\n (b) the person is given a direction under any of those provisions; and\n\n (c) the direction is given in accordance with the biosecurity control order or the biosecurity response zone determination (as the case may be); and\n\n (e) the conduct contravenes the direction.\n\nNote: The person may also contravene a civil penalty provision for contravening the direction (see subsections 317(3), 318(4) and 321(2)).\n\n","sortOrder":355},{"sectionNumber":"328","sectionType":"section","heading":"Contravention of requirement to answer questions etc.","content":"328  Contravention of requirement to answer questions etc.\n\n (a) the power given by subsection 319(1) to require a person to answer questions, or provide information in writing, is specified in a biosecurity control order or a biosecurity response zone determination; and\n\n (b) the person is required to answer questions, or provide information in writing, under that subsection; and\n\n (c) the requirement is made in accordance with the biosecurity control order or the biosecurity response zone determination (as the case may be); and\n\n (d) the person fails to comply with the requirement.\n\nNote: The person may also contravene a civil penalty provision for contravening the direction (see subsection 319(2)).\n\n","sortOrder":356},{"sectionNumber":"329","sectionType":"section","heading":"Contravention of requirement to produce documents","content":"329  Contravention of requirement to produce documents\n\n (a) the power given by subsection 320(1) to require a person to produce documents is specified in a biosecurity control order or a biosecurity response zone determination; and\n\n (b) the person is required to produce documents under that subsection; and\n\n (c) the requirement is made in accordance with the biosecurity control order or the biosecurity response zone determination (as the case may be); and\n\n (d) the person fails to comply with the requirement.\n\nNote: The person may also contravene a civil penalty provision for contravening the direction (see subsection 320(3)).\n\n","sortOrder":357},{"sectionNumber":"330","sectionType":"section","heading":"Unauthorised persons must not move etc. goods or conveyance to which notice has been affixed","content":"330  Unauthorised persons must not move etc. goods or conveyance to which notice has been affixed\n\n (a) the power to affix a notice to, or as near as reasonably practicable to, goods or a conveyance under subsection 322(1) is specified in a biosecurity control order or a biosecurity response zone determination; and\n\n (b) a notice has been affixed to, or as near as reasonably practicable to, goods or a conveyance under that subsection; and\n\n (c) the notice was affixed in accordance with the biosecurity control order or the biosecurity response zone determination (as the case may be); and\n\n (d) the person moves, deals with or interferes with the goods or conveyance; and\n\n (e) none of the following applies:\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (d) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\nNote: The person may also contravene a civil penalty provision for moving, dealing with or interfering with the goods or conveyance (see subsection 323(1)).\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(d) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see subsection 13.3(3) of the Criminal Code).\n\nPart 3—Biosecurity measures to manage unacceptable level of biosecurity risk\n\n","sortOrder":358},{"sectionNumber":"331","sectionType":"section","heading":"Simplified outline of this Part","content":"331  Simplified outline of this Part\n\nThis Part sets out the powers that may be exercised (including biosecurity measures that may be required to be taken) in relation to goods or premises in Australian territory for the purpose of managing biosecurity risks posed by a disease or pest that may be present in or on the goods or premises.\n\nDivisions 2, 3 and 4 set out the powers that may be exercised. They include:\n\n (a) powers relating to persons entering or leaving premises; and\n\n (b) powers relating to treatment of goods or premises; and\n\n (c) powers relating to destruction of goods or premises; and\n\n (d) powers provided by regulations; and\n\n (e) other powers.\n\nA power set out in this Part must not be exercised in relation to goods or premises unless:\n\n (b) the power is specified in a biosecurity response zone determination that relates to the goods or premises and the goods or premises are in the biosecurity response zone.\n\nBefore exercising a power set out in this Part, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nDivision 5 sets out offences and civil penalty provisions.\n\nDivision 2 of Part 5 of Chapter 11 provides that certain goods and conveyances, in relation to which biosecurity measures have been required under this Chapter, are considered to have been abandoned or forfeited, and provides for how they may be dealt with.\n\nDivision 2—Powers that may be exercised: general\n\nSubdivision A—Circumstances in which powers may be exercised\n\n332  Circumstances in which powers set out in this Division may be exercised\n\n (1) A power set out in a provision of this Division must not be exercised in relation to goods or premises in Australian territory unless:\n\n (b) the power is specified in a biosecurity response zone determination that relates to the goods or premises and the goods or premises are in the biosecurity response zone.\n\nNote 1: A power set out in a provision of this Division that is specified in a biosecurity control order or a biosecurity response zone determination may be exercised for the purpose of managing the biosecurity risk posed by a disease or pest to which the order or determination relates (see sections 360 and 370).\n\nNote 2: Before exercising a power specified in a biosecurity control order or a biosecurity response zone determination, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 3: Part 5 deals with biosecurity response zones.\n\n (2) This section has effect subject to subsection 399(2).\n\nNote: Subsection 399(2) provides that the powers set out in sections 333 and 334 (entry and exit requirements) may be exercised in relation to premises in a biosecurity activity zone.\n\nSubdivision B—Powers relating to entry to and exit from premises\n\n333  Entry and exit etc. requirements—persons\n\nRequirements may be imposed by notice in writing\n\n (1) A biosecurity officer may, by notice in writing, impose any of the following requirements in relation to premises:\n\n (a) a requirement that persons entering or leaving the premises do so at specified places;\n\n (b) a requirement that specified classes of persons not enter the premises;\n\n (c) a requirement that persons entering, or in, the premises wear specified clothing or equipment (or both) that is designed to prevent a disease or pest from emerging, establishing itself or spreading in the premises;\n\n (d) a requirement that persons not interfere with the premises.\n\nNote 2: The powers in this section may also be exercised in relation to premises in a biosecurity activity zone (see subsection 399(2)).\n\nNote 3: A person may commit an offence or contravene a civil penalty provision if the person fails to comply with a requirement imposed under this subsection that applies to the person (see section 349).\n\n (2) If a notice under subsection (1) imposes the requirement referred to in paragraph (1)(c), the notice must also specify the following:\n\n (a) the circumstances in which a person is required to wear the clothing or equipment;\n\n (b) the period during which, or the times at which, the person is required to wear the clothing or equipment;\n\n (c) instructions for wearing the clothing or equipment.\n\n (3) Except as permitted by paragraph (1)(b) or (c), a notice under subsection (1) must not require an individual to be subject to a biosecurity measure of a kind set out in Subdivision B of Division 3 of Part 3 of Chapter 2.\n\nNote: That Subdivision sets out the biosecurity measures that may be included in a human biosecurity control order.\n\n (4) However, subsection (3) does not prevent the Director of Biosecurity or a biosecurity officer exercising a power under Subdivision B of Division 2 of Part 4 of Chapter 10.\n\nNote: Under that Subdivision, a biosecurity officer may request an individual to be decontaminated, and may require an individual’s clothing and any personal effects to be decontaminated.\n\nNotice must be affixed to premises\n\n (5) A notice under subsection (1) in relation to premises must be affixed at each entry and exit point of the premises.\n\nNotice is not a legislative instrument\n\n (6) A notice under subsection (1) is not a legislative instrument.\n\n334  Entry and exit etc. requirements—goods and conveyances\n\nRequirements may be imposed by notice in writing\n\n (1) A biosecurity officer may, by notice in writing, impose any of the following requirements in relation to premises:\n\n (a) a requirement that persons bringing goods on to the premises do so at specified places;\n\n (b) a requirement that specified classes of goods not be brought on to the premises;\n\n (c) a requirement that conveyances entering or leaving the premises do so at specified places;\n\n (d) a requirement that specified classes of conveyances not enter the premises.\n\nNote 2: The powers in this section may also be exercised in relation to premises in a biosecurity activity zone (see subsection 399(2)).\n\nNote 3: A person may commit an offence or contravene a civil penalty provision if the person fails to comply with a requirement imposed under this subsection that applies to the person (see section 349).\n\nNotice must be affixed to premises\n\n (2) A notice under subsection (1) in relation to premises must be affixed at each entry and exit point of the premises.\n\nNotice is not a legislative instrument\n\n (3) A notice under subsection (1) is not a legislative instrument.\n\nSubdivision C—Powers relating to treatment of goods, conveyances and other premises\n\n","sortOrder":359},{"sectionNumber":"335","sectionType":"section","heading":"Treatment of goods","content":"335  Treatment of goods\n\n (1) A biosecurity officer may, subject to subsection (2), require goods to be treated in a specified manner.\n\nNote: If the treatment might damage the goods, a person in charge of the goods must be asked to agree to the treatment (see section 336).\n\n (2) A biosecurity officer must not require high‑value goods to be treated in a manner that the biosecurity officer suspects, on reasonable grounds, is likely to damage the goods, without the written approval of the Director of Biosecurity.\n\n","sortOrder":360},{"sectionNumber":"336","sectionType":"section","heading":"Treatment that may damage goods","content":"336  Treatment that may damage goods\n\n (a) a biosecurity officer requires goods to be treated in a specified manner under subsection 335(1); and\n\n (b) a biosecurity officer suspects, on reasonable grounds, that treatment of the goods in that manner is likely to damage the goods.\n\nNotice must be given that treatment is likely to damage goods\n\n (2) Before any treatment is carried out on the goods, a biosecurity officer must, by notice in writing:\n\n (a) inform a person in charge of the goods that:\n\n (i) the goods are required to be treated in a specified manner; and\n\n (ii) the treatment is likely to damage the goods; and\n\n (b) request the person to agree to the treatment of the goods.\n\nNote: The meaning of person in charge of goods in this subsection is affected by subsection (6).\n\n (3) However, the goods may be treated in the specified manner without notice having been given under subsection (2) if:\n\n (a) a biosecurity officer suspects, on reasonable grounds, that a disease or pest that may be present in or on the goods poses a high level of biosecurity risk; and\n\n (b) a biosecurity officer is satisfied that the goods need to be treated as soon as practicable to reduce that risk to an acceptable level.\n\nDealing with goods if person in charge does not agree to treatment\n\n (a) a notice is given to a person in charge of the goods under subsection (2); and\n\n (b) a person in charge of the goods does not, within 30 days after receiving the notice, notify a biosecurity officer in writing that the person agrees to the treatment of the goods as specified in the notice;\n\na biosecurity officer may, in writing, request a person in charge of the goods to arrange for the goods to be dealt with, or destroyed, in a manner and within the period specified in the request.\n\nNote: The meaning of person in charge of goods in paragraphs (4)(a) and (b) is affected by subsection (6).\n\n (a) a request is made under subsection (4) in relation to the goods; and\n\n (b) the goods are not dealt with, or destroyed, in a manner and within the period specified in the request;\n\na biosecurity officer may take possession of the goods and cause them to be destroyed or otherwise disposed of.\n\nModified meaning of person in charge of goods\n\n (6) In subsection (2) and paragraphs (4)(a) and (b), person in charge of goods does not include a biosecurity industry participant who is in possession or control of the goods only because of a direction given to the biosecurity industry participant by a biosecurity officer.\n\n","sortOrder":361},{"sectionNumber":"337","sectionType":"section","heading":"Treatment of conveyance","content":"337  Treatment of conveyance\n\n (1) A biosecurity officer may, subject to subsection (2), require a conveyance to be treated in a specified manner.\n\nNote: If the treatment might damage the conveyance, the person in charge or the operator of the conveyance must be asked to agree to the treatment (see section 338).\n\n (2) A biosecurity officer must not require a high‑value conveyance to be treated in a manner that the biosecurity officer suspects, on reasonable grounds, is likely to damage the conveyance, without the written approval of the Director of Biosecurity.\n\n","sortOrder":362},{"sectionNumber":"338","sectionType":"section","heading":"Treatment that may damage conveyance","content":"338  Treatment that may damage conveyance\n\n (a) a biosecurity officer requires a conveyance to be treated in a specified manner under subsection 337(1); and\n\n (b) a biosecurity officer suspects, on reasonable grounds, that treatment of the conveyance in that manner is likely to damage the conveyance.\n\nNotice must be given that treatment is likely to damage conveyance\n\n (2) Before any treatment is carried out on the conveyance, a biosecurity officer must, by notice in writing:\n\n (a) inform the person in charge or the operator of the conveyance that:\n\n (i) the conveyance is required to be treated in a specified manner; and\n\n (ii) the treatment is likely to damage the conveyance; and\n\n (b) request the person in charge or the operator to agree to the treatment of the conveyance.\n\n (3) However, the conveyance may be treated in the specified manner without notice having been given under subsection (2) if:\n\n (a) a biosecurity officer suspects, on reasonable grounds, that a disease or pest that may be present in or on the conveyance poses a high level of biosecurity risk; and\n\n (b) a biosecurity officer is satisfied that the conveyance needs to be treated as soon as practicable to reduce that risk to an acceptable level.\n\nDealing with conveyance if person in charge or operator does not agree to treatment\n\n (a) a notice is given to the person in charge or the operator of the conveyance under subsection (2); and\n\n (b) the person in charge or the operator does not, within 30 days after receiving the notice, notify a biosecurity officer in writing that the person agrees to the treatment of the conveyance as specified in the notice;\n\na biosecurity officer may, in writing, request the person in charge or the operator to arrange for the conveyance to be dealt with, or destroyed, in a manner and within the period specified in the request.\n\n (a) a request is made under subsection (4) in relation to the conveyance; and\n\n (b) the conveyance is not dealt with, or destroyed, in a manner and within the period specified in the request;\n\n (d) a biosecurity officer may:\n\n (i) with the written approval of the Director of Biosecurity, cause the conveyance to be destroyed; or\n\n (ii) cause the conveyance to be otherwise disposed of.\n\n (a) the owner of the conveyance has consented in writing to the taking of possession; or\n\nNote: For the issue of warrants, and the obligations and powers of biosecurity enforcement officers in taking possession of a conveyance under a warrant, see Part 3, and Division 3 of Part 4, of Chapter 9.\n\n (7) If a conveyance is to be destroyed under this section, a biosecurity officer may cause any goods on board the conveyance to be removed from the conveyance before it is destroyed.\n\n","sortOrder":363},{"sectionNumber":"339","sectionType":"section","heading":"Treatment of premises (other than a conveyance)","content":"339  Treatment of premises (other than a conveyance)\n\n (1) This section applies in relation to premises (other than a conveyance).\n\n (2) A biosecurity officer may, subject to subsection (3), require the premises to be treated in a specified manner.\n\nNote: If the treatment might damage the premises, the owner of the premises must be asked to agree to the treatment (see section 340).\n\n (3) A biosecurity officer must not require the premises to be treated in a manner that the biosecurity officer suspects, on reasonable grounds, is likely to damage the premises, without the written approval of the Director of Biosecurity.\n\n","sortOrder":364},{"sectionNumber":"340","sectionType":"section","heading":"Treatment that may damage premises (other than a conveyance)","content":"340  Treatment that may damage premises (other than a conveyance)\n\n (a) a biosecurity officer requires premises (other than a conveyance) to be treated in a specified manner under subsection 339(2); and\n\n (b) a biosecurity officer suspects, on reasonable grounds, that the treatment of the premises in that manner is likely to damage the premises.\n\nNote: Section 339 applies in relation to premises that are a structure or building or a part of a structure or building.\n\nNotice must be given that treatment is likely to damage premises\n\n (2) Before any treatment is carried out on the premises, a biosecurity officer must, by notice in writing:\n\n (a) inform the owner of the premises that:\n\n (i) the premises are required to be treated in a specified manner; and\n\n (ii) the treatment is likely to damage the premises; and\n\n (b) request the owner to agree to the treatment of the premises.\n\n (a) despite making reasonable efforts, a biosecurity officer has not been able to locate the owner of the premises; and\n\n (b) the owner of the premises is not the occupier of the premises;\n\na biosecurity officer must, by notice in writing:\n\n (c) inform the occupier of the premises that:\n\n (i) the premises are required to be treated in a specified manner; and\n\n (ii) the treatment is likely to damage the premises; and\n\n (d) request the occupier to agree to the treatment of the premises.\n\n (4) However, subsections (2) and (3) do not apply in relation to the premises if:\n\n (a) a biosecurity officer suspects, on reasonable grounds, that a disease or pest that may be present in or on the premises poses a high level of biosecurity risk; and\n\n (b) a biosecurity officer is satisfied that the premises need to be treated as soon as practicable to reduce that risk to an acceptable level.\n\nNotice in relation to biosecurity risk may be affixed to or near premises\n\n (a) despite making reasonable efforts, a biosecurity officer has not been able to give a notice to the owner or the occupier of the premises under subsection (2) or (3); or\n\n (b) subsections (2) and (3) do not apply because of subsection (4);\n\na biosecurity officer must affix a notice in accordance with subsection (6) to, or as near as reasonably practicable to, the premises.\n\n (6) A notice under subsection (5) must state that:\n\n (a) a disease or pest may be present in or on the premises; and\n\n (b) the disease or pest may pose an unacceptable level of biosecurity risk; and\n\n (c) the premises are required, in accordance with this Chapter, to be treated in a specified manner for the purpose of managing the biosecurity risk; and\n\n (d) the treatment is likely to damage the premises.\n\n","sortOrder":365},{"sectionNumber":"341","sectionType":"section","heading":"Dealing with premises (other than a conveyance) if owner does not agree to treatment etc.","content":"341  Dealing with premises (other than a conveyance) if owner does not agree to treatment etc.\n\nOwner does not agree to treatment\n\n (a) a notice is given to the owner of premises (other than a conveyance) under subsection 340(2); and\n\n (b) the owner does not, within 30 days after receiving the notice, notify a biosecurity officer in writing that the owner agrees to the treatment of the premises as specified in the notice;\n\na biosecurity officer may, in writing, request the owner to arrange for the premises to be dealt with, or destroyed, in a manner and within the period specified in the request.\n\n (2) A request under subsection (1) to arrange for premises to be destroyed may relate only to a structure or building or a part of a structure or building.\n\n (a) a request is made under subsection (1) in relation to premises; and\n\n (b) the premises are not dealt with, or destroyed, in a manner and within the period specified in the request;\n\n (c) a biosecurity enforcement officer may, subject to subsection (5), take possession of the premises; and\n\n (d) a biosecurity officer may cause the premises:\n\n (i) to be treated in a manner specified in the request; and\n\n (ii) if necessary and with the written approval of the Director of Biosecurity, to be destroyed.\n\nOwner cannot be located or there is high level of biosecurity risk\n\n (4) If a notice in accordance with subsection 340(6) has been affixed to, or as near as reasonably practicable to, premises:\n\n (a) a biosecurity enforcement officer may, at any time after the end of 30 days after the notice was affixed and subject to subsection (5), take possession of the premises; and\n\n (b) a biosecurity officer may cause the premises:\n\n (i) to be treated in a manner specified in the request; and\n\n (ii) if necessary and with the written approval of the Director of Biosecurity, to be destroyed.\n\nConsent or warrant required to take possession of premises\n\n (5) A biosecurity enforcement officer must not take possession of premises under subsection (3) or (4) unless:\n\n (a) the owner of the premises has consented in writing to the taking of possession; or\n\n (b) the taking of possession is authorised by a premises possession warrant.\n\nNote: For the issue of warrants, and the obligations and powers of biosecurity enforcement officers in taking possession of premises under a warrant, see Part 3, and Division 3 of Part 4, of Chapter 9.\n\n (6) If premises are to be destroyed under this section, a biosecurity officer may cause any goods in or on the premises to be removed from the premises before they are destroyed.\n\nSubdivision D—Powers relating to destruction of goods, conveyances and other premises\n\n","sortOrder":366},{"sectionNumber":"342","sectionType":"section","heading":"Destruction of goods","content":"342  Destruction of goods\n\n (1) If a biosecurity officer considers, on reasonable grounds, that goods cannot be effectively treated, a biosecurity officer may, subject to subsection (2), require the goods to be destroyed.\n\nNote 1: If goods are required under this section to be destroyed:\n\n(a) paragraph 347(1)(a) lets a biosecurity officer direct the person in charge of the goods to destroy them (and failure to comply with the direction may be an offence against section 350); and\n\n(b) paragraph 347(1)(d) lets a biosecurity officer destroy them or arrange for someone else to carry out the destruction of the goods.\n\nNote 2: Compensation may be payable to the owner of the goods (see sections 633 and 634).\n\nHigh‑value goods\n\n (2) A biosecurity officer must not require high‑value goods to be destroyed without the written approval of the Director of Biosecurity.\n\nNote 1: Before giving approval under this subsection, the Director of Biosecurity must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 2: A decision to give approval for high‑value goods to be destroyed is a reviewable decision (see Part 1 of Chapter 11).\n\nNote 3: Unless subsection (4) applies, action must not be taken under section 347 to destroy high‑value goods until after any review or related proceeding (including any appeal) has been finally determined (see section 345).\n\n (3) Before a biosecurity officer takes action under section 347, in relation to a requirement for high‑value goods to be destroyed, a biosecurity officer must give the owner of the goods a notice in writing stating:\n\n (a) that the goods are to be destroyed; and\n\n (b) the reasons why the goods are to be destroyed.\n\n (4) However, action may be taken under section 347, in relation to a requirement for high‑value goods to be destroyed, without notice having been given to the owner of the goods under subsection (3) if a biosecurity officer:\n\n (a) has not been able, despite making reasonable efforts, to locate the owner of the goods; and\n\nNote: If a biosecurity officer cannot, despite making reasonable efforts, locate the owner of high‑value goods, the goods may be forfeited to the Commonwealth (see section 627).\n\n","sortOrder":367},{"sectionNumber":"343","sectionType":"section","heading":"Destruction of conveyance","content":"343  Destruction of conveyance\n\n (1) If a biosecurity officer considers, on reasonable grounds, that a conveyance cannot be effectively treated, a biosecurity officer may, subject to subsection (2), require the conveyance to be destroyed.\n\nNote 1: If a conveyance is required under this section to be destroyed:\n\n(a) subparagraph 347(1)(b)(ii) lets a biosecurity officer direct the operator or owner of the conveyance to destroy it (and failure to comply with the direction may be an offence against section 350); and\n\n(b) paragraph 347(1)(d) lets a biosecurity officer destroy it or arrange for someone else to carry out the destruction of the conveyance.\n\nNote 2: Compensation may be payable to the owner of the conveyance (see sections 633 and 634).\n\nDirector of Biosecurity must approve destruction\n\n (2) A biosecurity officer must not require a conveyance to be destroyed without the written approval of the Director of Biosecurity.\n\nNote 1: Before giving approval under this subsection, the Director of Biosecurity must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 2: A decision to give approval for a conveyance to be destroyed is a reviewable decision (see Part 1 of Chapter 11).\n\nNote 3: Unless subsection (4) applies, action must not be taken under section 347 to destroy a conveyance until after any review or related proceeding (including any appeal) has been finally determined (see section 345).\n\nNotice must be given that conveyance is required to be destroyed\n\n (3) Before a biosecurity officer takes action under subparagraph 347(1)(b)(ii) or paragraph 347(1)(d) in relation to the requirement to destroy the conveyance, a biosecurity officer must, by notice in writing:\n\n (a) inform the owner or the operator of the conveyance:\n\n (i) that the conveyance is required to be destroyed; and\n\n (ii) the reasons why the conveyance is required to be destroyed; and\n\n (b) request the owner or the operator of the conveyance to arrange for the conveyance to be destroyed in a manner specified in the notice within the period specified in the notice.\n\n (4) However, a notice is not required to be given under subsection (3) if a biosecurity officer:\n\n (a) has not been able, despite making reasonable efforts, to locate the owner or the operator of the conveyance; and\n\nNote: If a biosecurity officer cannot, despite making reasonable efforts, locate the owner or the operator of a conveyance, the conveyance may be forfeited to the Commonwealth (see section 630).\n\nDealing with conveyance if conveyance is not destroyed by owner or operator\n\n (a) a notice is given to the owner or the operator of the conveyance under subsection (3) and the conveyance is not destroyed in a manner specified in the notice within the period specified in the notice; or\n\n (b) a certificate in relation to the conveyance has been issued under paragraph (4)(b);\n\n (d) a biosecurity officer may, with the written approval of the Director of Biosecurity, take action under paragraph 347(1)(d) to destroy the conveyance or arrange for another person to destroy it.\n\nNote: Before giving approval under paragraph (5)(d), the Director of Biosecurity must be satisfied of the matters referred to in section 32 (the principles).\n\n (a) the owner or the operator of the conveyance has consented in writing to the taking of possession; or\n\nNote 1: This subsection does not apply in relation to a conveyance that has been forfeited to the Commonwealth under section 630.\n\nNote 2: For the issue of warrants, and the obligations and powers of biosecurity enforcement officers in taking possession of a conveyance under a warrant, see Part 3, and Division 3 of Part 4, of Chapter 9.\n\n (7) If a conveyance is to be destroyed under this section, a biosecurity officer may cause any goods on board the conveyance to be removed from the conveyance before it is destroyed.\n\n","sortOrder":368},{"sectionNumber":"344","sectionType":"section","heading":"Destruction of premises","content":"344  Destruction of premises\n\n (1) This section applies in relation to premises that are a structure or building or a part of a structure or building.\n\n (2) If a biosecurity officer considers, on reasonable grounds, that premises cannot be effectively treated, a biosecurity officer may, subject to subsection (3), require the premises to be destroyed.\n\nNote 1: If premises are required under this section to be destroyed:\n\n(a) paragraph 347(1)(c) lets a biosecurity officer direct the owner of the premises to destroy them (and failure to comply with the direction may be an offence against section 350); and\n\n(b) paragraph 347(1)(d) lets a biosecurity officer destroy them or arrange for someone else to carry out the destruction of the premises.\n\nNote 2: Unless subsection (5) applies, premises must not be destroyed until after any review or related proceeding (including any appeal) has been finally determined (see section 345).\n\nNote 3: Compensation may be payable to the owner of the premises (see sections 633 and 634).\n\n (3) A biosecurity officer must not require premises to be destroyed without the written approval of the Director of Biosecurity.\n\nNote 1: Before giving approval under this subsection, the Director of Biosecurity must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 2: A decision to give approval for premises to be destroyed is a reviewable decision (see Part 1 of Chapter 11).\n\n (4) Before a biosecurity officer takes action under paragraph 347(1)(c) or (d) in relation to the requirement to destroy the premises, a biosecurity officer must give the owner of the premises a notice in writing stating:\n\n (a) that the premises are to be destroyed; and\n\n (b) the reasons why the premises are to be destroyed.\n\n (5) However, a notice is not required to be given under subsection (4) if a biosecurity officer:\n\n (a) has not been able, despite making reasonable efforts, to locate the owner of the premises; and\n\n (6) A biosecurity enforcement officer must not take possession of premises that are required to be destroyed under this section unless:\n\n (a) the owner of the premises has consented in writing to the taking of possession; or\n\n (b) the taking of possession is authorised by a premises possession warrant.\n\nNote: For the issue of warrants, and the obligations and powers of biosecurity enforcement officers in taking possession of premises under a warrant, see Part 3, and Division 3 of Part 4, of Chapter 9.\n\n (7) If premises are to be destroyed under this section, a biosecurity officer may cause any goods in or on the premises to be removed from the premises before they are destroyed.\n\n","sortOrder":369},{"sectionNumber":"345","sectionType":"section","heading":"High‑value goods, conveyances or premises must not be destroyed during review period","content":"345  High‑value goods, conveyances or premises must not be destroyed during review period\n\n (1) This section applies if a biosecurity officer has given a notice in relation to high‑value goods, a conveyance or other premises in accordance with subsection 342(3), 343(3) or 344(4) (as the case may be).\n\nNote: Section 344 applies in relation to premises that are a structure or building or a part of a structure or building.\n\n (2) A biosecurity officer must not take action under subsection 347(1), in relation to the requirement for the goods, conveyance or premises to be destroyed, until:\n\n (a) after the period in which an application may be made for review (including merits or judicial review) of:\n\n (i) the decision to require the goods, conveyance or premises to be destroyed; or\n\n (ii) the decision of the Director of Biosecurity to approve the making of the requirement; or\n\n (b) if an application referred to in paragraph (a) is made—after the review or any related proceeding (including any appeal) has been finally determined.\n\nNote: If goods, a conveyance or premises are required under section 342, 343 or 344 to be destroyed, subsection 347(1) lets a biosecurity officer:\n\n(a) direct the person in charge of the goods, the operator or owner of the conveyance or the owner of the premises to carry out the destruction; or\n\n(b) carry out the destruction himself or herself; or\n\n(c) arrange for another person to carry out the destruction.\n\n (3) However, subsection (2) does not apply in relation to the goods, conveyance or premises if a biosecurity officer is satisfied that:\n\n (a) a disease or pest that may be present in or on the goods, conveyance or premises poses a high level of biosecurity risk; and\n\n (b) the biosecurity risk cannot be managed for long enough to allow a review of a decision described in paragraph (2)(a), and any related proceeding (including any appeal), to be finally determined.\n\n (a) in accordance with subsection (3), a biosecurity officer takes action under subsection 347(1), in relation to the requirement for the goods, conveyance or premises to be destroyed, before the end of the period referred to in paragraph (2)(a); and\n\n (b) no application for review described in paragraph (2)(a) had been made before the action was taken;\n\nan application for review of the decision to require the goods, conveyance or premises to be destroyed must not be made.\n\n (a) an application referred to in paragraph (2)(a) has been made; and\n\n (b) before the review or any related proceeding (including any appeal) has been finally determined, a biosecurity officer takes action in accordance with subsection (3) under subsection 347(1) in relation to the requirement for the goods, conveyance or premises to be destroyed;\n\nDivision 3—Powers provided by regulations\n\n","sortOrder":370},{"sectionNumber":"346","sectionType":"section","heading":"Regulations may provide for other biosecurity measures","content":"346  Regulations may provide for other biosecurity measures\n\n (1) The regulations may provide that a biosecurity officer may require a specified kind of biosecurity measure (a prescribed biosecurity measure) to be taken in relation to goods or premises in Australian territory.\n\nNote 4: Limitations apply to the exercise of a power provided by regulations made for the purposes of this section (see subsection (5)).\n\n (2) Regulations made for the purposes of this section must not provide for a biosecurity officer to require any of the following kinds of biosecurity measures to be taken:\n\n (a) a biosecurity measure of a kind set out in Subdivision B of Division 3 of Part 3 of Chapter 2 (biosecurity measures that may be included in a human biosecurity control order);\n\n (b) a biosecurity measure of a kind set out in Division 3 of Part 2 of this Chapter (biosecurity risk assessment powers);\n\n (c) a biosecurity measure of a kind set out in Division 2 of this Part (biosecurity measures to manage unacceptable level of biosecurity risk);\n\n (d) a biosecurity measure or a kind referred to in Subdivision B of Division 2 of Part 4 of Chapter 10 (decontamination).\n\n (3) Regulations made for the purposes of this section may also provide for, or in relation to, other matters relating to a prescribed biosecurity measure.\n\n (a) provide for persons to be notified, and the circumstances in which the persons must be notified, that a prescribed biosecurity measure is required to be taken;\n\n (b) if regulations made for the purposes of subsection 574(2) provide that the decision to require a prescribed biosecurity measure to be taken is a reviewable decision—provide that, except in the circumstances (if any) prescribed, the prescribed biosecurity measure must not be taken during the period in which a review of that decision, or any related proceeding (including any appeal), has been finally determined.\n\nLimitation on exercise of powers provided by regulations\n\n (5) A power provided by regulations made for the purposes of this section must not be exercised in relation to goods or premises in Australian territory unless:\n\n (b) the power is specified in a biosecurity response zone determination that relates to the goods or premises and the goods or premises are in the biosecurity response zone.\n\nNote 1: A power that is provided by regulations made for the purposes of this section and that is specified in a biosecurity control order or a biosecurity response zone determination may be exercised for the purpose of managing the biosecurity risk posed by a disease or pest to which the order or determination relates (see sections 360 and 370).\n\nNote 2: Before exercising a power specified in a biosecurity control order or a biosecurity response zone determination, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nDivision 4—Other powers\n\n","sortOrder":371},{"sectionNumber":"347","sectionType":"section","heading":"Powers of biosecurity officer if biosecurity measures are required","content":"347  Powers of biosecurity officer if biosecurity measures are required\n\n (1) If a biosecurity officer requires a biosecurity measure to be taken in relation to goods, a conveyance or premises under Subdivision C (treatment powers) or Subdivision D (destruction powers) of Division 2 of this Part, or under a regulation made for the purposes of section 346, a biosecurity officer may:\n\n (a) if the biosecurity measure is required in relation to goods—direct a person in charge of the goods to carry out the biosecurity measure; or\n\n (b) if the biosecurity measure is required in relation to a conveyance:\n\n (i) direct the person in charge or the operator of the conveyance to carry out the biosecurity measure, unless it is destruction of the conveyance; or\n\n (ii) if the measure is destruction of the conveyance—direct the operator or the owner of the conveyance to carry out the measure; or\n\n (c) if the biosecurity measure is required in relation to premises—direct the owner of the premises to carry out the biosecurity measure; or\n\n (d) in any case:\n\n (i) carry out the biosecurity measure; or\n\n (ii) arrange for another person with appropriate qualifications or expertise to carry out the biosecurity measure.\n\nNote: A person who is given a direction under paragraph (1)(a), (b) or (c) may commit an offence or contravene a civil penalty provision for failing to comply with the direction (see section 350).\n\n","sortOrder":372},{"sectionNumber":"348","sectionType":"section","heading":"Biosecurity officer may affix notice to goods or premises","content":"348  Biosecurity officer may affix notice to goods or premises\n\n (1) A biosecurity officer may affix a notice to, or as near as reasonably practicable to, goods or premises in relation to which biosecurity measures have been required under:\n\n (a) Division 2; or\n\n (b) a regulation made for the purposes of section 346.\n\n (a) that a disease or pest may be present in or on the goods or premises; and\n\n (b) that the disease or pest may pose an unacceptable level of biosecurity risk; and\n\n (c) that biosecurity measures have been required in relation to the goods or premises, in accordance with this Chapter, for the purpose of managing the biosecurity risk posed by the disease or pest; and\n\n (d) the effect of subsections (3) and (4) and section 351.\n\n (a) a notice is affixed to, or as near as reasonably practicable to, goods or premises under subsection (1); and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (4) Subsection (3) does not apply if the person is authorised to engage in the conduct referred to in paragraph (3)(b) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n","sortOrder":373},{"sectionNumber":"349","sectionType":"section","heading":"Contravention of requirement relating to entering or leaving etc. premises","content":"349  Contravention of requirement relating to entering or leaving etc. premises\n\n (1) A person must comply with a requirement in a notice affixed at an entry or exit point of premises in accordance with subsection 333(5) or 334(2) if the requirement applies to the person.\n\n (a) a notice imposing a requirement is affixed at an entry or exit point of premises under subsection 333(5) or 334(2); and\n\n (b) the requirement applies to the person; and\n\n (d) the conduct contravenes the requirement.\n\n","sortOrder":374},{"sectionNumber":"350","sectionType":"section","heading":"Person must comply with direction","content":"350  Person must comply with direction\n\n (1) A person who is given a direction under paragraph 347(1)(a), (b) or (c) must comply with the direction.\n\n (a) the person is given a direction under paragraph 347(1)(a), (b) or (c); and\n\n (a) the person is given a direction under paragraph 347(1)(a), (b) or (c); and\n\n","sortOrder":375},{"sectionNumber":"351","sectionType":"section","heading":"Unauthorised persons must not move etc. goods or conveyance to which notice has been affixed","content":"351  Unauthorised persons must not move etc. goods or conveyance to which notice has been affixed\n\n (a) a notice has been affixed to, or as near as reasonably practicable to, goods or a conveyance under subsection 348(1); and\n\n (b) the person moves, deals with or interferes with the goods or conveyance; and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(b) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see subsection 13.3(3) of the Criminal Code and section 96 of the Regulatory Powers Act).\n\nPart 4—Biosecurity control orders\n\n","sortOrder":376},{"sectionNumber":"352","sectionType":"section","heading":"Simplified outline of this Part","content":"352  Simplified outline of this Part\n\nThis Part provides for the Director of Biosecurity to make a biosecurity control order in relation to goods or premises in Australian territory and a disease or pest if:\n\n (a) a biosecurity officer suspects, on reasonable grounds, that the disease or pest may be present in or on the goods or premises and may pose an unacceptable level of biosecurity risk; and\n\n (b) the Director of Biosecurity is satisfied that biosecurity measures need to be taken in relation to the goods or premises for the purpose of managing the biosecurity risk posed by the disease or pest.\n\nDivision 2 sets out requirements relating to making a biosecurity control order, including requirements relating to the content and form of a biosecurity control order. Division 2 also deals with varying and revoking a biosecurity control order.\n\nDivision 3 deals with the powers that may be exercised (including in premises) in accordance with a biosecurity control order.\n\nBefore exercising a power in accordance with a biosecurity control order, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nDivision 4 sets out a civil penalty provision.\n\nDivision 2—Making, varying and revoking biosecurity control orders\n\n353  Director of Biosecurity may make biosecurity control order to manage unacceptable level of biosecurity risk\n\n (i) a disease or pest may be present in or on goods or premises in Australian territory; and\n\n (b) the Director of Biosecurity is satisfied that biosecurity measures need to be taken in relation to the goods or premises for the purpose of managing the biosecurity risk posed by the disease or pest;\n\nthe Director of Biosecurity may make a biosecurity control order in relation to the goods or premises and the disease or pest.\n\nNote 4: A biosecurity control order may be varied under section 358 or revoked under section 359. Subsection 33(3) of the Acts Interpretation Act 1901 does not apply in relation to this section.\n\n (2) A biosecurity control order may relate to more than one disease or pest.\n\n","sortOrder":377},{"sectionNumber":"354","sectionType":"section","heading":"Content of a biosecurity control order","content":"354  Content of a biosecurity control order\n\n (1) A biosecurity control order made under section 353 in relation to goods or premises and a disease or pest must state that:\n\n (i) a disease or pest may be present in or on the goods or premises; and\n\n (b) the Director of Biosecurity is satisfied that biosecurity measures need to be taken in relation to the goods or premises for the purpose of managing the biosecurity risk posed by the disease or pest.\n\n (2) The biosecurity control order must also specify the following:\n\n (a) the goods or premises to which the order relates;\n\n (b) each disease or pest that:\n\n (i) poses an unacceptable level of biosecurity risk; and\n\n (ii) has been identified;\n\n (c) the nature of the biosecurity risk that needs to be managed;\n\n (d) each power set out in Division 2 of Part 3 (powers to require biosecurity measures to be taken) that may be exercised in relation to the goods or premises in accordance with that Division;\n\n (e) each power provided by regulations made for the purposes of section 346 (other biosecurity measures) that may be exercised in relation to the goods or premises in accordance with those regulations;\n\n (f) each power set out in Division 3 of Part 2 (biosecurity risk assessment powers) that may be exercised in relation to the goods or premises in accordance with that Division;\n\n (g) the period during which the order is to be in force.\n\n (3) The period during which a biosecurity control order may be in force:\n\n (a) must not be longer than the Director of Biosecurity considers necessary to manage the biosecurity risk posed by each disease or pest to which the order relates; and\n\nThe period cannot be extended.\n\n (4) A power must not be specified in a biosecurity control order under paragraph (2)(d), (e) or (f) unless the Director of Biosecurity is satisfied that the exercise of the power in relation to the goods or premises and a disease or pest to which the order relates is appropriate and adapted for the purpose of managing the biosecurity risk posed by the disease or pest.\n\n (5) If a conveyance is specified in a biosecurity control order under paragraph (2)(a), the order is taken to also relate to any goods in or on the conveyance.\n\n (6) If premises (other than a conveyance) are specified in a biosecurity control order under paragraph (2)(a), the order is taken to also relate to any goods or conveyances on the premises.\n\n","sortOrder":378},{"sectionNumber":"355","sectionType":"section","heading":"Form of biosecurity control order","content":"355  Form of biosecurity control order\n\n (1) A biosecurity control order made under section 353:\n\n (b) must be in the form approved, in writing, by the Director of Biosecurity.\n\n (2) A biosecurity control order made under section 353 is not a legislative instrument.\n\n","sortOrder":379},{"sectionNumber":"356","sectionType":"section","heading":"Biosecurity control order to be given to person in charge etc. of goods or premises or affixed to goods or premises","content":"356  Biosecurity control order to be given to person in charge etc. of goods or premises or affixed to goods or premises\n\nBiosecurity control order relating to goods or a conveyance\n\n (1) If goods or a conveyance are specified in a biosecurity control order under paragraph 354(2)(a), a biosecurity officer must:\n\n (a) give a copy of the order to a person in charge of the goods or conveyance, if it is practicable to do so; and\n\n (b) if it is not practicable to comply with paragraph (a)—affix a copy of the order to, or as near as reasonably practicable to, the goods or conveyance.\n\nBiosecurity control order applying to premises (other than a conveyance)\n\n (2) If premises (other than a conveyance) are specified in a biosecurity control order under paragraph 354(2)(a), a biosecurity officer must:\n\n (a) give a copy of the order to the occupier of the premises, or another person who apparently represents the occupier, if it is practicable to do so; and\n\n (b) if it is not practicable to comply with paragraph (a)—affix a copy of the order to, or as near as reasonably practicable to, the premises.\n\nNote: A person may contravene a civil penalty provision for interfering with, removing or defacing a copy of a biosecurity control order that is affixed to, or as near as reasonably practicable to, goods or a conveyance or other premises under this section (see section 363).\n\n","sortOrder":380},{"sectionNumber":"357","sectionType":"section","heading":"Circumstances in which biosecurity control order ceases to be in force","content":"357  Circumstances in which biosecurity control order ceases to be in force\n\n (1) A biosecurity control order made under section 353 ceases to be in force if any of the following occurs:\n\n (a) the order expires;\n\n (b) the order is revoked under section 359.\n\n (2) A biosecurity control order made under section 353 ceases to be in force in relation to particular goods or premises if the goods or premises are destroyed.\n\n","sortOrder":381},{"sectionNumber":"358","sectionType":"section","heading":"Variation of biosecurity control order","content":"358  Variation of biosecurity control order\n\nGrounds for variation\n\n (1) The Director of Biosecurity may vary a biosecurity control order that is in force under section 353 in relation to goods or premises and a disease or pest only if the Director is satisfied that:\n\n (a) the level of biosecurity risk posed by the disease or pest is no longer unacceptable; or\n\n (b) the powers specified in the order under paragraph 354(2)(d), (e) or (f) need to be varied (including by specifying additional powers referred to in those paragraphs) to manage the biosecurity risk posed by the disease or pest; or\n\n (c) the following circumstances apply:\n\n (i) another disease or pest (other than a disease or pest to which the order relates) may be present in or on the goods or premises;\n\n (ii) the other disease or pest is posing an unacceptable level of biosecurity risk;\n\n (iii) biosecurity measures need to be taken in relation to the goods or premises to manage the biosecurity risk posed by the other disease or pest; or\n\n (d) the variation is of a minor technical nature.\n\nLimitation on specifying additional powers\n\n (2) A biosecurity control order must not be varied to specify an additional power referred to in paragraph 354(2)(d), (e) or (f) unless the Director of Biosecurity is satisfied that the exercise of the power in relation to the goods or premises and a disease or pest to which the variation relates is appropriate and adapted for the purpose of managing the biosecurity risk posed by the disease or pest.\n\nVariation is not a legislative instrument\n\n (3) A variation of a biosecurity control order must be in writing, but is not a legislative instrument.\n\nWhen variation takes effect\n\n (4) A variation of a biosecurity control order takes effect immediately after it is made.\n\nNotice of varied order\n\n (5) If a biosecurity control order (the original order) in relation to goods or a conveyance is varied under this section, a biosecurity officer must:\n\n (a) give a copy of the varied order to a person in charge of the goods or conveyance, if it is practicable to do so; and\n\n (b) if it is not practicable to comply with paragraph (a)—affix a copy of the varied order to, or as near as reasonably practicable to, the goods or conveyance; and\n\n (c) remove any copies of the original order that were affixed to, or as near as reasonably practicable to, the goods or conveyance.\n\n (6) If a biosecurity control order (the original order) in relation to premises (other than a conveyance) is varied under this section, a biosecurity officer must:\n\n (a) give a copy of the varied order to the occupier of the premises, or another person who apparently represents the occupier, if it is practicable to do so; and\n\n (b) if it is not practicable to comply with paragraph (a)—affix a copy of the varied order to, or as near as reasonably practicable to, the premises; and\n\n (c) remove any copies of the original order that were affixed to, or as near as reasonably practicable to, the premises.\n\nNote: A person may contravene a civil penalty provision for interfering with, removing or defacing a copy of a biosecurity control order that is affixed to, or as near as reasonably practicable to, goods or a conveyance or other premises under subsection (5) or (6) (see section 363).\n\n","sortOrder":382},{"sectionNumber":"359","sectionType":"section","heading":"Revocation of biosecurity control order","content":"359  Revocation of biosecurity control order\n\nGrounds for revocation\n\n (1) The Director of Biosecurity must revoke a biosecurity control order that is in force under section 353 if the Director is satisfied that the level of biosecurity risk posed by each disease or pest to which the order relates is no longer unacceptable.\n\nRevocation is not a legislative instrument\n\n (2) A revocation of a biosecurity control order must be in writing, but is not a legislative instrument.\n\nWhen revocation takes effect\n\n (3) A revocation of a biosecurity control order takes effect immediately after it is made.\n\nNotice of revocation\n\n (4) If a biosecurity control order (the original order) in relation to goods or a conveyance is revoked under this section, a biosecurity officer must:\n\n (a) give a copy of the revocation to a person in charge of the goods or conveyance, if it is practicable to do so; and\n\n (b) remove any copies of the original order that were affixed to, or as near as reasonably practicable to, the goods or conveyance.\n\n (5) If a biosecurity control order (the original order) in relation to premises (other than a conveyance) is revoked under this section, a biosecurity officer must:\n\n (a) give a copy of the revocation to the occupier of the premises, or another person who apparently represents the occupier, if it is practicable to do so; and\n\n (b) remove any copies of the original order that were affixed to, or as near as reasonably practicable to, the premises.\n\nDivision 3—Powers that may be exercised under biosecurity control order\n\n","sortOrder":383},{"sectionNumber":"360","sectionType":"section","heading":"Powers that may be exercised—general","content":"360  Powers that may be exercised—general\n\n  If a biosecurity control order is in force under section 353 in relation to goods or premises and a disease or pest, any of the following powers may be exercised in relation to the goods or premises for the purpose of managing the biosecurity risk posed by the disease or pest:\n\n (a) a power specified in the order under paragraph 354(2)(d), (e) or (f);\n\n (b) a power set out in Division 4 of Part 3.\n\nNote 4: Before exercising a power specified in a biosecurity control order, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 5: A biosecurity officer or biosecurity enforcement officer may be assisted by other persons in exercising powers in accordance with this section (see section 536).\n\n","sortOrder":384},{"sectionNumber":"361","sectionType":"section","heading":"Exercise of powers in premises","content":"361  Exercise of powers in premises\n\n (1) A biosecurity officer or a biosecurity enforcement officer may enter any premises in Australian territory for the purpose of exercising powers in accordance with section 360.\n\n (a) the occupier of the premises has consented to the entry and the officer has shown his or her identity card if required by the occupier; or\n\n (b) the entry is made under a biosecurity control order warrant.\n\nNote 1: For the issue of warrants, and the obligations and powers of biosecurity enforcement officers and biosecurity officers in entering premises under a warrant or with consent, see Part 3, and Division 3 of Part 4, of Chapter 9.\n\nNote 2: If the premises can be accessed only by entering other premises, an adjacent premises warrant may be needed (see Division 2 of Part 4 of Chapter 9).\n\n","sortOrder":385},{"sectionNumber":"362","sectionType":"section","heading":"Power to secure goods or premises to deal with another disease or pest","content":"362  Power to secure goods or premises to deal with another disease or pest\n\n (a) a biosecurity control order is in force under section 353 in relation to goods or premises (the relevant goods or premises) and a disease or pest; and\n\n (b) a biosecurity officer enters premises, as authorised by section 361, for the purpose of exercising powers in accordance with section 360 in relation to the relevant goods or premises.\n\n (2) The biosecurity officer may secure the relevant goods or premises for up to 24 hours if:\n\n (a) in the course of exercising powers in accordance with section 360, the biosecurity officer suspects, on reasonable grounds, that:\n\n (i) another disease or pest (other than a disease or pest to which the biosecurity control order relates) may be present in or on the relevant goods or premises; and\n\n (ii) the other disease or pest may pose an unacceptable level of biosecurity risk; and\n\n (b) the biosecurity officer believes, on reasonable grounds, that it is necessary to secure the relevant goods or premises, without the authority of a biosecurity risk assessment warrant or a biosecurity control order warrant, in order to manage the biosecurity risk posed by the other disease or pest.\n\nNote: The Director of Biosecurity may vary the biosecurity control order under section 358 for the purpose of allowing powers to be exercised to manage any biosecurity risk posed by the other disease or pest. If the order is varied, a new biosecurity control order warrant may be needed to authorise a biosecurity officer to re‑enter the premises to exercise powers specified in the varied biosecurity control order to manage the biosecurity risk posed by the other disease or pest.\n\nDivision 4—Civil penalty provision\n\n","sortOrder":386},{"sectionNumber":"363","sectionType":"section","heading":"Unauthorised persons must not interfere with etc. biosecurity control order affixed to goods or premises","content":"363  Unauthorised persons must not interfere with etc. biosecurity control order affixed to goods or premises\n\n (a) a biosecurity control order is affixed to, or as near as reasonably practicable to, goods or a conveyance under paragraph 356(1)(b) or 358(5)(b) or other premises under paragraph 356(2)(b) or 358(6)(b); and\n\n (b) the person interferes with, removes or defaces the biosecurity control order; and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(b) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\nPart 5—Biosecurity response zones\n\n","sortOrder":387},{"sectionNumber":"364","sectionType":"section","heading":"Simplified outline of this Part","content":"364  Simplified outline of this Part\n\nThis Part provides for the Director of Biosecurity to determine that a specified area in Australian territory is a biosecurity response zone if:\n\n (a) a biosecurity officer suspects, on reasonable grounds, that a disease or pest may be present in or on goods or premises in the area and may pose an unacceptable level of biosecurity risk in, or in relation to, the area; and\n\n (b) the Director of Biosecurity is satisfied it is necessary to make the determination for the purpose of managing the biosecurity risk posed by the disease or pest.\n\nDivision 2 sets out requirements relating to making a biosecurity response zone determination, including requirements relating to the content of the determination and requirements relating to consultation and notification.\n\nDivision 3 deals with the powers that may be exercised (including in premises) in accordance with a biosecurity response zone determination.\n\nBefore exercising a power in accordance with a biosecurity response zone determination, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nDivision 4 sets out offences and civil penalty provisions.\n\nDivision 2—Biosecurity response zone determinations\n\n365  Director of Biosecurity may determine biosecurity response zone\n\n (1) The Director of Biosecurity may determine that a specified area in Australian territory is a biosecurity response zone if:\n\n (i) a disease or pest may be present in or on goods or premises in the area; and\n\n (b) the Director of Biosecurity is satisfied it is necessary to make the determination for the purpose of managing the biosecurity risk posed by the disease or pest.\n\nNote 4: For variation and revocation of the determination, see subsection 33(3) of the Acts Interpretation Act 1901.\n\n (2) The Director of Biosecurity may determine that a specified area in Australian territory is a biosecurity response zone even if the area, or a part of the area, is part of:\n\n (a) another biosecurity response zone; or\n\n (b) a biosecurity monitoring zone; or\n\n (c) a biosecurity activity zone.\n\n (3) A biosecurity response zone determination may relate to more than one disease or pest.\n\n (4) A determination made under subsection (1) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the determination.\n\n","sortOrder":388},{"sectionNumber":"366","sectionType":"section","heading":"Content of a biosecurity response zone determination","content":"366  Content of a biosecurity response zone determination\n\n (1) A biosecurity response zone determination must state that:\n\n (i) a disease or pest may be present in or on goods or premises in the zone; and\n\n (b) the Director of Biosecurity is satisfied it is necessary to make the determination for the purpose of managing the biosecurity risk posed by the disease or pest.\n\n (2) A biosecurity response zone determination must also specify:\n\n (a) each disease or pest that:\n\n (i) poses an unacceptable level of biosecurity risk; and\n\n (ii) has been identified; and\n\n (b) the nature of the biosecurity risk that needs to be managed; and\n\n (c) each power set out in Division 2 of Part 3 (powers to require biosecurity measures to be taken) that may be exercised in relation to goods or premises in the biosecurity response zone in accordance with that Division; and\n\n (d) each power provided by regulations made for the purposes of section 346 (other biosecurity measures) that may be exercised in relation to goods or premises in the biosecurity response zone in accordance with those regulations;\n\n (e) each power set out in Division 3 of Part 2 (biosecurity risk assessment powers) that may be exercised in relation to goods or premises in the biosecurity response zone in accordance with that Division; and\n\n (f) each power set out in section 367 (additional biosecurity response zone powers) that may be exercised in, or in relation to goods or premises in, the biosecurity response zone in accordance with that section; and\n\n (g) the period during which the determination is to be in force.\n\n (3) The period during which a biosecurity response zone determination may be in force:\n\n (a) must not be longer than the Director of Biosecurity considers necessary to manage the biosecurity risk posed by each disease or pest to which the determination relates; and\n\n (4) A power must not be specified in a biosecurity response zone determination under paragraph (2)(c), (d), (e) or (f) unless the Director of Biosecurity is satisfied that the exercise of the power is appropriate and adapted for the purpose of managing the biosecurity risk posed by a disease or pest to which the determination relates.\n\n (5) If a biosecurity response zone determination ceases to be in force, the Director of Biosecurity may make another biosecurity response zone determination specifying the same area covered by the previous biosecurity response zone determination.\n\n","sortOrder":389},{"sectionNumber":"367","sectionType":"section","heading":"Additional powers that may be specified in a biosecurity response zone determination","content":"367  Additional powers that may be specified in a biosecurity response zone determination\n\n  The following powers that a biosecurity officer may exercise may be specified in a biosecurity response zone determination under paragraph 366(2)(f):\n\n (a) the power to cause the biosecurity response zone to be identified (whether by affixing notices or by markings or otherwise);\n\n (b) the power to cause goods or premises in the biosecurity response zone to be identified (whether by affixing notices or by markings or otherwise);\n\n (c) the power to direct a person in the biosecurity response zone to leave the biosecurity response zone for a specified period (which must not be longer than 24 hours);\n\n (d) the power to set traps or set up equipment or other structures in the biosecurity response zone.\n\nNote 1: Other powers may also be specified in a biosecurity response zone determination (see paragraphs 366(2)(c), (d) and (e)).\n\n","sortOrder":390},{"sectionNumber":"368","sectionType":"section","heading":"Consultation requirements","content":"368  Consultation requirements\n\n (1) Before making a biosecurity response zone determination, the Director of Biosecurity must consult the head (however described) of the State or Territory body that is responsible for the administration of matters relating to biosecurity in each State or Territory in which the biosecurity response zone will lie.\n\n (2) A failure by the Director of Biosecurity to comply with subsection (1) does not affect the validity of the determination.\n\n","sortOrder":391},{"sectionNumber":"369","sectionType":"section","heading":"Notification requirements","content":"369  Notification requirements\n\n (1) In addition to the requirement under the Legislation Act 2003 for a biosecurity response zone determination to be registered, the Director of Biosecurity must ensure that the determination is made public, in any other way he or she thinks fit.\n\n (2) A failure by the Director of Biosecurity to comply with subsection (1) does not affect the validity of the determination.\n\nDivision 3—Powers that may be exercised in biosecurity response zones\n\n","sortOrder":392},{"sectionNumber":"370","sectionType":"section","heading":"Powers that may be exercised—general","content":"370  Powers that may be exercised—general\n\n  If a biosecurity response zone determination is in force, any of the following powers may be exercised in, or in relation to goods or premises in, the biosecurity response zone for the purpose of managing the biosecurity risk posed by a disease or pest to which the determination relates:\n\n (a) a power specified in the determination under paragraph 366(2)(c), (d), (e) or (f);\n\n (b) a power set out in Division 4 of Part 3.\n\nNote 4: Before exercising a power specified in a biosecurity response zone determination, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 5: A biosecurity officer or biosecurity enforcement officer may be assisted by other persons in exercising powers in accordance with this section (see section 536).\n\nNote 6: If an area (the overlapping area) of a biosecurity response zone is also part of a biosecurity monitoring zone or a biosecurity activity zone (the other zone), the powers that may be exercised in the other zone may also be exercised in the overlapping area. See sections 379, 389 and 399 for the powers that may be exercised in a biosecurity monitoring zone and a biosecurity activity zone.\n\nNote 7: See Division 4 for offences and civil penalty provisions.\n\n","sortOrder":393},{"sectionNumber":"371","sectionType":"section","heading":"Exercise of powers in premises","content":"371  Exercise of powers in premises\n\n (1) A biosecurity officer or a biosecurity enforcement officer may enter premises in a biosecurity response zone for the purpose of exercising powers in accordance with section 370.\n\n (a) the occupier of the premises has consented to the entry and the officer has shown his or her identity card if required by the occupier; or\n\n (b) the entry is made under a biosecurity response zone warrant.\n\nNote: For the issue of warrants, and the obligations and powers of biosecurity enforcement officers and biosecurity officers in entering premises under a warrant or with consent, see Part 3, and Division 3 of Part 4, of Chapter 9.\n\n","sortOrder":394},{"sectionNumber":"372","sectionType":"section","heading":"Power to secure goods or premises to deal with another disease or pest","content":"372  Power to secure goods or premises to deal with another disease or pest\n\n (1) This section applies if a biosecurity officer enters premises in a biosecurity response zone, as authorised by section 371, for the purpose of exercising powers in accordance with section 370 in relation to goods or premises (the relevant goods or premises) in the zone.\n\n (2) The biosecurity officer may secure the relevant goods or premises for up to 24 hours if:\n\n (a) in the course of exercising powers in accordance with section 370, the biosecurity officer suspects, on reasonable grounds, that:\n\n (i) another disease or pest (other than a disease or pest to which the biosecurity response zone determination relates) may be present in or on the relevant goods or premises; and\n\n (ii) the other disease or pest may pose an unacceptable level of biosecurity risk; and\n\n (b) the biosecurity officer believes, on reasonable grounds, that it is necessary to secure the relevant goods or premises, without the authority of a biosecurity risk assessment warrant or a biosecurity response zone warrant, in order to manage the biosecurity risk posed by the other disease or pest.\n\nNote: The Director of Biosecurity may vary the biosecurity response zone determination for the purpose of allowing powers to be exercised to manage any biosecurity risk posed by the other disease or pest. If the determination is varied, a new biosecurity response zone warrant may be needed to authorise a biosecurity officer to re‑enter the premises to exercise powers specified in the varied biosecurity response zone determination to manage the biosecurity risk posed by the other disease or pest.\n\nNote: See also Division 4 of Part 2 and Division 5 of Part 3 for other offences and civil penalty provisions.\n\n","sortOrder":395},{"sectionNumber":"373","sectionType":"section","heading":"Unauthorised persons must not interfere with etc. notices or markings identifying biosecurity response zone","content":"373  Unauthorised persons must not interfere with etc. notices or markings identifying biosecurity response zone\n\n (a) the power referred to in paragraph 367(a) (identification of a biosecurity response zone) is specified in the biosecurity response zone determination; and\n\n (b) a biosecurity officer has, in accordance with the biosecurity response zone determination, caused the zone to be identified by:\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (c) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(c) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n374  Unauthorised persons must not interfere with etc. notices or markings identifying goods or premises in a biosecurity response zone\n\n (a) the power referred to in paragraph 367(b) (identification of goods or premises in a biosecurity response zone) is specified in the biosecurity response zone determination; and\n\n (b) a biosecurity officer has, in accordance with the biosecurity response zone determination, caused goods or premises in the zone to be identified by:\n\n (i) affixing a notice to, or as near as reasonably practicable to, the goods or premises; or\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (c) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(c) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n","sortOrder":396},{"sectionNumber":"375","sectionType":"section","heading":"Person must comply with direction","content":"375  Person must comply with direction\n\n (a) the power referred to in paragraph 367(c) (direction to person to leave a biosecurity response zone) is specified in the biosecurity response zone determination; and\n\n (b) a person is given a direction under that paragraph; and\n\n (c) the direction is given in accordance with the biosecurity response zone determination; and\n\n (e) the conduct contravenes the direction.\n\nNote: The physical elements of an offence against subsection (2) are set out in this subsection (see section 534).\n\nNote: A person may commit an offence or contravene a civil penalty provision for failing to comply with a direction given in relation to another power specified in a biosecurity response zone determination (see sections 317, 318, 321, 327 and 350).\n\n","sortOrder":397},{"sectionNumber":"376","sectionType":"section","heading":"Unauthorised persons must not interfere with etc. equipment etc. set up in biosecurity response zone","content":"376  Unauthorised persons must not interfere with etc. equipment etc. set up in biosecurity response zone\n\n (a) the power referred to in paragraph 367(d) (setting traps or setting up equipment or other structures in a biosecurity response zone) is specified in the biosecurity response zone determination; and\n\n (b) a biosecurity officer has, in accordance with the biosecurity response zone determination, set a trap or set up equipment or another structure in the zone; and\n\n (c) the person interferes with, removes or defaces the trap, equipment or other structure (as the case may be); and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (c) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(c) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see subsection 13.3(3) of the Criminal Code and section 96 of the Regulatory Powers Act).\n\nPart 6—Biosecurity monitoring zones\n\n","sortOrder":398},{"sectionNumber":"377","sectionType":"section","heading":"Simplified outline of this Part","content":"377  Simplified outline of this Part\n\nThis Part provides for certain areas in Australian territory to be biosecurity monitoring zones. Powers may be exercised in these zones for the purpose of monitoring whether a disease or pest that may pose an unacceptable level of biosecurity risk:\n\nThere are 2 kinds of biosecurity monitoring zones—permanent biosecurity monitoring zones (see Division 2) and temporary biosecurity monitoring zones (see Division 3).\n\nPermanent biosecurity monitoring zones are areas in Australian territory that are within the permissible distance of other areas that are considered to have a high level of biosecurity risk associated with them, for example first points of entry for goods being brought into Australian territory or for aircraft or vessels entering Australian territory.\n\nDivision 2 deals with the powers that may be exercised (including in premises) in a permanent biosecurity monitoring zone, and sets out the civil penalty provisions.\n\nUnder Division 3, the Director of Biosecurity may determine that a specified area in Australian territory is a temporary biosecurity monitoring zone if the Director is satisfied it is necessary to do so for the purpose of monitoring whether a disease or pest that may pose an unacceptable level of biosecurity risk:\n\n (a) has entered, or has emerged, established itself or spread in, the area; or\n\n (b) is likely to enter, or to emerge, establish itself or spread in, the area.\n\nDivision 3 sets out requirements relating to making a temporary biosecurity monitoring zone determination, including requirements relating to the content of the determination and requirements relating to consultation and notification.\n\nDivision 3 also deals with the powers that may be exercised (including in premises) in accordance with a temporary biosecurity monitoring zone determination and sets out civil penalty provisions.\n\nBefore exercising a power in a permanent biosecurity monitoring zone or in accordance with a temporary biosecurity monitoring zone determination, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nDivision 2—Permanent biosecurity monitoring zones\n\nSubdivision A—Areas that are permanent biosecurity monitoring zones\n\n378  Permanent biosecurity monitoring zones\n\n (1) Each of the following places in Australian territory, and the area in Australian territory that is within the permissible distance of the boundary of the place, are a permanent biosecurity monitoring zone:\n\n (a) a landing place that is a first point of entry for aircraft or goods;\n\n (b) a port that is a first point of entry for vessels or goods;\n\n (c) an international mail centre;\n\n (d) a biosecurity activity zone;\n\n (e) any other place prescribed by the regulations.\n\nNote: Permissible distance means 400 metres or such greater distance as is prescribed by the regulations (see the definition in section 9).\n\n (2) The regulations must not prescribe a place for the purposes of paragraph (1)(e) unless the Director of Biosecurity is satisfied that there is a high level of biosecurity risk associated with the place.\n\nSubdivision B—Powers that may be exercised in permanent biosecurity monitoring zones\n\n","sortOrder":399},{"sectionNumber":"379","sectionType":"section","heading":"Powers that may be exercised—general","content":"379  Powers that may be exercised—general\n\n (1) The powers set out in Division 3 of Part 2 (biosecurity risk assessment powers) (other than the powers set out in section 321 (movement of goods or conveyances) and sections 324 and 325 (operating electronic equipment)) may be exercised in relation to goods or premises in a permanent biosecurity monitoring zone in accordance with that Division.\n\n (2) The following powers may also be exercised by a biosecurity officer in, or in relation to goods or premises in, a permanent biosecurity monitoring zone:\n\n (a) the power to cause the biosecurity monitoring zone to be identified (whether by affixing notices or by markings or otherwise);\n\n (b) the power to cause goods or premises in the biosecurity monitoring zone to be identified (whether by affixing notices or by markings or otherwise);\n\n (c) the power to set traps or set up equipment or other structures in the biosecurity monitoring zone;\n\n (3) Regulations made for the purposes of paragraph (2)(d) must not provide for a biosecurity officer to require any of the following kinds of biosecurity measures to be taken:\n\n (a) a biosecurity measure of a kind set out in Subdivision B of Division 3 of Part 3 of Chapter 2 (biosecurity measures that may be included in a human biosecurity control order);\n\n (b) a biosecurity measure of a kind set out in Division 3 of Part 2 of this Chapter (biosecurity risk assessment powers);\n\n (c) a biosecurity measure of a kind set out in Division 2 of Part 3 of this Chapter (powers to require biosecurity measures to be taken);\n\n (d) a biosecurity measure of a kind provided by regulations made for the purposes of section 346 (other biosecurity measures);\n\n (e) a biosecurity measure of a kind referred to in Subdivision B of Division 2 of Part 4 of Chapter 10 (decontamination).\n\n (4) The powers referred to in subsections (1) and (2) may be exercised in, or in relation to goods or premises in, a permanent biosecurity monitoring zone for the purpose of monitoring whether a disease or pest that a biosecurity officer suspects, on reasonable grounds, may pose an unacceptable level of biosecurity risk:\n\nNote 4: Before exercising a power in a permanent biosecurity monitoring zone, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 5: A biosecurity officer may be assisted by other persons in exercising powers in a permanent biosecurity monitoring zone (see section 536).\n\nNote 6: See Subdivision C for civil penalty provisions.\n\n","sortOrder":400},{"sectionNumber":"380","sectionType":"section","heading":"Exercise of powers in premises","content":"380  Exercise of powers in premises\n\n (1) A biosecurity officer or a biosecurity enforcement officer may enter premises in a permanent biosecurity monitoring zone for the purpose of exercising powers in accordance with section 379.\n\n (a) the occupier of the premises has consented to the entry and the officer has shown his or her identity card if required by the occupier; or\n\n (b) the entry is made under a biosecurity monitoring zone warrant.\n\nNote: For the issue of warrants, and the obligations and powers of biosecurity enforcement officers and biosecurity officers in entering premises under a warrant or with consent, see Part 3, and Division 3 of Part 4, of Chapter 9.\n\nNote: See also Division 3 of Part 2 for other civil penalty provisions.\n\n","sortOrder":401},{"sectionNumber":"381","sectionType":"section","heading":"Unauthorised persons must not interfere with etc. notices or markings identifying permanent biosecurity monitoring zone","content":"381  Unauthorised persons must not interfere with etc. notices or markings identifying permanent biosecurity monitoring zone\n\n (a) a biosecurity officer has caused a permanent biosecurity monitoring zone to be identified by:\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(b) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n382  Unauthorised persons must not interfere with etc. notices or markings identifying goods or premises in a permanent biosecurity monitoring zone\n\n (a) a biosecurity officer has caused goods or premises in a permanent biosecurity monitoring zone to be identified by:\n\n (i) affixing a notice to, or as near as practicable to, the goods or premises; or\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(b) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n383  Unauthorised persons must not interfere with etc. equipment etc. set up in permanent biosecurity monitoring zone\n\n (a) a biosecurity officer has set a trap or has set up equipment or another structure in a permanent biosecurity monitoring zone; and\n\n (b) the person interferes with, removes or defaces the trap, equipment or other structure; and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in that subsection under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\nDivision 3—Temporary biosecurity monitoring zones\n\nSubdivision A—Temporary biosecurity monitoring zone determinations\n\n","sortOrder":402},{"sectionNumber":"384","sectionType":"section","heading":"Director of Biosecurity may determine temporary biosecurity monitoring zone","content":"384  Director of Biosecurity may determine temporary biosecurity monitoring zone\n\n (1) The Director of Biosecurity may determine that a specified area in Australian territory is a temporary biosecurity monitoring zone if the Director is satisfied it is necessary to do so for the purpose of monitoring whether a disease or pest that may pose an unacceptable level of biosecurity risk:\n\n (a) has entered, or has emerged, established itself or spread in, the area; or\n\n (b) is likely to enter, or to emerge, establish itself or spread in, the area.\n\nNote 1: See section 310 in relation to the meaning of biosecurity risk in this Chapter.\n\nNote 2: For variation and revocation of the determination, see subsection 33(3) of the Acts Interpretation Act 1901.\n\n (2) Without limiting subsection (1), a specified area may consist of the whole or part of specified premises (other than a conveyance).\n\n (3) The Director of Biosecurity may determine that a specified area in Australian territory is a temporary biosecurity monitoring zone even if the area, or a part of the area, is part of another temporary biosecurity monitoring zone.\n\n (4) A determination made under subsection (1) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the determination.\n\n","sortOrder":403},{"sectionNumber":"385","sectionType":"section","heading":"Content of a temporary biosecurity monitoring zone determination","content":"385  Content of a temporary biosecurity monitoring zone determination\n\n (1) A temporary biosecurity monitoring zone determination must specify:\n\n (a) each power set out in Division 3 of Part 2 (biosecurity risk assessment powers) that may be exercised in relation to goods or premises in the temporary biosecurity monitoring zone in accordance with that Division; and\n\n (b) each power set out in section 386 (additional temporary biosecurity monitoring zone powers) that may be exercised in, or in relation to goods or premises in, the temporary biosecurity monitoring zone in accordance with that section; and\n\n (c) the period during which the determination is to be in force.\n\n (2) The following powers must not be specified in a temporary biosecurity monitoring zone determination under paragraph (1)(a):\n\n (a) the power set out in section 321 (movement of goods or conveyance);\n\n (b) the powers set out in sections 324 and 325 (operation of electronic equipment).\n\n (3) The period during which a temporary biosecurity monitoring zone determination may be in force:\n\n (a) must not be longer than the Director of Biosecurity considers necessary to monitor whether a disease or pest that may pose an unacceptable level of biosecurity risk:\n\n (i) has entered, or has emerged, established itself or spread in, the zone; or\n\n (ii) is likely to enter, or to emerge, establish itself or spread in, the zone; and\n\n (4) A power must not be specified in a temporary biosecurity monitoring zone determination under paragraph (1)(a) or (b) unless the Director of Biosecurity is satisfied that the exercise of the power is appropriate and adapted for the purpose of monitoring whether a disease or pest that a biosecurity officer suspects, on reasonable grounds, may pose an unacceptable level of biosecurity risk:\n\n (5) If a temporary biosecurity monitoring zone determination ceases to be in force, the Director of Biosecurity may make another temporary biosecurity monitoring zone determination specifying the same area covered by the previous temporary biosecurity monitoring zone determination.\n\n","sortOrder":404},{"sectionNumber":"386","sectionType":"section","heading":"Additional powers that may be specified in a temporary biosecurity monitoring zone determination","content":"386  Additional powers that may be specified in a temporary biosecurity monitoring zone determination\n\n (1) The following powers that a biosecurity officer may exercise may be specified in a temporary biosecurity monitoring zone determination under paragraph 385(1)(b):\n\n (a) the power to cause the biosecurity monitoring zone to be identified (whether by affixing notices or by markings or otherwise);\n\n (b) the power to cause goods or premises in the biosecurity monitoring zone to be identified (whether by affixing notices or by markings or otherwise);\n\n (c) the power to set traps or set up equipment or other structures in the biosecurity monitoring zone;\n\nNote: Certain powers set out in Division 3 of Part 2 (biosecurity risk assessment powers) may also be specified in a temporary biosecurity monitoring zone determination (see paragraph 385(1)(a) and subsection 385(2)).\n\n (2) Regulations made for the purposes of paragraph (1)(d) must not provide for a biosecurity officer to require any of the following kinds of biosecurity measures to be taken:\n\n (a) a biosecurity measure of a kind set out in Subdivision B of Division 3 of Part 3 of Chapter 2 (biosecurity measures that may be included in a human biosecurity control order);\n\n (b) a biosecurity measure of a kind set out in Division 3 of Part 2 of this Chapter (biosecurity risk assessment powers);\n\n (c) a biosecurity measure of a kind set out in Division 2 of Part 3 of this Chapter (powers to require biosecurity measures to be taken);\n\n (d) a biosecurity measure of a kind provided by regulations made for the purposes of section 346 (other biosecurity measures);\n\n (e) a biosecurity measure of a kind referred to in Subdivision B of Division 2 of Part 4 of Chapter 10 (decontamination).\n\n","sortOrder":405},{"sectionNumber":"387","sectionType":"section","heading":"Consultation requirements","content":"387  Consultation requirements\n\n (1) Before making a temporary biosecurity monitoring zone determination, the Director of Biosecurity must consult the head (however described) of the State or Territory body that is responsible for the administration of matters relating to biosecurity in each State or Territory in which the temporary biosecurity monitoring zone will lie.\n\n (2) A failure by the Director of Biosecurity to comply with subsection (1) does not affect the validity of the determination.\n\n","sortOrder":406},{"sectionNumber":"388","sectionType":"section","heading":"Notification requirements","content":"388  Notification requirements\n\n (1) In addition to the requirement under the Legislation Act 2003 for a temporary biosecurity monitoring zone determination to be registered, the Director of Biosecurity must ensure that the determination is made public, in any other way he or she thinks fit.\n\n (2) A failure by the Director of Biosecurity to comply with subsection (1) does not affect the validity of the determination.\n\nSubdivision B—Powers that may be exercised in temporary biosecurity monitoring zones\n\n","sortOrder":407},{"sectionNumber":"389","sectionType":"section","heading":"Powers that may be exercised—general","content":"389  Powers that may be exercised—general\n\n  If a temporary biosecurity monitoring zone determination is in force, any power specified in the determination under paragraph 385(1)(a) or (b) may be exercised in, or in relation to goods or premises in, the zone for the purpose of monitoring whether a disease or pest that a biosecurity officer suspects, on reasonable grounds, may pose an unacceptable level of biosecurity risk:\n\n (a) has entered, or has emerged, established itself or spread in, the temporary biosecurity monitoring zone; or\n\n (b) is likely to enter, or to emerge, establish itself or spread in, the temporary biosecurity monitoring zone.\n\nNote 4: Before exercising a power in a temporary biosecurity monitoring zone, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 5: A biosecurity officer may be assisted by other persons in exercising powers in a temporary biosecurity monitoring zone (see section 536).\n\nNote 6: See Subdivision C for civil penalty provisions.\n\n","sortOrder":408},{"sectionNumber":"390","sectionType":"section","heading":"Exercise of powers in premises","content":"390  Exercise of powers in premises\n\n (1) A biosecurity officer or a biosecurity enforcement officer may enter premises in a temporary biosecurity monitoring zone for the purpose of exercising powers in accordance with section 389.\n\n (a) the occupier of the premises has consented to the entry and the officer has shown his or her identity card if required by the occupier; or\n\n (b) the entry is made under a biosecurity monitoring zone warrant.\n\nNote: For the issue of warrants, and the obligations and powers of biosecurity enforcement officers and biosecurity officers in entering premises under a warrant or with consent, see Part 3, and Division 3 of Part 4, of Chapter 9.\n\nNote: See also Division 3 of Part 2 for other civil penalty provisions.\n\n","sortOrder":409},{"sectionNumber":"391","sectionType":"section","heading":"Unauthorised persons must not interfere with etc. notices or markings identifying temporary biosecurity monitoring zone","content":"391  Unauthorised persons must not interfere with etc. notices or markings identifying temporary biosecurity monitoring zone\n\n (a) the power referred to in paragraph 386(1)(a) (identification of a temporary biosecurity monitoring zone) is specified in the temporary biosecurity monitoring zone determination; and\n\n (b) a biosecurity officer has, in accordance with the temporary biosecurity monitoring zone determination, caused the zone to be identified by:\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (c) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(c) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n392  Unauthorised persons must not interfere with etc. notices or markings identifying goods or premises in temporary biosecurity monitoring zone\n\n (a) the power referred to in paragraph 386(1)(b) (identification of goods or premises in a temporary biosecurity monitoring zone) is specified in the temporary biosecurity monitoring zone determination; and\n\n (b) a biosecurity officer has, in accordance with the temporary biosecurity monitoring zone determination, caused goods or premises in the zone to be identified by:\n\n (i) affixing a notice to, or as near as reasonably practicable to, the goods or premises; or\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (c) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(c) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n","sortOrder":410},{"sectionNumber":"393","sectionType":"section","heading":"Unauthorised persons must not interfere with etc. equipment etc. set up in temporary biosecurity monitoring zone","content":"393  Unauthorised persons must not interfere with etc. equipment etc. set up in temporary biosecurity monitoring zone\n\n (a) the power referred to in paragraph 386(1)(c) (setting traps or setting up equipment or other structures in a temporary biosecurity monitoring zone) is specified in the temporary biosecurity monitoring zone determination; and\n\n (b) a biosecurity officer has, in accordance with the temporary biosecurity monitoring zone determination, set a trap or set up equipment or another structure in the zone; and\n\n (c) the person interferes with, removes or defaces the trap, equipment or other structure (as the case may be); and\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (c) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(c) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n","sortOrder":411},{"sectionNumber":"Part 6A","sectionType":"part","heading":"Preventative biosecurity measures","content":"Part 6A—Preventative biosecurity measures\n\n","sortOrder":412},{"sectionNumber":"393A","sectionType":"section","heading":"Simplified outline of this Part","content":"393A  Simplified outline of this Part\n\nThe Agriculture Minister may determine certain biosecurity measures for the purposes of preventing a specified behaviour or practice that causes, or contributes to, the entry into, or the emergence, establishment or spread in, Australian territory or a part of Australian territory of a specified disease (other than a listed human disease), or pest, that is considered to pose an unacceptable level of biosecurity risk.\n\nDivision 2—Preventative biosecurity measures\n\n","sortOrder":413},{"sectionNumber":"393B","sectionType":"section","heading":"Determining preventative biosecurity measures","content":"393B  Determining preventative biosecurity measures\n\n (1) This section applies for the purposes of preventing a behaviour or practice that:\n\n (a) may cause a disease (other than a listed human disease), or pest, that is considered to pose an unacceptable level of biosecurity risk to enter, or emerge, establish itself or spread in, Australian territory or a part of Australian territory; or\n\n (b) may contribute to a disease or pest in relation to which paragraph (a) applies entering, or emerging, establishing itself or spreading in, Australian territory or a part of Australian territory.\n\nNote: For preventative biosecurity measures relating to listed human diseases, see section 51.\n\n (2) The Agriculture Minister may make a determination that specifies any one or more of the following biosecurity measures to be taken by specified classes of persons:\n\n (a) banning or restricting a behaviour or practice;\n\n (b) requiring a behaviour or practice;\n\n (c) requiring a specified person to provide a specified report or keep specified records;\n\n (d) conducting specified tests on specified goods or specified conveyances.\n\nNote: A person who fails to comply with a biosecurity measure may contravene a civil penalty provision (see section 393C).\n\n (3) The determination must specify the behaviour or practice, and the disease or pest, referred to in subsection (1).\n\n (4) A determination made under subsection (2) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the instrument.\n\n (5) A biosecurity measure must not be specified in a determination unless the Agriculture Minister is satisfied that:\n\n (a) the disease or pest poses an unacceptable level of biosecurity risk; and\n\n (b) the biosecurity measure is appropriate and adapted to prevent, or reduce the risk of, the disease or pest entering, or emerging, establishing itself or spreading in, Australian territory or a part of Australian territory.\n\n (6) A determination must specify the period during which it is in force, which must not be more than 1 year.\n\n (7) Before making a determination, the Agriculture Minister must consult with:\n\n (a) the Director of Biosecurity; and\n\n (b) the Director of Human Biosecurity; and\n\n (c) the head (however described) of the State or Territory body that is responsible for the administration of matters relating to biosecurity in each State and Territory.\n\n (8) A failure by the Agriculture Minister to comply with subsection (7) does not affect the validity of the determination.\n\n","sortOrder":414},{"sectionNumber":"393C","sectionType":"section","heading":"Civil penalty for failing to comply with a preventative biosecurity measure","content":"393C  Civil penalty for failing to comply with a preventative biosecurity measure\n\n  A person to whom a biosecurity measure specified in accordance with subsection 393B(2) applies must comply with the biosecurity measure.\n\nPart 7—Biosecurity activity zones\n\n","sortOrder":415},{"sectionNumber":"394","sectionType":"section","heading":"Simplified outline of this Part","content":"394  Simplified outline of this Part\n\nThis Part provides for the Director of Biosecurity to determine that an area in Australian territory where powers are exercised or functions or duties are performed by, or on behalf of, the Commonwealth under this Act is a biosecurity activity zone.\n\nThe Director may make the determination if the Director is satisfied it is necessary for the purpose of managing biosecurity risks associated with the exercise of those powers or the performance of those functions or duties.\n\nDivision 2 sets out requirements relating to making a biosecurity activity zone determination, including requirements relating to the content of the determination and requirements relating to consultation and notification.\n\nDivision 3 deals with the powers that may be exercised (including in premises) in a biosecurity activity zone.\n\nBefore exercising a power in a biosecurity activity zone, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nDivision 4 sets out offences and civil penalty provisions.\n\nDivision 2—Biosecurity activity zone determinations\n\n395  Director of Biosecurity may determine biosecurity activity zone\n\n (1) The Director of Biosecurity may determine that a specified area in Australian territory is a biosecurity activity zone if:\n\n (a) the area is a place where powers are exercised or functions or duties are performed by, or on behalf of, the Commonwealth under this Act; and\n\n (b) the Director of Biosecurity is satisfied it is necessary to make the determination for the purpose of managing biosecurity risks associated with the exercise of those powers or the performance of those functions or duties.\n\nNote 1: See section 310 in relation to the meaning of biosecurity risk in this Chapter.\n\nNote 2: For variation of a biosecurity activity zone determination, see subsection 33(3) of the Acts Interpretation Act 1901.\n\nNote 3: For revocation of a biosecurity activity zone determination, see section 398.\n\n (2) Without limiting subsection (1), a specified area may consist of the whole or part of specified premises (other than a conveyance), including premises on which a biosecurity industry participant carries out biosecurity activities as authorised by an approved arrangement covering the biosecurity industry participant.\n\n (3) The Director of Biosecurity may determine that a specified area in Australian territory is a biosecurity activity zone even if the area, or a part of the area, is part of:\n\n (a) a biosecurity response zone; or\n\n (b) a biosecurity monitoring zone.\n\n (4) A determination made under subsection (1) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the determination.\n\n (5) A biosecurity activity zone determination remains in force until it is revoked under section 398.\n\n","sortOrder":416},{"sectionNumber":"396","sectionType":"section","heading":"Consultation requirements","content":"396  Consultation requirements\n\n (1) Before making a biosecurity activity zone determination, the Director of Biosecurity must consult the head (however described) of the State or Territory body that is responsible for the administration of matters relating to biosecurity in each State or Territory in which the biosecurity activity zone will lie.\n\n (2) A failure by the Director of Biosecurity to comply with subsection (1) does not affect the validity of the determination.\n\n","sortOrder":417},{"sectionNumber":"397","sectionType":"section","heading":"Notification requirements","content":"397  Notification requirements\n\n (1) In addition to the requirement under the Legislation Act 2003 for a biosecurity activity zone determination to be registered, the Director of Biosecurity must ensure that the determination is made public, in any other way he or she thinks fit.\n\n (2) A failure by the Director of Biosecurity to comply with subsection (1) does not affect the validity of the determination.\n\n","sortOrder":418},{"sectionNumber":"398","sectionType":"section","heading":"Revocation of biosecurity activity zone determination","content":"398  Revocation of biosecurity activity zone determination\n\n (1) The Director of Biosecurity must revoke a biosecurity activity zone determination if the Director is satisfied that it is no longer necessary for powers to be exercised in, or in relation to, the zone in accordance with section 399.\n\n (2) A revocation of a biosecurity activity zone determination made under subsection (1) is a legislative instrument, but section 42 (disallowance) of the Legislation Act 2003 does not apply to the revocation.\n\n (3) A revocation of a biosecurity activity zone determination takes effect immediately after it is made.\n\nDivision 3—Powers that may be exercised in biosecurity activity zones\n\n","sortOrder":419},{"sectionNumber":"399","sectionType":"section","heading":"Powers that may be exercised","content":"399  Powers that may be exercised\n\n (1) The following powers may be exercised by a biosecurity officer in, or in relation to goods or premises in, a biosecurity activity zone:\n\n (a) the power to cause the biosecurity activity zone to be identified (whether by affixing notices or by markings or otherwise);\n\n (b) the power to cause goods or premises in the biosecurity activity zone to be identified (whether by affixing notices or by markings or otherwise);\n\n (c) the power to direct a person in the biosecurity activity zone to leave the biosecurity activity zone for a specified period (which must not be longer than 24 hours);\n\n (2) The powers set out in sections 333 and 334 (entry and exit requirements) may also be exercised in relation to premises in a biosecurity activity zone in accordance with that section.\n\nNote: A person may commit an offence or contravene a civil penalty provision if the person fails to comply with a requirement imposed under section 333 or 334 that applies to the person (see section 349).\n\n (3) Regulations made for the purposes of paragraph (1)(d) must not provide for a biosecurity officer to require any of the following kinds of biosecurity measures to be taken:\n\n (a) a biosecurity measure of a kind set out in Subdivision B of Division 3 of Part 3 of Chapter 2 (biosecurity measures that may be included in a human biosecurity control order);\n\n (b) a biosecurity measure of a kind set out in Division 3 of Part 2 of this Chapter (biosecurity risk assessment powers);\n\n (c) a biosecurity measure of a kind set out in Division 2 of Part 3 of this Chapter (powers to require biosecurity measures to be taken);\n\n (d) a biosecurity measure of a kind provided by regulations made for the purposes of section 346 (other biosecurity measures);\n\n (e) a biosecurity measure of a kind referred to in Subdivision B of Division 2 of Part 4 of Chapter 10 (decontamination).\n\n (4) The powers referred to in subsections (1) and (2) may be exercised in, or in relation to goods or premises in, a biosecurity activity zone for the purpose of managing biosecurity risks associated with the exercise of powers or the performance of functions or duties by, or on behalf of, the Commonwealth under this Act in the zone.\n\nNote 4: Before exercising a power in a biosecurity activity zone, a biosecurity official must be satisfied of the matters referred to in section 32 (the principles).\n\nNote 5: A biosecurity officer may be assisted by other persons in exercising powers in a biosecurity activity zone (see section 536).\n\nNote 6: See Division 4 for offences and civil penalty provisions.\n\n","sortOrder":420},{"sectionNumber":"400","sectionType":"section","heading":"Use of force","content":"400  Use of force\n\n  A biosecurity enforcement officer may use such force against things in a biosecurity activity zone as is necessary and reasonable in the circumstances.\n\n","sortOrder":421},{"sectionNumber":"401","sectionType":"section","heading":"Unauthorised persons must not interfere with etc. notices or markings identifying biosecurity activity zone","content":"401  Unauthorised persons must not interfere with etc. notices or markings identifying biosecurity activity zone\n\n (a) a biosecurity officer has caused a biosecurity activity zone to be identified by:\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(b) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n402  Unauthorised persons must not interfere with etc. notices or markings identifying goods or premises in a biosecurity activity zone\n\n (a) a biosecurity officer has caused goods or premises in a biosecurity activity zone to be identified by:\n\n (i) affixing a notice to, or as near as practicable to, the goods or premises; or\n\n (i) the person is authorised to engage in the conduct referred to in paragraph (b) in accordance with an approved arrangement;\n\n (ii) the person needs to engage in that conduct to comply with a direction given under another provision of this Act by a biosecurity official;\n\n (2) Subsection (1) does not apply if the person is authorised to engage in the conduct referred to in paragraph (1)(b) under this Act or under another Australian law.\n\nNote: A defendant bears an evidential burden in relation to the matter in this subsection (see section 96 of the Regulatory Powers Act).\n\n403  Person must comply with direction\n\n (a) the person is given a direction under paragraph 399(1)(c); and\n\nNote: The physical elements of an offence against subsection (2) are set out in this subsection (see section 534).\n\n \n","sortOrder":422}],"analysis":{"kimi_summary":{"_metrics":{"completionTokens":970},"content_quality":"ok","complexity_score":9,"scope_assessment":{"changed":false,"description":"The legislation appears consistent with its original scope as a comprehensive biosecurity framework. The 2025 amendments (Act No. 62, 2025) visible in the compilation header suggest ongoing maintenance but no fundamental expansion beyond the original biosecurity, human health, and environmental protection purposes."},"complexity_factors":["645 sections across 11 chapters with multiple divisions and subdivisions","Extensive cross-referencing between chapters (e.g., goods defined as conveyances in certain contexts, conveyances becoming goods when carried)","47+ defined terms in section 9 alone, with many having nested definitions (e.g., 'associate' spans 4 subsections with multiple relationship categories)","Multiple overlapping control mechanisms: biosecurity control, human biosecurity control orders, biosecurity control orders, exposed goods orders, response zones, monitoring zones, activity zones","Conditional logic throughout: different rules apply based on whether goods are 'high-value', whether conveyances are 'exposed', whether individuals consent, whether emergencies are declared","Nested exceptions and review periods: e.g., destruction of high-value goods requires Director approval AND review periods that can be overridden if 'high level of biosecurity risk' exists","Dual criminal/civil penalty structures for many provisions with fault-based, strict liability, and civil penalty variants","International law integration: implements Ballast Water Convention, International Health Regulations, SPS Agreement, Biodiversity Convention with complex jurisdictional rules","Emergency powers in Chapter 8 that modify normal operation of other provisions","Extensive delegated legislation: regulations prescribed for 50+ matters including fees, forms, processes, and substantive requirements"],"plain_english_summary":"This is Australia's **Biosecurity Act 2015**, a massive piece of legislation that protects the country from diseases, pests, and other biological threats that could harm human health, agriculture, or the environment.\n\n**What it does:**\n\nThe Act creates a comprehensive system to manage **biosecurity risks** — essentially anything that could bring harmful diseases or pests into Australia. It covers:\n\n- **Human health** (Chapter 2): Allows officials to impose **human biosecurity control orders** on individuals who may have serious contagious diseases. These orders can require isolation, medical examination, vaccination, restricting movement, or preventing international travel. The Act also sets entry/exit requirements for travellers and manages human remains brought into Australia.\n\n- **Goods** (Chapter 3): Everything brought into Australia — from mail to animals to vehicles — becomes subject to **biosecurity control**. Officials can inspect, test, treat, export, or destroy goods that pose unacceptable risks. The Act also establishes **prohibited goods** (banned entirely) and **conditionally non-prohibited goods** (allowed with conditions/permits).\n\n- **Conveyances** (Chapter 4): Aircraft, vessels, and other vehicles entering Australia are subject to biosecurity control. Officials can direct where they land/moor, inspect them, require treatment, or even order destruction in extreme cases.\n\n- **Ballast water** (Chapter 5): Implements international rules to prevent ships from spreading invasive species through their ballast water.\n\n- **Monitoring and emergency response** (Chapters 6 & 8): Creates **biosecurity response zones**, **monitoring zones**, and **activity zones** where special powers apply. Allows the Governor-General to declare **biosecurity emergencies** and **human biosecurity emergencies**, giving ministers extraordinary powers during crises.\n\n- **Industry arrangements** (Chapter 7): Lets private businesses become **biosecurity industry participants** approved to carry out biosecurity activities.\n\n- **Enforcement** (Chapter 9): Provides extensive powers for officers to enter premises, investigate, and enforce the Act through criminal offences, civil penalties, and injunctions.\n\n**Key features:**\n- Establishes the **Appropriate Level of Protection (ALOP)** — a \"high level\" of protection aiming for \"very low\" but not zero risk\n- Creates multiple Director positions (Director of Biosecurity, Director of Human Biosecurity) with significant delegated powers\n- Balances enforcement powers with **principles** requiring proportionality and minimal intrusion\n- Provides **review rights** through the Administrative Review Tribunal for many decisions\n- Extensive **cost recovery** provisions for biosecurity services\n\n**Who it affects:** Anyone bringing goods, animals, plants, or conveyances into Australia; travellers entering or leaving; businesses involved in import/export; shipping and aviation operators; and potentially any individual during a declared biosecurity emergency."},"flash_summary":{"complexity_score":9,"scope_assessment":{"changed":true,"description":"The Biosecurity Act 2015 significantly expanded the scope of Australia's biosecurity regime compared to its predecessor, the Quarantine Act 1908. The original act focused primarily on quarantine of goods, animals, and plants. The new Act extends coverage to human health (including listing diseases, human biosecurity control orders, and human health response zones), ballast water management (implementing the Ballast Water Convention), and a broader range of monitoring and response powers (including biosecurity response zones, monitoring zones, and activity zones). It also introduced new concepts such as 'appropriate level of protection' (ALOP), biosecurity import risk analyses (BIRAs), and approved arrangements for industry participants."},"complexity_factors":["Over 600 sections across 11 chapters","Hundreds of defined terms in the interpretation section (s. 9)","Extensive cross-referencing between chapters and parts","Multiple layered decision-making principles (e.g., s. 32 for officials, s. 34 for human health)","Nested exceptions to offences, especially in ballast water and goods provisions","Detailed processes for control orders, permits, and zone determinations","Incorporation of external international agreements (e.g., Ballast Water Convention, International Health Regulations)","Numerous powers to make legislative instruments and determinations"],"plain_english_summary":"The Biosecurity Act 2015 is Australia's main law for preventing and managing the entry and spread of diseases and pests that could harm human, animal, or plant health, or the environment. It sets up a system to control what comes into the country—goods, people, aircraft, and vessels—and gives officials powers to inspect, treat, or destroy risky items. The law covers:\n\n- **Human health**: Listing serious diseases, requiring travellers to provide health information, and allowing officials to impose control orders (e.g., isolation, movement restrictions) on individuals who may have a listed disease.\n- **Goods**: Requiring importers to declare goods, assessing biosecurity risks, and allowing treatment, export, or destruction of risky goods. Certain goods may be completely banned or allowed only under conditions or with a permit.\n- **Conveyances (aircraft, vessels)**: Requiring pre-arrival reports, limiting where they can land or moor, and allowing inspections and treatments. Also regulates ballast water to prevent marine pests.\n- **Monitoring and response**: Creating zones (e.g., biosecurity response zones) to control outbreaks, and giving powers to enter premises, take samples, and require actions from landowners.\n\nThe Act affects anyone bringing goods or entering Australia, as well as businesses involved in transport, import/export, and agriculture. It matters because it aims to keep Australia free from harmful biological threats, but it also imposes significant compliance costs and grants broad discretionary powers to officials."}},"importantCases":[],"_links":{"self":"/api/acts/biosecurity-act-2015","history":"/api/acts/biosecurity-act-2015/history","analysis":"/api/acts/biosecurity-act-2015/analysis","conflicts":"/api/acts/biosecurity-act-2015/conflicts","importantCases":"/api/acts/biosecurity-act-2015/important-cases","documents":"/api/acts/biosecurity-act-2015/documents"}}